CMC Magnetics Corporation

TWSE:2323.TW

11.8 (TWD) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 1,750.238-936.472278.374229.55169.593506.03-982.074-2,069.456-2,707.079-1,637.87-3,436.472-830.355-1,952.307-5,933.023-3,202.244-6,236.448-1,985.807223.621
Afschrijvingen & Amortisatie 500.918665.509775.243892.9281,227.7761,455.8211,833.5872,450.7493,419.5313,989.1634,358.3315,202.2135,882.7796,997.3018,242.3178,495.0778,881.7567,503.305
Uitgestelde Inkomstenbelasting 00043.0831,188.18-1,243.258-381.706722.118833.772-242.279688.638-27.54630.4900000
Aandelen Gebaseerde Vergoedingen 000-0.9035.0519.26611.3865.4530.5841.6393.955.172156.50200000
Verandering in Werkkapitaal 927.47-929.892-1,640.021-598.113-1,790.426-511.032-276.728-269.779-270.006383.152-421.03-716.138-323.9961,754.845984.4831,539.29773.7822,653.204
Vorderingen 80.04358.78729.785498.309397.704275.493-127.884-15.826799.488-86.652228.009964.756000000
Voorraden 642.631-24.781-533.915289.206-11.6544.891482.133458.245-159.757588.87713.718-255.574838.097485.251,554.627-883.756-865.189762.16
Crediteuren 187.405-336.056160.162-148.702-595.695-48.507161.494-223.176-758.862000000000
Overig Werkkapitaal 17.394-927.842-1,296.053-1,236.926-1,580.781-515.923-758.861-728.024-110.249-205.725-434.748-460.564-1,162.0931,269.595-570.1442,423.0461,638.9711,891.044
Overige Niet-Contante Posten -943.36758.507-323.034-333.135-1,792.65556.35787.45135.102162.646191.176232.38189.678-168.2261,205.361677.3391,660.6711,031.086647.214
Kasstroom uit Operationele Activiteiten 2,235.266-442.348-909.438233.41-992.481273.184291.915974.1871,439.4482,684.9811,425.7983,723.0243,625.2424,024.4846,701.8955,458.598,700.81711,027.344
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -161.603-175.235-197.239-220.554-257.055-266.497-243.416-307.448-320.085-256.1-353.133-834.787-1,333.598-2,090.17-1,650.35-4,347.626-5,153.74-3,646.112
Netto Overnames 34.269-60-245.875463.98994.1937.754-1.615-0.779-116.362-47.449-35.726-242.604473.717-415.005-1,653.867-664.282-625.723-779.069
Aankoop van Beleggingen -395.854-152.408-187.16-77.445-1,501.47168.543-53.429-77.08226.577-629.8281,822.653-9.75-16.921-73.042-11.606-1,255.76-37.679-1,102.889
Verkoop/verval van Beleggingen 224.21161.1896.21215.021163.8649.1361,034.783243.024176.158129.806155.812167.912476.6621,015.576482.476227.2981,189.122,095.923
Overige Investeringsactiviteiten -10.036-3.525749.934403.762116.8654,096.255594.006-31.69527.849-23.99-58.619241.70481.306324.376661.949537.535759.87761.529
Kasstroom uit Investeringsactiviteiten -298.978-229.979125.872584.773-1,383.6043,915.1911,330.329-173.975294.137-827.5611,530.987-677.525-318.834-1,238.265-2,171.398-5,502.835-3,868.152-2,670.618
Financieringsactiviteiten:
Schuldaflossingen -165-2,340-2,930-898.443-2,751.94-1,769.821-4,979.68-2,517.959-3,610.548-3,247.346-6,185.579-5,568.735-5,421.492-8,704.746-15,920.251-9,980.09-6,040.624-19,190.235
Uitgifte van Gewone Aandelen 000080.2662,025.015000000262.8710100.873-0.587195.6110
Terugkoop van Gewone Aandelen 0-695.32900-80.266-535.015-200.98-510.524-455.092-615.179-53.325-333.962-6.08100-780.202-550.834-1,283.823
Uitgekeerde Dividenden 0-115.888-811.217-231.776-34.829-45.3220-104.0860000000000
Overige Financieringsactiviteiten -84.4233,670.8523,622.948737.6311,732.75-589.0883,094.3121,565.9672,023.1892,540.933,051.5233,103.3343,479.5946,411.8749,116.83919,511.0789,068.34310,113.427
Kasstroom uit Financieringsactiviteiten -249.423519.635-118.269-392.588-1,054.019-914.231-2,086.348-1,462.516-2,042.451-1,321.595-3,187.381-2,799.363-3,472.526-2,292.872-6,702.539-732.085-1,737.217-10,360.631
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 36.671302.702-182.326-54.90861.89649.467-34.501-35.95333.555163.73291.212-93.033114.72-285.825-218.994489.698-1,101.93268.684
Netto Kasstroomverandering 179.63150.01-1,084.161370.687-3,368.2083,323.611-498.605-698.257-275.311699.557-139.384153.103-60.732207.522-2,432.422-286.6322,183.588-1,935.221
Kaspositie aan het Einde van de Periode 2,943.2932,763.6632,613.6533,697.8143,331.1046,699.3123,375.7013,874.3064,572.5634,847.8744,148.3174,287.7014,134.5984,195.333,987.8086,420.236,706.8624,523.274