TXC Corporation

TWSE:3042.TW

113 (TWD) • At close November 13, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,303.6184,222.613,631.6452,681.9521,986.2351,305.4022,331.3662,092.8972,727.9441,768.4041,829.5361,570.7471,211.2341,518.5631,566.608842.8051,144.464900.426
Kortetermijnbeleggingen 718.399769.427856.214695.587832.0231,092.4571,131.6591,952.9531,170.521,169.804495.22146.89579.107116.8821.621148.92799.772150.346
Liquide middelen en kortetermijnbeleggingen 4,922.6684,992.0374,487.8593,377.5392,818.2582,397.8593,463.0254,045.853,898.4642,938.2082,324.7571,617.6421,290.3411,635.4451,568.229991.7321,244.2361,050.772
Nettovorderingen 0003,578.972,938.1772,844.3112,798.7923,133.9773,048.7853,097.1452,825.0093,595.1423.13600000
Voorraad 2,469.9932,699.7212,639.2892,816.8382,039.4981,816.8961,504.0661,520.0491,534.0261,657.4911,652.9131,476.5621,160.0361,127.7836.512902.447746.672735.179
Overige vlottende activa 109.19998.005130.458228.525149.10358.223217.309118.2543,141.31743.4232,880.9693,637.753,273.57347.736129.871113.475137.788125.207
Totaal vlottende activa 10,812.02211,412.45111,369.85210,001.8727,945.0367,117.2897,983.1928,818.138,573.8077,806.5686,858.6396,737.2685,727.0865,690.6455,175.1784,269.7894,342.4053,757.248
Niet-vlottende activa:
Materiële vaste activa, netto 6,314.596,620.2646,541.4414,900.8914,150.3114,110.7224,369.814,277.9054,570.3525,153.835,508.0645,734.4975,689.6465,064.2014,112.7534,438.8243,221.1042,580.512
Goodwill 00000002,219.8491,429.777000000000
Immateriële activa 50.79553.83851.8941.68427.81621.8318.01310.79811.92100115.024117.5315.14416.54726.16724.78424.222
Goodwill en immateriële activa 50.79553.83851.8941.68427.81621.8318.0132,230.6471,441.6981,406.925682.537115.024117.5315.14416.54726.16724.78424.222
Langetermijnbeleggingen 1,567.973351.7131,422.166550.708133.927-170.85-325.301-540.623931.288-901.121-142.879252.297214.99521.0531.379-145.927-96.772-147.346
Belastingvorderingen 67.30861.27149.97939.89239.34936.57448.19931.13625.71829.48929.0433.2561.659227.745123.72927.98161.16252.394
Overige niet-vlottende activa 9.6891,351.7071,367.941,066.6641,072.3311,446.161,318.88624.77337.552126.55648.126153.86192.40549.86535.128184.425140.966179.087
Totaal niet-vlottende activa 8,010.3558,438.7939,433.4166,599.8395,423.7345,444.4375,419.6076,023.8387,006.6085,815.6796,124.8916,258.9346,216.2355,378.0084,289.5364,531.473,351.2442,688.869
Totaal activa 18,822.37719,851.24420,803.26816,601.71113,368.7712,561.72613,402.79914,841.96815,580.41513,622.24712,983.5312,996.20211,943.32111,068.6539,464.7148,801.2597,693.6496,446.117
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,415.9281,209.1192,091.6111,951.1411,659.1641,326.9191,227.0151,397.2591,112.4571,068.452886.8041,417.6981,197.4961,256.5131,211.113747.2361,048.874755.111
Kortlopende schulden 2,123.1881,407.623932.8761,303.314276.432169.735287.187744.9321,602.138963.8851,196.6831,339.834707.807782.961810.491831.772760.647395.006
Belastingschulden 0204.057330.38117.05448.1353.64730.04367.06157.98373.57667.91971.72659.2970.12579.28865.04883.94974.456
Uitgestelde opbrengsten 0.040.041,849.1011,810.374779.6193.647733.872968.914688.377696.988681.234618.003679.925707.866472.492424.772344.327256.129
Overige kortlopende verplichtingen 1,229.1191,514.8721,529.021992.702812.788588.559732.557946.853671.976685.861660.283636.041658.778698.945465.011382.632232.877249.979
Totaal kortlopende verplichtingen 4,768.2754,335.7114,894.7025,093.292,796.5192,088.862,276.8023,156.1053,444.5542,791.7742,811.6893,445.7642,623.3712,808.5442,565.9032,026.6882,126.3471,474.552
Langlopende verplichtingen:
Langetermijnschulden 1,889.4792,709.2722,852.3651,686.6961,640.5841,482.3461,696.8751,483.7491,165.6251,686.2731,652.8371,494.2152,074.9741,717.897889.1131,140.713430.9841,144.187
Uitgestelde opbrengsten niet-vlottend 79.319108.19170.77263.5674.03168.03362.0240039.891017.5412.8613.5123.512000
Uitgestelde belastingverplichtingen niet-vlottend 111.792118.13293.45667.032123.4145.49182.393331.428129.115138.976130.5498.87446.5141.16973.128000
Overige niet-vlottende verplichtingen 20.577106.73132.27936.12736.48526.15720.11497.504101.87530.86663.58127.89112.348.7168.6188.54419.15122.685
Totaal niet-vlottende verplichtingen 2,101.1673,042.3253,148.8721,853.4151,874.51,722.0261,961.4061,912.6811,396.6151,935.8971,846.9581,669.9422,159.551,731.294977.8831,149.257450.1351,166.872
Totaal passiva 6,948.7617,378.0368,043.5746,946.7054,671.0193,810.8864,238.2085,068.7864,841.1694,727.6714,658.6475,115.7064,782.9214,539.8383,543.7863,175.9452,576.4822,641.424
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 3,097.573,097.573,097.573,097.573,097.573,097.573,097.573,097.573,097.573,097.573,097.573,097.573,022.4232,971.8312,887.2722,716.9812,402.4352,056.983
Ingehouden winsten 5,223.1055,861.9175,184.8543,230.8612,789.4382,671.1842,767.3832,789.1062,659.9353,792.0292,402.6552,279.9581,901.0271,850.0211,371.461,708.181,569.8641,132.541
Overige gereserveerde algehele resultaten 2,941.0722,885.9873,859.3222,708.7112,194.4582,367.3752,642.9273,218.1574,324.333342.79675.3360000000
Overige totale aandeelhoudersvermogen 611.8693,513.7211,696.7841,668.269613.393611.776611.776611.7764,981.7413,185.6341,662.1812,289.553325.83981.7021,662.196163.015290.248615.169
Totaal eigen vermogen van aandeelhouders 11,873.61612,473.20812,759.6949,655.0068,697.7518,750.849,122.6999,719.65210,739.2468,894.5768,324.8837,880.4967,160.46,528.8155,920.9285,625.3145,117.1673,804.693
Totaal eigen vermogen 11,873.61612,473.20812,759.6949,655.0068,697.7518,750.849,164.5919,773.18210,739.2468,894.5768,324.8837,880.4967,160.46,528.8155,920.9285,625.3145,117.1673,804.693
Totaal passiva en aandeelhoudersvermogen 18,822.37719,851.24420,803.26816,601.71113,368.7712,561.72613,402.79914,841.96815,580.41513,622.24712,983.5312,996.20211,943.32111,068.6539,464.7148,801.2597,693.6496,446.117