Pegatron Corporation

TWSE:4938.TW

103.5 (TWD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 97,721.59284,577.382111,024.086125,996.714145,795.913106,068.046107,444.124108,713.312102,561.346107,688.63274,261.30660,157.49950,453.43342,264.00731,846.28
Kortetermijnbeleggingen 12,177.5921,037.641,988.3954,888.85910,366.4493,907.7774,432.4355,113.886,376.269,017.6459,286.7168,153.4046,980.9588,746.5128,555.077
Liquide middelen en kortetermijnbeleggingen 109,899.182105,614.982153,012.476180,885.573156,162.362109,975.823111,876.559113,827.192108,937.606116,706.27783,548.02268,310.90357,434.39151,010.51940,401.357
Nettovorderingen 155,337.949191,576.323259,162.067225,979.18207,933.759200,506.058150,905.085135,906.567147,725.074145,229.696133,600.748137,753.1987,712.81254,667.13570,182.992
Voorraad 105,615.799199,441.528148,061.197165,142.393106,063.49164,988.341123,874.993107,319.402118,165.4695,630.438103,598.87292,678.08465,716.4442,067.75343,409.932
Overige vlottende activa 49,547.975,854.9494,615.08610,123.7185,674.37,334.8758,741.9357,172.42515,575.20412,036.3156,187.3377,407.3385,030.0182,192.5991,812.36
Totaal vlottende activa 420,400.9502,487.782564,850.826582,130.864475,833.911482,805.097395,398.572364,225.586390,403.344369,602.726326,934.979306,149.515215,893.661149,938.006155,806.641
Niet-vlottende activa:
Materiële vaste activa, netto 97,354.10698,849.79582,785.36989,967.07986,137.36287,605.76278,075.27166,860.80971,037.77872,898.28473,916.65471,812.74270,514.93753,102.73354,666.525
Goodwill 044.25740.03541.1671,048.5621,074.2321,040.8791,127.8411,312.7821,271.7461,539.8741,855.2461,898.499885.682890.311
Immateriële activa 238.264180.757168.151345.808249.329401.64456.355311.345242.305329.513429.9584,252.6874,024.2492,557.5612,858.44
Goodwill en immateriële activa 238.264225.014208.186386.9751,297.8911,475.8721,497.2341,439.1861,555.0871,601.2591,969.8326,107.9335,922.7483,443.2433,748.751
Langetermijnbeleggingen 36,652.69410,772.255-15,966.701-49,160.205-8,214.774-1,777.894-2,118.677-3,162.612-4,164.232-5,866.237-5,166.68-4,422.234-3,015.497-3,414.054-3,235.234
Belastingvorderingen 2,224.3212,794.7442,820.8273,526.4933,305.6133,627.6813,345.9922,347.9332,852.5063,056.523,100.485524.438167.88311,188.52511,812.544
Overige niet-vlottende activa 198.91221,093.19742,071.85657,495.40312,159.7910,614.09712,037.22712,234.33114,402.1815,800.58915,140.25411,268.17110,090.0361,733.2021,738.313
Totaal niet-vlottende activa 136,668.297133,735.005111,919.537102,215.74594,685.882101,545.51892,837.04779,719.64785,683.31987,490.41588,960.54585,291.0583,680.10766,053.64968,730.899
Totaal activa 557,069.197636,222.787676,770.363684,346.609570,519.793584,350.615488,235.619443,945.233476,086.663457,093.141415,895.524391,440.565299,573.768215,991.655224,537.54
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 176,615.915202,467.364266,661.54256,830.412218,063.307228,018.5186,850.403171,217.113161,091.442174,726.277158,630.855172,333.24899,944.20855,011.15965,964.017
Kortlopende schulden 57,446.15988,228.99698,117.927113,793.42871,699.5889,372.02447,211.83631,733.30548,127.0936,773.84932,156.4319,760.40823,977.89614,866.83911,056.125
Belastingschulden 4,100.3155,264.8962,598.9283,097.3794,037.7763,005.1873,132.9414,538.4397,847.9315,919.273,377.6513,673.1391,868.2422,046.5171,276.165
Uitgestelde opbrengsten 1,672.8481,200.2739,506.72249,562.24636,313.1773,005.18742,775.78436,399.60844,063.35441,990.60733,513.25128,215.0123,133.06412,625.56912,952.075
Overige kortlopende verplichtingen 46,520.68673,539.36624,301.86424,126.09419,510.59550,005.60314,489.12414,886.79714,425.61111,506.71214,972.32813,668.0784,435.8784,600.0565,728.335
Totaal kortlopende verplichtingen 282,255.608365,435.996428,588.053444,312.18345,586.659370,401.314291,327.147254,236.823267,707.497264,997.445239,272.864233,976.744151,491.04687,103.62395,700.552
Langlopende verplichtingen:
Langetermijnschulden 39,174.80146,124.94649,083.34336,582.64628,309.99524,498.44313,947.2764,522.8912,306.74913,949.22228,708.17427,391.57728,758.12611,517.1818,078.551
Uitgestelde opbrengsten niet-vlottend 4,098.32,627.942150.352301.158420.197372.4930000235.162469.475420.791342.875241.305
Uitgestelde belastingverplichtingen niet-vlottend 2,633.1661,889.6622,134.3973,126.2961,928.2411,538.2521,601.4811,803.2442,578.9812,295.0812,454.4521,496.832653.861351.848312.252
Overige niet-vlottende verplichtingen 7,289.5555,575.9782,547.3411,083.8071,029.1881,093.331,635.9051,360.0751,154.911980.1631,169.69378.70553.21558.62951.21
Totaal niet-vlottende verplichtingen 53,195.82256,218.52853,915.43341,093.90731,687.62127,502.51817,184.6627,686.20916,040.64117,224.46632,567.48129,436.58929,885.99312,270.5338,683.318
Totaal passiva 335,451.43421,654.524482,503.486485,406.087377,274.28397,903.832308,511.809261,923.032283,748.138282,221.911271,840.345263,413.333181,377.03999,374.156104,383.87
Eigen vermogen:
Preferente aandelen 0000000000202.9260000
Gewone aandelen 26,642.24126,676.33726,691.31626,628.73726,110.91926,123.77326,140.90625,751.69526,030.20525,156.80523,211.55522,903.04922,563.66922,563.66922,860.539
Ingehouden winsten 62,489.19941,419.11746,661.78944,978.22442,156.19232,149.23737,412.95840,844.20737,775.79229,325.24415,405.359,829.896144.4668,253.6056,712.65
Overige gereserveerde algehele resultaten 31,648.91442,924.85922,486.97521,814.82620,165.85624,495.49816,231.61116,289.35921,062.2976,379.045-202.9260000
Overige totale aandeelhoudersvermogen 68,029.53871,468.25270,764.46569,172.79469,232.09567,260.3366,190.26365,384.32965,511.84172,809.83768,686.88963,345.88868,876.07460,023.95566,197.288
Totaal eigen vermogen van aandeelhouders 188,809.892182,488.565166,604.545162,594.581157,665.062150,028.838145,975.738148,269.59150,380.135133,670.931107,303.79496,078.83391,584.20990,841.22995,770.477
Totaal eigen vermogen 221,617.767214,568.263194,266.877198,940.522193,245.513186,446.783179,723.81182,022.201192,338.525174,871.23144,055.179128,027.232118,196.729116,617.499120,153.67
Totaal passiva en aandeelhoudersvermogen 557,069.197636,222.787676,770.363684,346.609570,519.793584,350.615488,235.619443,945.233476,086.663457,093.141415,895.524391,440.565299,573.768215,991.655224,537.54