Compal Electronics, Inc.
TWSE:2324.TW
36.4 (TWD) • At close November 5, 2024
Overzicht | Financiële gegevens
Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) TWD.
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | |
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Activa: | |||||||||||||||||||
Vlottende activa: | |||||||||||||||||||
Liquide middelen & kasequivalenten
| 72,479.48 | 79,665.302 | 75,162.103 | 89,126.923 | 66,559.397 | 70,296.545 | 70,062.713 | 72,950.596 | 62,751.542 | 74,708.13 | 46,965.852 | 44,154.582 | 52,348.302 | 63,574.577 | 46,961.498 | 46,229.472 | 62,599.461 | 59,317.916 | 43,747.458 |
Kortetermijnbeleggingen
| 52.062 | 0.187 | 400.754 | 2,245.254 | 1,346.379 | 4,961.134 | 437.185 | 485.071 | 405.15 | 578.631 | 1,909.047 | 964.018 | 757.203 | 911.351 | 711.418 | 356.186 | 357.458 | 985.745 | 0 |
Liquide middelen en kortetermijnbeleggingen
| 72,531.542 | 79,665.489 | 75,562.857 | 91,372.177 | 67,905.776 | 75,257.679 | 70,499.898 | 73,435.667 | 63,156.692 | 75,286.761 | 48,874.899 | 45,118.6 | 53,105.505 | 64,485.928 | 47,672.916 | 46,585.658 | 62,956.919 | 60,303.661 | 43,747.458 |
Nettovorderingen
| 196,087.596 | 193,590.132 | 292,611.544 | 233,838.555 | 193,742.838 | 205,439.32 | 178,374.733 | 176,471.892 | 165,707.508 | 179,683.571 | 185,526.516 | 159,545.757 | 134,616.681 | 175,184.018 | 170,968.82 | 75,821.236 | 80,449.242 | 73,121.07 | 47,652.529 |
Voorraad
| 95,102.692 | 111,593.984 | 115,012.365 | 96,151.959 | 78,433.538 | 79,148.922 | 69,512.712 | 48,105.125 | 46,520.021 | 67,270.875 | 51,219.127 | 51,707.468 | 46,912.683 | 45,503.86 | 72,253.842 | 32,218.738 | 30,772.363 | 26,799.002 | 21,987.428 |
Overige vlottende activa
| 5,202.467 | 5,856.898 | 3,928.624 | 3,097.944 | 3,072.661 | 2,899.329 | 3,395.311 | 2,456.323 | 2,399.255 | 2,604.042 | 1,760.278 | 1,480.342 | 1,428.395 | 1,533.52 | 1,274.401 | 1,684.376 | 3,423.762 | 1,871.613 | 1,943.127 |
Totaal vlottende activa
| 368,924.297 | 390,706.503 | 487,115.39 | 424,460.635 | 343,154.813 | 362,745.25 | 321,782.654 | 300,469.007 | 277,783.476 | 324,845.249 | 287,380.82 | 257,852.167 | 236,063.264 | 286,707.326 | 292,169.979 | 156,310.008 | 177,602.286 | 162,095.346 | 115,330.542 |
Niet-vlottende activa: | |||||||||||||||||||
Materiële vaste activa, netto
| 42,834.493 | 42,513.527 | 30,056.582 | 25,582.292 | 23,322.519 | 20,418.228 | 18,179.367 | 20,952.677 | 24,308.631 | 24,472.732 | 21,209.228 | 21,386.512 | 16,951.183 | 14,979.473 | 14,243.098 | 18,164.333 | 13,797.163 | 13,713.449 | 13,636.066 |
Goodwill
| 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 561.587 | 561.587 | 561.587 | 561.587 | 0 | 0 | 615.696 | 101.576 |
Immateriële activa
| 1,462.162 | 1,722.165 | 1,548.508 | 1,506.101 | 1,553.342 | 1,516.253 | 1,284.66 | 1,291.281 | 1,194.193 | 1,035.162 | 1,293.643 | 982.038 | 971.242 | 1,191.993 | 1,065.274 | 1,566.476 | 1,130.865 | 0 | 0 |
Goodwill en immateriële activa
| 1,462.162 | 1,722.165 | 1,548.508 | 1,506.101 | 1,553.342 | 1,516.253 | 1,284.66 | 1,291.281 | 1,194.193 | 1,035.162 | 1,293.643 | 1,543.625 | 1,532.829 | 1,753.58 | 1,626.861 | 1,566.476 | 1,130.865 | 615.696 | 101.576 |
Langetermijnbeleggingen
