SDI Corporation

TWSE:2351.TW

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 858.5421,058.687702.314764.179871.509995.674749.134980.312846.206781.769465.746472.38503.2413.522696.264398.577417.599322.971
Kortetermijnbeleggingen 75.599127.418112.624102.55183.4466.78364.47182.98984.48416.52815.32376.78678.56758.00471.833147.904154.593126.458
Liquide middelen en kortetermijnbeleggingen 934.1411,186.105814.938866.73954.9491,062.457813.6051,063.301930.69798.297481.069549.166581.767471.526768.097546.481572.192449.429
Nettovorderingen 1,933.1022,207.6572,563.1782,034.3621,789.6712,296.5262,270.9572,091.1921,871.7042,373.4252,033.3071,673.9891,743.4742,100.5861,645.3381,584.84200
Voorraad 3,600.0243,865.8214,086.5412,804.0412,603.4772,866.1222,762.3522,231.4562,204.4352,422.7322,130.5832,019.1972,333.6442,141.0471,581.7931,598.4461,746.3541,801.906
Overige vlottende activa 66.2460.19367.1940.6161.9431.5165.8120.0040.03916.2627.63615.79231.611120.864112.50824.5572,329.151,987.959
Totaal vlottende activa 6,533.5137,259.7767,575.0665,705.7495,350.046,226.6215,852.7265,385.9535,006.8685,610.7144,672.5954,258.1444,690.4964,834.0234,107.7363,754.3264,647.6964,239.294
Niet-vlottende activa:
Materiële vaste activa, netto 5,409.0815,392.1455,165.2724,643.0084,790.4664,762.764,480.4294,370.8624,584.0564,534.5874,646.3524,732.9034,992.3934,516.8093,772.0713,933.943,675.4533,067.411
Goodwill 000000000000000000
Immateriële activa 52.27656.85642.70553.49460.13164.43167.3864.12454.22151.14849.882124.11298.38294.25799.398000
Goodwill en immateriële activa 52.27656.85642.70553.49460.13164.43167.3864.12454.22151.14849.882124.11298.38294.25799.398000
Langetermijnbeleggingen 23.938-106.395-92.402-85.653-66.222-50.447-62.268-80.737-82.232-14.274-13.069-74.532-76.313-55.75-69.579-145.65-144.084-107.558
Belastingvorderingen 114.538132.465120.527114.66143.854157.888139.427140.566145.74134.79111.53276.78678.56758.00471.833000
Overige niet-vlottende activa 12.069191.152233.422144.46118.301220.362207.3195.71206.2153.103121.52868.00273.85262.71438.436297.66391.597324.312
Totaal niet-vlottende activa 5,611.9025,666.2235,469.5244,869.9695,046.535,154.9944,832.2684,690.5254,907.9854,859.3544,916.2254,927.2715,166.8814,676.0343,912.1594,085.953,922.9663,284.165
Totaal activa 12,145.41512,925.99913,044.5910,575.71810,396.5711,381.61510,684.99410,076.4789,914.85310,470.0689,588.829,185.4159,857.3779,510.0578,019.8957,840.2768,570.6627,523.459
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 838.004853.7661,318.811830.196555.861,186.3931,053.6881,058.455878.1431,282.187835.401765.085924.8981,288.7451,299.237637.6811,217.7561,270.45
Kortlopende schulden 1,262.8871,365.3361,171.803913.885960.3491,491.131,111.473749.8231,500.3131,318.7031,404.3571,247.6812,162.6721,654.3261,132.5181,564.4251,854.971,313.926
Belastingschulden 238.898300.317209.98876.42935.634176.581114.754103.83683.565130.781102.58348.44739.096110.69162.09713.02540.17792.204
Uitgestelde opbrengsten 101.45496.4481,037.605664.595613.491176.581795.702733.459629.274704.43569.242407.723460.765637.706362.225361.19740.17792.204
Overige kortlopende verplichtingen 891.5711,070.11321.273158.72213.224728.48616.34921.04513.62616.26311.8036.5745.3199.7256.0245.491442.528345.988
Totaal kortlopende verplichtingen 3,093.9163,385.6633,549.4922,567.3982,142.9243,582.592,977.2122,562.7823,021.3563,321.5832,820.8032,427.0633,553.6543,590.5022,800.0042,568.7943,555.4313,022.568
Langlopende verplichtingen:
Langetermijnschulden 1,380.7582,080.6362,473.7731,522.6041,810.6951,2501,4921,489.21,067.5671,499.8671,733.3032,250.8592,026.8641,621.0541,488.7991,870.5151,417.9631,136.233
Uitgestelde opbrengsten niet-vlottend 74.7690144.397137.552148.35169.703188.055101.29299.421298.29302.80120.11305.02700000
Uitgestelde belastingverplichtingen niet-vlottend 322.8319.072311.966299.423289.993315.957288.418290.996300.087309.688269.458110.638118.01800000
Overige niet-vlottende verplichtingen 156.249154.56531.76837.38732.94239.3781.871231.532318.40189.83476.642313.67511.231398.173338.438340.501371.207335.717
Totaal niet-vlottende verplichtingen 1,934.5762,554.2732,961.9041,996.9662,281.981,775.032,050.3442,113.021,785.4762,197.6792,382.2042,695.2822,461.142,019.2271,827.2372,211.0161,789.171,471.95
Totaal passiva 5,028.4925,939.9366,511.3964,564.3644,424.9045,357.625,027.5564,675.8024,806.8325,519.2625,203.0075,122.3456,014.7945,609.7294,627.2414,779.815,344.6014,494.518
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 1,821.4031,821.4031,821.4031,821.4031,821.4031,821.4031,821.4031,821.4031,821.4531,822.2531,802.2531,802.2531,782.2531,782.2531,735.5831,735.5831,735.5831,735.583
Ingehouden winsten 3,404.653,312.9782,984.9482,486.6072,573.7482,680.3272,409.9812,208.9271,909.6482,334.8521,447.2781,168.514957.8681,196.207781.259529.151717.528638.215
Overige gereserveerde algehele resultaten 1,059.5971,008.139895.332886.651760.937716.105630.083586.775688.34153.43115.5130000000
Overige totale aandeelhoudersvermogen 481.579485.125485.125485.125485.125485.125485.125485.125428.086486.237892.443892.713921.736751.417729.328663.053626.913503.763
Totaal eigen vermogen van aandeelhouders 6,767.2296,627.6456,186.8085,679.7865,641.2135,702.965,346.5925,102.234,847.5284,696.7734,157.4873,863.483,661.8573,729.8773,246.172,927.7873,080.0242,877.561
Totaal eigen vermogen 7,116.9236,986.0636,533.1946,011.3545,971.6666,023.9955,657.4385,400.6765,108.0214,950.8064,385.8134,063.073,842.5833,900.3283,392.6543,060.4663,226.0613,028.941
Totaal passiva en aandeelhoudersvermogen 12,145.41512,925.99913,044.5910,575.71810,396.5711,381.61510,684.99410,076.4789,914.85310,470.0689,588.829,185.4159,857.3779,510.0578,019.8957,840.2768,570.6627,523.459