CyberTAN Technology, Inc.

TWSE:3062.TW

36.3 (TWD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,502.5831,355.8492,170.3251,884.0221,509.2141,661.571,377.8961,994.7573,287.2661,984.0761,828.9722,001.9494,349.0644,117.9074,745.9343,431.783,197.182,132.234
Kortetermijnbeleggingen 906.164550.4411,190.6341,403.2221,269.572.152254.671544.263596.767957.909491.9000-3.3930.220.7747.87
Liquide middelen en kortetermijnbeleggingen 2,408.7471,906.293,360.9593,287.2442,778.7141,733.7221,632.5672,539.023,884.0332,941.9852,320.8722,001.9494,349.0644,117.9074,745.9343,4323,197.9542,140.104
Nettovorderingen 1,016.0062,043.0241,067.2711,370.6981,536.7392,634.492,878.752,388.494893.3671,616.8891,438.761,663.6752,729.2672,051.331,897.61,957.3431,909.9532,089.694
Voorraad 881.491,148.332545.221519.382642.7991,009.621,005.7381,126.0591,362.7712,566.6492,320.6391,362.431,177.823436.76330.87280.405346.994224.548
Overige vlottende activa 19.9819.2736.4866.7236.9312,634.492,893.3869.44248.43359.978119.20373.66830.642131.502161.123181.177162.469145.547
Totaal vlottende activa 4,326.2245,106.9194,979.9375,184.0474,965.1835,377.8325,531.6856,123.0156,188.6047,185.5016,199.4745,101.7228,286.7966,737.4997,135.5295,650.9255,617.374,599.893
Niet-vlottende activa:
Materiële vaste activa, netto 1,287.4441,103.781,286.1221,293.9521,361.645720.626776.916820.607927.802357.968404.016350.35379.198427.757453.015971.821979.5251,046.73
Goodwill 000000017.24117.560015.53316.15615.54517.119000
Immateriële activa 24.95718.06814.71515.36317.3117.65315.78517.2417.5616.91715.93515.533000000
Goodwill en immateriële activa 24.95718.06814.71515.36317.3117.65315.78517.24117.5616.91715.93515.53316.15615.54517.11915.81315.77317.359
Langetermijnbeleggingen 1,102.81455.527-133.588-124.712107.0131,320.6721,166.478873.608720.647708.6941,196.5561,748.87200102.39298.779108.225101.129
Belastingvorderingen 116.45964.3235.40747.19849.97234.840.128.72332.89234.01625.302-1,748.8720010.132114.31969.23193.359
Overige niet-vlottende activa 216.199762.61,403.2531,608.4951,469.845265.059450.205742.41784.81,157.038675.5871,922.643291.811270.629136.58165.66962.32361.843
Totaal niet-vlottende activa 2,747.8692,404.2952,605.9092,840.2963,005.7852,358.812,449.4842,482.5892,483.7012,274.6332,317.3962,288.526687.165713.931719.2391,266.4011,235.0771,320.42
Totaal activa 7,074.0937,511.2147,585.8468,024.3437,970.9687,736.6427,981.1698,605.6048,672.3059,460.1348,516.877,390.2488,973.9617,451.437,854.7686,917.3266,852.4475,920.313
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 866.4851,060.894658.997894.026925.1711,294.4961,674.0391,853.1081,446.222,9012,574.1881,639.5632,592.3272,113.4592,030.161104.074835.413407.377
Kortlopende schulden 643.607505.242618.51735.566436.407170000000283.07145.909250.4820459.157326.96
Belastingschulden 010.5319.2728.76116.02611.97118.18720.406146.91879.69839.1143.466104.86839.46496.57268.28762.63217.672
Uitgestelde opbrengsten 48.64857.99254.444285.726300.07611.971000000513.098287.776449.810826.616917.423
Overige kortlopende verplichtingen 293.894312.63337.8598.817153.28562.731653.254919.2471,360.351978.559772.311713.789166.40787.42557.4642,229.0177.9549.962
Totaal kortlopende verplichtingen 1,852.6341,936.7591,569.8012,014.1351,814.9342,039.1982,327.2932,772.3552,806.5713,879.5593,346.4992,353.3523,554.9032,534.5692,787.9172,333.0912,129.1361,701.722
Langlopende verplichtingen:
Langetermijnschulden 429.673488.301536.307544.923590.810000000000000
Uitgestelde opbrengsten niet-vlottend 009.36717.15320.2750000000000000
Uitgestelde belastingverplichtingen niet-vlottend 6.4315.57316.20549.93882.48591.72564.97872.62565.05164.06237.58828.10837.52213.5780000
Overige niet-vlottende verplichtingen 15.42615.7147.8874.4326.85329.4129.83636.75951.92739.310.4561.1150.4560.4560.456003.246
Totaal niet-vlottende verplichtingen 451.53509.588569.766616.446700.423121.13594.814109.384116.978103.37238.04429.22337.97814.0340.456003.246
Totaal passiva 2,304.1642,446.3472,139.5672,630.5812,515.3572,160.3332,422.1072,881.7392,923.5493,982.9313,384.5432,382.5753,592.8812,548.6032,788.3732,333.0912,129.1361,704.968
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 3,302.5543,302.1543,286.0543,286.0543,286.0543,286.0543,287.5143,288.4543,290.1143,295.8143,255.8143,255.8143,255.8143,313.9943,312.6743,265.2573,113.8592,947.558
Ingehouden winsten 87.273393.963701.395774.807840.686983.937920.0821,079.8511,130.0081,607.144711.688627.1751,008.9838.5191,033.8641,004.4811,090.6753.012
Overige gereserveerde algehele resultaten 911.039863.689937.058805.048801.018778.465823.613855.626843.75548.84810.9670000000
Overige totale aandeelhoudersvermogen 469.063505.061521.772527.853527.853527.853527.853499.934484.879525.3971,153.8581,124.6841,116.366750.314719.857314.497518.852514.775
Totaal eigen vermogen van aandeelhouders 4,769.9295,064.8675,446.2795,393.7625,455.6115,576.3095,559.0625,723.8655,748.7565,477.2035,132.3275,007.6735,381.084,902.8275,066.3954,584.2354,723.3114,215.345
Totaal eigen vermogen 4,769.9295,064.8675,446.2795,393.7625,455.6115,576.3095,559.0625,723.8655,748.7565,477.2035,132.3275,007.6735,381.084,902.8275,066.3954,584.2354,723.3114,215.345
Totaal passiva en aandeelhoudersvermogen 7,074.0937,511.2147,585.8468,024.3437,970.9687,736.6427,981.1698,605.6048,672.3059,460.1348,516.877,390.2488,973.9617,451.437,854.7686,917.3266,852.4475,920.313