| 17,781.871 | 14,032.199 | 14,463.399 | 10,723.29 | 11,016.119 | 7,645.036 | 19,421.086 | 21,569.58 | 21,599.86 | 25,001.435 | 22,095.055 | 27,080.188 | 23,151.146 | 28,500.742 | 26,247.547 | 18,700.938 | 20,154.391 | 21,703.084 | 0 |
Belastingvorderingen
| 3,615.912 | 2,393.778 | 1,646.524 | 1,514.208 | 1,637.626 | 1,023.948 | 1,351.371 | 1,262.986 | 1,377.465 | 1,653.141 | 1,174.203 | 964.018 | 757.203 | 911.351 | 711.418 | 356.186 | 357.458 | 1,388.718 | 0 |
Overige niet-vlottende activa
| 2,152.239 | 2,116.261 | 2,264.937 | 3,139.172 | 1,964 | 6,446.108 | 1,337.283 | 1,470.58 | 1,661.95 | 1,742.999 | 2,949.865 | 457.002 | 390.674 | 371.127 | 291.14 | 318.024 | 332.397 | 259.835 | 24,546.277 |
Totaal niet-vlottende activa
| 67,846.677 | 62,777.93 | 49,979.95 | 42,465.063 | 39,493.606 | 37,049.573 | 41,573.767 | 46,547.104 | 50,142.099 | 53,905.469 | 48,721.994 | 51,431.345 | 42,783.035 | 46,516.273 | 43,120.064 | 39,105.957 | 35,772.274 | 37,680.782 | 38,283.919 |
Totaal activa
| 436,770.974 | 453,484.433 | 537,095.34 | 466,925.698 | 382,648.419 | 399,794.823 | 363,356.421 | 347,016.111 | 327,925.575 | 378,750.718 | 336,102.814 | 309,283.512 | 278,846.299 | 333,223.599 | 335,290.043 | 195,415.965 | 213,374.56 | 199,776.128 | 153,614.461 |
Passiva en Eigen Vermogen: | |||||||||||||||||||
Kortlopende verplichtingen: | |||||||||||||||||||
Crediteuren
| 158,995.984 | 161,838.098 | 224,066.363 | 199,726.063 | 144,445.777 | 154,276.713 | 142,017.824 | 129,481.943 | 128,626.544 | 171,906.285 | 145,459.401 | 139,053.667 | 132,772.089 | 152,109.225 | 175,638.248 | 77,716.14 | 94,260.74 | 89,693.215 | 52,015.066 |
Kortlopende schulden
| 72,361.064 | 96,108.781 | 135,115.751 | 102,148.509 | 79,858.24 | 89,885.822 | 62,716.15 | 51,447.652 | 43,697.793 | 50,326.606 | 52,394.921 | 36,581.176 | 14,989.377 | 39,069.852 | 25,761.987 | 5,936.981 | 11,529.925 | 22,125.949 | 6,872.937 |
Belastingschulden
| 7,594.694 | 7,202.033 | 7,013.976 | 5,378.651 | 4,428.716 | 3,722.191 | 4,362.395 | 3,795.925 | 4,196.978 | 2,180.985 | 1,006.058 | 1,064.261 | 1,192.942 | 3,597.557 | 2,524.737 | 2,957.396 | 3,169.531 | 2,609.303 | 2,409.81 |
Uitgestelde opbrengsten
| 767.327 | 784.238 | 38,986.722 | 30,605.209 | 28,143.399 | 3,722.191 | 24,150.52 | 25,402.93 | 26,503.665 | 24,797.945 | 20,183.289 | 2,904.378 | 4,303.962 | 7,770.772 | 18,016.059 | 12,617.642 | 8,789.269 | 9,189.803 | 7,214.626 |
Overige kortlopende verplichtingen
| 45,127.687 | 43,653.794 | 4,073.259 | 3,044.935 | 3,372.617 | 26,323.172 | 3,071.238 | 2,899.674 | 3,929.073 | 3,233.431 | 2,559.65 | 14,370.407 | 12,462.125 | 12,817.582 | 8,342.747 | 2,313.821 | 2,043.765 | 887.862 | 791.074 |
Totaal kortlopende verplichtingen
| 277,252.062 | 302,384.911 | 402,242.095 | 335,524.716 | 255,820.033 | 274,207.898 | 231,955.732 | 209,232.199 | 202,757.075 | 250,264.267 | 220,597.261 | 192,909.628 | 164,527.553 | 211,767.431 | 227,759.041 | 98,584.584 | 116,623.699 | 121,896.829 | 66,893.703 |
Langlopende verplichtingen: | |||||||||||||||||||
Langetermijnschulden
| 15,285.59 | 21,207.531 | 10,898.536 | 13,292.558 | 10,075.622 | 10,998.438 | 21,252.263 | 23,954.688 | 14,356.563 | 20,504.301 | 14,107.367 | 550.604 | 25 | 107 | 112.5 | 9,958.709 | 9,743.751 | 0 | 16,820.036 |
Uitgestelde opbrengsten niet-vlottend
