SinoPac Financial Holdings Company Limited

TWSE:2890.TW

22.85 (TWD) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 214,694.776348,152.718266,140.047170,698.024165,983.867142,715.208151,478.918195,858.539145,049.239154,290.688111,093.22125,367.575118,834.91108,149.796110,479.999115,885.962163,694.059125,805.244
Kortetermijnbeleggingen -184,050.3200000000000000000
Liquide middelen en kortetermijnbeleggingen 30,644.456348,152.718266,140.047170,698.024165,983.867142,715.208151,478.918195,858.539145,049.239154,290.688111,093.22125,367.575118,834.91108,149.796110,479.999115,885.962163,694.059125,805.244
Nettovorderingen 000000000174,337.816133,603.242054,617.75342,007.57550,779.478719,157.693692,314.661676,177.408
Voorraad 0-528,063.071-457,894.926-342,552.772-320,785.362-236,083.564-372,725.676-384,434.588-363,912.634000000000
Overige vlottende activa 00000000000271.655246.97321.30531.484000
Totaal vlottende activa 30,644.456438,362.476376,225.556261,325.1242,716.43202,461.233207,700.646249,134.796235,308.021328,628.504244,696.462191,908.291173,452.663150,157.371161,259.477835,043.655856,008.72801,982.652
Niet-vlottende activa:
Materiële vaste activa, netto 16,968.99116,934.41517,077.07516,644.85416,101.37712,573.06612,307.0812,565.4712,960.23513,807.48213,999.4912,044.37312,276.93711,680.15911,914.3899,381.6339,358.2079,632.87
Goodwill 1,088.2431,088.2431,088.2431,088.2431,088.2431,155.0591,203.2981,873.2861,898.0581,931.8962,164.7012,162.531000000
Immateriële activa 1,354.6811,221.9541,124.2571,099.1251,098.7221,800.2691,875.7132,104.4791,597.0651,721.7231,716.3421,826.962000000
Goodwill en immateriële activa 2,442.9242,310.1972,212.52,187.3682,186.9652,234.8972,334.5663,209.3062,702.6492,837.1313,040.543,120.5232,174.7632,164.7452,287.009761.031781.717772.912
Langetermijnbeleggingen 873,785.873699,272.83700,508.78638,189.823510,931.709412,319.922438,772.915463,430.531411,470.412376,225.818362,830.272349,312.159344,413.499303,595.939220,350.062188,237.611166,448.388221,150.846
Belastingvorderingen 02,014.2382,274.5932,279.2672,126.4642,352.6482,257.0742,988.5582,940.812000000000
Overige niet-vlottende activa 1,847,510.487-2,014.238-2,274.593-2,279.267-2,126.464-2,352.648-2,257.074-2,988.558-2,940.812-392,870.431-379,870.302-364,477.055-358,865.199-317,440.843-234,551.46-198,380.275-176,588.312-231,556.628
Totaal niet-vlottende activa 2,740,708.275718,517.442719,798.355657,022.045529,220.051427,127.885453,414.561479,205.307427,133.296392,870.431379,870.302364,477.055358,865.199317,440.843234,551.46198,380.275176,588.312231,556.628
Totaal activa 2,771,352.7312,588,763.2572,382,674.8622,143,348.5651,833,120.7051,604,926.1171,599,160.8831,678,930.3511,587,604.6511,549,706.1551,465,944.951,357,062.3211,299,962.1981,230,883.9911,126,608.3081,047,880.2631,047,898.5531,048,609.628
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 25,941.63950,521.95655,543.53750,459.68139,294.73437,637.66722,984.89116,755.09114,861.27117,558.13918,965.21517,416.10616,462.9195,779.83816,175.83133,713.38237,330.08629,473.232
Kortlopende schulden 000000000000000000
Belastingschulden 1,973.1051,479.0842,409.3221,476.0061,106.4041,095.0781,093.265790.532356.0481,416.961,055.619713.447494.56492.7311,339.108000
Uitgestelde opbrengsten 0106.494114.579104.921322.467658.631,191.775208.445-141,814.444000000000
Overige kortlopende verplichtingen 1,108,494.999-52,001.04-57,952.859-51,935.687-40,401.138-38,732.745-24,078.156-17,545.623-15,217.319-18,975.099-20,020.834-18,129.553543,251.853-6,272.569-17,514.939-33,713.382-37,330.086-29,473.232
Totaal kortlopende verplichtingen 1,136,409.74350,521.95655,718.91150,459.68139,294.73419,022.68222,984.89116,755.09114,861.27117,558.13918,965.2157,878.1037,624.1465,779.83816,175.83133,713.38222,757.76929,473.232
Langlopende verplichtingen:
Langetermijnschulden 2,593.856000000000000005,364.8227,999.1567,936.008
Uitgestelde opbrengsten niet-vlottend 0106.494114.579104.921322.467658.631,191.775208.44594,722.862000000000
Uitgestelde belastingverplichtingen niet-vlottend 01,668.845978.2391,444.8641,543.2861,544.7421,281.0321,562.4521,716.199000000000
Overige niet-vlottende verplichtingen 1,206,056.05900000000000000-5,364.822-7,999.156-7,936.008
Totaal niet-vlottende verplichtingen 1,208,649.91550,521.956113,474.07698,081.0378,300.88678,436.24104,723.498114,596.18796,439.06197,398.58183,730.64575,085.23364,337.94964,660.88249,522.4195,364.8227,999.1567,936.008
Totaal passiva 2,583,016.7752,434,744.522,219,871.011,987,478.8331,684,754.9411,463,104.721,460,901.181,545,032.3981,455,889.8241,424,097.6481,357,438.0511,258,386.0851,209,872.8411,144,139.0021,043,745.305990,435.671986,298.213983,784.14
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 123,764.399113,837.646112,710.541112,710.541112,710.541112,710.541110,500.53106,763.797101,679.80794,709.20982,077.35875,422.73973,112.38870,098.16769,982.51844,818.46945,851.97245,851.972
Ingehouden winsten 25,164.03129,555.84925,033.00116,909.60913,468.4989,731.4928,948.8818,243.0510,568.94313,014.0310,465.4539,543.4383,068.945,109.405907.8013,0296,718.4638,719.58
Overige gereserveerde algehele resultaten 33,324.3758,061.42322,496.49123,53719,105.21417,295.95316,685.22516,711.7052,491.6582,209.7022,069.8410000000
Overige totale aandeelhoudersvermogen 6,083.1512,228.7812,228.7642,228.7642,228.7712,080.00118,806.7882,227.00919,406.63415,709.6021,524.43912,760.46114,269.32412,126.63612,244.4219,597.1238,017.1959,237.797
Totaal eigen vermogen van aandeelhouders 188,335.956154,018.737162,803.852155,869.732148,362.386141,817.987138,256.199133,840.115131,655.384125,548.956108,44798,676.23690,089.35786,744.98982,863.00357,444.59260,587.6363,809.349
Totaal eigen vermogen 188,335.956154,018.737162,803.852155,869.732148,365.764141,821.397138,259.703133,897.953131,714.827125,608.507108,506.89998,676.23690,089.35786,744.98982,863.00357,444.59261,600.3464,825.488
Totaal passiva en aandeelhoudersvermogen 2,771,352.7312,588,763.2572,382,674.8622,143,348.5651,833,120.7051,604,926.1171,599,160.8831,678,930.3511,587,604.6511,549,706.1551,465,944.951,357,062.3211,299,962.1981,230,883.9911,126,608.3081,047,880.2631,047,898.5531,048,609.628