Transcend Information, Inc.

TWSE:2451.TW

100.5 (TWD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,858.7193,187.3122,018.106736.8521,233.4071,429.7373,645.9141,842.6711,195.36811,565.34411,639.5059,872.2439,708.2635,838.2947,335.3095,258.4184,586.2911,546.413
Kortetermijnbeleggingen 8,130.8398,611.3577,073.7729,170.88710,491.9919,235.0147,638.5389,068.885912.948690.57123.698470.06496.14500.517681.232520.7781,580.4721,089.424
Liquide middelen en kortetermijnbeleggingen 9,989.55811,798.6699,091.8789,907.73911,725.39810,664.75111,284.45210,911.55512,108.31612,255.91411,763.20310,342.3079,804.4036,338.8118,016.5415,779.1966,166.7632,635.837
Nettovorderingen 1,360.7581,296.4291,893.8091,506.5641,605.672,235.7232,619.9813,014.5643,342.6773,276.4472,990.6872,869.1152,878.454,712.9384,026.452,789.2483,263.4293,107.641
Voorraad 5,003.6893,143.0645,774.8253,190.4662,062.6593,184.1885,241.155,166.8214,513.7566,364.9875,075.9396,222.334,502.3243,263.0364,312.2815,374.3564,744.9364,368.942
Overige vlottende activa 41.26216.7113.44510.49517.97331.12144.2136.38952.48644.51536.311124.07292.856120.45143.312200.16122.641178.619
Totaal vlottende activa 16,395.26716,254.87216,773.95714,615.26415,411.716,115.78319,189.79319,129.32920,017.23521,941.86319,866.1419,557.82417,278.03314,435.23516,498.58414,142.96114,197.76910,291.039
Niet-vlottende activa:
Materiële vaste activa, netto 1,688.5761,776.5622,066.0672,469.4032,679.2042,599.4932,706.9232,740.212,995.0913,160.9743,330.8753,623.1064,051.8783,844.8773,519.9413,340.52,725.3272,173.949
Goodwill 0000011,765.2917,810.1579,244.5761,090.73871.3310.2610000000
Immateriële activa 0000093.30297.843101.625112.799117.884116.669113.244119.576112.963120.427128.69100
Goodwill en immateriële activa -009,675.8611,783.31313,102.28311,858.5937,9089,346.2011,203.529989.184426.93113.244119.576112.963120.427128.691121.386116.533
Langetermijnbeleggingen 4,075.798-7,898.245-6,184.083-8,219.241-10,131.866-8,966.537-7,396.542-8,606.695-411.089-125.338361.97935.884557.865555.391335.132321.622-738.104-1,007.039
Belastingvorderingen 80.796137.77447.35541.47275.85990.301133.95477.75972.77792.31978.915664.438129.157522.114701.009520.7781,580.4722.741
Overige niet-vlottende activa 48.84411,257.47959.34547.41163.61166.879228.353204.25185.706234.238183.6914.5016.38512.8392.37311.525.1331,145.673
Totaal niet-vlottende activa 5,894.0145,273.575,664.5446,122.3585,789.095,748.7293,580.6883,761.7254,046.0144,351.3774,382.394,441.1734,864.8615,048.1844,678.8824,323.0913,714.2142,431.857
Totaal activa 22,289.28121,528.44222,438.50120,737.62221,200.7921,864.51222,770.48122,891.05424,063.24926,293.2424,248.5323,998.99722,142.89419,483.41921,177.46618,466.05217,911.98312,722.896
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,831.683500.1191,417.0761,171.6821,058.1781,227.1741,275.0061,788.4841,647.6723,276.7162,715.3853,323.3311,713.2041,304.974918.6061,241.5252,192.9661,874.678
Kortlopende schulden 52.94447.80616.91751.0153.945000901.425903.308580.255171.8080.16747.96949.7891,428.72317.17286.084
Belastingschulden 494.669581.546592.886295.38183.705133.508412.34596.138280.861319.927239.967248.417427.40951.857766.707466.066474.475224.417
Uitgestelde opbrengsten 494.6690879.054542.016350.821000647.806794.979633.777708.322988.974452.881,365.741,212.413837.548504.277
Overige kortlopende verplichtingen 323.544878.84288.60673.04638.635422.113791.611531.08636.09260.06350.01339.57759.54414.26357.00923.209116.791149.494
Totaal kortlopende verplichtingen 2,702.841,426.7672,401.6531,837.7541,501.5791,649.2872,066.6172,319.573,232.9955,035.0663,979.434,243.0382,761.8852,220.0862,391.1443,905.8673,464.4752,814.533
Langlopende verplichtingen:
Langetermijnschulden 101.64132.96226.03334.70583.697000000000455.46419.7381,077.1311,581.414
Uitgestelde opbrengsten niet-vlottend -0000000000000020.46220.1700
Uitgestelde belastingverplichtingen niet-vlottend 173.377376.447128.784139.7155.482179.631158.463167.817259.348485.378395.542324.722300.478215.115166.68189.6812.3160
Overige niet-vlottende verplichtingen 42.71441.7347.19653.43753.18455.29247.10676.73368.82554.19149.34944.64352.86946.90117.32510.90817.97820.05
Totaal niet-vlottende verplichtingen 317.731551.139202.013227.842292.363234.923205.569244.55328.173539.569444.891369.365353.347262.016659.932140.4961,107.4251,601.464
Totaal passiva 3,020.5711,977.9062,603.6662,065.5961,793.9421,884.212,272.1862,564.123,561.1685,574.6354,424.3214,612.4033,115.2322,482.1023,051.0764,046.3634,571.94,415.997
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 4,290.6174,290.6174,290.6174,290.6174,307.6174,307.6174,307.6174,307.6174,307.6174,307.6174,307.6174,307.6174,307.6174,254.7674,238.6033,945.433,706.4573,375.206
Ingehouden winsten 6,537.4556,981.4747,083.0725,738.5046,427.36,778.9957,363.6417,595.2947,990.32411,557.4027,975.0477,559.5577,369.985,927.7857,432.746,001.2715,323.0163,912.502
Overige gereserveerde algehele resultaten 5,431.1474,890.6644,730.2324,701.8144,441.6514,288.4574,135.6523,624.9483,405.06554.5119.1310000000
Overige totale aandeelhoudersvermogen 3,009.4913,387.7813,730.9143,941.0914,230.284,605.2334,691.3854,799.0754,799.0754,799.0757,532.4147,519.427,350.0656,818.7656,455.0474,472.9884,310.611,019.191
Totaal eigen vermogen van aandeelhouders 19,268.7119,550.53619,834.83518,672.02619,406.84819,980.30220,498.29520,326.93420,502.08120,718.60519,824.20919,386.59419,027.66217,001.31718,126.3914,419.68913,340.0838,306.899
Totaal eigen vermogen 19,268.7119,550.53619,834.83518,672.02619,406.84819,980.30220,498.29520,326.93420,502.08120,718.60519,824.20919,386.59419,027.66217,001.31718,126.3914,419.68913,340.0838,306.899
Totaal passiva en aandeelhoudersvermogen 22,289.28121,528.44222,438.50120,737.62221,200.7921,864.51222,770.48122,891.05424,063.24926,293.2424,248.5323,998.99722,142.89419,483.41921,177.46618,466.05217,911.98312,722.896