Grape King Bio Ltd

TWSE:1707.TW

144 (TWD) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) TWD.

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,818.7034,672.8523,635.1972,927.0292,146.2072,050.2241,920.4971,899.3021,432.561,373.8351,068.6951,084.597853.43595.01676.645364.173311.297419.49
Kortetermijnbeleggingen 151.208117.049262.23777.66285.81838.214250.451389.447726.589205.971423.805415.307302.132283.78668.139571.492602.681402.005
Liquide middelen en kortetermijnbeleggingen 4,969.9114,789.9013,897.4343,004.6912,232.0252,088.4382,170.9482,288.7492,159.1491,579.8061,492.51,499.9041,155.562878.791,344.784935.665913.978821.495
Nettovorderingen 315.394284.006313.821205.241204.197237.006215.372241.089121.526116.441101.6148.122151.308155.443184.9210165.169240.507
Voorraad 737.186688.391719.257689.464546.444562.831492.058434.99359.474268.268235.165211.218187.142198.171136.59136.028135.331146.413
Overige vlottende activa 16.28638.96454.78572.02883.6674.70811.6435.73610.4191.1960.7253.3671.0324.6580.134169.27313.1397.138
Totaal vlottende activa 6,038.7775,801.2624,985.2973,971.4243,066.3332,892.9832,890.0212,970.5642,650.5681,965.7111,829.991,862.6111,495.0441,237.0621,666.4291,240.9661,227.6171,215.553
Niet-vlottende activa:
Materiële vaste activa, netto 7,795.3177,546.357,417.4237,509.8086,660.8315,926.6556,355.4166,084.3775,596.7022,067.881,820.4621,884.3341,827.5841,771.1691,202.814945.934882.274824.743
Goodwill 00000-43.373-46.023-48.315-54.183000000000
Immateriële activa 125.08743.75733.3438.34134.78663.51468.46574.9567.37811.211057.65161.36758.44263.60267.09963.95761.537
Goodwill en immateriële activa 125.08743.75733.3438.34134.78620.14122.44226.63513.19511.211729.41457.65161.36758.44263.60267.09963.95761.537
Langetermijnbeleggingen 1,496.954-33.534-212.174-47.889-56.985-15.862-217.963-361.332-696.188-187.469-411.531-403.033-302.112-270.652-653.705-556.685-588.062-387.317
Belastingvorderingen 11.6314.6628.70510.8729.3378.0325.75222.3815.9738.34215.112415.307302.13211.16823.733571.492602.681402.005
Overige niet-vlottende activa 44.0761,680.5411,828.2881,621.5651,644.7691,816.1835.988807.1311,042.1151,503.144645.40451.36571.731394.027902.237317.004337.638368.089
Totaal niet-vlottende activa 9,473.0649,251.7769,075.5829,132.6978,292.7387,755.0667,001.6356,579.1925,961.7973,403.1082,798.8612,005.6241,960.7021,964.1541,538.6811,344.8441,298.4881,269.057
Totaal activa 15,511.84115,053.03814,060.87913,104.12111,359.07110,648.0499,891.6569,549.7568,612.3655,368.8194,628.8513,868.2353,455.7463,201.2163,205.112,585.812,526.1052,484.61
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 290.101293.843268.964255.318221.848260.479316.108186.737152.077121.81674.49672.0158.44112.63573.76762.02966.05463.633
Kortlopende schulden 56.5646.94355.301590.907401.718827.768510.388279.0998.4466.39113.39716.20768.863.698233.108180.73173.57285.657
Belastingschulden 1,068.681,026.091925.723723.261277.737303.844250.431288.031192.612183.735168.435117.09399.27267.82679.911000
Uitgestelde opbrengsten 151.131173.3892,939.2672,611.0262,126.305303.8441,901.463288.031192.6121,285.2621,087.683882.404701.548622.435677.3445.328368.969297.302
Overige kortlopende verplichtingen 3,149.5923,198.23630.76643.32360.4461,877.918151.0781,719.2921,345.18249.57342.8578.4668.8096.5718.80212.4857.6756.02
Totaal kortlopende verplichtingen 3,647.3843,712.4113,294.2983,500.5742,810.3173,270.0092,879.0372,473.151,788.3171,463.0421,218.433979.087837.597805.339992.977700.572616.268652.612
Langlopende verplichtingen:
Langetermijnschulden 136.36110.809216.4571,493.083941.275292.795518.671,112.5042,413.03100000039.1932.3429.24
Uitgestelde opbrengsten niet-vlottend -007.3627.3225.3170000000000000
Uitgestelde belastingverplichtingen niet-vlottend 77.64769.70269.00168.80468.67568.62868.46369.27269.15570.05470.0690000000
Overige niet-vlottende verplichtingen 20.51519.04344.34655.88462.63583.34797.514111.881122.306119.015119.538147.199146.806135.992136.298101.843104.388103.995
Totaal niet-vlottende verplichtingen 234.522199.554337.1661,625.0931,077.902444.77684.6471,293.6572,604.492189.069189.607147.199146.806135.992136.298141.033136.728133.235
Totaal passiva 3,881.9063,911.9653,631.4645,125.6673,888.2193,714.7793,563.6843,766.8074,392.8091,652.1111,408.041,126.286984.403941.3311,129.275841.605752.996785.847
Eigen vermogen:
Preferente aandelen 00000000001.9730000000
Gewone aandelen 1,481.3741,481.3741,481.3741,362.8641,362.8641,362.8641,352.2111,352.1421,303.0011,302.351,302.351,302.351,302.351,302.351,302.351,302.351,334.351,334.35
Ingehouden winsten 4,157.9573,864.5493,444.8443,204.7262,973.4972,676.2652,418.572,062.6461,600.2041,758.3161,129.937840.72659.829555.125425.829249.37275.436212.729
Overige gereserveerde algehele resultaten 1,485.8561,367.9281,208.9641,085.167924.727823.585715.281594.003515.4375.923-1.9730000000
Overige totale aandeelhoudersvermogen 2,853.1122,855.9212,853.112971.717912.333867.581709.184799.22159.5674.363339.607291.013261.647217.982209.66131.744108.963112.077
Totaal eigen vermogen van aandeelhouders 9,978.2999,569.7728,988.2946,624.4746,173.4215,730.2955,195.2464,808.0123,478.2093,070.9522,771.8942,434.0832,223.8262,075.4571,937.8391,683.4641,718.7491,659.156
Totaal eigen vermogen 11,629.93511,141.07310,429.4157,978.4547,470.8526,933.276,327.9725,782.9494,219.5563,716.7083,220.8112,741.9492,471.3432,259.8852,075.8351,744.2051,773.1091,698.763
Totaal passiva en aandeelhoudersvermogen 15,511.84115,053.03814,060.87913,104.12111,359.07110,648.0499,891.6569,549.7568,612.3655,368.8194,628.8513,868.2353,455.7463,201.2163,205.112,585.812,526.1052,484.61