| 8,329.451 | 0 | 822.033 | 786.173 | 738.164 | 710.146 | 705.81 | 631.821 | 545.46 | 674.794 | 658.41 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Uitgestelde belastingverplichtingen niet-vlottend
| 1,985.324 | 1,247.342 | 1,226.805 | 992.47 | 1,009.218 | 478.169 | 614.437 | 746.962 | 481.497 | 1,136.411 | 678.587 | 0 | 0 | 0 | 883.576 | 855.161 | 1,062.385 | 0 | 0 |
Overige niet-vlottende verplichtingen
| 1,145.694 | 1,234.806 | 366.068 | 340.131 | 246.038 | 238.324 | 180.207 | 166.626 | 186.864 | 163.793 | 98.917 | 454.733 | 196.146 | 214.735 | 0 | 0 | 0 | 477.805 | 98.182 |
Totaal niet-vlottende verplichtingen
| 26,746.059 | 23,689.679 | 13,313.442 | 15,411.332 | 12,069.042 | 12,425.077 | 22,752.717 | 25,500.097 | 15,570.384 | 22,479.299 | 15,543.281 | 1,005.337 | 221.146 | 321.735 | 996.076 | 10,813.87 | 10,806.136 | 477.805 | 16,918.218 |
Totaal passiva
| 303,998.121 | 326,074.59 | 415,555.537 | 350,936.048 | 267,889.075 | 286,632.975 | 254,708.449 | 234,732.296 | 218,327.459 | 272,743.566 | 236,140.542 | 193,914.965 | 164,748.699 | 212,089.166 | 228,755.117 | 109,398.454 | 127,429.835 | 122,374.634 | 83,811.921 |
Eigen vermogen: | |||||||||||||||||||
Preferente aandelen
| 0 | 0 | 0 | 0 | 0 | 7,459.388 | 0 | 0 | 0 | 3,139.021 | 7,707.518 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Gewone aandelen
| 44,071.466 | 44,071.466 | 44,071.466 | 44,071.466 | 44,071.466 | 44,071.466 | 44,191.916 | 44,241.606 | 44,711.266 | 44,232.366 | 44,134.467 | 44,126.526 | 44,002.554 | 44,280.998 | 41,243.688 | 38,838.71 | 38,659.589 | 38,114.581 | 35,765.054 |
Ingehouden winsten
| 47,762.188 | 39,185.463 | 41,045.82 | 38,049.698 | 30,539.623 | 32,401.419 | 33,964.736 | 34,649.963 | 32,167.179 | 47,509.087 | 19,820.927 | 32,680.122 | 37,435.473 | 45,450.01 | 44,794.551 | 32,072.821 | 30,846.786 | 25,172.966 | 23,274.703 |
Overige gereserveerde algehele resultaten
| 24,869.511 | 28,840.492 | 20,399.37 | 17,249.775 | 23,085.238 | -7,459.388 | 13,999.615 | 16,618.783 | 16,430.651 | -3,139.021 | -7,707.518 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Overige totale aandeelhoudersvermogen
| 2,918.83 | 4,197.333 | 5,843.609 | 7,461.566 | 8,276.306 | 29,250.761 | 9,739.317 | 10,294.037 | 10,466.699 | 9,432.685 | 30,917.751 | 29,769.817 | 24,622.445 | 23,425.038 | 11,747.829 | 6,924.976 | 8,742.932 | 7,945.676 | 5,754.336 |
Totaal eigen vermogen van aandeelhouders
| 119,621.995 | 116,294.754 | 111,360.265 | 106,832.505 | 105,972.633 | 105,723.646 | 101,895.584 | 105,804.389 | 103,775.795 | 101,174.138 | 94,873.145 | 106,576.465 | 106,060.472 | 113,156.046 | 97,786.068 | 77,836.507 | 78,249.307 | 71,233.223 | 64,794.093 |
Totaal eigen vermogen
| 132,772.853 | 127,409.843 | 121,539.803 | 115,989.65 | 114,759.344 | 113,161.848 | 108,647.972 | 112,283.815 | 109,598.116 | 106,007.152 | 99,962.272 | 115,368.547 | 114,097.6 | 121,134.433 | 106,534.926 | 86,017.511 | 85,944.725 | 77,401.494 | 69,802.54 |
Totaal passiva en aandeelhoudersvermogen
| 436,770.974 | 453,484.433 | 537,095.34 | 466,925.698 | 382,648.419 | 399,794.823 | 363,356.421 | 347,016.111 | 327,925.575 | 378,750.718 | 336,102.814 | 309,283.512 | 278,846.299 | 333,223.599 | 335,290.043 | 195,415.965 | 213,374.56 | 199,776.128 | 153,614.461 |