Chun Yuan Steel Industry Co., Ltd.

TWSE:2010.TW

17.6 (TWD) • At close September 20, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 460.5391,038.269656.017503.059503.414602.096663.976674.331479.094890.269664.4941,016.0881,092.377575.924528.8111,189.497914.541704.875
Kortetermijnbeleggingen 325.764264.072689.084722.889569.563688.576849.342843.251,302.022594.881349.09396.23848.19255.51898.13634.81650.30349.622
Liquide middelen en kortetermijnbeleggingen 786.3031,302.3411,345.1011,225.9481,072.9771,290.6721,513.3181,517.5811,781.1161,485.151,013.5871,112.3261,140.569631.442626.9471,224.313964.844754.497
Nettovorderingen 8,329.5678,381.7819,390.6617,185.2556,703.9996,877.366,401.6495,531.2215,604.3785,483.1845,174.1234,783.0165,935.6595,429.2625,167.6825,049.0236,032.7555,677.917
Voorraad 3,717.9944,350.8225,677.7253,415.1813,141.5713,341.8463,075.4512,338.3472,243.6854,326.7925,215.0295,497.228,202.4287,204.54,638.5088,791.226,731.9926,486.69
Overige vlottende activa 18.26422.89935.95222.8317.34224.45214.321.09713.15320.69320.03353.1824.27826.11149.347304.5964.59877.447
Totaal vlottende activa 12,852.12814,057.84316,449.43911,849.21410,935.88911,534.3311,004.7189,408.2469,642.33211,315.81911,422.77211,445.74215,302.93413,291.31510,482.48415,369.14613,794.18912,996.551
Niet-vlottende activa:
Materiële vaste activa, netto 5,837.1235,440.5525,419.195,268.3475,128.6725,019.6444,772.674,869.3655,102.4685,169.5545,268.1394,579.9674,529.2564,497.7824,731.0265,041.2915,155.3485,237.774
Goodwill 0000000000346.0397.0736.256.3376.7486.28500
Immateriële activa 3.673.7023.6763.6893.6613.7263.7663.7863.9375.1113.05493.0372.41768.63876.45881.74878.49778.905
Goodwill en immateriële activa 3.673.7023.6763.6893.6613.7263.7663.7863.9375.111349.093100.10378.66774.97583.20688.03378.49778.905
Langetermijnbeleggingen 1,118821.302364.219164.349331.065232.945280.111298.493-204.699532.826798.131961.437821.904835.405840.693525.842558.943558.315
Belastingvorderingen 107.661153.092165.286186.829176.328182.639181.286286.647343.051369.672372.159285.567260.12184.352252.759204.9554.24269.908
Overige niet-vlottende activa 384.75317.893741.813799.045630.084815.6871,076.2741,020.3231,501.912844.492204.578447.33434.859442.483500.782518.085652.879572.516
Totaal niet-vlottende activa 7,451.2046,736.5416,694.1846,422.2596,269.816,254.6416,314.1076,478.6146,746.6696,921.6556,992.16,374.4046,124.8066,034.9976,408.4666,378.2016,499.9096,517.418
Totaal activa 20,303.33220,794.38423,143.62318,271.47317,205.69917,788.97117,318.82515,886.8616,389.00118,237.47418,414.87217,820.14621,427.7419,326.31216,890.9521,747.34720,294.09819,513.969
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 855.351959.6231,050.9681,045.834767.991739.588748.926658.158791.807584.077821.011804.3511,438.951,476.1161,395.711,137.5691,222.2181,093.248
Kortlopende schulden 4,644.3326,014.6537,759.5364,328.0134,019.4984,441.5233,607.7591,485.281,700.023,495.5743,630.7283,663.2996,661.2844,737.1892,450.8127,539.2856,783.0876,159.723
Belastingschulden 60.65934.22201.266112.727.01153.79318.625121.441101.3967.63158.37769.747117.99493.37160.009304.13628.935136.314
Uitgestelde opbrengsten 1,336.375397.3891,414.421910.455820.22453.793834.844940.458973.539689.151629.733486.119543.825537.04396.6141,248.234962.1241,163.784
Overige kortlopende verplichtingen 14.353592.81611.05813.2169.204670.06312.49210.75410.104680.606227.264121.647186.179463.214574.0749.4578.1398.657
Totaal kortlopende verplichtingen 6,850.4117,964.48110,235.9836,297.5185,616.9175,904.9675,204.0213,094.653,475.475,449.4085,308.7365,075.4168,830.2387,213.5594,817.219,934.5458,975.5688,425.412
Langlopende verplichtingen:
Langetermijnschulden 536.275407.235101.93818.3537.286000000000298.756299.6980264.54
Uitgestelde opbrengsten niet-vlottend 00119.605126.017130.8780000000000000
Uitgestelde belastingverplichtingen niet-vlottend 830.718812.141809.342810.01809.268809.078811.919810.619809.057809.267809.1160000000
Overige niet-vlottende verplichtingen 25.2136.26726.70724.46524175.034187.134732.462834.926941.629970.4831,641.6041,582.181,539.0751,623.6571,617.8581,628.7021,622.31
Totaal niet-vlottende verplichtingen 1,392.2031,255.6431,057.592978.845971.432984.112999.0531,543.0811,643.9831,750.8961,779.5991,641.6041,582.181,539.0751,922.4131,917.5561,628.7021,886.85
Totaal passiva 8,242.6149,220.12411,293.5757,276.3636,588.3496,889.0796,203.0744,637.7315,119.4537,200.3047,088.3356,717.0210,412.4188,752.6346,739.62311,852.10110,604.2710,312.262
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 6,476.5546,476.5546,476.5546,476.5546,476.5546,476.5546,476.5546,476.5546,476.5546,476.5546,476.5546,476.5546,349.5635,934.1715,934.1715,761.3315,539.7415,153.248
Ingehouden winsten 2,087.5071,671.7682,020.4081,230.877936.3441,066.781,045.1341,197.188926.5373,401.4161,058.041962.7691,138.7491,416.219926.9931,926.1561,961.9052,101.284
Overige gereserveerde algehele resultaten 2,963.5532,898.9562,677.4442,580.7432,506.352,628.6922,848.2132,836.7013,030.853326.788261.1640000000
Overige totale aandeelhoudersvermogen 164.48164.48149.686149.686149.686149.686149.686149.686149.686159.8482,835.9763,000.0513,017.9022,586.7862,788.3751,787.6591,584.0521,375.427
Totaal eigen vermogen van aandeelhouders 11,692.09411,211.75811,324.09210,437.8610,068.93410,321.71210,519.58710,660.12910,583.6310,364.60610,631.73510,439.37410,506.2149,937.1769,649.5399,475.1469,085.6988,629.959
Totaal eigen vermogen 12,060.71811,574.2611,850.04810,995.1110,617.3510,899.89211,115.75111,249.12911,269.54811,037.1711,326.53711,103.12611,015.32210,573.67810,151.3279,895.2469,689.8289,201.707
Totaal passiva en aandeelhoudersvermogen 20,303.33220,794.38423,143.62318,271.47317,205.69917,788.97117,318.82515,886.8616,389.00118,237.47418,414.87217,820.14621,427.7419,326.31216,890.9521,747.34720,294.09819,513.969