Compal Electronics, Inc.

TWSE:2324.TW

33.75 (TWD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 72,479.4879,665.30275,162.10389,126.92366,559.39770,296.54570,062.71372,950.59662,751.54274,708.1346,965.85244,154.58252,348.30263,574.57746,961.49846,229.47262,599.46159,317.91643,747.458
Kortetermijnbeleggingen 52.0620.187400.7542,245.2541,346.3794,961.134437.185485.071405.15578.6311,909.047964.018757.203911.351711.418356.186357.458985.7450
Liquide middelen en kortetermijnbeleggingen 72,531.54279,665.48975,562.85791,372.17767,905.77675,257.67970,499.89873,435.66763,156.69275,286.76148,874.89945,118.653,105.50564,485.92847,672.91646,585.65862,956.91960,303.66143,747.458
Nettovorderingen 196,087.596193,590.132292,611.544233,838.555193,742.838205,439.32178,374.733176,471.892165,707.508179,683.571185,526.516159,545.757134,616.681175,184.018170,968.8275,821.23680,449.24273,121.0747,652.529
Voorraad 95,102.692111,593.984115,012.36596,151.95978,433.53879,148.92269,512.71248,105.12546,520.02167,270.87551,219.12751,707.46846,912.68345,503.8672,253.84232,218.73830,772.36326,799.00221,987.428
Overige vlottende activa 5,202.4675,856.8983,928.6243,097.9443,072.6612,899.3293,395.3112,456.3232,399.2552,604.0421,760.2781,480.3421,428.3951,533.521,274.4011,684.3763,423.7621,871.6131,943.127
Totaal vlottende activa 368,924.297390,706.503487,115.39424,460.635343,154.813362,745.25321,782.654300,469.007277,783.476324,845.249287,380.82257,852.167236,063.264286,707.326292,169.979156,310.008177,602.286162,095.346115,330.542
Niet-vlottende activa:
Materiële vaste activa, netto 42,834.49342,513.52730,056.58225,582.29223,322.51920,418.22818,179.36720,952.67724,308.63124,472.73221,209.22821,386.51216,951.18314,979.47314,243.09818,164.33313,797.16313,713.44913,636.066
Goodwill 00000000000561.587561.587561.587561.58700615.696101.576
Immateriële activa 1,462.1621,722.1651,548.5081,506.1011,553.3421,516.2531,284.661,291.2811,194.1931,035.1621,293.643982.038971.2421,191.9931,065.2741,566.4761,130.86500
Goodwill en immateriële activa 1,462.1621,722.1651,548.5081,506.1011,553.3421,516.2531,284.661,291.2811,194.1931,035.1621,293.6431,543.6251,532.8291,753.581,626.8611,566.4761,130.865615.696101.576
Langetermijnbeleggingen 17,781.87114,032.19914,463.39910,723.2911,016.1197,645.03619,421.08621,569.5821,599.8625,001.43522,095.05527,080.18823,151.14628,500.74226,247.54718,700.93820,154.39121,703.0840
Belastingvorderingen 3,615.9122,393.7781,646.5241,514.2081,637.6261,023.9481,351.3711,262.9861,377.4651,653.1411,174.203964.018757.203911.351711.418356.186357.4581,388.7180
Overige niet-vlottende activa 2,152.2392,116.2612,264.9373,139.1721,9646,446.1081,337.2831,470.581,661.951,742.9992,949.865457.002390.674371.127291.14318.024332.397259.83524,546.277
Totaal niet-vlottende activa 67,846.67762,777.9349,979.9542,465.06339,493.60637,049.57341,573.76746,547.10450,142.09953,905.46948,721.99451,431.34542,783.03546,516.27343,120.06439,105.95735,772.27437,680.78238,283.919
Totaal activa 436,770.974453,484.433537,095.34466,925.698382,648.419399,794.823363,356.421347,016.111327,925.575378,750.718336,102.814309,283.512278,846.299333,223.599335,290.043195,415.965213,374.56199,776.128153,614.461
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 158,995.984161,838.098224,066.363199,726.063144,445.777154,276.713142,017.824129,481.943128,626.544171,906.285145,459.401139,053.667132,772.089152,109.225175,638.24877,716.1494,260.7489,693.21552,015.066
Kortlopende schulden 72,361.06496,108.781135,115.751102,148.50979,858.2489,885.82262,716.1551,447.65243,697.79350,326.60652,394.92136,581.17614,989.37739,069.85225,761.9875,936.98111,529.92522,125.9496,872.937
