Test-Rite International Co., Ltd.

TWSE:2908.TW

20.4 (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 1,606.6392,756.9591,985.5872,517.0841,462.4261,995.6621,461.1472,302.5641,903.4062,316.1282,418.4391,881.7272,095.7731,111.271,320.2811,263.6563,428.2331,244.524
Kortetermijnbeleggingen 331.053628.351459.493835.663685.374351.696654.151644.9991,265.9611,213.929518.352300.524252.49601.835746.2435.422556.744654.486
Liquide middelen en kortetermijnbeleggingen 1,937.6923,385.312,445.083,352.7472,147.82,347.3582,115.2982,947.5633,169.3673,530.0572,936.7912,182.2512,348.2631,713.1052,066.4811,699.0783,984.9771,899.01
Nettovorderingen 7,600.6825,872.357,060.4116,689.8454,925.6115,199.0073,691.2093,067.7993,111.473,907.1863,778.6923,323.4224,188.0973,225.5182,597.0754,346.3944,744.1083,210.74
Voorraad 6,183.247,799.48,080.4246,181.9766,493.275,779.6026,043.7486,642.736,718.6095,696.0155,154.2664,840.8875,928.4694,735.734,085.1633,889.1974,186.2624,240.723
Overige vlottende activa 53.11434.50234.65436.22534.20836.6091.0614.33523.92160.925141.552129.729260.98202.995219.275261.03172.763214.84
Totaal vlottende activa 15,774.72817,091.56217,620.56916,260.79313,600.88913,362.57611,851.31612,662.42713,023.36713,194.18312,011.30110,476.28912,725.8099,877.3488,967.99410,195.69913,088.119,565.313
Niet-vlottende activa:
Materiële vaste activa, netto 14,388.91715,750.59815,076.68315,416.96616,096.3456,886.5125,618.3595,841.6966,411.236,048.0846,208.0646,161.9737,694.896,407.7016,204.6976,377.4986,370.2327,466.587
Goodwill 2,354.2092,350.1322,346.2112,357.7472,356.1552,361.1982,336.3992,335.9022,342.7532,231.2782,205.32,880.4443,647.8543,636.3783,645.4993,538.7991,604.5461,407.309
Immateriële activa 137.565135.179154.303185.337220.981229.985234.708236.055270.535241.74214.036288.843229.367112.43562.90956.06510.6612.304
Goodwill en immateriële activa 2,491.7742,485.3112,500.5142,543.0842,577.1362,591.1832,571.1072,571.9572,613.2882,473.0182,419.3363,169.2873,877.2213,748.8133,708.4083,594.8641,615.2071,409.613
Langetermijnbeleggingen 218.719-528.759-382.976-726.633-622.037-258.492-342.946-445.995-1,121.95-1,092.844-396.529-176.815-47.873-392.17-525.511-260.347-231.52-311.652
Belastingvorderingen 2,029.2881,878.281,610.6151,601.4471,545.3151,436.4031,166.111,279.3151,248.7531,182.0451,089.1921,028.1171,002.504892.18915.33864.154880.695548.892
Overige niet-vlottende activa 1,687.2742,068.8491,946.7682,566.0412,478.3021,979.8372,008.3322,407.8983,020.5583,116.462,040.8741,971.8712,309.8572,637.4782,951.1462,763.1572,829.0231,997.604
Totaal niet-vlottende activa 20,815.97221,654.27920,751.60421,400.90522,075.06112,635.44311,020.96211,654.87112,171.87911,726.76311,360.93712,154.43314,836.59913,294.00213,254.0713,339.32611,463.63711,111.044
Totaal activa 36,590.738,745.84138,372.17337,661.69835,675.9525,998.01922,872.27824,317.29825,195.24624,920.94623,372.23822,630.72227,562.40823,171.3522,222.06423,535.02524,551.74720,676.357
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,896.1865,493.238,374.3238,623.4396,399.1116,118.115,516.8215,783.2465,821.7495,860.6875,365.5754,512.9794,450.7563,196.4632,878.5292,578.3413,149.7563,229.716
