Far Eastern Department Stores, Ltd.

TWSE:2903.TW

21.8 (TWD) • At close July 4, 2025
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 3,582.562,752.3033,508.562,436.3953,000.7713,102.9382,549.1152,698.8422,121.2813,414.6733,089.84,019.7672,506.2913,161.2283,860.182,916.578286.8643,192.1421,315.269968.8251,479.529
Afschrijvingen & Amortisatie 6,042.2165,195.5935,604.6155,309.4395,874.1425,615.3442,407.2222,695.4982,969.383,096.832,980.5453,005.3883,193.1822,179.1312,253.0452,383.866409.1531,699.3341,643.5422,538.2252,606.532
Uitgestelde Inkomstenbelasting 0000000000000000000-16.50184.662
Aandelen Gebaseerde Vergoedingen 000000000000000000000
Verandering in Werkkapitaal -1,123.833646.491,245.7432,249.4681,885.728-1,804.503-1,952.541,163.341-702.913-907.771292.482-281.4411,041.5941,862.8841,051.525-1,460.779-25.8832,974.1633,460.3532,209.671985.653
Vorderingen 564.713-70.81319.67-538.65861.621841.921-812.153-250.966-398.622-135.646142.318691.7-375.5560000003.69159.628
Voorraden -21.835288.22377.683-64.722406.672-41.837-127.977181.071501.451-123.423104.093165.533-169.859-502.83-346.864-4.821-34.1787.89840.464130.789-35.031
Crediteuren 0960.304264.203990.628698.208-2,470.087000-1,028.572001,027.477000000060.51
Overig Werkkapitaal -1,666.711-531.224884.1871,862.22719.227-134.5-353.641,233.236-1,009.56800-1,382.8511,587.0092,365.7141,398.389-1,455.9588.2952,966.2653,419.8892,075.191900.546
Overige Niet-Contante Posten -909.3732,128.875320.456375.067-73.475973.7071,483.152612.2951,113.713-1,460.01187.88-1,465.537-683.328219.90491.223-455.2291,261.202-263.146793.208485.725886.826
Kasstroom uit Operationele Activiteiten 7,591.5710,723.26110,679.37410,370.36910,687.1667,887.4864,486.9497,169.9765,501.4614,143.7216,450.7075,278.1776,057.7397,423.1477,255.9733,384.4361,931.3367,602.4937,212.3726,185.9456,043.202
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,340.482-1,871.284-1,919.83-2,625.543-2,315.6-1,975.205-2,321.283-1,879.541-1,727.58-2,016.379-2,019.754-3,419.133-5,706.917-7,099.748-9,304.52-2,528.15-1,319.665-2,242.027-3,032.616-1,945.558-2,983.488
Netto Overnames 133.887704.8730.148-42.358-198.745-1,605.03463.726-286.655-74-106-360-147.899-7.496-22.65-1,053.9-317.994-1,139.296546.86412.461,274.569187.656
Aankoop van Beleggingen -5,209.011-5,178.017-6,120.462-3,823.672-1,347.159-4.744-163.931-92.331-36.844325.47-369.923631.466-126-270-12.968-6.930-265.936-65.2-1,657.097-190.006
Verkoop/verval van Beleggingen 4,167.4135,750.3894,602.8783,777.8471,764.597740.72849.288-68.867283.578.34678.456787.23179.831310.317679.387633.733240.236515.032365.4271,068.906755.31
Overige Investeringsactiviteiten -23.344-13.374-135.356-298.595-315.483-667.305-145.90591.86871.219488.971-188.447-1,266.62386.4032,085.173441.35-2,592.467-1.115-320.862275.406-733.47-2,922.816
Kasstroom uit Investeringsactiviteiten -2,271.537-607.413-3,572.622-3,012.321-2,412.39-3,511.56-2,518.105-2,235.526-1,483.705-1,229.592-2,859.668-3,414.959-5,574.179-4,996.908-9,250.651-4,811.808-2,219.84-1,766.929-2,444.523-1,992.65-5,153.344
Financieringsactiviteiten:
Schuldaflossingen -314.0122,376.768-4,579.6222,455.696-5,057.96-583.372-1,802.6-998.41,135.215-1,304.03-3,576.258-4,337.4032,401.1054,947.0973,902.5512,780.9291,878.966174.007-1,705.293-754.848145.669
Uitgifte van Gewone Aandelen 00000000000000283.548153.383592.73761.58191.727267.861103.603
Terugkoop van Gewone Aandelen 000000000-405.30400000000000
Uitgekeerde Dividenden -2,268.308-1,556.87-1,273.077-1,556.294-1,131.061-1,202.733-1,414.847-992.035-1,417.029-1,439.211-1,622.612-1,095.903-1,317.289-1,242.674-909.276-359.858-1,530.573-538.926-518.198-687.1390
Overige Financieringsactiviteiten -3,395.707-8,207.569-3,534.449-3,528.393-747.405-3,620.892-283.044-302.608-293.096-637.044-597.857-26.462-159.488-142.41-436.001-1,015.53-596.586-132.575174.48934.02-387.87
Kasstroom uit Financieringsactiviteiten -5,978.027-7,387.671-9,387.148-2,628.991-6,936.426-5,406.997-3,500.491-2,293.043-574.91-3,785.589-5,796.727-5,459.768924.3283,562.0132,840.8221,558.924344.544-435.913-1,957.275-1,140.106-138.598
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 38.103-25.1482.98611.59928.861-139.55310.01-34.86440.465-54.828-62.79923.852-93.905-75.426131.312-12.535013.58-293.4734,310.0970
Netto Kasstroomverandering -619.8912,703.029-2,277.414,740.6561,367.211-1,170.624-1,521.6372,606.5433,483.311-926.288-2,268.487-3,572.6981,211.2955,912.826977.456119.01756.042,301.9082,517.1017,363.2860
Kaspositie aan het Einde van de Periode 19,337.81819,957.70917,254.6819,532.0914,791.43413,424.22314,594.84716,116.48413,509.94110,026.6310,952.91813,221.40517,746.68616,535.39110,622.5659,645.109288.98812,746.19110,444.2837,363.2864,912.295