ADATA Technology Co., Ltd.

TPEx:3260.TWO

99.1 (TWD) • At close November 20, 2023
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 1,409.3881,084.9693,273.1781,974.137650.875-248.6652,316.7811,613.2119.358967.1942,536.502639.90674.387-130.812,159.799-2,024.73348.9791,595.439
Afschrijvingen & Amortisatie 456.761420.237356.747366.622376.826297.695271.418192.514193.896175.696173.167173.29162.692166.615227.168192.954119.48384.533
Uitgestelde Inkomstenbelasting -8,355.6070-1,149.746-258.09100-605.257100.16300-214.434-111.133273.792170.57847.321000
Aandelen Gebaseerde Vergoedingen 86.29332.105222.3759.7810092.85568.098002.9667.4920.87625.44364.053000
Verandering in Werkkapitaal -7,424.9933,669.771-4,054.945-1,437.001-2,037.1133,453.312-1,635.342-3,991.2421,978.953-1,460.123-139.823687.761-23.2771,645.91-2,740.6384,055.375-206.255-4,928.116
Vorderingen -152.054878.882-1,397.902-890.709-149.388834.918-452.446-1,366.4771,087.464-163.181-54.089462.715000000
Voorraden -8,809.2832,855.262-2,188.317-1,842.481-1,996.213,811.529-1,664.038-1,968.8981,076.947-90.324-126.815-415.5671,348.997312.735757.8053,594.0011,594.879-1,313.389
Crediteuren 1,605.545-391.35-686.2121,020.1671,204.716-1,510.852103.288334.484363.961000000000
Overig Werkkapitaal -69.201326.977217.486276.022-1,096.231-358.21728.696-2,022.344902.006-1,369.799-13.0081,103.328-1,372.2741,333.175-3,498.443461.374-1,801.134-3,614.727
Overige Niet-Contante Posten 8,764.653-131.752160.128137.285-211.051-490.904155.075108.393-507.186-1,309.06841.197-51.257-58.257-233.042-311.04902.174190.393-9.642
Kasstroom uit Operationele Activiteiten -5,063.5055,075.33-1,192.263792.733-1,220.4633,011.438595.53-1,908.8641,685.021-1,626.3012,399.5751,346.057450.2131,644.694-553.3373,125.77152.6-3,257.786
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -713.389-4,137.155-1,296.173-124.777-100.483-87.293-594.931-774.692-138.145-145.621-1,321.764-947.244-211.386-1,411.465-159.738-537.534-1,047.927-680.038
Netto Overnames 3.363-161.428-295.784-782.73-53.0919.072-312.116-375.294-160.52-151.672-284.75-35-1,173.239-20.092-369.592527.48323.125-113.346
Aankoop van Beleggingen -728.736-1,050.40965.459-447.084-326.902-804.36-186.7-136.117-115.965-141.595-294.329-166.087-467.284-183.002-158.635-180.096-297.022-196.877
Verkoop/verval van Beleggingen 222.28810.226792.46316.104634.61383.533104.35820.77312.468552.05175.702378.369129.02129.3678.9950.37125.846102.666
Overige Investeringsactiviteiten -22.262315.8788.067446.2841,139.72744.21-309.925906.175-447.503-1,219.373-77.426445.4927.032-125.28231.71-98.887-207.602184.274
Kasstroom uit Investeringsactiviteiten -1,238.736-5,022.888-725.968-892.2031,293.865-744.838-1,299.314-359.155-849.665-1,106.21-1,902.567-324.47-1,715.857-1,610.474-647.265-238.663-1,503.58-703.321
Financieringsactiviteiten:
Schuldaflossingen -3,957.77-7,054.812-225.702-42,277.498-52,267.99-25,869.141-11,987.515-164.494-13,761.562-9,358.788-9,726.201-10,730-4,341.008-976.006-82.603-682.921-1,926.898-216.435
Uitgifte van Gewone Aandelen 1,853.9338.32667.38917.209115.0820422.025111.26414,277.65114.743149.50902.49231.193641.16613.5648.03128.418
Terugkoop van Gewone Aandelen -291.51700-330.556-115.0820-464.2680-335.651-300.95210,395.4320-516.7181,351.7640-154.258-305.571-478.265
Uitgekeerde Dividenden -526.931-1,421.581-808.194-311.159-43.637-1,309.124-870.501-107.013-560.431-1,598.855-526.96-63.2350-672.5040-5.168-526.578-629.55
Overige Financieringsactiviteiten 7,881.036-3,965.4423,046.05443,316.35452,823.55924,460.68113,661.0072,563.818-327.24913,575.911-1.21710,216.90712,480.9-12.4651,051.863-1,417.7494,146.955,460.791
Kasstroom uit Financieringsactiviteiten 4,958.7481,667.7892,463.562414.35511.932-2,717.584760.7482,292.311-707.2422,332.059290.563-576.3281,382.596-278.0181,610.426-2,246.5321,395.9344,164.959
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 151.029305.033-203.956-20.99-176.391-69.167-136.748-181.337-63.477161.756125.735-40.05847.599-6.2823.894-29.5694.8194.617
Netto Kasstroomverandering -1,393.4232,025.264341.375293.89408.943-520.151-79.784-157.04564.637-238.696913.306405.201164.551-250.08413.718611.00614.092205.218
Kaspositie aan het Einde van de Periode 4,927.1565,144.9943,119.732,778.3552,132.7831,723.842,243.9912,323.7752,480.822,416.1832,654.8792,254.1731,848.9721,684.4211,934.5011,520.783909.777895.685