Macronix International Co., Ltd.

TWSE:2337.TW

22.3 (TWD) • At close November 5, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Operationele Activiteiten:
Nettowinst -1,699.59310,292.39413,327.6895,841.0463,026.3269,264.3875,536.477-471.054-4,180.883-6,469.401-6,353.152-5,517.9232,785.397,671.6055,585.8484,514.6044,653.6660-7,027.189217.692-8,197.745-11,356.6630
Afschrijvingen & Amortisatie 4,223.5134,538.8944,284.2323,746.3272,731.0212,120.371,972.3552,041.6765,901.0667,564.827,743.9097,900.4195,535.0492,781.2762,919.3723,378.6413,684.4285,545.1747,252.5337,562.169,287.0118,742.1010
Uitgestelde Inkomstenbelasting -5,949.4670-2,633.827-231.327-677.542-584.1747.534-490.512-215.802-265.233-119.535000000000000
Aandelen Gebaseerde Vergoedingen -0.04943.893115.145293.66284.40763.583213.1213.505342.95160.4960.4110.97800000000000
Verandering in Werkkapitaal -1,383.099-2,922.738815.722-10.587-780.081-869.92-885.033,843.515-415.547-820.399-2,063.757-218.656-3,314.486443.6481,648.211-12.067-126.015-830.9012,414.866-637.3411,991.766-370.4690
Vorderingen 1,720.7081,886.482-1,640.235-97.158-496.141,257.908-2,156.644-411.587-99.322244.39895.746399.80200000000000
Voorraden 1,310.838-1,523.318-211.12-134.835,138.797-8,077.064-2,784.7532,246.867317.429-513.835-1,935.491-391.753-2,481.859-1,047.1252,404.443-1,208.939128.964-534.5061,654.614191.2232,268.453-767.4820
Crediteuren -534.036-811.011461.48213.137-4,524.9255,124.7582,499.922,085.061-283.26800000000000000
Overig Werkkapitaal -3,880.609-2,474.8912,205.5978.264-897.8137,207.1441,899.7231,596.648-732.976-306.564-128.266173.097-832.6271,490.773-756.2321,196.872-254.979-296.395760.252-828.564-276.687397.0130
Overige Niet-Contante Posten 4,282.983-296.328207.27216.098158.55697.362197.589-206.19655.696-42.33493.001-163.63294.3933.247281.3141,024.59-103.0611,774.9411,757.113-1,155.875-763.8873,070.9250
Kasstroom uit Operationele Activiteiten -525.71211,656.11516,116.2319,855.2194,542.68710,091.6087,034.4915,421.4461,703.283293.182-579.5882,000.2085,100.34310,929.77610,434.7458,905.7688,109.0186,489.2144,397.3235,986.6362,317.14585.8949,209
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,682.241-9,963.982-4,790.435-6,080.136-12,788.031-4,888.574-2,270.681-942.445-1,511.322-1,832.662-4,495.233-3,187.687-15,525.64-16,653.454-1,276.316-2,089.096-4,225.352-2,595.531-1,962.396-3,301.902-2,851.671-8,870.4140
Netto Overnames 0.366173.782,334.258-35.578340.01326.768-3.8927.2919.761-29.343-173.433-352.73-83.595-83.582165.814-199.327-151.1790-184.791-529.288-228.03-430.6630
Aankoop van Beleggingen -42.82-173.78-296.49120.955-340.013-22.965-26.9160-15.926-166.477-9.538-150-250-300-150.132-1,717.2-4,780.4850-11,467.983-22,585.152-10,619.461-10,310.4140
Verkoop/verval van Beleggingen 143.9621.04545.2778.62644.50823.8112.1412.03356.59210.37171.486237.685292.253300.39417.8641,723.7855,208.311013,529.66522,374.83212,107.0927,661.8590
Overige Investeringsactiviteiten -11.23-375.82784.5143.228339.9598.988-18.169-5.952-40.03-198.934-236.244-371.884-253.961-112.0081,160.506-20.81-193.7075,382.208-157.662-649.895-128.343-514.1090
Kasstroom uit Investeringsactiviteiten -7,591.963-10,338.764-2,622.881-6,042.905-12,403.564-4,851.973-2,257.144-927.077-1,444.956-1,877.897-4,492.33-3,090.218-15,631.407-16,637.405-16.415-1,879.179-3,805.4592,911.436129.601-3,629.149-1,256.92-11,596.3920
Financieringsactiviteiten:
Schuldaflossingen -3,874.26-2,988.903-7,077.225-5,742.648-8,405.028-3,621.981-13,637.174-11,808.666-22,678.35-9,146.373-6,448.054-2,772.717-3,011.237-229.1-910.101-1,184.545-1,124.259-7,771.295-2,062.822-10,773.284-15,532.938-22,074.1420
Uitgifte van Gewone Aandelen 00000000000.09474.569209.931745.006504.38658.671,045.5763.90305,565.7043,822.50400
Terugkoop van Gewone Aandelen 000000000004,487.91815,204.4086,806.08-1,140.127-21.7081,2000000-1,046.0710
Uitgekeerde Dividenden -3,336.966-3,337.236-2,227.424-2,205.564-2,205.852-1,804.77600000-1,286.981-5,729.024-4,973.658-2,071.522-3,058.557-524.167000000
Overige Financieringsactiviteiten 7,638.1346,258.1663,042.6147,368.88913,656.8534,804.87411,363.5248,052.78820,368.7476,347.2654,526.7264,483.915,214.1216,811.611-1,106.225-542.5031,497.651-625.045-1,403.1082,256.92613,909.15629,478.2020
Kasstroom uit Financieringsactiviteiten 426.908-67.973-6,262.035-579.3233,045.973-621.883-2,273.65-3,755.878-2,309.603-2,799.108-1,921.234498.7716,683.7912,353.859-3,583.462-4,748.643894.801-8,392.437-3,465.93-2,950.6542,198.7226,357.9890
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -167.599-50.321-545.393-78.781-71.509360.567-238.85337.37.62341.45-124.936-39.19621.913-77.685-12.9121.55412.3512.35-43.06260.341-4.794-14.0840
Netto Kasstroomverandering -7,858.3661,199.0576,685.9223,154.21-4,886.4134,978.3192,264.844775.791-2,043.653-4,342.373-7,118.088-630.435-3,825.36-3,262.0246,758.6462,279.55,805.43837.2851,017.932-532.8263,254.153-5,166.5939,209
Kaspositie aan het Einde van de Periode 11,905.91219,764.27818,565.22111,879.2998,725.08913,611.5028,633.1836,368.3395,592.5487,636.20111,978.57419,096.66219,727.09723,552.45726,814.48120,055.83517,776.33511,970.90511,133.6210,115.68810,648.5147,394.3619,209