Gigastorage Corporation

TWSE:2406.TW

17.75 (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 2,320.9443,009.7683,027.1422,693.5642,183.6154,560.2655,824.2777,033.413,717.0852,027.2491,806.0082,526.8183,068.8722,906.479948.44147.278305.963558.497
Kortetermijnbeleggingen 90.99586.49575.29697.483278.992135.6774.05649.1268.548435.9111.246-123.9398.175-133.4710.452-60.15630.77310.356
Liquide middelen en kortetermijnbeleggingen 2,320.9443,096.2633,102.4382,791.0472,462.6074,695.9425,828.3337,082.5363,725.6332,463.1591,817.2542,526.8183,077.0472,906.479948.892147.278336.736568.853
Nettovorderingen 1,086.2732,492.1612,736.6553,558.5953,915.9465,023.435,597.0094,532.7187,007.6314,265.7472,856.8331,659.5161,231.4951,140.1061,231.694000
Voorraad 1,336.1961,130.131,331.7621,894.411,498.021,719.3162,792.7073,095.6913,105.3992,801.4941,010.553992.841961.874561.963347.739232.752159.675194.666
Overige vlottende activa 737.57241.81938.658277.81817.04212.10720.90355.19971.17660.556105.56625.68828.8272.1444.111620.342571.855683.165
Totaal vlottende activa 5,480.9856,760.3737,209.5138,521.877,893.61511,450.79514,238.95214,766.14413,909.8399,590.9565,790.2065,204.8635,299.2434,610.6922,532.4361,000.3721,068.2661,446.684
Niet-vlottende activa:
Materiële vaste activa, netto 5,909.1345,096.9424,304.9744,289.3694,359.7285,009.5457,887.3557,529.1985,890.9115,537.1384,704.4014,149.5393,852.4271,862.4311,778.8181,878.0992,272.0072,154.844
Goodwill 322.465335.609335.609335.60988.0388.03000000000000
Immateriële activa 60.83871.90376.99188.552100.212111.54648.16854.7821.6062.7933.6271.7931.7771.8511.926157.408147.66277.091
Goodwill en immateriële activa 383.303407.512412.6431.263188.242199.57648.16854.7821.6062.7933.6271.7931.7771.8511.926157.408147.66277.091
Langetermijnbeleggingen 2,403.1721,885.5611,852.0431,402.7491,206.6591,427.6621,434.7371,381.607924.66429.725962.403784.963484.171422.503302.938382.168349.59373.107
Belastingvorderingen 177.166172.677179.197143.103170.91211.767184.3122.163166.072153.079175.212114.66772.658118.963116.108146.367155.234182.723
Overige niet-vlottende activa 554.6821,006.205814.24885.692528.944409.16612.572755.179711.816781.518446.942269.491430.068272.50266.2968.477153.836168.575
Totaal niet-vlottende activa 9,427.4578,568.8977,563.0547,152.1766,454.4837,257.7110,167.1329,842.9297,695.0656,904.2536,292.5855,320.4534,841.1012,678.252,266.0862,572.5193,078.3273,156.34
Totaal activa 14,908.44215,329.2714,772.56715,674.04614,348.09818,708.50524,406.08424,609.07321,604.90416,495.20912,082.79110,525.31610,140.3447,288.9424,798.5223,572.8914,146.5934,603.024
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 366.083295.798161.573218.892167.702260.409681.5566.221669.902619.052852.14465.679133.103178.812145.755107.887166.049123.181
Kortlopende schulden 1,245.3621,804.4573,091.9255,210.7264,273.4916,911.4797,535.0526,970.0684,656.7952,396.4242,120.4191,169.8391,588.249222.774726.435654.843803.111327.235
Belastingschulden 23.41911.4124.05124.2277.54975.33457.272148.977494.733223.778121.26871.716110.3692.85859.3891.55900
Uitgestelde opbrengsten 96.57256.836330.889939.857396.71375.3341,928.4951,064.7921,095.748760.616640.136377.426402.704367.192223.0921.55900
Overige kortlopende verplichtingen 1,110.841888.239892.2561,261.276455.4321,280.815710.122561.2981,158.682349.90415.3248.3893.0262.5712.28152.514181.331158.447
Totaal kortlopende verplichtingen 2,818.8583,045.334,476.6437,630.7515,293.3388,528.03710,855.1699,162.3797,581.1274,125.9963,628.0192,021.3332,127.082771.3491,097.562916.8031,150.491608.863
Langlopende verplichtingen:
Langetermijnschulden 2,917.4492,133.4562,818.4132,121.1733,937.4184,940.6366,107.9055,029.5614,547.3314,563.2732,155.8072,327.5931,724.546495.369583.00687.853391.657807.734
Uitgestelde opbrengsten niet-vlottend 83.951025.74827.92789.398225.026122.702102.07152.578000000000
Uitgestelde belastingverplichtingen niet-vlottend 34.85339.4330.35631.49424.103177.831187.94115.5617.29000000000
Overige niet-vlottende verplichtingen 104.73899.81785.2024.024.9725.5015.5756.065.91971.19457.65742.61223174.166344.987784.721647.6688.395
Totaal niet-vlottende verplichtingen 3,140.9912,272.7032,959.7192,184.6144,055.8915,348.9946,424.1225,253.2534,613.1184,634.4672,213.4642,370.2051,747.546669.535927.993872.5741,039.325816.129
Totaal passiva 5,959.8495,318.0337,436.3629,815.3659,349.22913,877.03117,279.29114,415.63212,194.2458,760.4635,841.4834,391.5383,874.6281,440.8842,025.5551,789.3772,189.8161,424.992
Eigen vermogen:
Preferente aandelen 0000166.573000017.7900000000
Gewone aandelen 3,509.0573,509.0572,859.0572,859.0572,059.0573,390.593,390.593,388.973,320.9613,073.9642,919.6522,919.6522,919.6522,504.2292,040.6022,948.9042,948.9042,943.204
Ingehouden winsten -575.428-680.196-533.647-571.686146.887-3,946.718-2,621.88120.396-28.89120.144-41.4156.181199.341802.916275.685-1,182.723-1,340.227-360.312
Overige gereserveerde algehele resultaten 13.18674.115141.36868.411-166.5731,003.9541,117.5651,278.8041,216.816-17.794.8990000000
Overige totale aandeelhoudersvermogen 976.5781,421.138427.787179.322-24.0011,611.2311,637.581,703.4541,489.3722,282.7071,804.8181,947.8221,946.5731,343.69310.78217.168347.94594.99
Totaal eigen vermogen van aandeelhouders 3,923.3934,324.1142,894.5652,535.1042,181.9432,059.0573,523.8546,391.6245,998.2595,476.8154,687.9594,923.6555,065.5664,650.8352,627.0691,783.3491,956.6173,177.882
Totaal eigen vermogen 8,948.59310,011.2377,336.2055,858.6814,998.8694,831.4747,126.79310,193.4419,410.6597,734.7466,241.3086,133.7786,265.7165,848.0582,772.9671,783.5141,956.7773,178.032
Totaal passiva en aandeelhoudersvermogen 14,908.44215,329.2714,772.56715,674.04614,348.09818,708.50524,406.08424,609.07321,604.90416,495.20912,082.79110,525.31610,140.3447,288.9424,798.5223,572.8914,146.5934,603.024