Getac Holdings Corporation

TWSE:3005.TW

108 (TWD) • At close September 18, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 3,744.5423,153.0575,450.0083,240.942,947.3753,026.8722,625.8532,732.0351,854.6321,202.939608.409463.978506.258745.4941,324.4551,204.1851,242.648394.211
Afschrijvingen & Amortisatie 1,328.971,277.3811,215.1291,156.6731,086.956877.202814.257762.6091,004.8941,067.5021,187.7151,327.3041,315.8541,339.351,479.0731,049.981500.701384.064
Uitgestelde Inkomstenbelasting -2,548.6050-3,196.252-412.721-423.456-679.3630-973.684000120.2820-55.8490000
Aandelen Gebaseerde Vergoedingen 68.6961.50436.77470.43264.28551.48151.6755.6713.99331.5163.1641.882020.0160000
Verandering in Werkkapitaal 974.0161,439.383-2,404.268143.828-162.645539.651-1,282.328-62.234-8.257130.856476.95-984.95454.103-919.471-64.252119.81152.1231,889.187
Vorderingen -1,365.172344.613-22.564-1,196.886-786.134348.553-509.166-906.646260.14-861.38641.949-980.36000000
Voorraden 587.6481,063.402-2,150.365-302.561-326.294-731.95-953.645-670.008165.965-300.61539.367-381.603138.799-204.104286.819-20.471508.2782,063.455
Crediteuren 955.549-541.774370.951,462.933786.134351.96128.3461,067.863-648.019000000000
Overig Werkkapitaal 795.991573.142-602.289180.342163.6491,271.601-328.683607.774-174.222431.471437.583-603.351-84.696-715.367-351.071140.282-456.155-174.268
Overige Niet-Contante Posten 2,446.114-822.5239.8-7.393-28.006-34.851-486.863-29.554-570.969-573.569-17.41161.908-215.269-75.152214.8966.712-286.857-177.894
Kasstroom uit Operationele Activiteiten 6,013.7275,108.8021,111.1914,191.7593,484.5093,780.9921,670.9192,434.8422,280.31,827.7282,255.663990.41,660.9461,054.3882,954.1662,440.6891,508.6152,489.568
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -795.297-908.678-1,337.583-1,926.859-1,533.673-1,496.417-802.673-1,903.379-514.34-737.493-758.844-799.878-809.996-922.576-1,085.016-1,670.994-836.901-586.717
Netto Overnames 66.124-172.6472,260.2735.438-11.8512.98-17.0612.676-199.4739.746-600191.14-456.149-635.123-444.21232.519-9.392
Aankoop van Beleggingen -365-552.289-55.439-764.641-82.369-57.31-106.954-29.998-381.691-25-718.8340-19.12-50.049-66.353-162.295-262.6-28.958
Verkoop/verval van Beleggingen 841.59513.615588.24480.93327.562-1.4415.532187.79945.36639.32139.8421.607-128.12354.516.8948.7588.894122.549
Overige Investeringsactiviteiten -11.2356.84234.54211.36926.11855.63336.568-27.2311,104.896170.418190.383-42.425-250.698-333.617-211.735457.611132.5116.825
Kasstroom uit Investeringsactiviteiten -263.808-1,563.1571,490.03-2,163.76-1,574.212-1,486.554-874.588-1,770.13354.758-543.008-1,307.455-820.696-1,016.797-1,707.891-1,981.333-1,811.132-925.588-385.693
Financieringsactiviteiten:
Schuldaflossingen -276.18-294.859-497.38-113.093-455.808-693.592-641.127-632.91-2,075.668-554.343-794.486-133.337-37.45600-637.11-64.974-68.913
Uitgifte van Gewone Aandelen 292.435168.407260.71203.072118.18917.35624.7445.90119.27200104.09368.02263.067236.21442.845308.12837.208
Terugkoop van Gewone Aandelen 00-49.4070736.229641.232417.575-389.383-94.90200-486.535-408.38500-218.014-185.713-253.326
Uitgekeerde Dividenden -2,294.771-2,154.075-2,123.911-1,632.879-1,737.585-1,445.665-1,695.708-1,123.15-756.646-582.036-291.018-408.733-228.018-668.668-528.408-747.772-181.811-241.448
Overige Financieringsactiviteiten 554.289489.66-20.758-23.579-82.368-54.447-42.9921,604.678645.879952.274369.5550.717-4.7161,223.294749.379-257.833-23.11291.058
Kasstroom uit Financieringsactiviteiten -2,016.662-1,790.867-2,430.746-1,769.551-1,421.343-1,535.116-1,937.512-494.864-2,262.065-184.105-715.949-923.795-610.555817.693457.185-1,817.884-147.482-435.421
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -156.083565.979-91.394-44.593-177.36-18.614-41.761-152.409-50.64212.68113.174-62.26832.248-106.106-32.0710373.5930
Netto Kasstroomverandering 4,292.8692,320.75779.081213.855311.594740.708-1,182.94217.43622.3531,313.295345.433-816.35965.84258.0841,397.947-1,188.327809.1381,668.454
Kaspositie aan het Einde van de Periode 12,398.7378,105.8685,785.1115,706.035,492.1755,180.5814,439.8735,622.8155,605.3795,583.0264,269.7313,924.2984,740.6574,674.8154,616.7313,218.7844,407.1113,597.973