Gourmet Master Co. Ltd.

TWSE:2723.TW

88.3 (TWD) • At close October 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,757.3292,197.8765,010.2934,481.6943,829.2882,064.1042,794.8623,151.3913,054.9822,480.1032,503.7163,278.8024,142.734,013.5321,359.897
Kortetermijnbeleggingen 1,785.4193,427.9431,699.5661,943.7891,652.5953,150.2453,867.922,447.6981,088.08556.07285.6959.2029.3769.0548.782
Liquide middelen en kortetermijnbeleggingen 5,542.7485,625.8196,709.8596,425.4835,481.8835,214.3496,662.7825,599.0894,143.0672,536.1732,789.4113,288.0044,152.1064,022.5861,368.679
Nettovorderingen 582.19811.004802.502777.508792.7969.4121,004.826691.865769.206684.099737.83680.65429.242330.791300.361
Voorraad 862.613935.525763.584706.264770.703761.614768.453706.987636.774533.994455.331389.083371.233226.64202.672
Overige vlottende activa 280.1287.1447.356.3119.96723.02117.77117.32621.52412.61612.60712.7211.3743.2933.566
Totaal vlottende activa 7,267.6797,379.4928,283.2957,915.5667,055.2536,968.3968,453.8327,015.2675,570.5713,766.8823,995.1794,370.4574,963.9554,583.311,875.278
Niet-vlottende activa:
Materiële vaste activa, netto 10,803.04911,441.08111,022.98711,763.34212,454.5176,143.865,592.6125,057.525,318.6424,922.2263,899.392,887.2642,134.7681,193.158949.254
Goodwill 00000-189.8960.7450.7450.745-63.616-9.4970.7450.7450.7450.745
Immateriële activa 35.04644.84448.11750.31242.315236.914226.308123.502158.454139.55283.85224.1123.53319.95517.656
Goodwill en immateriële activa 35.04644.84448.11750.31242.31547.01846.10363.64992.27575.93674.35524.85524.27820.718.401
Langetermijnbeleggingen 568.65-2,648.909-1,043.587-625.068-69.141-1,356.89-3,380.842-2,202.165-788.4762.64-96.93686.996014.4314.698
Belastingvorderingen 415.614271.858203.245202.461139.543110.33496.418112.86128.34981.59663.34612.52912.9111.0514.136
Overige niet-vlottende activa 345.4214,005.4022,308.5072,870.652,988.3014,252.9654,999.6223,388.9171,968.337973.475893.1051,202.063850.937515.321336.541
Totaal niet-vlottende activa 12,167.7813,114.27612,539.26914,261.69715,555.5359,197.2877,353.9136,420.7816,719.1276,055.8734,833.264,213.7073,022.8941,744.661,323.03
Totaal activa 19,435.45920,493.76820,822.56422,177.26322,610.78816,165.68315,807.74513,436.04812,289.6989,822.7558,828.4398,584.1647,986.8496,327.973,198.308
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,342.9571,384.5121,478.661,424.4721,548.11,547.4971,272.0221,228.9361,203.149994.015812.497744.974755.147501.316542.918
Kortlopende schulden 1,284.7431,943.671,831.22,794.5472,347.373406.5211,024.944188.06285.3080.9340.2961.2040.0190.01883.573
Belastingschulden 39.60458.26886.532168.291146.572177.69176.495182.174131.47983.82398.554138.071164.227139.416134.755
Uitgestelde opbrengsten 1,305.3581,323.2042,809.7572,899.7593,007.903177.693,099.0682,658.1412,193.951,896.9891,601.7311,526.9741,245.716800.603511.065
Overige kortlopende verplichtingen 1,432.7841,505.5753.03843.45237.0532,977.66145.05126.78723.09915.59423.2816.97114.77510.61713.672
Totaal kortlopende verplichtingen 5,365.8426,156.9566,172.6557,162.236,940.4295,109.3695,441.0854,101.9263,505.5062,907.5322,437.8042,290.1232,015.6571,312.5541,151.228
Langlopende verplichtingen:
Langetermijnschulden 2,719.783,211.5533,361.8223,965.3725,012.393159.6155.109448.394966.32714.846000.6811.0051.312
Uitgestelde opbrengsten niet-vlottend 0.8263.22390.0377.0418.97111.11713.351072.84356.72600000
Uitgestelde belastingverplichtingen niet-vlottend 128.52128.70379.53490.031162.681148.046119.80800.5970.65300000
Overige niet-vlottende verplichtingen 259.429298.608194.529281.575269.998259.624151.534217.99451.81467.923116.48151.97753.62448.31439.351
Totaal niet-vlottende verplichtingen 3,108.5563,542.0873,725.9224,344.0195,454.043578.387439.802666.3881,091.581140.148116.48151.97754.30549.31940.663
Totaal passiva 8,474.3989,699.0439,898.57711,506.24912,394.4725,687.7565,880.8874,768.3144,597.0873,047.682,554.2852,342.12,069.9621,361.8731,191.891
Eigen vermogen:
Preferente aandelen 000000000000000
Gewone aandelen 1,8001,8001,8001,8001,8001,8001,629.9361,481.761,411.21,411.21,411.21,411.21,3441,280700.123
Ingehouden winsten 5,452.8584,948.5785,570.6325,279.7965,175.0675,395.925,059.8523,893.7352,689.9632,235.0831,487.6031,781.2481,489.93924.187741.473
Overige gereserveerde algehele resultaten 1,387.3181,773.4351,244.4591,257.854868.154888.792632.167533.805851.852396.484218.2370000
Overige totale aandeelhoudersvermogen 2,376.6052,376.6052,376.6052,376.6052,376.6052,369.9562,532.952,681.1262,681.1262,681.1263,085.932,924.932,973.2472,678.711497.497
Totaal eigen vermogen van aandeelhouders 11,016.78110,898.61810,991.69610,714.25510,219.82610,454.6689,854.9058,590.4267,634.1416,723.8936,202.976,117.3785,807.1774,882.8981,939.093
Totaal eigen vermogen 10,960.23510,794.72510,923.98710,671.01410,216.31610,477.9279,926.8588,667.7347,692.6116,775.0756,274.1546,242.0645,916.8874,966.0972,006.417
Totaal passiva en aandeelhoudersvermogen 19,435.45920,493.76820,822.56422,177.26322,610.78816,165.68315,807.74513,436.04812,289.6989,822.7558,828.4398,584.1647,986.8496,327.973,198.308