Advantech Co., Ltd.

TWSE:2395.TW

333.5 (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 10,837.5313,442.8610,255.3429,128.3619,307.887,994.4897,533.5437,097.3656,289.5356,055.1065,168.5463,485.813,570.8273,067.4091,759.5722,559.2282,938.7032,923.699
Afschrijvingen & Amortisatie 1,086.2131,057.081,096.871968.2021,017.792733.112815.355820.088666.194594.92483.888447.303486.819409.377346.146341.41287.86210.463
Uitgestelde Inkomstenbelasting 2,593.6420-2,159.987-438.457-1,754.926-1,346.92-1,805.526-1,558.677-969.54-993.028-633.571-37.382156.40159.66188.968-2.5932.346-5.808
Aandelen Gebaseerde Vergoedingen 255.971233.443291.468365.248295.427341.624424.637338.194261.877111.39319.91345.40682.47474.5925.257-1.764-1.8660.016
Verandering in Werkkapitaal 4,228.406-3,532.141-317.859-1,925.332-2,671.866-271.299-3,961.1171,315.432-315.912-819.73439.92583.15-497.551-1,521.214945.15-31.05464.152-946.9
Vorderingen 1,833.834-894.535-1,515.896106.3261.796-459.553-545.9-688.164-539.108-365.548-745.909-171.758000000
Voorraden 4,229.364-1,490.349-4,703.866-29.767215.45-1,310.932-614.558-446.618-87.31-750.893-58.942-77.792-451.944-1,528.593205.356-71.369-21.966-392.308
Crediteuren -1,041.159-369.3293,160.528-559.582-1,440.29510.358270.5991,569.09759.874000000000
Overig Werkkapitaal -793.633-777.9282,741.375-1,442.303-1,508.8221,039.633-3,346.5591,762.05-228.602-68.84198.867160.942-45.6077.379739.79440.31586.118-554.592
Overige Niet-Contante Posten -3,766.191-1,469.968-34.268-19.4561.162-25.264.3972.173-27.995-37.416-19.02219.432127.506198.19129.061179.958-23.14224.991
Kasstroom uit Operationele Activiteiten 15,235.5719,731.2749,131.5678,078.5666,195.4697,425.7463,011.2898,014.5755,904.1594,911.2415,059.6814,243.7193,926.4762,288.0153,274.1543,045.1883,298.0532,206.461
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,287.888-1,477.465-1,221.966-732.398-1,115.295-802.303-609.908-1,475.259-1,424.641-1,282.822-1,658.83-620.91-2,209.668-258.644-405.45-1,175.655-578.787-366.543
Netto Overnames -281.154-38.818-390.192-378.154-1,038.639-1,141.849-733.847-1,504.432-50.278-47.721-721.85-162.412-61.937-753.06556.329-13.983-177.216-27.237
Aankoop van Beleggingen -3,940.911-963.982-13.808-695.968-37.354-158.166-6,666.811-6,491.968-11,993.598-5,848.158-5,144.011-2,555.378-833.5-70.331-99.073-8,740.559-11,521.703-10,042.97
Verkoop/verval van Beleggingen 2,558.79962.02468.19790.975-165.161111.2099,899.0255,357.60711,768.5045,213.8584,633.8182,848.053158.697237.2630.40710,039.59712,194.79710,418.512
Overige Investeringsactiviteiten 0.063178.639282206.661550.635221.951241.286683.81956.578217.19787.488-75.209-96.406-17.312-34.2-100.33-95.698-86.648
Kasstroom uit Investeringsactiviteiten -2,951.091-2,239.602-1,275.776-808.884-1,805.814-1,769.1582,129.745-3,430.233-1,643.435-1,747.646-2,803.385-565.856-3,042.814-862.089-481.9879.07-178.607-104.886
Financieringsactiviteiten:
Schuldaflossingen -275.84-401.03-90.83-107.593-47.236-54.245-479.213-396.875-877.545-122.464-231.24-9.72-9.447-11.873-106.232-19.967-1.894-11.677
Uitgifte van Gewone Aandelen 439.577436.27199.865139.687140.436118.37677.42117.06830.878214.085154.774171.18561.16103.48811.53622.25919.044
Terugkoop van Gewone Aandelen -256.284-401.03-90.83-239.314-221.264000000-19.99922.8690-509.518-671.826-1,385.698-163.751
Uitgekeerde Dividenden -7,779.77-6,195.71-5,480.813-5,463.198-4,751.129-4,600.414-3,988.367-3,791.118-3,787.255-3,017.82-2,763.586-2,764.981-1,755.718-2,006.535-1,492.004-1,869.508-1,854.598-1,795.841
Overige Financieringsactiviteiten -11.614912.875-101.002-44.139151.429291.9720.95733.046789.24416.634-49.061-5.625-32.329-77.845-93.426-298.654-52.378-210.45
Kasstroom uit Financieringsactiviteiten -7,883.931-5,648.625-5,563.61-5,714.557-4,727.764-4,362.687-4,389.203-4,037.879-2,998.011-2,909.565-2,889.113-2,629.131-813.464-2,096.253-2,197.692-2,848.419-3,272.309-2,162.675
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -46.022885.586-488.471-61.619-291.116124.246-185.189-267.145-26.46135.619193.132-156.022164.83-194.428-40.115-4.64323.8259.797
Netto Kasstroomverandering -1,018.2052,728.6331,803.711,493.506-629.2251,428.942566.642279.3181,236.252289.649-439.685892.71235.028-864.755554.36201.196-129.0438.541
Kaspositie aan het Einde van de Periode 11,011.5812,029.7859,301.1527,497.4426,003.9366,633.1615,204.2194,637.5774,358.2593,122.0072,832.3583,415.8712,523.1612,288.1333,152.8882,598.5282,397.3322,526.375