Quanta Computer Inc.

TWSE:2382.TW

328 (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 177,234.068204,637.294162,257.067207,370.966192,605.577211,281.084198,763.364202,911.112132,738.687222,057.452207,448.269188,109.78263,884.423137,043.17964,797.23959,221.54246,279.38227,342.329
Kortetermijnbeleggingen 41,491.72913,610.45619,445.97842,394.12530,878.74442,603.48852,734.03133,231.48939,799.50318,089.42114,234.14318,519.81234,301.7142,664.10241,551.75928,133.31720,086.5736,126.607
Liquide middelen en kortetermijnbeleggingen 218,725.797218,247.75181,703.045249,765.091223,484.321253,884.572251,497.395236,142.601172,538.19240,146.873221,682.412206,629.592298,186.133179,707.281106,348.99887,354.85966,365.95263,468.936
Nettovorderingen 262,075.7285,501.125266,324.101201,600.163204,313.684207,257.753173,158.24170,690.07163,853.265186,439.596181,443.249202,183.13190,862.954184,632.738155,398.518107,223.036131,077.88976,101.88
Voorraad 123,763.907225,856.138196,596.428149,213.853122,568.746136,054.958135,255.216122,185.864122,341.838100,739.76386,552.5496,168.039113,906.7481,374.45753,946.4950,317.15976,164.77543,089.939
Overige vlottende activa 5,882.1863,665.0474,793.8164,058.552,378.4043,553.5482,771.1633,407.92411,748.5513,741.7916,747.9281,006.7933,239.5862,606.5883,684.0331,749.244773.28767.762
Totaal vlottende activa 610,447.59733,270.06649,417.39604,637.657552,745.155600,750.831562,682.014532,426.459470,481.843541,068.023496,426.129505,987.554606,195.413448,321.064319,378.039246,644.298274,381.903182,728.517
Niet-vlottende activa:
Materiële vaste activa, netto 64,639.39867,394.65555,650.5749,773.5850,512.80649,434.57542,184.99645,463.00149,203.48851,163.3148,041.68950,575.49553,396.88948,233.08838,523.10442,342.34135,735.98828,385.893
Goodwill 0407.292407.292407.292407.292407.292407.292407.292530.343525.925519.146556.915000000
Immateriële activa 505.492461.785401.065422.185424.95441.721340.996275.205280.168296.666357.7321,665.2371,724.1781,639.0571,649.627000
Goodwill en immateriële activa 505.492869.077808.357829.477832.242849.013748.288682.497810.511822.591876.8781,665.2371,724.1781,639.0571,649.6271,358.491,230.736922.912
Langetermijnbeleggingen 6,292.987-8,549.302-15,179.373-39,687.586-28,081.427-40,865.176-51,022.807-31,418.935-38,518.481-13,634.673-10,053.696-10,166.497-25,731.637-30,561.913-30,711.034-17,367.548-8,230.507-24,043.989
Belastingvorderingen 6,512.3357,497.6985,615.9234,306.3086,253.8024,652.994,358.8885,124.856,372.6434,836.9084,077.85818,774.51288.418788.47748,177.8728,133.31720,086.57276.942
Overige niet-vlottende activa 1,722.24315,651.45821,256.73743,997.94332,364.35544,644.94954,424.71635,152.18943,224.21523,558.56318,716.381788.79235,235.46143,564.208386.052,484.0452,605.49338,902.843
Totaal niet-vlottende activa 79,672.45582,863.58668,152.21459,219.72261,881.77858,716.35150,694.08155,003.60261,092.37666,746.69961,659.1161,637.53964,713.30963,662.91758,025.61756,950.64551,428.2844,444.601
Totaal activa 690,120.045816,133.646717,569.604663,857.379614,626.933659,467.182613,376.095587,430.061531,574.219607,814.722558,085.239567,625.093670,908.722511,983.981377,403.656303,594.943325,810.183227,173.118
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 168,322.432213,513.923229,940.866191,110.083150,772.704175,025.648161,244.502175,581.325146,791.796175,376.332191,282.728191,910.033197,876.152192,399.848162,487.373117,563.259152,237.53379,870.342
