Innolux Corporation

TWSE:3481.TW

15.65 (TWD) • At close November 5, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst -18,642.539-26,222.45362,411.0972,557.131-16,525.4286,569.4348,941.1894,992.1214,859.18722,534.345,643.353-29,473.396-64,760.598-14,214.041-2,397.0734,850.9516,151.6332,831.681
Afschrijvingen & Amortisatie 30,745.5832,457.77736,300.65135,568.10335,129.95135,878.13133,564.04841,418.53453,571.17260,899.55677,851.43886,799.06498,984.35379,377.5911,382.82810,097.6588,937.8167,025.507
Uitgestelde Inkomstenbelasting -55,629.2520-206.892-2,464.815000-1,470.58-563.742280.773-2,779.4881,975.273-244.689-690.3130000
Aandelen Gebaseerde Vergoedingen 233.9547.22619.28395.66900015.26143.442578.227556.874318.966387.661251.6670000
Verandering in Werkkapitaal -2,902.164-1,627.7623,175.758-14,295.314385.32811,787.1752,908.107-12,139.72611,826.34916,661.193-10,141.237-15,486.48-7,638.66913,404.8832,254.2172,893.377-6,210.601347.457
Vorderingen 3,556.27328,731.158-9,647.2-9,306.0947,737.71211,548.5146,251.007-11,983.8427,115.588-8,680.94914,837.05-10,476.854000000
Voorraden -1,233.2972,360.942-7,412.951-426.194417.698-597.531-6,857.2935,864.3613,589.4116,736.314-8,456.58716,967.2953,693.096-14,144.799-3,195.17-1,708.906-881.346-2,072.747
Crediteuren 3,772.886-17,737.6156,967.157-3,658.385-3,563.2741,561.462-3,554.03-3,434.344-19,777.501000000000
Overig Werkkapitaal -8,998.026-14,982.24713,268.752-904.641-4,206.80812,384.7069,765.4-18,004.0878,236.939-75.121-1,684.65-32,453.775-11,331.76527,549.6825,449.3874,602.283-5,329.2552,420.204
Overige Niet-Contante Posten 57,235.214-6,597.88152.304643.379-5,154.469-1,655.117-2,770.685583.6391,227.8853,257.9484,758.219-625.6071,410.789-13.548-224.732694.896-12.5232.524
Kasstroom uit Operationele Activiteiten 11,040.793-1,983.093101,752.19822,404.15313,835.38252,579.61982,642.65933,399.24781,064.293104,212.03775,889.15943,507.8228,138.84778,116.23811,015.2418,536.88118,866.32810,237.169
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -21,351.943-21,054.168-28,160.764-20,699.444-24,854.454-46,775.381-25,344.466-44,175.094-24,527.882-20,544.692-18,528.124-16,843.731-45,962.742-95,960.021-39,793.264-20,009.423-4,418.444-9,373.166
Netto Overnames 93.844-86.829-3001,044.789330.546-64.515802.5123.681,798.3091,671.152136.185-2,796.087326.84442,372.377-180.222000
Aankoop van Beleggingen -33,472.024,499.708-137,005.539-23,443.23831,362.924-53,710.498-168.136751.2030-240.167-916.909446.957-158.083-253.795-466.832-246.619-400.6890
Verkoop/verval van Beleggingen 26,891.22987,282.81166,747.9231,585.09792.95572.6143,052.6272,473.4011,233.7191,266.8615,097.8491,099.348647.52716.55310.289000
Overige Investeringsactiviteiten 306.0552,660.247296.797-421.311,827.4911,440.964325.35660.4812,491.4124,663.6952,049.95210,756.2-25,907.978-611.992-3,860.747-1,585.33-1,411.336-1,076.398
Kasstroom uit Investeringsactiviteiten -27,532.83573,301.769-98,421.583-41,934.1068,759.462-99,036.816-21,332.109-40,866.329-20,802.751-13,183.151-12,161.047-7,337.313-71,054.432-54,436.878-44,290.776-21,841.372-6,230.469-10,449.564
Financieringsactiviteiten:
Schuldaflossingen -3,753.45-9,444.178-19,413.788-12,546.04-16,227-10,960-28,019.025-4,860.975-138,977.729-70,552.614-68,788.007-21,968.776-90,523.959-38,120.441-6,054.078-11,254.981-12,309.879-2,555.658
Uitgifte van Gewone Aandelen 347.32711.60757.775279.1622,299.624000010,62514,519.0515,4002.96114.52266.469314.005179.3194.32
Terugkoop van Gewone Aandelen -4,755.603-10,634.55522,802.842-963.107-2,299.62400-1.372-3.676-3,608.923-8.2600-15,00017,360.91423,891.8100
Uitgekeerde Dividenden 0-11,087.601-3,141.271-3.247-597.124-7,961.657-995.204-1,989.81-6,947.188-90.495000-54,587.585-627.707-4,155.405-508.4710
Overige Financieringsactiviteiten 7,544.241-697.128-834.334-398.887-3,249.04133,527.159-588.51174.18766,467.564-1,319.498-6,393.079-31,892.373127,862.238107,176.8893.707-521.50943,105.179,739.531
Kasstroom uit Financieringsactiviteiten -1,289.418-31,863.462-528.77611,184.046-20,073.16514,605.502-29,602.74-6,776.598-79,457.353-64,946.53-60,662.035-48,461.14937,341.239-416.61710,949.3058,273.9230,466.127,378.193
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -196.544367.628-666.176145.015-1,636.032-289.932-1,103.694-2,894.271728.86769.567173.764-529.6129.552-610.199-69.512-62.67134.30328.887
Netto Kasstroomverandering -17,978.00439,822.8422,135.663-8,200.892885.647-32,141.62730,604.116-17,137.951-18,466.95126,851.9233,239.841-12,820.242-5,444.79422,652.544-22,395.7435,218.20243,136.2827,194.685
Kaspositie aan het Einde van de Periode 50,512.58468,490.58828,667.74626,532.08334,732.97533,847.32865,988.95535,384.83952,522.7970,989.74144,137.81840,897.97753,718.21959,163.01336,510.46958,906.21253,688.0110,551.728