CHC Healthcare Group

TWSE:4164.TW

44.3 (TWD) • At close July 3, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,641.7831,891.3811,472.8491,493.9271,380.5221,245.2351,209.6361,444.3631,163.3221,257.833558.333704.621,042.206971.511805.165191.956
Kortetermijnbeleggingen 83.381135.469247.055425.304393.54369.37253.482-1,152.185-1,162.421-1,160.8190061.50815.4918.96822.77
Liquide middelen en kortetermijnbeleggingen 1,725.1642,026.851,719.9041,919.2311,774.0621,614.6071,263.1181,444.3631,163.3221,257.833558.333704.621,103.714987.001824.133214.726
Nettovorderingen 1,310.1671,106.5861,014.401979.741962.1471,037.008984.862899.894840.9161,117.388723.8410749.35500.91298.084425.859
Voorraad 883.7811,153.375527.921321.593313.692439.674489.977290.36215.847327.092401.576374.227310.904303.2312.389265.482
Overige vlottende activa 848.602589.361589.323563.279435.328368.141466.628406.966287.506136.16129.655876.921176.195126.996134.754106.406
Totaal vlottende activa 4,767.7144,331.6893,851.5493,783.8443,485.2293,509.5283,204.5853,041.5832,507.5912,838.4731,813.4051,955.7682,349.9931,918.1071,550.392997.153
Niet-vlottende activa:
Materiële vaste activa, netto 5,990.4286,026.6825,928.9615,506.0465,455.4634,721.2454,752.9364,609.2624,754.9934,550.0814,671.6163,865.8943,882.8083,144.7742,086.8421,576.337
Goodwill 381.609377.854361.985361.985159.151159.151150.617150.617161.746161.74611.12911.12911.1298.5338.5330
Immateriële activa 341.437253.296248.172269.2930011.12911.129058.549008.3715.22615.6140
Goodwill en immateriële activa 723.046631.15610.157631.278159.151159.151161.746161.746161.746161.74611.12911.12919.49923.75924.1470
Langetermijnbeleggingen 285.812112.8355.427-117.076-116.274203.298733.1931,869.8481,895.4291,424.172361.15339.8020000
Belastingvorderingen 134.09693.2488.7389.1988.38384.75168.29822.54316.14649.13915.37912.3830.8760.1421.3020
Overige niet-vlottende activa 2,313.3612,417.8362,296.0772,673.9992,471.8692,527.3521,926.977887.981447.551883.558738.698989.268422.093359.694214.895180.266
Totaal niet-vlottende activa 9,446.7439,281.7388,979.3528,783.4378,058.5927,695.7977,643.157,551.387,275.8657,068.6965,797.9754,918.4764,325.2763,528.3692,327.1861,756.603
Totaal activa 14,214.45713,613.42712,830.90112,567.28111,543.82111,205.32510,847.73510,592.9639,783.4569,907.1697,611.386,874.2446,675.2695,446.4763,877.5782,753.756
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 475.566375.894325.733199.51152.9219.949216.18141.272180.746172.148100.038127.4152.26795.229136.161214.23
Kortlopende schulden 2,601.422616.469454.639980.931514.35482.511873.8741,502.314439.805329.508673.529835.8761,534.8531,353.724384.392899.761
Belastingschulden 22.793118.05779.85893.45892.5567.74264.06344.82731.33250.98632.98446.43549.906121.443132.90964.953
Uitgestelde opbrengsten 252.25102.37953.726302.136368.246334.28764.063113.128150.282149.569121.296116.324138.298201.289270.077331.493
Overige kortlopende verplichtingen 141.548213.206193.802169.83141.1732,278.889168.868115.0991,538.675198.857266.65488.53196.49182.227404.589268.292
Totaal kortlopende verplichtingen 3,493.5791,426.0051,054.0321,486.2171,053.3863,049.0911,353.0321,803.5122,190.558751.4991,073.2051,098.2521,733.1451,652.6231,058.0511,447.236
Langlopende verplichtingen:
Langetermijnschulden 3,140.2834,591.5894,581.3073,995.4443,780.2422,113.4713,989.6433,514.0552,263.1843,487.5531,811.2031,100.7161,091.772879.191699.61501
Uitgestelde opbrengsten niet-vlottend 672.241657.915645.381638.653636.74660.942309.50.7452.96715.43113.96618.9090000
Uitgestelde belastingverplichtingen niet-vlottend 107.84799.23291.81594.1740.30340.16140.43140.13140.09145.7725.0252.7520.913000
Overige niet-vlottende verplichtingen 128.02363.1855.2738.9433.14924.32121.6127.698320.15856.1563.471-6.74826.49418.93618.3730.198
Totaal niet-vlottende verplichtingen 4,048.3945,411.9165,373.7734,767.2074,490.4342,838.8954,361.1843,875.0142,623.4333,589.4811,847.6311,112.8771,107.917898.127717.983501.198
Totaal passiva 7,509.4626,837.9216,427.8056,253.4245,543.825,887.9865,714.2165,678.5264,813.9914,340.982,920.8362,211.1292,841.0622,550.751,776.0341,948.434
Eigen vermogen:
Preferente aandelen 00000000005.5200000
Gewone aandelen 1,668.6511,664.1941,615.5311,610.5361,570.4391,416.3351,399.1361,399.1361,398.4781,397.0281,303.461,3001,2001,081.0361,053.036600
Ingehouden winsten 441.941648.281581.51595.565566.883545.509763.134203.226526.742762.559828.829852.749964.2381,024.312489.2176.299
Overige gereserveerde algehele resultaten 516.865486.872467.848416.032388.092310.44714.486440.766235.48206.405-5.5213.7020000
Overige totale aandeelhoudersvermogen 4,135.7484,088.3523,944.5753,462.3883,322.0233,200.33,173.7143,311.0062,806.6942,795.2542,554.4812,504.6191,664.314710.014537.814125.286
Totaal eigen vermogen van aandeelhouders 6,303.2716,458.4156,141.6166,084.5215,847.4375,162.1444,972.3634,913.3684,967.3945,161.2464,686.774,657.3683,823.2692,876.2922,084.371731.585
Totaal eigen vermogen 6,672.4846,775.5066,403.0966,313.8576,000.0015,317.3395,133.5194,914.4374,969.4655,566.1894,690.5444,663.1153,834.2072,895.7262,101.544805.322
Totaal passiva en aandeelhoudersvermogen 14,214.45713,613.42712,830.90112,567.28111,543.82111,205.32510,847.73510,592.9639,783.4569,907.1697,611.386,874.2446,675.2695,446.4763,877.5782,753.756