Inventec Corporation

TWSE:2356.TW

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 6,130.7327,177.0357,699.18410,345.7056,509.0618,133.2627,186.4487,089.9097,183.879,680.6988,924.3261,802.68-985.8673,243.3834,239.6365,344.1255,140.7175,599.032
Afschrijvingen & Amortisatie 3,511.9392,901.3683,262.8213,853.544,153.7224,480.4574,821.1264,805.5454,941.2415,036.2025,076.9156,050.454,332.0523,576.0413,642.9463,634.0282,600.8062,562.105
Uitgestelde Inkomstenbelasting -2,941.6670-1,649.187-5,123.358-2,381.242000-661.7321,508.175337.6161,833.6861,527.34600000
Aandelen Gebaseerde Vergoedingen 0.6050.4590.4221.2351.040008.5339.57518.18316.1118.02800000
Verandering in Werkkapitaal 2,129.69213,750.822-21,504.018-4,616.653,599.706-16,998.614-9,176.984-4,726.6426,748.554-13,767.7997,612.45511,876.681,570.3354,534.2141,693.629-5,704.5134,451.581-5,078.101
Vorderingen -5,591.15313,363.426-12,371.589-3,409.9823,535.81-16,815.225-5,731.017-17,683.64314,407.3266,006.396-3,297.61-1,518.982000000
Voorraden -8,958.42315,803.274-22,067.263-5,753.5434,904.54-2,642.456-9,130.624-4,779.0632,892.5348,914.388-2,994.479-3,119.8073,442.713-3,392.82-1,604.592-589.069-338.575-2,160.44
Crediteuren 18,632.392-22,385.58611,691.7744,008.134-3,043.5343,728.144,224.5718,803.98-20,374.773000000000
Overig Werkkapitaal -1,953.1246,969.7081,243.06538.741-1,797.11-14,356.158-46.3652.4213,856.02-22,682.18710,606.93414,996.487-1,872.3787,927.0343,298.221-5,115.4444,790.156-2,917.661
Overige Niet-Contante Posten 2,338.791-1,711-336.122-133.159367.863-1,150.653-564.724-1,234.841-1,198.827-1,650.957-862.133-1,265.749842.167714.246715.938-248.608-377.3021,053.481
Kasstroom uit Operationele Activiteiten 11,170.09222,118.684-12,526.94,327.31212,250.15-5,535.5482,265.8665,933.97117,021.639815.89421,107.36220,313.8577,304.06112,067.88410,292.1493,025.03211,815.8024,136.517
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -6,224.605-5,046.459-3,059.987-2,552.504-4,044.874-2,172.046-2,940.78-10,984.487-4,002.987-5,159.761-3,309.612-4,260.843-6,052.355-3,704.924-4,210.32-5,767.129-5,741.223-1,684.159
Netto Overnames 1,012.907-44.15-57.977-5.71-125.95730.822-75.471100.307937.97166.39-123.07138.4659,282.318-423.6160856.282-42.15265.063
Aankoop van Beleggingen -109.048-1,781.873-1,659.924-9,176.794-16,059.2283.95-27,341.885-6,051.058-23,508.119-33,713.402-23,689.791-16.919-59.732-1,044.9480-309.423-464.165-95.961
Verkoop/verval van Beleggingen 439.6281,780.437282.8210,245.57413,041.33917,382.12613,580.8766,535.8629,075.95529,499.54221,388.54674.43534.5446.156097.301176.21615.382
Overige Investeringsactiviteiten -4,042.062-951.9291,372.3414,299.342365.229-1,195.505-1,521.286-536.263104.799532.537-1,350.199-462.576-2,499.757-499.546-1,191.451-1,207.862-378.28-1,355.267
Kasstroom uit Investeringsactiviteiten -8,923.18-6,043.974-3,122.7272,809.908-6,823.48314,129.347-18,298.546-10,935.6412,607.619-8,774.694-7,084.132-3,927.438705.018-5,666.878-5,401.771-6,330.831-6,449.602-2,854.942
Financieringsactiviteiten:
Schuldaflossingen -11,052.4-16,383.716-17,172.5-14,470.076-6,498.237-12,532.609-8,911.7-12,506.543-4,659.943-1,982.345-490.83-2,174.91-2,646.688-7,712.40-2,025.558-373.083-243.352
Uitgifte van Gewone Aandelen 0000000000008,945.70300000
Terugkoop van Gewone Aandelen 000000000000-42.37700000
Uitgekeerde Dividenden -5,381.213-5,022.465-6,636.829-4,663.718-5,381.213-5,919.334-5,201.839-5,022.465-6,278.081-5,739.96-2,869.98-1,039.847-2,962.497-2,821.426-2,561-3,156.14-3,451.5-1,764.56
Overige Financieringsactiviteiten -88.29911,764.62441,682.86326,280.349686.067,916.50931,317.50912,978.152-8,088.841-7,014.4598,016.624-739.038-5,372.2624,685.3487,368.8037,461.913-273.384-204.971
Kasstroom uit Financieringsactiviteiten -16,521.912-9,641.55717,873.5347,146.555-11,193.39-10,535.43417,203.97-4,550.856-19,026.865-12,754.4194,655.814-3,953.795-2,078.121-5,848.4784,807.8032,280.215-4,097.967-2,212.883
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -231.3241,229.578-387.59-285.147-342.82154.966-194.554-1,598.661-1,210.5031,512.292,050.013-759.758855.033-739.644-320.133328.849354.02392.84
Netto Kasstroomverandering -14,317.5747,662.7311,836.31713,998.628-6,109.544-1,886.669976.736-11,151.187-608.11-19,200.92920,729.05711,672.8666,593.975-187.1169,518.638-696.7351,451.132-2,404.648
Kaspositie aan het Einde van de Periode 28,133.06942,450.64334,787.91232,951.59518,952.96725,062.51126,949.1825,972.44437,123.63137,731.74156,932.6736,203.61224,530.74617,936.77118,123.8878,605.2499,301.9847,850.852