Kortlopende schulden 5,015.7575,501.6043,537.9463,349.2543,191.4573,360.4152,526.3972,421.243,939.6313,364.9552,668.0631,782.5013,578.0132,925.6883,092.715,262.7365,576.7914,617.032
Belastingschulden 193.425281.031411.823261.7877.628122.687126.171184.575162.7287.247105.401134.184180.359150.784168.325191.592371.945311.232
Uitgestelde opbrengsten 2,047.489345.9093,889.3943,386.852,321.96122.6872,156.4492,447.9852,141.4971,934.2832,540.0052,714.2912,531.7822,036.6571,741.1471,858.9391,913.4411,370.098
Overige kortlopende verplichtingen 225.5182,975.855165.47206.254124.7282,451.43731.327156.135190.895207.748230.843605.89917.498421.224751.425417.498454.035343.617
Totaal kortlopende verplichtingen 13,184.9514,316.59815,967.13315,565.79712,037.25612,052.64910,230.99410,808.60612,093.77211,367.67310,804.4869,615.66111,478.0498,580.0328,463.81110,117.51411,094.0239,560.463
Langlopende verplichtingen:
Langetermijnschulden 16,262.96917,059.3115,197.53614,928.14316,772.8146,094.524,491.9285,571.9225,106.9695,662.5045,227.6155,013.1977,150.595,660.515,019.0354,946.8722,8002,686.4
Uitgestelde opbrengsten niet-vlottend 7.092083.251159.755154.425130.585150.138172.26250000000000
Uitgestelde belastingverplichtingen niet-vlottend 140.452134.52711.86714.64918.21820.90722.79927.661-50000000000
Overige niet-vlottende verplichtingen 201.472158.998129.543209.373256.59285.874304.152320.564565.083529.794546.9771,236.8281,703.0692,197.2952,292.292,559.1512,478.993324.071
Totaal niet-vlottende verplichtingen 16,611.98517,352.83515,422.19715,311.9217,202.0476,531.8864,969.0176,092.4095,672.0526,192.2985,774.5926,250.0258,853.6597,857.8057,311.3257,506.0235,278.9933,010.471
Totaal passiva 29,796.93531,669.43331,389.3330,877.71729,239.30318,584.53515,200.01116,901.01517,765.82417,559.97116,579.07815,865.68620,331.70816,437.83715,775.13617,623.53716,373.01612,570.934
Eigen vermogen:
Preferente aandelen 00000000002.390000000
Gewone aandelen 5,098.8755,098.8755,098.8755,098.8755,098.8755,098.8755,098.8755,098.8755,098.8755,139.5555,219.5555,219.5555,074.2285,164.2285,312.2284,736.664,652.4344,488.13
Ingehouden winsten 270.214489.439785.148792.5284.233462.938787.297609.465538.8771,733.427557.887706.129610.508375.489140.945910.31,198.0511,094.093
Overige gereserveerde algehele resultaten 1,496.311,612.6251,248.0481,058.7961,074.2141,128.081,096.2681,031.0971,114.73229.813-2.390000000
Overige totale aandeelhoudersvermogen -311.778-312.256-312.035-312.03539.828647.962647.962673.456673.456430.658985.224820.2771,058.051800.198582.01-301.443260.204258.06
Totaal eigen vermogen van aandeelhouders 6,553.6216,888.6836,820.0366,638.1566,297.157,337.8557,630.4027,412.8937,425.947,333.4536,762.6666,745.9616,742.7876,339.9156,035.1835,345.5176,110.6895,840.283
Totaal eigen vermogen 6,793.7657,076.4086,982.8436,783.9816,436.6477,413.4847,672.2677,416.2837,429.4227,360.9756,793.166,765.0367,230.76,733.5136,446.9285,911.4888,178.7318,105.423
Totaal passiva en aandeelhoudersvermogen 36,590.738,745.84138,372.17337,661.69835,675.9525,998.01922,872.27824,317.29825,195.24624,920.94623,372.23822,630.72227,562.40823,171.3522,222.06423,535.02524,551.74720,676.357