Elite Material Co., Ltd.

TWSE:2383.TW

579 (TWD) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 9,258.88110,443.6186,642.0695,731.8626,350.796,022.9675,293.5894,230.0853,911.272,168.9191,836.4721,405.7661,337.9791,875.3331,010.891786.26790.041467.684
Kortetermijnbeleggingen 000-23.3374.561-253.256.184-106.161-118.1691.427-122.19611.79817.58411.485176.974242.894251.631404.643
Liquide middelen en kortetermijnbeleggingen 9,258.88110,443.6186,642.0695,731.8626,355.3516,022.9675,299.7734,230.0853,911.272,170.3461,836.4721,417.5641,355.5631,886.8181,187.8651,029.1541,041.672872.327
Nettovorderingen 17,326.562009,934.060000005,563.4165,502.4234,311.107002,838.49200
Voorraad 6,134.7024,235.9085,465.4113,702.1722,904.7012,209.3472,551.852,074.5441,790.3781,845.9411,612.171,692.4371,150.911,331.301837.799695.5051,108.5151,183.33
Overige vlottende activa 954.768160.478364.83200.463324.208199.31115.328106.97285.12886.96397.381137.911108.57668.495171.54819.876314.635340.829
Totaal vlottende activa 33,674.91326,579.95725,843.74419,568.55718,833.25816,232.50215,480.40414,132.08412,575.99411,113.3939,109.4398,743.3896,926.1567,434.7366,208.8424,583.0275,239.3124,714.991
Niet-vlottende activa:
Materiële vaste activa, netto 18,164.3315,289.0549,068.7716,769.1656,098.0054,937.4244,803.4584,622.5714,656.8025,099.5785,093.0024,561.5234,449.9773,606.3463,544.6013,856.1763,486.623,068.551
Goodwill 000436.58900000000000000
Immateriële activa 712.271744.784669.41235.31110.3167.3887.3445.0623.2861.6143.491107.172114.152110.99781.29586.71586.25679.188
Goodwill en immateriële activa 712.271744.784669.41671.910.3167.3887.3445.0623.2861.6143.491107.172114.152110.99781.29586.71586.25679.188
Langetermijnbeleggingen 5.504076.449.13333.66270.54110.638124.39136.72316.463139.14113.9066.61595.323-121.897-184.981-229.105-385.825
Belastingvorderingen 297.588192.172281.368225.052231.497118.56865.5553.83324.28627.9755.00611.79817.58485.335423.044242.894251.631404.643
Overige niet-vlottende activa 572.021576.52625.368572.999497.595396.04433.32294.835310.738444.87221.353154.767121.92278.66150.522293.926243.225245.196
Totaal niet-vlottende activa 19,751.71416,802.5310,721.3178,288.2496,871.0735,729.9615,320.315,100.6915,131.8355,590.55,461.9934,849.1664,710.253,976.6623,977.5654,294.733,838.6273,411.753
Totaal activa 53,426.62743,382.48736,565.06127,856.80625,704.33121,962.46320,800.71419,232.77517,707.82916,703.89314,571.43213,592.55511,636.40611,411.39810,186.4078,877.7579,077.9398,126.744
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 10,488.6126,513.2818,127.5335,846.875,672.0984,953.1115,164.0855,042.1034,474.144,714.4853,415.7823,654.9092,390.1912,661.8382,049.9191,017.9471,994.6391,751.87
Kortlopende schulden 7,879.0875,312.3062,928.8891,161.582,464.2231,013.153150.325480.449325.1051,824.422,210.5261,738.5551,770.3341,701.5462,252.4342,567.1882,108.3311,754.093
Belastingschulden 484.781542.458424.343294.853250.026137.425267.535354.433311.617103.91463.48164.67190.32279.82254.01412.746022.408
Uitgestelde opbrengsten 003,265.8582,439.5682,087.145137.4251,580.7821,710.971,482.1351,200.799983.911898.024950.106827.248537.124447.027615.324400.152
Overige kortlopende verplichtingen 4,220.5993,391.9793,004.4672,310.4821,935.0841,098.0941,365.0671,369.8521,184.3771,110.847932.643853.563862.822771.657486.918437.34148.096672.598
Totaal kortlopende verplichtingen 23,073.07915,760.02414,485.2329,613.78510,321.4317,201.7836,947.0127,246.8376,295.2397,753.6666,622.4326,298.0315,113.6695,214.8634,843.2854,035.2224,766.394,200.969
Langlopende verplichtingen:
Langetermijnschulden 2,406.6814,529.0041,013.07564.281635.4471,621.1621,314.337870.91,219.7521.719824.322814.979648.0841,135.654912.4891,193.389741.268835.309
Uitgestelde opbrengsten niet-vlottend 456.318456.527415.44207.56723.7385.869000030.46231.91623.65619.52718.51124.64731.863
Uitgestelde belastingverplichtingen niet-vlottend 664.782519.997859.997910.9511,185.4031,167.141606.912556.942477.179199.615149.025105.628128.88171.651124.957126.914102.1091.95
Overige niet-vlottende verplichtingen 16.276562.36817.43312.2810.34710.11137.20346.12423.93153.48468.15534.85522.44414.52212.0046.1692.09321.523
Totaal niet-vlottende verplichtingen 3,544.0575,547.8992,305.9421,487.5121,846.3312,845.891,970.191,473.9661,720.81774.8181,041.502985.924863.2411,245.4831,068.9771,363.494886.209922.508
Totaal passiva 26,617.13621,307.92316,791.17411,101.29712,167.76210,047.6738,917.2028,720.8038,016.0498,528.4847,663.9347,283.9555,976.916,460.3465,912.2625,398.7165,652.5995,123.477
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 3,431.7933,329.1833,329.1833,329.1833,197.083,196.5243,196.5243,189.2113,175.0513,159.9413,124.1383,083.882,995.4322,847.8172,690.2412,546.5672,392.5112,150.382
Ingehouden winsten 15,863.81513,361.34912,298.0529,430.278,391.9036,730.5226,905.3446,014.9954,876.1063,999.6772,506.832,404.2951,841.9361,772.526950.912407.565540.293416.458
Overige gereserveerde algehele resultaten 05,288.4054,029.9843,883.551,835.3211,877.5241,558.1991,207.4811,560.412587.189374.3380000000
Overige totale aandeelhoudersvermogen 7,513.88395.62795.6273,979.17795.62795.6271,769.81189.22669.0491,593.361381.7854.19168.782321.125344.64975.579175.54285.45
Totaal eigen vermogen van aandeelhouders 26,809.49122,074.56419,752.84616,738.6313,519.93111,900.19711,871.67910,500.9139,680.6188,166.1126,890.2716,294.3155,647.0654,941.4683,985.8023,231.9673,108.3462,668.692
Totaal eigen vermogen 26,809.49122,074.56419,773.88716,755.50913,536.56911,914.7911,883.51210,511.9729,691.788,175.4096,907.4986,308.65,659.4964,951.0524,274.1453,479.0413,425.343,003.267
Totaal passiva en aandeelhoudersvermogen 53,426.62743,382.48736,565.06127,856.80625,704.33121,962.46320,800.71419,232.77517,707.82916,703.89314,571.43213,592.55511,636.40611,411.39810,186.4078,877.7579,077.9398,126.744