WUS Printed Circuit Co., Ltd.

TWSE:2316.TW

46.8 (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 1,980.613629.692561.976901.57617.3672,634.5832,312.4424,109.2113,865.4132,033.9061,087.8071,430.611,953.5112,153.9471,372.6751,290.105681.036903.893
Kortetermijnbeleggingen 1,457.8961,895.6931,825.3451,923.5873,647.2652,270.9832,735.5082,337.9084,478.949478.0481,022.447649.06433.243400.142811.6281,105.26865.644738.103
Liquide middelen en kortetermijnbeleggingen 3,438.5092,525.3852,387.3212,825.1574,264.6324,905.5665,047.956,447.1198,344.3622,511.9542,110.2542,079.672,386.7542,554.0892,184.3032,395.373746.681,641.996
Nettovorderingen 978.5721,296.3961,838.8181,409.321,619.3591,667.8991,478.3581,508.9711,532.7142,151.2731,896.2652,212.7682,242.0712,291.8542,004.8373,189.1583,676.2863,234.873
Voorraad 821.7491,033.7181,465.922901.138862.398801.637787.351768.393772.191774.262560.364513.247470.987575.791487.878586.6451,389.0921,382.479
Overige vlottende activa 86.0393.9584.1863.4484.2254.2497.1282.6534.9273.2471.97996.83877.01168.12279.28378.574128.711115.55
Totaal vlottende activa 5,324.8694,859.4575,696.2475,139.0636,750.6147,379.3517,320.7878,727.13610,654.1945,440.7364,568.8624,902.5235,176.8235,489.8564,756.3016,249.755,940.7696,374.898
Niet-vlottende activa:
Materiële vaste activa, netto 2,489.6112,724.0072,473.5032,208.9642,284.092,108.6381,890.9141,640.5761,805.8621,991.4431,985.5341,723.7811,841.9391,669.2761,932.522,345.5063,388.5044,751.108
Goodwill 000000000000000000
Immateriële activa 1.5991.5911.0763.7549.01520.1820000.4130.84216.60817.74542.41928.42426.48535.4551.766
Goodwill en immateriële activa 1.5991.5911.0763.7549.01520.1820000.4130.84216.60817.74542.41928.42426.48535.4551.766
Langetermijnbeleggingen 6,366.4473,471.6653,671.3253,144.149-458.771201.721-412.858-153.815-2,186.6273,513.6833,007.4683,147.2293,145.7612,701.583964.31399.0081,878.569923.688
Belastingvorderingen 131.245160.178137.558151.139141.288170.089125.313135.24364.64423.08405.4613.0140600.128886.0241,143.176121.1840.128
Overige niet-vlottende activa 0.6021,896.0481,825.71,925.7833,647.7342,287.4522,753.0032,353.0584,495.994495.4421,041.271709.795482.5440.943529.616564.186408.312802.757
Totaal niet-vlottende activa 8,989.5048,253.4898,109.1627,433.7895,623.3564,788.0824,356.3723,975.0594,479.8696,424.0616,440.5765,600.4275,487.9895,014.3494,340.8944,478.3615,832.0196,529.447
Totaal activa 14,314.37313,112.94613,805.40912,572.85212,373.9712,167.43311,677.15912,702.19515,134.06311,864.79711,009.43810,502.9510,664.81210,504.2059,097.19510,728.11111,772.78812,904.345
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 345.869508.5831,015.738752.731828.801817.674771.596844.679682.391,330.2481,020.0321,284.5751,523.8881,562.8591,317.931,794.5262,230.1231,909.019
Kortlopende schulden 1,893.1331,290.7761,617.442504.546548.713667.596746.971884.469925.699861.3631,487.2631,232.141,562.9091,878.918901.6551,703.6791,694.4892,517.2
Belastingschulden 101.19626.65364.87241.4240.608074.96374.3318.00422.53641.7856.8546.5026.02109.81320.71115.316
Uitgestelde opbrengsten 126.39131.625706.787709.323520.103473.822531.498836.122518.969634.676493.05388.476380.358459.315309.855500.254612.89881.543
Overige kortlopende verplichtingen 645.186614.30450.222436.14659.34868.92920.38338.20928.37924.32121.12518.17611.40713.6937.2655.8135.02156.28
Totaal kortlopende verplichtingen 3,010.5782,545.2883,390.1892,402.7461,956.9652,028.0212,070.4482,603.4792,155.4372,850.6083,021.472,923.3673,478.5623,914.7822,566.74,054.2694,572.5235,364.042
Langlopende verplichtingen:
Langetermijnschulden 1,547.0721,732.4582,001.5412,009.4712,194.8421,903.9811,671.8671,284.3031,133.5171,552.45850.3731,316.996774.088478.768702.43847.9281,074.67977.48
Uitgestelde opbrengsten niet-vlottend 76.7830169.096250.212251.979321.384334.377313.891329.666393.73388.973265.845233.913241.748219.733000
Uitgestelde belastingverplichtingen niet-vlottend 736.331690.661563.229559.016707.737703.667513.118615.7391,294.921689.099648.209301.683345.282227.83224.19968.87213.01453.419
Overige niet-vlottende verplichtingen 58.638102.3040.8890.9010.9580.9760.9451.0171.030.99112.52716.2883.6563.9960.343191.384251.704387.876
Totaal niet-vlottende verplichtingen 2,418.8242,525.4232,734.7552,819.63,155.5162,930.0082,520.3072,214.952,759.1342,636.271,900.0821,900.8121,356.939952.344946.7051,108.1841,339.3881,418.775
Totaal passiva 5,429.4025,070.7116,124.9445,222.3465,112.4814,958.0294,590.7554,818.4294,914.5715,486.8784,921.5524,824.1794,835.5014,867.1263,513.4055,162.4535,911.9116,782.817
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 1,827.4051,827.4051,827.4051,827.4052,030.452,256.0562,256.0562,810.0463,083.1263,191.2063,191.2063,179.0413,476.1313,808.794,332.2784,572.0284,572.0284,593.788
Ingehouden winsten 4,663.3523,735.5973,400.5963,184.2512,901.8762,813.3162,546.4162,889.3946,007.4472,728.9811,959.253920.537629.449634.855349.866-476.849-38.378497.173
Overige gereserveerde algehele resultaten 2,272.5532,211.4832,217.8352,129.0042,158.6932,005.8942,170.2942,054.058985.742289.865116.2760000000
Overige totale aandeelhoudersvermogen 121.661267.75234.629209.846170.47134.138113.638130.268143.177167.867821.1511,579.1931,723.7311,193.434901.6461,470.4791,327.2271,030.567
Totaal eigen vermogen van aandeelhouders 8,884.9718,042.2357,680.4657,350.5067,261.4897,209.4047,086.4047,883.76610,219.4926,377.9196,087.8865,678.7715,829.3115,637.0795,583.795,565.6585,860.8776,121.528
Totaal eigen vermogen 8,884.9718,042.2357,680.4657,350.5067,261.4897,209.4047,086.4047,883.76610,219.4926,377.9196,087.8865,678.7715,829.3115,637.0795,583.795,565.6585,860.8776,121.528
Totaal passiva en aandeelhoudersvermogen 14,314.37313,112.94613,805.40912,572.85212,373.9712,167.43311,677.15912,702.19515,134.06311,864.79711,009.43810,502.9510,664.81210,504.2059,097.19510,728.11111,772.78812,904.345