Quanta Computer Inc.

TWSE:2382.TW

328 (TWD) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 39,676.39440,780.643,436.27434,431.79920,551.62119,176.40920,097.09220,340.57522,703.48824,361.06524,217.39723,416.63623,498.72919,330.97123,341.0621,125.38119,614.2129,212.725
Afschrijvingen & Amortisatie 11,436.15710,102.9768,325.3848,115.6219,418.5187,430.8846,865.147,327.0057,334.0836,240.2866,701.3057,079.8216,487.0075,556.2674,758.8644,140.0534,629.82811,118.248
Uitgestelde Inkomstenbelasting 000000000000000000
Aandelen Gebaseerde Vergoedingen 0.16400000000000000000
Verandering in Werkkapitaal 73,988.834-31,158.518-69,751.04439,861.92811,695.744-7,502.895-30,063.64125,305.124-26,093.571-22,129.87522,678.8588,897.014-29,338.794-21,640.448-7,395.43411,641.922-2,209.002-19,829.105
Vorderingen 24,657.9295,494.828-69,809.144-16,563.28-1,130.373-22,247.937-14,876.008-11,489.46327,801.1063,283.35716,167.905-10,155.515000000
Voorraden 103,234.13-13,461.465-49,355.827-33,622.18511,270.8162,389.9-20,039.547-1,652.555-18,959.887-11,178.44311,200.73412,936.483-28,992.82-32,044.702-3,517.90627,057.554-29,777.339-18,193.388
Crediteuren -47,380.377-55,299.94344,403.17668,114.221-15,616.84744.3047,342.91335,166.03-36,745.718000000000
Overig Werkkapitaal -6,522.84832,108.0625,010.75121,933.17217,172.141-9,892.795-10,024.09426,957.679-7,133.684-10,951.43211,478.124-4,039.469-345.97410,404.254-3,877.528-15,415.63227,568.337-1,635.717
Overige Niet-Contante Posten -56,231.499-8,309.987-5,803.402-4,404.375-3,931.219-2,091.175-5,532.954-5,979.044-3,979.591-3,034.073-5,263.462-3,298.7641,608.815-1,675.362523.2895,637.0454,956.5492,977.097
Kasstroom uit Operationele Activiteiten 126,509.25411,415.071-23,792.78878,004.97337,734.66417,013.223-8,634.36346,993.66-35.5915,437.40348,334.09836,094.7072,255.7571,571.42821,227.77942,544.40126,991.5873,478.965
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -10,258.52-17,305.229-11,850.083-10,832.416-7,326.485-13,337.245-5,956.582-4,989.904-5,196.215-7,450.081-2,395.751-5,924.053-7,295.68-10,747.176-5,859.372-8,734.054-10,946.121-14,376.358
Netto Overnames 596.938-18.994-71.967-243.175-106.0384.859128.155-169.37656.255.822-209.084461.3-405.651-90.166-351.601-853.421-558.402-23,499.389
Aankoop van Beleggingen -29,140.574-694.97-3,658.65-19,235.927-1,367.33-405.23-131,388.528-118,501.75-130,115.663-74,713.057-66,332.379-71,158.911-117,922.283-138,755.759-139,028.037-17,511.136-860.491-4,115.19
Verkoop/verval van Beleggingen 1,250.942,812.41428,970.3278,254.9411,106.94810,431.633109,717.496135,709.165109,153.54371,904.31664,296.89680,546.803130,266.428139,683.791135,356.485578.45218,880.423163.887
Overige Investeringsactiviteiten -985.6621,064.007146.516200.194-501.623-208.035-398.435-138.844-647.39816.33654.401-484.585-2,998.277-3,977.01-4,688.604699.7881,598.322-436.356
Kasstroom uit Investeringsactiviteiten -37,551.216-14,142.77213,536.143-21,856.3841,805.472-3,514.018-27,897.89411,909.291-26,749.483-10,236.664-4,585.9173,440.5541,644.537-13,886.32-14,571.129-25,820.3718,113.731-42,263.406
Financieringsactiviteiten:
Schuldaflossingen -88,660.3-36,201.773-81,550.544-50,516.222-122,465.229-46,731.052-5,469.816-57,964.838-107,209.676-36,587.392-50,663.899-544.781-63.486-1,807.128-17,325.778-4,399.376-3,632.843-14,859.142
Uitgifte van Gewone Aandelen 00031,552.55000000415.291249.592438.576667.73684.61267.839170.21877.773
Terugkoop van Gewone Aandelen 000-14.43400000037,633.572-92,300.099-277.694105,665.85329,826.701-1,577.601-4,119.73-69.56
Uitgekeerde Dividenden -23,764.557-26,009.039-20,253.559-14,685.91-13,977.189-13,382.134-13,784.655-14,947.083-16,236.555-15,920.609-15,913.371-15,520.026-14,168.728-14,640.845-13,091.995-12,704.316-8,833.617-9,241.604
Overige Financieringsactiviteiten 14.24993,505.44568,591.011141.35282,895.67854,651.6961,471.49186,546.04557,963.5661,602.24817.4755.115125,128.655-160.325-46.64813,988.556546.23424,099.547
Kasstroom uit Financieringsactiviteiten -114,266.09831,294.633-33,213.092-33,522.664-53,546.74-5,461.49642,217.0213,634.124-65,482.6719,094.247-28,510.932-108,110.199111,057.32389,725.291-553.108-4,624.898-15,869.7387.014
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 81.15413,813.295-1,644.162-7,860.536-4,668.9034,480.011-9,832.511-2,364.652,948.9810,314.1974,702.17-7,199.70511,883.627-5,164.459-531.725843.028-298.527-411.658
Netto Kasstroomverandering -27,403.22642,380.227-45,113.89914,765.389-18,675.50712,517.72-4,147.74870,172.425-89,318.76514,609.18319,939.419-75,774.643126,841.24472,245.945,575.69712,942.1618,937.053-37,386.438
Kaspositie aan het Einde van de Periode 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