Tatung Co., Ltd.

TWSE:2371.TW

45.15 (TWD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 23,270.97914,176.0718,296.3278,279.05210,329.6418,973.57231,980.27642,687.25227,131.45830,140.28223,193.10524,602.88931,180.92230,962.30333,315.31831,863.79437,135.98841,236.865
Kortetermijnbeleggingen 11,813.14810,750.2355,026.5594,279.9994,806.5444,546.09426,464.69341,759.61720,950.2449,502.5137,968.944939.044782.4911,363.169291.8831,370.6972,967.3131,142.338
Liquide middelen en kortetermijnbeleggingen 26,104.18924,926.30613,322.88612,559.05115,136.18513,519.66658,444.96984,446.86948,081.70239,642.79531,162.04925,541.93331,963.41332,325.47233,607.20133,234.49140,103.30142,379.203
Nettovorderingen -846.8089,388.4546,828.2476,233.4497,404.3169,847.8669,966.43412,552.8814,876.45519,625.37920,494.33515,304.72319,001.535026,351.44729,632.16153,227.08637,421.885
Voorraad 19,410.49519,908.17113,687.60413,585.19516,108.69718,797.87116,000.33816,933.7219,108.78821,735.74422,097.96524,494.36624,151.33125,860.95322,665.48626,993.8426,822.62634,449.866
Overige vlottende activa 12,201.8791,697.6268,121.9549,620.6948,900.34712,673.4824,822.28316,231.8124,894.0065,002.824,863.7184,130.215,920.09432,336.0717,832.85236,350.0454,363.162,254.484
Totaal vlottende activa 56,869.75556,520.40635,132.44435,764.9440,393.75644,991.01989,234.024130,165.28186,960.95186,006.73878,618.06772,061.45284,300.24690,522.49690,456.98696,578.376125,641.957117,462.275
Niet-vlottende activa:
Materiële vaste activa, netto 34,402.36732,228.70734,111.5732,344.7835,317.01749,536.42596,086.43471,518.0277,800.16686,205.78994,621.225105,827.381116,101.348123,943.851136,022.528157,589.955169,628.3187,097.902
Goodwill 608.678608.713000-237.644-2,261.437169.091314.781314.781314.781314.781402.53278.104610.307860.6351,138.692416.987
Immateriële activa 34.88917.77544.49247.26460.798328.8423,168.5192,509.2342,363.9442,643.9952,746.0943,166.0582,660.0093,858.2766,024.2975,548.4196,8953,097.505
Goodwill en immateriële activa 643.567626.48844.49247.26460.79891.198907.0821,091.11,792.9212,113.482,207.7853,480.8393,062.5413,936.386,634.6046,409.0548,033.6923,514.492
Langetermijnbeleggingen 40,454.276-7,247.6494,250.2915,961.2137,532.5967,984.13-15,362.226-31,728.982-6,821.9389,358.6271,983.50712,266.64412,537.78111,489.03813,060.87313,995.89511,000.9919,640.57
Belastingvorderingen 3,015.6732,008.3898.5671,123.561907.3491,006.2062,993.1252,620.4972,741.5972,876.9382,616.832615.343456.6323,365.2021,674.7083,366.0875,235.7673,900.192
Overige niet-vlottende activa 1,892.31349,430.13737,028.98335,313.67734,779.80135,552.93654,722.91964,733.43739,444.92127,265.74623,607.5757,030.3838,077.3114,792.9675,396.7216,327.735,022.4684,053.965
Totaal niet-vlottende activa 80,408.19677,045.98376,333.90374,790.49578,597.56194,170.895139,347.334108,234.072114,957.667127,820.58125,036.924129,220.59140,235.613147,527.438162,789.434187,688.721198,921.218208,207.121
Totaal activa 137,277.951133,566.389111,466.347110,555.435118,991.317139,161.914228,581.358238,399.353201,918.618213,827.318203,654.991201,282.042224,535.859238,049.934253,246.42284,267.097324,563.175325,669.396
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7,360.0478,623.90319,125.72819,581.95420,290.65523,889.45212,302.62713,119.93317,078.78321,430.5622,247.47720,131.1920,099.56323,778.96520,966.561041,694.68247,002.91
Kortlopende schulden 7,865.394,717.33215,554.19219,477.54721,726.41632,004.658,724.51870,484.15472,327.33556,084.08966,410.21255,926.45241,266.25650,185.27158,481.10169,999.17155,414.03358,048.727
