Tsann Kuen Enterprise Co.,Ltd

TWSE:2430.TW

32.85 (TWD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,301.3651,768.4152,102.777872.6961,194.121976.2661,626.3241,551.6291,309.2691,233.9383,053.8672,825.7584,765.6564,520.5532,725.2584,230.4433,907.5685,806.33
Kortetermijnbeleggingen 119.467158.95986.851,452.254219.306185.5196.271116.854121.154144.668186.946173.373247.921227.12885.0271,375.408122.81145.888
Liquide middelen en kortetermijnbeleggingen 1,420.8321,927.3653,089.6272,324.951,413.4271,161.7761,722.5951,668.4831,430.4231,378.6063,240.8132,999.1315,013.5774,747.6812,810.2855,605.8514,030.3795,852.218
Nettovorderingen 175.673174.642172.14298.994118.735242.803217.173269.184144.49788.8490.756465.101316.323220.483201.2362,347.1352,962.6734,571.208
Voorraad 2,433.9482,703.2612,504.3472,281.0162,201.4272,642.4252,858.582,848.1472,967.1042,926.5833,321.3113,018.0743,389.3433,178.032,731.7245,605.1296,886.6527,102.595
Overige vlottende activa 14.002192.34318.80413.32311.1139.126275.09331.182178.949772.324609.88823.32219.222.91119.91957.8253,347.685704.247
Totaal vlottende activa 4,044.4554,822.9695,784.924,718.2833,744.6994,086.134,856.2654,847.8124,576.4765,077.5137,172.0126,505.6288,738.4438,169.1055,763.16413,615.9417,227.38918,230.268
Niet-vlottende activa:
Materiële vaste activa, netto 7,719.2227,870.5837,809.0427,003.2797,004.9153,752.8573,714.7013,607.8523,605.4613,758.6792,834.932,863.2622,467.0092,192.5012,212.4476,870.9247,483.5448,325.575
Goodwill 0.6290.6290.6290.629000000100.468000059.27900
Immateriële activa 11.28921.94815.86616.11221.71610.376.5657.51810.1889.4511.1119.84100092.76992.31488.281
Goodwill en immateriële activa 11.91822.57716.49516.74121.71610.376.5657.51810.1889.45111.5799.841000152.04892.31488.281
Langetermijnbeleggingen -69.186-86.509-909.49-1,379.967-113.528-74.53942.12988.019112.382125.192-13.861212.791-230.011-209.21867.652-1,298.643-41.72947.237
Belastingvorderingen 71.1373.19475.30580.686147.533157.947140.60472.29981.77116.177122.59804.053001,608.06290.101147.392
Overige niet-vlottende activa 2,383.9552,263.5733,074.8953,535.0062,379.3851,328.7161,259.3411,315.3151,278.7431,279.318844.992797.263639.328595.452473.286961.7071,104.024699.042
Totaal niet-vlottende activa 10,117.03910,143.41810,066.2479,255.7459,440.0215,175.3515,163.345,091.0035,088.5445,288.8163,900.2383,883.1572,880.3792,578.7352,753.3858,294.0968,928.2549,307.527
Totaal activa 14,161.49414,966.38715,851.16713,974.02813,184.729,261.48110,019.6059,938.8159,665.0210,366.32911,072.2510,388.78511,618.82210,747.848,516.54921,910.03626,155.64327,537.795
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,415.6063,060.7923,377.1242,925.6212,371.4632,676.6383,353.4163,100.3653,232.5543,497.0163,971.953,951.7114,659.3164,438.1394,228.8778,663.212,003.13912,418.656
Kortlopende schulden 1,018.507999.639970.845903.516944.51218.81752.03163.616.47724.66715.47530.761217.412108.61130.5062,207.3872,678.9457,337.376
Belastingschulden 62.96162.472151.4213.0812.06212.70653.579109.88120.51457.61896.74185.363215.069246.738253.434124.288250.777214.619
Uitgestelde opbrengsten 1,286.809760.2191,617.0151,354.551,126.4911,329.5941,325.5541,464.5761,348.8031,814.9731,689.8761,479.9471,766.2881,577.5141,425.812,236.622,705.2842,527.705
Overige kortlopende verplichtingen 18.023649.09113.39219.47921.98974.57172.9879.67668.24983.35107.125120.544109.739157.064157.735218.234160.166317.595
Totaal kortlopende verplichtingen 4,738.9455,469.7415,978.3765,203.1664,464.4554,099.624,803.9814,708.2274,656.0835,420.0065,784.4265,582.9636,752.7556,281.3285,842.92813,325.44117,547.53422,601.332
Langlopende verplichtingen:
Langetermijnschulden 4,453.3884,358.6354,346.9813,677.7393,764.097133.081134.23147.365167.058216.805242.042283.678000895.2981,448.686474.981
Uitgestelde opbrengsten niet-vlottend 205.32170.145123.27479.10458.24270.456102.399105.5440000000013.2130.165
Uitgestelde belastingverplichtingen niet-vlottend 24.43715.0876.6453.7315.9980.3570.1860.080000000242.781170.029120.23
Overige niet-vlottende verplichtingen 185.31225.124211.641223.331226.608237.296246.057184.541301.523226.317205.424-166.566114.4152.01451.15657.55346.13542.239
Totaal niet-vlottende verplichtingen 4,868.4554,768.9914,688.5413,983.9054,054.945441.19482.872437.53468.581443.122447.466117.112114.4152.01451.1561,195.6321,678.06667.615
Totaal passiva 9,607.410,238.73210,666.9179,187.0718,519.44,540.815,286.8535,145.7575,124.6645,863.1286,231.8925,700.0756,867.1656,333.3425,894.08414,521.07319,225.59423,268.947
Eigen vermogen:
Preferente aandelen 00000000059.75772.3430000000
Gewone aandelen 1,1681,1681,664.6881,664.6881,664.6881,674.6311,674.6311,674.6311,674.6311,674.6311,674.6311,674.6311,674.6311,690.6311,283.9783,209.9782,466.3432,466.343
Ingehouden winsten 1,124.6431,361.6281,388.1481,028.436905.761985.8981,031.481,139.91888.7861,442.119985.0931,207.4181,332.8121,158.345859.9251,980.5962,334.787-124.243
Overige gereserveerde algehele resultaten 1,015.78952.356885.743848.162849.2825.843793.773764.731,958.962-59.757-72.3430000000
Overige totale aandeelhoudersvermogen 1,245.6711,245.6711,245.6711,245.6711,245.6711,232.9521,230.7541,208.40401,198.4911,868.2481,806.6611,744.2141,565.522478.5621,085.8151,138.091,291.296
Totaal eigen vermogen van aandeelhouders 4,554.0944,727.6555,184.254,786.9574,665.324,719.3244,730.6384,787.6754,522.3794,315.2414,527.9724,688.714,751.6574,414.4982,622.4656,276.3895,939.223,633.396
Totaal eigen vermogen 4,554.0944,727.6555,184.254,786.9574,665.324,720.6714,732.7524,793.0584,540.3564,503.2014,840.3584,688.714,751.6574,414.4982,622.4657,388.9636,930.0494,268.848
Totaal passiva en aandeelhoudersvermogen 14,161.49414,966.38715,851.16713,974.02813,184.729,261.48110,019.6059,938.8159,665.0210,366.32911,072.2510,388.78511,618.82210,747.848,516.54921,910.03626,155.64327,537.795