Sinon Corporation

TWSE:1712.TW

43.15 (TWD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,099.1562,125.2421,671.5641,894.8351,494.3511,266.2321,451.0141,364.331,113.7691,515.8061,129.3807.762790.55686.028604.815
Kortetermijnbeleggingen 292.294159.498113.16353.85-27.6931.184-42.46214.55817.26915.08119.55623.60931.00176.1376.959
Liquide middelen en kortetermijnbeleggingen 2,455.0652,284.741,784.7271,948.6851,494.3511,267.4161,451.0141,378.8881,131.0381,530.8871,148.856831.371821.551762.158681.774
Nettovorderingen 2,638.2353,487.2272,420.7371,791.9012,026.5872,374.7922,119.9952,362.8881,785.0481,903.6551,924.1832,218.9441,419.3861,206.4321,502.992
Voorraad 2,905.143,383.0913,258.3712,781.9932,760.5932,968.3022,916.7023,417.273,664.2553,931.5243,233.1672,495.381,995.4031,774.4711,655.053
Overige vlottende activa 502.374425.69735.672449.456522.754451.832526.081566.732476.289570.827476.93318.365244.848206.449237.952
Totaal vlottende activa 8,500.8149,580.7488,199.5076,972.0356,804.2857,062.3427,013.7927,455.9297,044.3767,936.8936,783.1365,936.5154,481.1883,949.514,108.654
Niet-vlottende activa:
Materiële vaste activa, netto 6,539.3256,587.8057,387.3957,456.1117,832.5017,179.3187,527.6767,498.8137,825.9257,386.0656,534.7915,472.5894,899.5363,425.7993,362.605
Goodwill 0000035.4030111.778117.036203.868399.2093.83000
Immateriële activa 0000093.19797.917101.53113.455127.80296.2520.835000
Goodwill en immateriële activa 292.2940213.574179.472-88.435128.697.917213.308230.491331.67495.45924.665166.229165.292172.193
Langetermijnbeleggingen -185.301-7.90432.528-13.31688.43557.63996.05338.29429.85334.07629.16263.28131.499-10.076-43.013
Belastingvorderingen 97.893117.414163.509161.192113.454108.923100.7387.017175.717109.224142.893116.29125.604161.989159.408
Overige niet-vlottende activa 402.663271.22615.567200.487514.619413.148407.988383.415271.979292.589263.051903.628951.5171,088.9421,138.57
Totaal niet-vlottende activa 6,854.586,968.5417,812.5737,983.9468,460.5747,887.6288,230.3648,220.8478,533.9658,153.6247,465.3566,580.4536,174.3854,831.9464,789.763
Totaal activa 15,355.39416,549.28916,012.0814,955.98115,264.85914,949.9715,244.15615,676.77615,578.34116,090.51714,248.49212,516.96810,655.5738,781.4568,898.417
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,879.0262,095.7431,642.3191,766.7981,663.0031,798.8381,644.3361,609.2511,523.3621,794.611,519.8191,305.9011,227.531,226.1911,112.573
Kortlopende schulden 1,264.8621,712.1642,335.9261,664.4242,017.4071,673.5261,877.3922,219.5623,156.3252,101.591,053.4071,731.7181,643.0081,047.1981,408.39
Belastingschulden 264.823367.259209.367114.7294.913138.936125.7264.25238.30941.97768.87558.11740.32822.48330.642
Uitgestelde opbrengsten 508.169531.1832,126.7751,803.1641,661.773138.9361,172.721889.049883.083708.402793.011728.052828.956502.645556.039
Overige kortlopende verplichtingen 1,257.5261,518.3591,623.027-594.9252.5851,215.0121,535.6891,298.1311,003.887237.676181.477846.257976.382630.644671.163
Totaal kortlopende verplichtingen 5,174.4066,224.7086,371.6865,400.695,489.6815,236.125,183.1435,131.1965,721.8835,637.0164,483.2733,941.9933,887.2482,926.5163,222.768
Langlopende verplichtingen:
Langetermijnschulden 411.925776.8631,100.3341,376.1421,805.5681,247.2741,805.0943,141.0532,030.7072,557.1052,191.6092,466.297731.606460.96404.093
Uitgestelde opbrengsten niet-vlottend 383.3840651.037694.601492.501499.929580.751573.4951,010.3321,061.7271,064.4360000
Uitgestelde belastingverplichtingen niet-vlottend 261.357235.252209.126214.29248.453243.02251.363242.114259.639254.113250.5820000
Overige niet-vlottende verplichtingen 182.924657.79173.812162.829151.961171.594160.344171.657149.927145.883165.3881,078.061,035.268654.547599.527
Totaal niet-vlottende verplichtingen 1,622.9741,669.9052,134.3092,447.8622,698.4832,661.7463,378.3034,701.8144,460.9375,080.5554,736.4513,544.3571,766.8741,115.5071,003.62
Totaal passiva 6,797.387,894.6138,505.9957,848.5528,188.1647,897.8668,561.4469,833.0110,182.8210,717.5719,219.7247,486.355,654.1224,042.0234,226.388
Eigen vermogen:
Preferente aandelen 00000000039.2661.0110000
Gewone aandelen 4,204.9264,204.9264,204.9264,204.9264,204.9264,204.9264,149.9343,565.1683,448.0323,378.9443,337.2333,336.923,336.923,526.923,526.92
Ingehouden winsten 4,016.0772,839.1991,919.5791,534.0331,654.741,699.2921,466.5151,444.3431,155.331,745.9831,041.0371,066.688822.101825.225838.065
Overige gereserveerde algehele resultaten -181.5881,500.1041,273.0221,264.921,114.5141,041.607962.01481.624534.696-39.26-61.0110000
Overige totale aandeelhoudersvermogen 51.819462.779462.192450.304450.289450.2751,021.321250.688212.494107.407613.145364.641888.636353.446256.168
Totaal eigen vermogen van aandeelhouders 8,503.0428,599.4787,452.7767,059.1287,029.4297,001.0746,637.775,741.8235,287.795,271.5944,930.4045,009.4424,966.284,705.5914,621.153
Totaal eigen vermogen 8,558.0148,654.6767,506.0857,107.4297,076.6957,052.1046,682.715,843.7665,395.5215,372.9465,028.7685,030.6185,001.4514,739.4334,672.029
Totaal passiva en aandeelhoudersvermogen 15,355.39416,549.28916,012.0814,955.98115,264.85914,949.9715,244.15615,676.77615,578.34116,090.51714,248.49212,516.96810,655.5738,781.4568,898.417