Kortlopende schulden 159,948.297250,697.078167,431.914165,565.167197,682.215244,487.055249,604.148183,886.467156,678.018201,580.468160,055.206170,123.396268,734.582131,147.68363,149.81637,278.6539,329.02441,229.727
Belastingschulden 13,069.31614,195.2511,332.4578,121.1458,098.0846,042.4385,855.6656,045.4189,076.8386,329.9865,738.1186,682.4778,726.2794,323.1482,279.2154,139.5062,494.0551,668.371
Uitgestelde opbrengsten 80,743.43785,844.572118,318.019110,274.1690,720.0436,042.43837,785.44141,008.2241,481.63642,808.38527,931.58329,362.97130,807.22723,133.71820,177.52621,578.31324,790.56113,308.715
Overige kortlopende verplichtingen 73,998.58378,535.1945,030.48710,520.1284,020.88172,572.44424,754.95126,657.82724,023.87622,231.44413,439.55124,955.9216,719.64715,959.35916,783.8313,805.7959,467.2796,361.507
Totaal kortlopende verplichtingen 483,012.749628,590.767520,721.286477,469.538443,195.843498,127.585473,389.042427,133.839368,975.326441,996.629392,709.068416,352.32514,137.608362,640.608262,598.545190,226.017225,824.397140,770.291
Langlopende verplichtingen:
Langetermijnschulden 5,930.7437,287.08625,033.32133,062.77627,887.81118,443.21019,361.21520,898.9622,953.33831,400.83818,631.51932,679.95729,784.149019,847.2725,198.48,842.384
Uitgestelde opbrengsten niet-vlottend 1,871.1830699.205800.844791.636797.090753.028813.154702.734702.70759.67100060.17139.0970
Uitgestelde belastingverplichtingen niet-vlottend 5,010.1573,112.1862,900.2392,100.032721.858769.385290.477367.996385.411,841.5532,106.9041,230.80100197.672825.6643.8580
Overige niet-vlottende verplichtingen 402.887620.1588.215131.33498.52102.816908.10197.197415.685240.37278.892124.325329.403435.384598.571.4281.281310.698
Totaal niet-vlottende verplichtingen 13,214.9711,019.42228,720.9836,094.98629,499.82520,112.5011,198.57820,579.43622,513.20925,737.99734,289.34120,046.31633,009.3630,219.533796.24220,734.5355,242.6369,153.082
Totaal passiva 496,227.719639,610.189549,442.266513,564.524472,695.668518,240.086474,587.62447,713.275391,488.535467,734.626426,998.409436,398.636547,146.968392,860.141263,394.787210,960.552231,067.033149,923.373
Eigen vermogen:
Preferente aandelen 0000000002,941.1617,781.0480000000
Gewone aandelen 38,626.27438,626.27438,626.27438,626.27438,626.27438,626.27438,626.27438,626.27438,626.27438,626.27438,626.27438,491.76238,416.83738,360.12238,015.9836,495.26234,752.68233,630.08
Ingehouden winsten 135,545.896118,762.665115,015.005101,464.40190,494.98288,240.18886,043.77785,257.1984,830.35882,979.81678,771.16950,945.1149,620.74542,249.26538,275.60746,088.26839,864.83731,018.432
Overige gereserveerde algehele resultaten 6,195.78152,946.43648,421.83640,523.939,675.42446,049.96237,005.2823,228.4523,555.486-2,941.161-7,781.0480000000
Overige totale aandeelhoudersvermogen 5,839.16-41,177.245-40,923.75-36,254.917-33,154.869-38,019.738-29,252.995,741.5185,730.19110,756.3875,904.56834,382.49528,306.56230,993.39230,327.5763,491.81912,772.4217,748.812
Totaal eigen vermogen van aandeelhouders 186,207.111169,158.13161,139.365144,359.658135,641.811134,896.686132,422.343132,853.434132,742.309132,362.477123,302.011123,819.367116,344.144111,602.779106,619.16386,075.34987,389.9472,397.324
Totaal eigen vermogen 193,892.326176,523.457168,127.338150,292.855141,931.265141,227.096138,788.475139,716.786140,085.684140,080.096131,086.83131,226.457123,761.754119,123.84114,008.86992,634.39194,743.1577,249.745
Totaal passiva en aandeelhoudersvermogen 690,120.045816,133.646717,569.604663,857.379614,626.933659,467.182613,376.095587,430.061531,574.219607,814.722558,085.239567,625.093670,908.722511,983.981377,403.656303,594.943325,810.183227,173.118