China Steel Chemical Corporation

TWSE:1723.TW

95 (TWD) • At close November 14, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,174.6771,556.174621.616994.3211,156.6671,277.256733.721,371.8241,007.6551,097.928509.4361,264.2131,597.844654.675403.5161,076.5341,147.186557.359
Kortetermijnbeleggingen 658.159523.6851,053.2161,079.9011,115.9411,263.522,364.2151,228.506994.9941,800.5882,340.2321,307.7251,006.8191,768.6191,848.0181,387.4741,361.0911,527.862
Liquide middelen en kortetermijnbeleggingen 1,832.8362,079.8591,674.8322,074.2222,272.6082,540.7763,097.9352,600.332,002.6492,898.5162,849.6682,571.9382,604.6632,423.2942,251.5342,464.0082,508.2772,085.221
Nettovorderingen 854.511682.399995.679668.129511.263603.379578.366482.239435.431553.471726.829701.609683.26100000
Voorraad 1,127.4021,020.996977.93970.561842.603615.349554.005464.018413.48446.627375.618373.492440.629240.353207.091168.585125.984193.611
Overige vlottende activa 202.1296.91644.67937.649345.075726.601383.131395.70378.844487.616358.87229.24168.15557.604153.382117.11350.1346.623
Totaal vlottende activa 3,992.3573,845.4233,693.123,750.5613,971.5494,486.1054,613.4373,942.292,930.4044,386.234,310.9873,691.5043,796.7083,463.0993,208.9333,264.6443,269.1262,721.064
Niet-vlottende activa:
Materiële vaste activa, netto 4,562.5554,447.0554,605.8334,822.8245,142.0243,982.3993,200.7542,576.8742,468.2341,431.3991,469.2021,537.1741,586.9911,215.9531,082.5811,026.309658.116575.361
Goodwill 001,096.3611,163.5641,185.02200002,388.90600000000
Immateriële activa 00514.294529.159557.028000025002.2322.5132.395000
Goodwill en immateriële activa 001,610.6551,692.7231,742.052,247.2023,354.3631,915.2021,637.5122,413.90601,849.3852.2322.5132.3951,390.5491,364.4471,531.499
Langetermijnbeleggingen 2,733.5541,721.9761,178.353664.3553.98306.022-585.565414.32837.811374.744-444.033385.264637.218-70.389-330.883-268.724242.178-98.592
Belastingvorderingen 64.68878.70790.00485.12173.03873.04349.73257.49550.29542.64442.62910.41216.39229.91334.90742.1122.14416.894
Overige niet-vlottende activa 31.3041,115.177554.904627.344609.164621.975602.816655.58154.12536.7762,891.4970.0141,549.9242,313.5031,913.05516.40665.39464.461
Totaal niet-vlottende activa 7,392.1017,362.9158,039.7497,892.3128,120.2567,230.6416,622.15,619.4725,047.9774,299.4693,959.2953,782.2493,792.7573,491.4932,702.0552,206.652,352.2792,089.623
Totaal activa 11,384.45811,208.33811,732.86911,642.87312,091.80511,716.74611,235.5379,561.7627,978.3818,685.6998,270.2827,473.7537,589.4656,954.5925,910.9885,471.2945,621.4054,810.687
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 296.271247.446315.164187.219236.543272.346273.323206.604182.652280.622352.58325.594298.755274.478352.378311.116275.403199.426
Kortlopende schulden 481.467580.417930.8921,633.5722,029.5181,912.3972,905.3371,341.276767.951100.441-684.84389.313195.349203.55308.076105.20526.797
Belastingschulden 289.112385.328152.264154.91498.586302.51469.5968.08486.532187.738217.376145.343239.541224.821105.775167.675242.939178.747
Uitgestelde opbrengsten 44.966121.269997.481927.719983.427302.514899.682968.112385.154543.774539.624420.462534.285479.6850708.587647.097550.377
Overige kortlopende verplichtingen 404.257424.223802.308767.555877.527907.053930.244945.981345.313386.047-187.683313.872353.846372.834245.21303.041218.963226.491
Totaal kortlopende verplichtingen 1,516.0731,758.6832,250.1692,755.3483,255.0463,533.9444,178.4942,561.9451,382.448954.848994.054874.1221,087.4911,075.686703.363789.908842.51631.461
Langlopende verplichtingen:
Langetermijnschulden 1,537.1661,270.3771,706.2841,918.8291,297.905650000000000000
Uitgestelde opbrengsten niet-vlottend 00149.971151.868168.67168.601000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.64305.0581.5457.9366.25613.6734.4255.2481.6630.680000000
Overige niet-vlottende verplichtingen 115.106103.7263.484.8573.532.403170.18164.732150.915133.056128.18572.256104.521100.4755.93667.75668.41157.237
Totaal niet-vlottende verplichtingen 1,653.9151,374.1031,864.7932,077.0991,478.041827.26183.853169.157156.163134.719128.86572.256104.521100.4755.93667.75668.41157.237
Totaal passiva 3,169.9883,132.7864,114.9624,832.4474,733.0874,361.2044,362.3472,731.1021,538.6111,089.5671,122.919946.3781,192.0121,176.156759.299857.664910.921688.698
Eigen vermogen:
Preferente aandelen 3,141.31500000000000000000
Gewone aandelen 2,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,369.0442,234.4432,110.083
Ingehouden winsten 1,910.8651,845.7071,178.254787.721,348.7671,471.1191,164.6461,069.0831,248.1324,406.2142,223.8882,048.2762,336.5191,986.8711,327.9192,417.3252,280.3571,907.264
Overige gereserveerde algehele resultaten -18.0412,994.5973,037.722,625.4062,546.222,442.032,357.6542,454.6572,307.09317.045158.8150000000
Overige totale aandeelhoudersvermogen 3,952.602785.166766.151751.999728.214703.01630.193607.321515.504-2,347.7262,234.3572,023.0841,630.111-152.2221,454.726-174.321193.501102.351
Totaal eigen vermogen van aandeelhouders 8,214.477,994.5147,351.1696,534.1696,992.2456,985.2036,521.5376,500.1056,439.777,445.2926,986.1046,377.1676,250.2325,778.4365,151.6894,612.0484,708.3014,119.698
Totaal eigen vermogen 8,214.478,075.5527,617.9076,810.4267,358.7187,355.5426,873.196,830.666,439.777,596.1327,147.3636,527.3756,397.4535,778.4365,151.6894,613.634,710.4844,121.989
Totaal passiva en aandeelhoudersvermogen 11,384.45811,208.33811,732.86911,642.87312,091.80511,716.74611,235.5379,561.7627,978.3818,685.6998,270.2827,473.7537,589.4656,954.5925,910.9885,471.2945,621.4054,810.687