Lite-On Technology Corporation

TWSE:2301.TW

102.5 (TWD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 92,742.03391,065.52968,275.83571,508.03667,639.05663,285.30157,783.8665,208.49165,501.80766,483.35665,931.16960,590.07756,515.38350,441.32251,057.52942,987.45239,911.94948,756.254
Kortetermijnbeleggingen 598.9552,799.938779.1971,384.34493.627355.8771,013.46975.416747.64691.281162.3212,334.881,686.9632,322.8622,593.7162,555.8653,249.9162,220.971
Liquide middelen en kortetermijnbeleggingen 93,340.98893,865.46769,055.03272,892.37668,132.68363,641.17858,797.3266,183.90766,249.45366,574.63766,093.4962,924.95758,202.34652,764.18453,651.24545,543.31743,161.86550,977.225
Nettovorderingen 34,363.47340,802.52543,191.62840,862.24753,103.37160,212.39954,581.31362,363.48851,747.36253,071.32452,096.2449,204.85750,529.32245,236.33342,349.27336,816.25753,155.95348,981.815
Voorraad 25,807.53227,747.46532,299.34324,668.66323,647.44331,493.06628,312.57226,756.90928,826.43629,513.79127,203.53320,638.64427,697.67826,366.93619,275.36619,061.65229,133.09325,576.626
Overige vlottende activa 2,106.4482,537.7572,564.8882,160.5191,969.1832,638.2753,372.1022,619.7353,744.8244,561.1445,037.428340.17355.282289.045619.817611.628563.146202.84
Totaal vlottende activa 155,618.441164,953.214147,110.891140,583.805146,852.68157,984.918145,063.307157,924.039150,568.075153,720.896150,430.691133,108.628136,784.628124,656.498115,895.701102,032.854126,014.057125,738.506
Niet-vlottende activa:
Materiële vaste activa, netto 20,287.54120,727.67220,607.23719,778.5720,773.85220,484.99222,490.41127,826.21433,389.43936,107.21637,001.38237,679.02340,121.53338,531.69936,372.47938,367.92638,909.71524,958.898
Goodwill 2,613.8213,425.1333,425.1334,605.8765,639.015,630.5719,376.01414,549.32614,994.13614,953.18714,261.66614,267.41414,261.73114,722.63814,783.2614,401.33914,301.7723,663.192
Immateriële activa 223.704267.388250.543234.82308.809283.513452.644660.408944.0961,345.7761,454.5961,828.5442,146.3682,360.4652,450.2512,529.2572,796.6692,864.789
Goodwill en immateriële activa 2,837.5253,692.5213,675.6764,840.6965,947.8195,914.0849,828.65815,209.73415,938.23216,298.96315,716.26216,095.95816,408.09917,083.10317,233.51116,930.59617,098.4416,527.981
Langetermijnbeleggingen 6,376.7613,002.025,462.2313,344.266,212.3095,511.9283,754.7054,178.2864,018.6835,291.3945,527.1943,387.436,249.3147,062.7356,687.9735,247.3563,911.7224,357.541
Belastingvorderingen 2,624.9072,804.5274,244.2764,456.9274,577.7574,333.2023,614.923,041.6663,164.7983,107.6722,207.2040004,551.5245,278.397,223.8273,730.379
Overige niet-vlottende activa 1,227.0854,601.7832,443.1083,062.9792,268.0862,906.9455,243.7562,676.8492,574.6362,009.8941,478.7534,927.1274,497.4125,157.9592,130.5521,977.94823.375340.018
Totaal niet-vlottende activa 33,353.81934,828.52336,432.52835,483.43239,779.82339,151.15144,932.4552,932.74959,085.78862,815.13961,930.79562,089.53867,276.35867,835.49666,976.03967,802.20867,967.0839,914.817
Totaal activa 188,972.26199,781.737183,543.419176,067.237186,632.503197,136.069189,995.757210,856.788209,653.863216,536.035212,361.486195,198.166204,060.986192,491.994182,871.74169,835.062193,981.137165,653.323
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 40,918.15844,899.18246,697.75742,916.65445,034.92353,091.03556,956.54365,143.77559,081.58162,874.52560,876.4552,127.53461,289.27256,221.37652,744.44143,914.12762,529.50453,458.407
