Continental Holdings Corporation

TWSE:3703.TW

29.8 (TWD) • At close November 12, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,878.1415,822.4165,206.5564,512.3684,423.2394,547.1743,428.5132,549.1342,423.1821,135.0151,444.2192,387.0646,743.1945,588.1630
Kortetermijnbeleggingen 168.87583.676-14,126.811-16,000.601-14,383.1312,003.7131,541.3182,946.5171,663.8212,979.3854,092.9488,142.4691,631.3231,067.0770
Liquide middelen en kortetermijnbeleggingen 7,047.0115,822.4165,206.5564,512.3684,423.2396,550.8874,969.8315,495.6514,087.0034,114.45,537.16710,529.5338,374.5176,655.240
Nettovorderingen 8,708.44811,055.6859,943.9669,241.1029,942.41410,285.33511,360.12910,028.14910,725.6898,414.1868,730.9833,672.7376,241.8236,307.2450
Voorraad 25,204.64124,855.13228,517.08528,363.35826,368.63724,012.81122,865.121,032.76220,478.59319,771.90720,195.39221,387.03412,716.44617,507.2090
Overige vlottende activa 5,098.7013,841.92,625.3121,980.8041,887.9621,971.713464.908455.386390.1220.4631,038.584514.0661,094.244688.2790
Totaal vlottende activa 46,058.80145,575.13346,292.91944,097.63242,622.25242,820.74639,659.96837,011.94835,681.38532,520.95635,502.12636,103.3728,427.0331,157.9730
Niet-vlottende activa:
Materiële vaste activa, netto 9,666.7159,698.1994,507.3142,506.5122,462.7991,836.3331,998.2072,473.5682,777.432,736.2772,185.384,695.585,909.5066,236.6290
Goodwill 30.24930.24930.24930.24930.24930.24930.24900000000
Immateriële activa 1,770.8691,074.8171,077.9471,105.5551,119.4041,126.774981.189739.838610.366448.57387.48727.268100.611120.0390
Goodwill en immateriële activa 1,801.1181,105.0661,108.1961,135.8041,149.6531,157.0231,011.438739.838610.366448.57387.48727.268100.611120.0390
Langetermijnbeleggingen 19,921.21618,161.03518,219.91219,143.52217,163.7791,693.472,187.6591,881.2122,503.481,639.76955.439-5,296.8445,782.0776,577.6870
Belastingvorderingen 12.4321.49738.4735.06650.81310.5225.0285.0285.0255.0184.99408,990.0368,470.5590
Overige niet-vlottende activa 950.392489.312222.836236.55498.73519,487.7419,927.27917,231.53716,014.83417,049.96918,679.47815,440.324193.825227.2090
Totaal niet-vlottende activa 32,351.87129,475.10924,096.72823,057.45820,925.77924,185.08825,129.61122,331.18321,911.13521,879.60321,312.77814,866.32820,976.05521,632.1230
Totaal activa 78,410.67275,050.24270,389.64767,155.0963,548.03167,005.83464,789.57959,343.13157,592.5254,400.55956,814.90450,969.69849,403.08552,790.0960
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,578.3476,093.1496,989.7265,784.465,907.6697,030.1827,658.9175,768.8885,315.5643,944.1233,974.5734,458.2335,159.4373,722.4040
Kortlopende schulden 18,023.62717,305.21211,495.70310,972.91611,178.72212,694.56311,321.839,048.04510,355.7028,665.48712,681.34412,570.4246,217.239,004.7620
Belastingschulden 307.008184.516142.53369.699335.19236.19674.186111.6139.92320.105105.6110000
Uitgestelde opbrengsten 7,663.2297,508.36411,305.8910,683.0839,397.22436.1967,540.5977,437.2858,928.63610,089.1738,709.3424,768.7653,906.24,934.0520
Overige kortlopende verplichtingen -4,238.641-3,580.055-7,067.134-2,935.062-6,108.815799.673-7,528.136-5,730.002-5,168.989-3,854.435-3,974.368-1,798.484914.1363,981.4430
Totaal kortlopende verplichtingen 34,911.91733,604.33529,856.44430,359.55626,617.66127,626.99226,726.31122,404.71724,756.422,808.57625,471.07524,457.17121,356.4425,365.0650
Langlopende verplichtingen:
Langetermijnschulden 12,189.10111,536.89511,993.89,135.08710,763.99613,086.52214,021.1213,691.30710,726.32311,139.3411,194.8019,044.2339,025.7328,847.3180
Uitgestelde opbrengsten niet-vlottend 49.870487.553496.887216.695261.342280.037297.942337.432379.717361.630000
Uitgestelde belastingverplichtingen niet-vlottend 181.045150.863130.819101.692115.09376.05431.3414.5962.2282.2284.4310000
Overige niet-vlottende verplichtingen 303.037376.7142.738141.508137.278130.277130.895113.133114.968616.031128.073364.397332.633368.9110
Totaal niet-vlottende verplichtingen 12,723.05312,064.45812,754.919,875.17411,233.06213,554.19514,463.39214,116.97811,180.95112,137.31611,688.9359,408.639,358.3659,216.2290
Totaal passiva 47,634.9745,668.79342,611.35440,234.7337,850.72341,181.18741,189.70336,521.69535,937.35134,945.89237,160.0133,865.80130,714.80534,581.2940
Eigen vermogen:
Preferente aandelen 0000000001,418.8762,766.8450000
Gewone aandelen 8,232.168,232.168,232.168,232.168,232.168,232.168,232.168,232.168,532.168,832.168,411.5818,411.5818,411.5818,411.5810
Ingehouden winsten 6,800.03310,830.1469,281.5038,629.7277,491.0238,153.885,520.6865,201.9415,092.6814,537.1626,381.1091,561.4481,113.603931.1020
Overige gereserveerde algehele resultaten 5,515.5133,832.223,451.6753,117.553,125.97410,347.5154,568.9994,770.2343,438.744-1,418.876-2,766.8450000
Overige totale aandeelhoudersvermogen 6,804.4313,428.3983,608.8263,760.4043,760.795-3,080.723,802.4923,855.3863,960.6345,445.3484,098.1436,779.416,791.9426,671.6620
Totaal eigen vermogen van aandeelhouders 27,352.13726,322.92424,574.16423,739.84122,609.95223,652.83522,124.33722,059.72121,024.21918,814.6718,890.83316,752.43916,317.12616,014.3450
Totaal eigen vermogen 30,775.70229,381.44927,778.29326,920.3625,697.30825,824.64723,599.87622,821.43621,655.16919,454.66719,654.89417,103.89718,688.2818,208.8020
Totaal passiva en aandeelhoudersvermogen 78,410.67275,050.24270,389.64767,155.0963,548.03167,005.83464,789.57959,343.13157,592.5254,400.55956,814.90450,969.69849,403.08552,790.0960