Yageo Corporation

TWSE:2327.TW

548 (TWD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 52,951.45839,420.66635,628.87522,885.19316,153.27120,388.7445,760.8898,659.5916,754.0136,412.6814,349.8111,424.6648,096.628,700.53610,028.3577,354.6768,191.5671,801.071
Kortetermijnbeleggingen 22,975.4817,702.25712,499.42316,309.2334,445.6268,649.39511,786.6398,294.6043,326.5195,911.1237,429.9915.99614.266.07884.74196.1282,262.841,213.546
Liquide middelen en kortetermijnbeleggingen 75,926.93857,122.92348,128.29839,194.42620,598.89729,038.13917,547.52816,954.19510,080.53212,323.80321,779.80111,430.668,110.888,706.61410,113.0987,450.80410,454.4073,014.617
Nettovorderingen 27,837.6926,629.80818,958.83115,649.34710,665.45221,244.48712,607.55610,266.629,328.688,928.7787,340.436,914.6366,813.9656,657.4965,991.9255,440.4876,592.1736,014.783
Voorraad 27,093.24426,944.81621,682.49614,523.285,679.34510,473.0774,872.0015,062.8155,297.7625,505.9654,671.7154,609.0275,009.395,207.9183,251.9163,398.9543,790.7584,468.051
Overige vlottende activa 492.8381,007.044837.507572.369203.843355.71854.85981.15676.133200.906104.398372.538278.134555.954490.634339.804314.598464.365
Totaal vlottende activa 131,350.71111,704.59189,607.13269,939.42237,147.53761,111.42135,081.94432,364.78624,783.10726,959.45233,896.34423,326.86120,212.36921,127.98219,847.57316,630.04921,151.93613,961.816
Niet-vlottende activa:
Materiële vaste activa, netto 69,308.54461,134.40144,101.73941,615.03820,741.54619,112.38916,274.87712,892.61314,212.80814,926.53515,146.80315,724.27318,026.66317,611.30117,204.58318,423.59318,440.0617,462.239
Goodwill 64,706.38447,848.77935,901.22151,349.46921,377.7520,466.0262,074.0052,188.8472,315.142,446.0872,590.652,434.1040002,873.1762,937.4122,678.387
Immateriële activa 27,556.79924,331.2719,645.1376,381.7514,535.564,032.09486.08298.50981.98456.9346.2362,523.5212,568.982,547.612,919.967102.3196.76193.157
Goodwill en immateriële activa 92,263.18372,180.04955,546.35857,731.2225,913.3124,498.122,160.0872,287.3562,397.1242,503.0172,636.8862,523.5212,568.982,547.612,919.9672,975.4863,034.1732,771.544
Langetermijnbeleggingen 10,902.4598,236.8861,902.322-6,964.265,724.2386,819.3593,174.612-3,394.8261,733.766-301.499-2,031.0784,815.1295,514.8566,690.5526,161.5054,745.652,351.2922,996.735
Belastingvorderingen 3,535.4953,567.4884,527.9953,745.8862,156.3512,207.304922.821,012.034770.2971,060.7031,195.5911,116.651,247.5551,643.4831,999.4391,811.4191,649.3592,017.177
Overige niet-vlottende activa 23,992.68720,362.13413,861.84316,963.5844,699.1559,008.02912,082.8858,599.9663,650.7916,349.4027,873.279520.215555.335691.651748.6661,190.6423,485.5277,127.548
Totaal niet-vlottende activa 200,002.368165,480.958119,940.257113,091.46859,234.661,645.20134,615.28121,397.14322,764.78624,538.15824,821.48124,699.78827,913.38929,184.59729,034.1629,146.7928,960.41132,375.243
Totaal activa 331,353.078277,185.549209,547.389183,030.8996,382.137122,756.62269,697.22553,761.92947,547.89351,497.6158,717.82548,026.64948,125.75850,312.57948,881.73345,776.83950,112.34746,337.059
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15,308.08314,353.41116,474.81713,053.5326,059.810,347.3057,511.4216,293.9944,752.9434,726.5484,426.9543,943.4583,436.6954,915.2713,628.2213,204.3013,579.5253,078.795
