Huaku Development Co., Ltd.

TWSE:2548.TW

138 (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 1,513.5061,699.1612,392.98511.3311,237.7381,515.998885.3311,174.186389.761926260.6391,127.216718.941,128.2652,336.531731.049634.319208.852
Kortetermijnbeleggingen 32.271143.172168.373122.46987.65708.0521,044.472633.914556.243812.174660.977600.88527.33448.987107.54454.4785.68514.359
Liquide middelen en kortetermijnbeleggingen 1,545.7771,842.3332,561.353633.81,325.3882,224.051,929.8031,808.1946.0041,738.174921.6161,728.101746.2741,177.2522,444.075785.527640.004223.211
Nettovorderingen 295.78248.486252.771429.226396.991965.71899.493614.609741.79839.44636.877659.507616.907738.987380.119680.666141.104116.365
Voorraad 36,499.99834,176.40234,542.93228,957.76127,687.35231,241.62725,501.52329,281.4531,321.12627,032.77726,868.44524,338.00322,934.30120,587.32913,760.01619,410.61317,675.31710,108.5
Overige vlottende activa 2,301.1691,846.6171,515.272,020.4962,188.5342,392.0462,309.0612,239.8894,013.5585,210.8943,685.11474.749109.48272.4765.10371.035555.529425.205
Totaal vlottende activa 40,642.72438,113.83838,872.32632,041.28331,598.26536,823.43330,639.8833,944.04837,022.47834,821.28532,112.05226,800.3624,406.96422,576.04416,589.31320,947.84119,011.95410,873.281
Niet-vlottende activa:
Materiële vaste activa, netto 228.671226.17219.736207.858197.276177.67180.14610.8821.42218.01323.0149.8413.4247.3228.27623.36520.24323.023
Goodwill 000000000000000000
Immateriële activa 00000000000000.7371.4742.212.9474.213
Goodwill en immateriële activa 331.4360673.858640.354613.2571,255.9661,561.552884.897556.243812.174660.977644.2800.7371.4742.212.9474.213
Langetermijnbeleggingen 33.758-98.561-127.316-81.412-48.947-670.57-1,005.153-593.847-514.196-768.113-611.36-551.7623.35345.2364.90247.321109.27489.768
Belastingvorderingen 24.2324.25826.99727.81224.11324.77146.23720.52319.68216.84815.1927.121081.216132.18454.4780.6851.083
Overige niet-vlottende activa 2,331.2923,293.5162,963.6713,361.8493,787.6543,392.0752,886.711132.29937.73838.62941.20827.803130.10427.44329.858152.429105.85349.138
Totaal niet-vlottende activa 2,949.3873,445.3833,756.9464,156.4614,573.3534,179.9123,669.493454.752120.889117.551129.031137.284166.881161.954176.694279.803239.002167.225
Totaal activa 43,592.11141,559.22142,629.27236,197.74436,171.61841,003.34534,309.37334,398.837,143.36734,938.83632,241.08326,937.64424,573.84522,737.99816,766.00721,227.64419,250.95611,040.506
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,673.491,301.2541,317.6421,211.2761,358.8931,320.4331,761.9441,732.4741,259.2011,085.821969.5051,153.091843.108784.874595.513992.187648.023624.605
Kortlopende schulden 13,443.38511,639.17313,618.835,957.8296,875.21811,959.7745,582.0729,762.5912,896.89111,871.40311,115.8346,707.2037,395.5487,398.6744,936.678,474.4587,714.6083,688.648
Belastingschulden 327.046444.345516.935190.221583.488145.836410.947333.62988.308266.31426.27692.863157.16384.109110.096146.36699.58558.157
Uitgestelde opbrengsten 4,569.2534,647.044,710.3424,115.9524,265.622145.8361,011.503829.958528.745714.355439.5643,608.1162,335.093,650.2162,102.4384,284.75,300.7282,540.941
Overige kortlopende verplichtingen 185.3711,226.652285.362,358.4031,977.8917,843.5045,899.5755,401.3976,622.7786,531.9175,195.9761,642.229358.759170.356425.71734.211335.69313.947
Totaal kortlopende verplichtingen 19,871.49918,814.11919,932.17413,643.4614,477.62421,269.54714,255.09417,726.41921,307.61520,203.49617,720.87913,110.63910,932.50512,004.128,060.33813,785.55613,999.0497,168.141
Langlopende verplichtingen:
Langetermijnschulden 2,855.5263,296.3874,083.9954,900.4984,709.5134,434.9743,964.5721,2161,1041,217.6809.251,2001,28000796.53500
Uitgestelde opbrengsten niet-vlottend 04.59626.38958.95294.04700158.569194.75400044.98800000
Uitgestelde belastingverplichtingen niet-vlottend 3.5123.562.283.180.5964.54412.045.33332.61846.2527.86603.46800000
Overige niet-vlottende verplichtingen 66.33769.05771.58364.11767.314184.516242.00888.68286.654271.518341.362253.3199.618236.55945.30734.6424.22827.722
Totaal niet-vlottende verplichtingen 2,925.3753,373.64,184.2475,026.7474,871.474,624.0344,218.621,468.5841,418.0261,535.3681,178.4781,453.31,528.074236.55945.307831.17524.22827.722
Totaal passiva 22,796.87422,187.71924,116.42118,670.20719,349.09425,893.58118,473.71419,195.00322,725.64121,738.86418,899.35714,563.93912,460.57912,240.6798,105.64514,616.73114,023.2777,195.863
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 2,768.1272,768.1272,768.1272,768.1272,768.1272,768.1272,768.1272,768.1272,768.1272,768.1272,768.1272,768.1272,713.852,607.8842,416.9462,332.0772,017.4591,728.844
Ingehouden winsten 13,619.04912,410.03611,817.68411,109.35710,721.5499,049.2459,835.2069,290.4878,524.3949,428.8217,547.6666,780.8686,894.6465,993.5744,784.0574,252.1273,113.1731,916.043
Overige gereserveerde algehele resultaten 4,357.8644,061.0773,763.1123,487.9653,166.943,050.2812,875.8532,598.8232,758.986129.71987.3420000000
Overige totale aandeelhoudersvermogen 31.70930.40229.09427.87426.56671.79424.788235.99822.852512.0322,508.8772,480.8892,287.8131,895.8611,459.35913.58784.322187.375
Totaal eigen vermogen van aandeelhouders 20,776.74919,269.64218,378.01717,393.32316,683.18214,939.44715,503.97414,893.43514,074.35912,838.69912,912.01212,029.88411,896.30910,497.3198,660.3626,597.7915,214.9543,832.262
Totaal eigen vermogen 20,795.23719,371.50218,512.85117,527.53716,822.52415,109.76415,835.65915,203.79714,417.72613,199.97213,341.72612,373.70512,113.26610,497.3198,660.3626,610.9135,227.6793,844.643
Totaal passiva en aandeelhoudersvermogen 43,592.11141,559.22142,629.27236,197.74436,171.61841,003.34534,309.37334,398.837,143.36734,938.83632,241.08326,937.64424,573.84522,737.99816,766.00721,227.64419,250.95611,040.506