Run Long Construction Co.,Ltd.

TWSE:1808.TW

134 (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 4,199.1622,252.572,178.3822,109.6432,097.783,819.0041,394.4351,158.297490.8661,754.146557.898942.058939.127676.756105.652102.063140.914157.02
Kortetermijnbeleggingen 643.7172,493.5564,208.8773,402.6812,182.071,748.1932,190.5871,687.8661,669.4731,387.4251,755.868454.778425.302251.42934.979000
Liquide middelen en kortetermijnbeleggingen 4,842.8794,746.1266,387.2595,512.3244,279.855,567.1973,585.0222,846.1632,160.3393,141.5712,313.7661,396.8361,364.429928.185140.631102.063140.914157.02
Nettovorderingen 756.8193,540.2311,846.9652,486.1171,208.948633.6772,072.391766.563822.461,194.072914.0931,850.684646.965273.827305.603219.291242.0131,458.285
Voorraad 25,079.56235,583.33327,246.89924,822.55118,877.53213,189.21217,158.27212,369.92111,088.8159,547.2179,943.1295,390.4295,160.401618.7991,150.4112,027.6151,162.7313,759.126
Overige vlottende activa 8,392.52360.69748.77156.616107.35126.8257.80511.23348.0657.10814.41439.20911.9038.97313.58442.81136.229163.14
Totaal vlottende activa 39,071.78343,930.38735,529.89432,877.60824,473.68119,416.91122,823.4915,993.8814,119.67913,889.96813,185.4028,677.1587,183.6981,829.7841,610.2292,391.781,581.8875,537.571
Niet-vlottende activa:
Materiële vaste activa, netto 309.103333.483366.607256.0331,608.2341,970.1222,003.8532,022.382,011.109613.432615.39621.32633.045651.111702.383717.116717.184759.799
Goodwill 000000-6.42400000000000
Immateriële activa 16.93416.21814.3815.05110.0468.7388.5582.1612.0921.0990.4435.87211.55317.3270.00324.59349.26373.704
Goodwill en immateriële activa 16.93416.21814.3815.05110.0468.7382.1342.1612.0921.0990.4435.87211.55317.3270.00324.59349.26373.704
Langetermijnbeleggingen 2,147.0341,073.819-1,613.581-496.796156.829-1,017.25-1,407.848-1,025.614-1,157.982-877.588-1,746.847-212.257-43.595-241.837-15.446000
Belastingvorderingen 14.4618.6038.6393.5550.8581.56-2.134-2.1611.80517-0.44300253.42635.631000
Overige niet-vlottende activa 979.4453,452.2615,019.0724,142.5392,869.7312,024.5992,192.7211,690.0271,670.0381,387.4251,756.311457.612427.47510.11412.56151.24563.2972.169
Totaal niet-vlottende activa 3,466.9774,884.3843,795.1173,920.3824,645.6982,987.7692,788.7262,686.7932,527.0621,141.368624.854872.5471,028.478690.141735.132792.954829.737905.672
Totaal activa 42,538.7648,814.77139,325.01136,797.9929,119.37922,404.6825,612.21618,680.67316,646.74115,031.33613,810.2569,549.7058,212.1762,519.9252,345.3613,184.7342,411.6246,443.243
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,957.8732,279.8552,486.5392,178.9751,637.5481,139.1031,051.952946.374572.088732.961569.829218.412206.94642.263010.3545.57715.833
Kortlopende schulden 16,653.72323,530.08517,359.55617,202.5559,072.787,927.19210,699.696,137.8876,435.7344,385.0766,361.5614,633.3842,852.84200.11322.293496.405266.7452,474.253
Belastingschulden 1,419.78420.247332.88398.98321.125317.2270110.5060026.6380000000
Uitgestelde opbrengsten 2,536.1095,654.4564,396.0753,827.4272,098.653317.2272,398.4621,660.581,876.8792,439.8492,256.0711,408.121,017.457314.8370191.091563.3112,611.844
Overige kortlopende verplichtingen 2,567.6851,103.75125.636318.46692.176727.169177.99250.67241.89917.9987.4610.0991.3977.228191.761834.5744.12100.775
Totaal kortlopende verplichtingen 24,715.3932,568.14624,367.80623,527.42312,901.15710,110.69114,328.0968,795.5138,926.67,575.8849,194.9216,270.0154,078.64564.438514.0541,532.424839.7535,202.705
Langlopende verplichtingen:
Langetermijnschulden 4,264.44410,220.4548,279.358,196.78710,700.454,924.3666,573.024,607.82,5003,417.8071,396.062428.5011,446.4450161.395217.789262.70422.376
Uitgestelde opbrengsten niet-vlottend 010,148.4148,180.3378,195.97310,699.68-59.347-59.347-59.347-59.347-59.34700000000
Uitgestelde belastingverplichtingen niet-vlottend 2.8442.8442.8442.8442.84459.34759.34759.34759.34759.34759.3470000000
Overige niet-vlottende verplichtingen 45.459-10,148.414-8,180.337-8,195.973-10,699.6859.34759.34759.34759.34759.3470.1559.34761.31459.34762.07162.41663.44163.354
Totaal niet-vlottende verplichtingen 4,312.74710,223.2988,282.1948,199.63110,703.2944,983.7136,632.3674,667.1472,559.3473,477.1541,455.559487.8481,507.75959.347223.466280.205326.14585.73
Totaal passiva 29,028.13742,791.44432,65031,727.05423,604.45115,094.40420,960.46313,462.6611,485.94711,053.03810,650.486,757.8635,586.399623.785737.521,812.6291,165.8985,288.435
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 4,510.2614,510.2613,921.9663,699.9663,083.3053,083.3052,434.0442,376.6632,330.3231,850.0891,765.971,446.3431,364.8441,358.5921,132.16976812.25649.8
Ingehouden winsten 7,706.6991,359.8912,575.9431,052.1131,551.2722,868.8261,155.5511,514.71,328.9221,173.203560.255715.507842.071314.263362.182282.606319.977391.509
Overige gereserveerde algehele resultaten 1,281.6421,204.8031,062.7711,045.7631,219.9231,481.5961,039.4011,190.921,266.4840-00000000
Overige totale aandeelhoudersvermogen 12.021-1,051.628-885.669-726.906-339.572-123.45122.757135.73235.065955.006833.551629.992418.862223.285113.499113.499113.499113.499
Totaal eigen vermogen van aandeelhouders 13,510.6236,023.3276,675.0115,070.9365,514.9287,310.2764,651.7535,218.0135,160.7943,978.2983,159.7762,791.8422,625.7771,896.141,607.8411,372.1051,245.7261,154.808
Totaal eigen vermogen 13,510.6236,023.3276,675.0115,070.9365,514.9287,310.2764,651.7535,218.0135,160.7943,978.2983,159.7762,791.8422,625.7771,896.141,607.8411,372.1051,245.7261,154.808
Totaal passiva en aandeelhoudersvermogen 42,538.7648,814.77139,325.01136,797.9929,119.37922,404.6825,612.21618,680.67316,646.74115,031.33613,810.2569,549.7058,212.1762,519.9252,345.3613,184.7342,411.6246,443.243