Unimicron Technology Corp.

TWSE:3037.TW

164 (TWD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 52,859.41761,459.29639,401.60924,194.46320,585.54622,812.43721,728.93722,532.06823,283.221,797.54323,776.8327,531.24323,119.01718,727.32821,302.19810,040.5965,850.8233,739.223
Kortetermijnbeleggingen 88.79818.50996.30213.52575.12121.52982.151121.169181.57296.335314.841486.079450.02977.8821,059985.019925.2961,159.088
Liquide middelen en kortetermijnbeleggingen 52,948.21561,477.80539,497.91124,207.98321,160.66722,833.96621,811.08822,653.23723,464.7722,093.87824,091.67128,017.32223,569.03719,705.2122,361.19811,025.6156,776.1194,898.311
Nettovorderingen 19,497.26733,257.39928,209.77120,579.13520,077.78117,916.86917,256.54614,799.25815,573.87917,143.41514,433.56415,330.225000000
Voorraad 10,927.21312,834.61912,151.6038,926.4598,718.1887,976.887,799.9825,571.3775,457.1175,656.1574,606.9575,416.3555,780.6445,348.8854,299.7813,237.1724,032.9713,745.557
Overige vlottende activa 2,936.03317.86417.84717.7995.51657.6828.8767.4195.604207.098378.26217,135.15917,828.52415,383.37313,374.7059,841.65911,860.66610,795.792
Totaal vlottende activa 86,579.363107,587.68779,877.13253,731.37649,962.15248,785.39546,896.49243,031.29144,501.3745,100.54843,510.45450,568.83647,178.20540,437.46840,035.68424,104.44622,669.75619,439.66
Niet-vlottende activa:
Materiële vaste activa, netto 112,345.16296,855.68675,161.80260,493.18152,251.78746,705.28147,668.5643,895.09549,270.31349,250.89246,915.82743,825.4641,963.16139,261.06239,443.68433,702.31231,445.11525,104.144
Goodwill 693.94774.70767.89370.48873.35274.80372.67374.2975.55972.854100.342155.971162.773167.831185.383187.699183.45185.775
Immateriële activa 866.71569.76512.231297.816184.547653.663882.169773.264732.947706.332676.69984.05657.82568.339127.749188.722291.18395.695
Goodwill en immateriële activa 1,560.657644.467580.124368.304257.899221.063245.948238.78250.883203.399207.798240.027220.598236.17313.132376.421474.63581.47
Langetermijnbeleggingen 13,169.75111,760.40710,614.2697,767.9185,035.4744,899.285,450.155,547.4635,845.9555,061.1854,984.7135,278.7585,874.9045,958.9454,778.6054,329.3283,867.9322,915.722
Belastingvorderingen 834.3041,194.6951,298.1251,010.181989.238809.449773.506560.836729.498509.916444.6192,127.972,287.6752,711.442,638.071,067.231,120.7861,219.333
Overige niet-vlottende activa 1,516.293620.4872,523.8011,339.2641,705.1813,195.963,201.1053,046.7383,093.8483,334.0193,441.44258.686289.096260.475282.407813.62562.35648.685
Totaal niet-vlottende activa 129,426.167111,075.74290,178.12170,978.84860,239.57955,831.03357,339.26953,288.91259,190.49758,359.41155,994.39751,730.90150,635.43448,428.09247,455.89840,288.91636,970.81929,869.354
Totaal activa 216,005.53218,663.429170,055.253124,710.224110,201.731104,616.428104,235.76196,320.203103,691.867103,459.95999,504.851102,299.73797,813.63988,865.5687,491.58264,393.36259,640.57549,309.014
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 11,285.5211,626.20913,346.00912,041.52512,873.31111,968.23111,060.8099,860.2510,007.2669,482.2218,938.50211,793.39710,411.3019,798.4269,064.3786,566.5177,733.6146,238.51
Kortlopende schulden 5,875.26810,358.08913,320.0268,790.32311,204.12811,445.16410,659.9487,553.1879,098.14710,332.2948,184.2189,840.225,637.0455,402.8264,945.0568,344.1198,348.9138,016.367
