AmTRAN Technology Co.,Ltd

TWSE:2489.TW

21.7 (TWD) • At close November 5, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 569.177-3,439.0366,311.057740.73463.766240.335-1,074.042,167.8012,301.708974.4621,339.9521,921.1621,382.8492,564.082,574.995963.8081,753.201938.515
Afschrijvingen & Amortisatie 419.59424.37498.056517.234493.399348.507333.169261.0384.89279.756112.63996.11779.337988.522805.231354.555340.245275.324
Uitgestelde Inkomstenbelasting 000000000-259.73600-377.936-61.085-467.839000
Aandelen Gebaseerde Vergoedingen 00000000077.2500131.03176.813284.291000
Verandering in Werkkapitaal 873.8773,373.375214.871-702.224-1,359.583779.981,475.98-309.6761,099.568-1,080.786542.3274,556.0139,633.422-6,339.278-2,692.3714,293.52-5,260.355-3,244.312
Vorderingen -836.2352,753.386-1,717.712-958.2341,018.268-570.3963,311.573-1,820.628-594.44926.444-19.9964,116.618000000
Voorraden -281.236871.809-317.765-637.834-726.881644.697761.437273.321215.1831,124.727718.3491,027.60210,316.589-8,936.818-689.1652,322.412-4,727.166-3,195.777
Crediteuren 557.863-1,534.521,175.427659.39-1,173.404998.991-1,727.308-1,125.035995.398000000000
Overig Werkkapitaal 1,433.4851,282.71,074.921234.454-477.566135.283714.543-582.997884.385-2,205.513-176.0223,528.411-683.1672,597.54-2,003.2061,971.108-533.189-48.535
Overige Niet-Contante Posten -383.483,720.062-6,137.654-946.475-222.853-151.885-550.235-1,521.857-2,490.711-80.27-442.323-221.081-186.899407.863156.09250.359-149.7097.364
Kasstroom uit Operationele Activiteiten 1,479.1644,078.771886.33-390.731-1,025.2711,216.937184.874597.298995.457-289.3241,552.5867,252.20411,361.804-2,363.085660.3975,862.242-3,316.618-2,023.109
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -605.388-102.297-409.551-448.512-636.925-639.781-342.248-332.998-51.38-77.931-53.349-762.542-1,280.705-1,195.97-1,000.467-1,446.602-1,020.891-601.172
Netto Overnames -95.981-10.95529.425-29.61-19.597-12.296-29.4492,673.1374.81943.815-685.94921.3820-118.39100-17.653-214.247
Aankoop van Beleggingen -2,612.417-702.40351.412-75.027-46.121-30-18.336-163.146-19.875-107.376-186.124-259.525-163.79-632.677-133.0830-76.462-55.068
Verkoop/verval van Beleggingen -6.944150.423-28.1141.0455.4271.085327.622182.14195.143262.1480.64311.3680178.399072.113336.364178.788
Overige Investeringsactiviteiten 42.168-147.644-10.892-44.563-132.634-174.453112.061271.2973.503-315.81763.958-24.424-153.1-63.746-353.503-45.63820.635176.807
Kasstroom uit Investeringsactiviteiten -3,278.562-812.876-367.72-596.667-829.85-855.44549.652,630.43132.21-195.161-860.824-713.741-1,597.595-1,832.385-1,487.053-1,420.127-758.007-514.892
Financieringsactiviteiten:
Schuldaflossingen -5-701.268-45.45-22.088-88.057-11.532-22.799-31.733-50.76-2,483.148-3,740.362-158.973-2,918.5310-6,548.908-1,379.138-1,643.057-685.544
Uitgifte van Gewone Aandelen 00650.05500000378.803059.843120.412100.617147.333184.5057.129698.088103.881
Terugkoop van Gewone Aandelen -610.8460-493.6200000-378.80302,474.23-1,225.888-412.2510-31.289-524.4945,069.6490
Uitgekeerde Dividenden 0-570-106.40-16.1980-1,375.915-1,456.852-1,334.979-1,843.943-2,016.043-1,588.144-1,567.067-1,455.961-486.69-398.827-349.2930
Overige Financieringsactiviteiten -64.791-23.305-7.131281.688150.152-29.487-78.4846.741-570.494342.6562.995-1,802.885-901.6132,882.70314,541.896194.268145.6823,316.877
Kasstroom uit Financieringsactiviteiten -680.637-1,294.573-2.546259.645.897-41.019-1,477.198-1,481.844-1,956.233-3,984.435-3,219.337-4,655.478-5,698.8451,574.0757,659.514-2,101.0623,921.0692,735.214
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -8.81187.031-49.971-16.05-107.964-29.625-28.92-277.19-15.72673.36278.328-65.797782.394-55.435-18.32-57.34645.32344.223
Netto Kasstroomverandering -2,488.8462,058.353466.093-743.848-1,917.188290.848-1,271.5941,468.694-844.292-4,395.558-2,449.2471,817.1884,847.758-2,676.836,814.5382,283.707-108.233241.436
Kaspositie aan het Einde van de Periode 3,789.4026,278.2484,219.8953,753.8024,497.656,414.8386,123.997,395.5845,926.896,771.18211,166.7415,609.46113,792.2738,944.51511,621.3454,806.8072,523.12,631.333