Kortlopende schulden 22,851.71832,988.26428,785.96425,130.40430,753.36830,107.1730,212.39122,297.31122,741.09131,393.0524,708.67211,661.5716,409.5297,341.7325,121.3939,049.68616,549.49712,843.417
Belastingschulden 7,018.5465,609.8877,263.0276,115.175,693.9894,986.0793,221.313,186.8672,475.5352,272.0362,102.9712,042.4442,165.5812,433.6292,221.1692,344.9662,131.1612,381.335
Uitgestelde opbrengsten 69.80779.7820.09813.05904,986.0793,221.313,186.8672,475.5352,272.0362,102.97114,370.29315,657.35616,119.01214,090.77312,766.67512,863.82510,345.901
Overige kortlopende verplichtingen 34,161.7433,813.88132,431.30631,539.21933,609.55232,427.79724,206.46325,693.16525,532.48223,749.01523,668.895,581.6776,549.9627,124.8976,955.3847,349.7844,934.8064,883.548
Totaal kortlopende verplichtingen 98,001.423111,781.109107,915.12599,599.336109,397.843120,612.081114,596.707116,321.118109,830.689120,288.626111,356.98383,741.07589,906.11986,807.01778,911.99173,080.27296,877.63281,531.273
Langlopende verplichtingen:
Langetermijnschulden 3,0003,691.734743.516551.233648.3410.3511.94212,042.81616,361.15113,564.1618,681.44419,956.63423,294.96416,062.70420,612.64320,615.63316,790.5862,367.306
Uitgestelde opbrengsten niet-vlottend 941.26300068.123160.997224.025189.104155.854210.595282.64749.13884.14384.265345.663427.454270.483296.943
Uitgestelde belastingverplichtingen niet-vlottend 1,828.4082,212.8121,878.6631,682.5631,789.1171,605.3491,324.7922,932.1213,531.5643,229.7922,721.656843.248747.6221,275.678773.575410.3031,284.0751,272.38
Overige niet-vlottende verplichtingen 133.754108.955132.58892.59187.68978.8980.86291.19391.01280.87181.60889.068949.7761,041.752476.142725.93355.27172.68
Totaal niet-vlottende verplichtingen 5,903.4256,013.5012,754.7672,326.3872,593.271,845.5871,631.62115,255.23420,139.58117,085.41821,767.34821,638.08825,076.50518,464.39922,208.02322,179.3218,700.4144,109.309
Totaal passiva 103,904.848117,794.61110,669.892101,925.723111,991.113122,457.668116,228.328131,576.352129,970.27137,374.044133,124.331105,379.163114,982.624105,271.416101,120.01495,259.592115,578.04685,640.582
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 23,531.323,630.8323,508.6723,508.6723,508.6723,508.6723,508.6723,508.6723,349.28323,416.73723,276.25722,959.99423,099.80122,847.9422,621.1822,311.17421,802.16329,081.192
Ingehouden winsten 33,809.69621,736.11815,199.95517,026.02616,885.81315,789.14710,093.75316,252.20613,011.07320,955.60512,172.08213,253.89911,729.93811,985.00714,358.34810,497.30813,533.1513,150.059
Overige gereserveerde algehele resultaten 25,548.67724,835.90122,959.04720,174.85718,979.39418,991.38218,043.96517,383.83,195.18814,627.5212,584.7110000000
Overige totale aandeelhoudersvermogen 1,490.92311,153.15610,673.39612,880.12213,085.89813,034.55718,865.0918,786.85936,432.96715,970.86525,003.25433,566.13334,097.48333,513.61627,263.53424,981.92726,257.47820,719.705
Totaal eigen vermogen van aandeelhouders 84,380.59681,356.00572,341.06873,589.67572,459.77571,323.75670,511.47875,931.53575,988.51174,970.72773,036.30469,780.02668,927.22268,346.56364,243.06257,790.40961,592.79162,950.956
Totaal eigen vermogen 85,067.41281,987.12772,873.52774,141.51474,641.3974,678.40173,767.42979,280.43679,683.59379,161.99179,237.15589,819.00389,078.36287,220.57881,751.72674,575.4778,403.09180,012.741
Totaal passiva en aandeelhoudersvermogen 188,972.26199,781.737183,543.419176,067.237186,632.503197,136.069189,995.757210,856.788209,653.863216,536.035212,361.486195,198.166204,060.986192,491.994182,871.74169,835.062193,981.137165,653.323