Formosa International Hotels Corporation

TWSE:2707.TW

200.5 (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 605.077453.169392.624483.8251,208.477896.586453.263500.403629.71730.177886.326481.29312.153302.649241.227234.723244.035105.74
Kortetermijnbeleggingen 3,332.2383,024.2123,424.8552,114.4631,232.831,210.224676.308517.581376.197374.758601.516358.901473.625355.584203.326193.593550.4672,573.38
Liquide middelen en kortetermijnbeleggingen 3,937.3153,477.3813,817.4792,598.2882,441.3072,106.811,129.5711,017.9841,005.9071,104.9351,487.842840.191785.778658.233444.553428.316794.5022,679.12
Nettovorderingen 637.106251.463218.748656.732282.308380.724502.065441.255362.199462.451362.064400.939382.7200181.707157.067170.059
Voorraad 27.52837.32926.58579.14963.62173.299104.47170.14772.97644.26539.21638.0836.68840.44431.28938.2335.83814.704
Overige vlottende activa 56.8310.080.2880.0390.0650.214295.497245.862233.649140.035213.22120.27322.407356.484229.79120.3763.072.735
Totaal vlottende activa 4,658.783,766.2534,063.13,334.2082,787.3012,561.0472,031.6041,775.2481,674.7311,751.6862,102.3431,299.4831,227.5931,055.161705.633668.629990.4772,866.618
Niet-vlottende activa:
Materiële vaste activa, netto 4,660.8775,013.3235,409.4076,016.8486,483.6852,824.1323,089.2283,280.1923,434.4243,190.8472,614.4142,353.0282,388.0992,448.9212,538.132,425.3772,146.8971,912.345
Goodwill 00000-114.599171.353185.689189.029182.235171.64167.207174.347167.72556.33856.33856.3380
Immateriële activa 20.92320.92320.92325.42323.459146.9251,554.3931,696.4621,735.1471,701.0361,635.81,620.8031,699.2561,664.633370.136397.451423.915206.521
Goodwill en immateriële activa 20.92320.92320.92325.42323.45932.3261,603.4871,752.2311,786.5961,738.0321,654.5411,788.011,873.6031,832.358426.474453.789480.253206.521
Langetermijnbeleggingen 1,167.525-1,858.188-2,381.095-1,034.397-105.04-59.84-675.808-517.081-375.697-374.258-601.01688.314227.25223.379327.102350.838-59.292-2,158.962
Belastingvorderingen 38.11532.35732.54938.76147.46550.81791.331122.888114.37556.21554.98532.96233.94220.6213.9988.9077.528.802
Overige niet-vlottende activa 84.9733,514.2853,866.5682,573.5062,095.3292,492.0351,242.4741,108.234961.597981.611,215.586418.604534.505501.091301.674294.487626.0072,596.144
Totaal niet-vlottende activa 5,972.4136,722.76,948.3527,620.1418,544.8985,339.475,350.7125,746.4645,921.2955,592.4464,938.514,680.9185,057.3995,026.373,597.3783,533.3983,201.3852,564.85
Totaal activa 10,631.19310,488.95311,011.45210,954.34911,332.1997,900.5177,382.3167,521.7127,596.0267,344.1327,040.8535,980.4016,284.9926,081.5314,303.0114,202.0274,191.8625,431.468
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 251.744281.204223.672264.707268.254271.241301.819300.715301.072293.032259.232237.633272.111182.694164.357164.544138.93196.177
Kortlopende schulden 411.748478.26436.929377.218748.32917.25232.47392.571164.517125.701149.932119.40397.069130.203127.101151.72991.59886.672
Belastingschulden 372.856263.676147.749136.962122.032133.70691.305102.466114.856115.293129.364136.47672.367115.68469.666126.549160.426114.876
Uitgestelde opbrengsten 615.853667.671,786.1451,574.021,541.769133.706903.796842.725813.416762.333863.495934.824817.286751.422624.033606.503575.9791,969.652
Overige kortlopende verplichtingen 1,563.7931,227.2527.5561,400.1820.4412,780.778570.178523.3821,905.954442.406363.937408.958400.652350.67213.15317.61617.27115.564
Totaal kortlopende verplichtingen 2,843.1382,654.3842,474.3023,616.1252,578.7933,202.9771,808.2661,759.3933,184.9591,623.4721,636.5961,700.8181,587.1181,414.991928.644940.392823.7792,168.065
Langlopende verplichtingen:
Langetermijnschulden 2,554.5542,755.6782,965.8153,245.9074,838.84301,414.1071,456.81257.1431,534.6221,569.791716.2761,103.0671,424.896173.5678.24300
Uitgestelde opbrengsten niet-vlottend 8.2299.8918.49310.42111.68710.5390000011.88815.5317.63821.88420.47214.92419.556
Uitgestelde belastingverplichtingen niet-vlottend 1.8250.69900.0060.0160.0110.0090.0070.0290.4120.45811.5828.98493.09884.254.01300
Overige niet-vlottende verplichtingen 275.519362.507400.636431.862344.642373.316408.047460.313446.098443.622439.113361.84334.852173.82226.601228.07316.503300.145
Totaal niet-vlottende verplichtingen 2,840.1273,128.7753,374.9443,688.1965,195.188383.8661,822.1631,917.132503.271,978.6562,009.3621,101.5861,462.4331,709.452506.295330.798331.427319.701
Totaal passiva 5,683.2655,783.1595,849.2467,304.3217,773.9813,586.8433,630.4293,676.5253,688.2293,602.1283,645.9582,802.4043,049.5513,124.4431,434.9391,271.191,155.2062,487.766
Eigen vermogen:
Preferente aandelen 000000000121.914216.4320000000
Gewone aandelen 1,274.0321,274.0321,274.0321,274.021,274.021,267.4581,267.4581,267.4581,267.4581,169.2311,062.937966.306878.46798.6726660600600
Ingehouden winsten 1,837.9231,417.8712,189.341658.331602.8521,359.9841,045.289944.481,125.7272,396.931,044.3691,086.427967.539892.583697.5961,368.7031,582.1471,503.671
Overige gereserveerde algehele resultaten 1,253.1061,426.4091,163.5491,281.661,277.4481,426.711,213.7411,358.2021,266.253-121.914-216.4320000000
Overige totale aandeelhoudersvermogen 222.383222.383222.383115.409115.40900115.442103.29979.6121,206.2351,031.0721,279.1021,128.9791,266.546696.78633.444606.248
Totaal eigen vermogen van aandeelhouders 4,587.4444,340.6954,849.3053,329.423,269.7294,054.1523,526.4883,685.5823,762.7373,645.7733,313.5413,083.8053,125.1012,820.1622,690.1422,725.4832,815.5912,709.919
Totaal eigen vermogen 4,947.9284,705.7945,162.2063,650.0283,558.2184,313.6743,751.8873,845.1873,907.7973,742.0043,394.8953,177.9973,235.4412,957.0882,868.0722,930.8373,036.6562,943.702
Totaal passiva en aandeelhoudersvermogen 10,631.19310,488.95311,011.45210,954.34911,332.1997,900.5177,382.3167,521.7127,596.0267,344.1327,040.8535,980.4016,284.9926,081.5314,303.0114,202.0274,191.8625,431.468