Belastingschulden 391.272566.814106.66640.22226.72396.866192.696288.162379.112417.869238.752297.977324.987446.061229.35322.281618.223286.236
Uitgestelde opbrengsten 7,934.9867,430.51813,102.43911,181.89312,172.99196.86616,106.44918,248.95113,567.11414,744.97414,686.92514,616.45812,771.46317,434.4350021,459.12916,287.7
Overige kortlopende verplichtingen 7,046.4726,365.86110,898.56910,794.0869,566.2429,537.98617,640.37319,189.24814,232.21415,869.27316,046.79214,868.96725,087.22718,605.52522,525.18242,654.82120,141.11817,078.465
Totaal kortlopende verplichtingen 30,598.16727,686.5848,572.31250,971.75954,827.73168,367.70688,860.214103,081.497104,017.44493,801.791104,943.23392,103.57686,778.03393,015.822102,202.194112,976.273117,868.056122,416.338
Langlopende verplichtingen:
Langetermijnschulden 33,300.94933,749.66826,374.40624,593.65426,839.21829,375.85145,826.93938,223.53135,285.47743,170.75320,457.18935,530.65945,734.98346,300.63147,247.24250,093.97969,152.29789,425.465
Uitgestelde opbrengsten niet-vlottend 383.05960.0647.25354.0158.703127.369154.518240.62356.902263.409266.185315.605946.2591,137.6881,376.801830.713,954.13614,424.947
Uitgestelde belastingverplichtingen niet-vlottend 6,478.3626,395.7236,264.3786,346.8196,236.4976,720.095,938.7626,533.9977,072.1757,745.5057,589.457343.4841,046.316562.934857.167835.6621,307.787820.65
Overige niet-vlottende verplichtingen 810.126777.2864,788.6944,748.0052,373.2623,644.9879,122.3464,436.3836,274.7616,975.3368,149.2078,928.2513,713.26414,847.99211,534.82815,550.458345.911,882.826
Totaal niet-vlottende verplichtingen 40,972.49640,982.73737,474.73135,742.48835,507.6839,868.29754,949.28549,434.53148,989.31558,155.00336,462.03849,425.01661,660.56362,849.24561,016.03868,329.1484,760.13106,553.888
Totaal passiva 71,620.02868,669.31786,047.04386,714.24790,335.411108,236.003143,809.499152,516.028153,006.759151,956.794141,405.271141,528.592148,438.596155,865.067163,218.232181,305.413202,628.186228,970.226
Eigen vermogen:
Preferente aandelen 000000000030.2720000000
Gewone aandelen 23,395.36723,395.36723,395.36723,395.36723,395.36723,395.36723,395.36723,395.36723,395.36723,395.36723,395.36723,395.36723,395.36755,527.60455,516.69945,495.27644,877.75843,487.072
Ingehouden winsten 24,384.4159,591.8463,696.785-866.192,559.762-10,243.598-281.015-2,175.074-3,100.26810,135.587-5,919.69-6,377.504-2,595.8-36,111.637-32,134.272-18,537.818-11,232.973-14,322.741
Overige gereserveerde algehele resultaten 3,684.89315,352.6548,127.8689,403.6777,474.08317,884.4784,392.456,717.1710,429.247891.862-30.2720000000
Overige totale aandeelhoudersvermogen 3,198.1373,325.69111,096.53412,572.8633,332.23119,848.3545,930.9218,420.01110,304.0579,273.265-99.44414,394.7958,698.25211,447.3629,437.08610,242.74910,598.2979,364.94
Totaal eigen vermogen van aandeelhouders 54,662.81251,212.3338,188.68635,102.0436,656.30833,000.12329,045.27329,640.30430,599.15634,366.58733,301.19530,540.92332,758.56630,863.32932,820.12837,200.20744,243.08238,529.271
Totaal eigen vermogen 65,657.92364,897.07225,419.30423,841.18828,655.90630,925.91184,771.85985,883.32548,911.85961,870.52462,249.7259,753.4576,097.26382,184.86790,028.188102,961.684121,934.98996,699.17
Totaal passiva en aandeelhoudersvermogen 137,277.951133,566.389111,466.347110,555.435118,991.317139,161.914228,581.358238,399.353201,918.618213,827.318203,654.991201,282.042224,535.859238,049.934253,246.42284,267.097324,563.175325,669.396