Belastingschulden 7,594.6947,202.0337,013.9765,378.6514,428.7163,722.1914,362.3953,795.9254,196.9782,180.9851,006.0581,064.2611,192.9423,597.5572,524.7372,957.3963,169.5312,609.3032,409.81
Uitgestelde opbrengsten 767.327784.23838,986.72230,605.20928,143.3993,722.19124,150.5225,402.9326,503.66524,797.94520,183.2892,904.3784,303.9627,770.77218,016.05912,617.6428,789.2699,189.8037,214.626
Overige kortlopende verplichtingen 45,127.68743,653.7944,073.2593,044.9353,372.61726,323.1723,071.2382,899.6743,929.0733,233.4312,559.6514,370.40712,462.12512,817.5828,342.7472,313.8212,043.765887.862791.074
Totaal kortlopende verplichtingen 277,252.062302,384.911402,242.095335,524.716255,820.033274,207.898231,955.732209,232.199202,757.075250,264.267220,597.261192,909.628164,527.553211,767.431227,759.04198,584.584116,623.699121,896.82966,893.703
Langlopende verplichtingen:
Langetermijnschulden 15,285.5921,207.53110,898.53613,292.55810,075.62210,998.43821,252.26323,954.68814,356.56320,504.30114,107.367550.60425107112.59,958.7099,743.751016,820.036
Uitgestelde opbrengsten niet-vlottend 8,329.4510822.033786.173738.164710.146705.81631.821545.46674.794658.4100000000
Uitgestelde belastingverplichtingen niet-vlottend 1,985.3241,247.3421,226.805992.471,009.218478.169614.437746.962481.4971,136.411678.587000883.576855.1611,062.38500
Overige niet-vlottende verplichtingen 1,145.6941,234.806366.068340.131246.038238.324180.207166.626186.864163.79398.917454.733196.146214.735000477.80598.182
Totaal niet-vlottende verplichtingen 26,746.05923,689.67913,313.44215,411.33212,069.04212,425.07722,752.71725,500.09715,570.38422,479.29915,543.2811,005.337221.146321.735996.07610,813.8710,806.136477.80516,918.218
Totaal passiva 303,998.121326,074.59415,555.537350,936.048267,889.075286,632.975254,708.449234,732.296218,327.459272,743.566236,140.542193,914.965164,748.699212,089.166228,755.117109,398.454127,429.835122,374.63483,811.921
Eigen vermogen:
Preferente aandelen 000007,459.3880003,139.0217,707.51800000000
Gewone aandelen 44,071.46644,071.46644,071.46644,071.46644,071.46644,071.46644,191.91644,241.60644,711.26644,232.36644,134.46744,126.52644,002.55444,280.99841,243.68838,838.7138,659.58938,114.58135,765.054
Ingehouden winsten 47,762.18839,185.46341,045.8238,049.69830,539.62332,401.41933,964.73634,649.96332,167.17947,509.08719,820.92732,680.12237,435.47345,450.0144,794.55132,072.82130,846.78625,172.96623,274.703
Overige gereserveerde algehele resultaten 24,869.51128,840.49220,399.3717,249.77523,085.238-7,459.38813,999.61516,618.78316,430.651-3,139.021-7,707.51800000000
Overige totale aandeelhoudersvermogen 2,918.834,197.3335,843.6097,461.5668,276.30629,250.7619,739.31710,294.03710,466.6999,432.68530,917.75129,769.81724,622.44523,425.03811,747.8296,924.9768,742.9327,945.6765,754.336
Totaal eigen vermogen van aandeelhouders 119,621.995116,294.754111,360.265106,832.505105,972.633105,723.646101,895.584105,804.389103,775.795101,174.13894,873.145106,576.465106,060.472113,156.04697,786.06877,836.50778,249.30771,233.22364,794.093
Totaal eigen vermogen 132,772.853127,409.843121,539.803115,989.65114,759.344113,161.848108,647.972112,283.815109,598.116106,007.15299,962.272115,368.547114,097.6121,134.433106,534.92686,017.51185,944.72577,401.49469,802.54
Totaal passiva en aandeelhoudersvermogen 436,770.974453,484.433537,095.34466,925.698382,648.419399,794.823363,356.421347,016.111327,925.575378,750.718336,102.814309,283.512278,846.299333,223.599335,290.043195,415.965213,374.56199,776.128153,614.461