Belastingschulden 2,091.8985,062.5692,657.472457.694591.108488.557211.172171.124288.587303.851358.559538.403757.136449.542365.855395.96580.54433.25
Uitgestelde opbrengsten 26,470.3575,551.69919,090.20112,282.1538,795.896488.5576,831.7094,981.2437,054.8487,377.876,711.9846,416.1226,702.7966,712.4075,098.8934,229.3854,961.1994,171.478
Overige kortlopende verplichtingen 615.78427,356.5663,304.0919,254.7993,333.15514,693.557,986.6446,153.1734,602.1552,787.7424,816.3435,229.5742,419.9143,899.9924,891.67817.32472.63441.962
Totaal kortlopende verplichtingen 44,246.92954,892.56349,060.32742,368.836,206.4938,595.50236,539.1128,547.85330,762.41629,980.12728,651.04733,279.31325,171.05625,813.65124,000.00519,157.34521,116.3618,468.317
Langlopende verplichtingen:
Langetermijnschulden 24,806.80624,562.95222,242.49923,359.35421,653.22817,901.6818,517.58819,349.53923,327.06722,340.90719,587.3518,277.28921,731.94714,450.35118,148.94411,556.5414,762.723,344.05
Uitgestelde opbrengsten niet-vlottend 44,342.39942,318.47729,349.60700000000312.502309.288230.23231.536204.936161.118156.445
Uitgestelde belastingverplichtingen niet-vlottend 1,646.274932.618239.532282.148313.487236.64257.708377.488436.43338.69317.402229.001646.257728.166869.4451,001.1011,055.363613.344
Overige niet-vlottende verplichtingen 4,678.6293,298.4633,647.1125,599.3643,677.0971,182.5712,268.8981,924.4551,213.1361,195.7631,013.627114.255130.26464.96779.43255.14835.93731.444
Totaal niet-vlottende verplichtingen 75,474.10871,112.5155,478.7529,240.86625,643.81219,320.89121,044.19421,651.48224,976.63323,875.3620,918.37918,933.04722,817.75615,473.71419,329.35712,817.7266,015.1384,145.283
Totaal passiva 119,721.037126,005.073104,539.07771,609.66661,850.30257,916.39357,583.30450,199.33555,739.04953,855.48749,569.42652,212.3647,988.81241,287.36543,329.36231,975.07127,131.49822,613.6
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 15,251.21214,783.65314,752.60315,047.32315,047.32315,048.65815,290.86815,280.35815,386.0615,386.0615,386.0615,386.0615,386.0615,474.0615,474.0610,927.38610,570.98910,176.238
Ingehouden winsten 51,043.31754,437.0730,809.26619,851.21916,738.69515,336.75214,252.48114,539.32414,856.92919,480.7715,750.76616,946.5516,530.79916,472.37111,881.72511,352.63611,747.8768,158.363
Overige gereserveerde algehele resultaten 9,992.5417,050.6795,854.065,404.4284,374.3734,159.5964,698.9894,411.9765,528.5851,372.921970.0170000000
Overige totale aandeelhoudersvermogen 14,373.8139,463.1179,297.6338,124.047,731.2927,576.5887,941.787,782.6898,008.1388,813.00913,352.15813,328.21613,329.69911,721.30812,606.03310,138.2696,048.4526,076.694
Totaal eigen vermogen van aandeelhouders 90,660.88385,734.51960,713.56248,427.0143,891.68342,121.59442,184.11842,014.34743,779.71245,052.7645,459.00145,660.82645,246.55843,667.73939,961.81832,418.29128,367.31724,411.295
Totaal eigen vermogen 96,284.49392,658.35665,516.17653,100.55848,351.42946,700.03546,652.45746,120.86847,952.81849,604.47249,935.42550,087.37749,824.82747,578.19544,162.2232,418.29132,509.07726,695.414
Totaal passiva en aandeelhoudersvermogen 216,005.53218,663.429170,055.253124,710.224110,201.731104,616.428104,235.76196,320.203103,691.867103,459.95999,504.851102,299.73797,813.63988,865.5687,491.58264,393.36259,640.57549,309.014