Kortlopende schulden 72,393.72550,063.86545,275.7838,836.97819,071.17524,331.06318,728.09913,824.84210,567.4579,276.14513,006.3541,008.2421,746.5811,966.0092,444.0493,852.0514,646.8395,962.849
Belastingschulden 5,273.5085,930.8713,989.8782,749.5741,826.96,782.2481,209.13871.944750.5551,106.518571.235290.261238.843272.834187.066162.936172.84197.553
Uitgestelde opbrengsten 27,464.904015,726.09813,367.1489,329.4366,782.2486,166.5074,734.8863,697.5074,109.9253,773.8992,183.111,546.5222,075.5931,256.5611,332.1031,741.8242,141.702
Overige kortlopende verplichtingen 572.30730,498.82547.2492,145.116284.32611,374.09641.375144.323161.658660.566270.503169.305775.4611,075.4152,121.013656.699201.34778.813
Totaal kortlopende verplichtingen 115,739.01994,916.09678,023.94467,402.77434,744.73752,834.71232,447.40224,998.04519,179.56518,773.18421,477.717,304.1157,505.25910,032.2889,449.8449,045.15410,169.53511,262.159
Langlopende verplichtingen:
Langetermijnschulden 64,687.10846,174.59941,493.35139,133.26314,013.5629,0005,5003,6002,5006,4007,4006,316.5416,649.8168,112.0259,154.2416,593.0035,918.0955,100.842
Uitgestelde opbrengsten niet-vlottend 2,857.24403,146.8713,207.844518.283471.418346.478305.405290.921281.041251.6780000000
Uitgestelde belastingverplichtingen niet-vlottend 6,317.2785,128.3154,379.567784.968260.1383.6980.37626.96239.626269.931227.4190000000
Overige niet-vlottende verplichtingen 5,133.8839,417.2222,898.1063,002.705598.724628.44269.56230.22439.25534.0235.811290.204282.492297.23314.2452,789.3811,220.509478.031
Totaal niet-vlottende verplichtingen 78,995.51360,720.13651,917.89546,128.7815,390.66910,483.5585,916.4163,962.5893,069.8026,984.9927,914.9086,606.7456,932.3088,409.2559,468.4869,382.3847,138.6045,578.873
Totaal passiva 194,734.532155,636.232129,941.839113,531.55450,135.40663,318.2738,363.81828,960.63422,249.36725,758.17629,392.61813,910.8614,437.56718,441.54318,918.3318,427.53817,308.13916,841.032
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 4,235.4074,214.5424,959.1894,969.8414,302.5714,270.8473,505.6385,214.7846,515.9476,678.91915,437.15922,053.08422,053.08422,017.08421,948.62321,948.62324,382.21324,230.255
Ingehouden winsten 77,426.75356,678.72150,545.45137,693.52933,213.24649,478.67420,096.11717,661.35515,495.65415,927.1859,889.6028,439.9197,241.8486,593.9572,843.0372,895.0092,257.0652,275.917
Overige gereserveerde algehele resultaten 13,125.24621,081.7474,218.9916,293.5855,787.1412,483.7264,556.3291,561.1513,030.8911,011.002286.3030000000
Overige totale aandeelhoudersvermogen 39,844.48739,369.34719,692.92720,503.9072,943.7733,101.4483,066.963250.412145.2481,996.5873,594.593,530.2444,303.9063,173.6835,095.3982,482.0065,307.1542,125.818
Totaal eigen vermogen van aandeelhouders 134,631.893121,344.35779,416.55869,460.86246,246.73159,334.69531,225.04724,687.70225,187.7425,613.69329,207.65434,023.24733,598.83831,784.72429,887.05827,325.63831,946.43228,631.99
Totaal eigen vermogen 136,618.546121,549.31779,605.5569,499.33646,246.73159,438.35231,333.40724,801.29525,298.52625,739.43429,325.20734,115.78933,688.19131,871.03629,963.40327,349.30132,804.20829,496.027
Totaal passiva en aandeelhoudersvermogen 331,353.078277,185.549209,547.389183,030.8996,382.137122,756.62269,697.22553,761.92947,547.89351,497.6158,717.82548,026.64948,125.75850,312.57948,881.73345,776.83950,112.34746,337.059