Zhen Ding Technology Holding Limited

TWSE:4958.TW

116 (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 61,432.73155,243.56233,789.5344,222.88738,280.30440,652.97319,147.38821,417.56321,441.14217,903.17210,015.7318,756.4644,084.0131,797.3071,291.085
Kortetermijnbeleggingen 4,553.8961,907.7511,389.1772,552.2154,790.9228,782.2347.9358,823.37810,131.3495,578.7814.712319.915016.58217.574
Liquide middelen en kortetermijnbeleggingen 65,986.62757,151.31335,178.70746,775.10243,071.22649,435.20719,155.32321,417.56321,441.14217,903.17210,030.4439,076.3794,084.0131,813.8891,308.659
Nettovorderingen 29,503.29235,412.18242,966.51939,524.00431,615.24528,805.4836,493.5822,951.70619,287.27923,668.79625,496.01616,861.52415,320.9268,992.6487,409.576
Voorraad 15,507.54917,724.84417,675.16512,998.7848,516.86210,083.88211,259.3827,187.4945,939.756,036.2684,867.3814,293.7453,242.1232,382.4781,742.5
Overige vlottende activa 3,048.2054.64114.64314.1150.383569.63414,459.7858,863.4110,154.8325,581.4830.795403.061,011.688732.364502.609
Totaal vlottende activa 114,045.673110,292.97995,935.03499,312.00583,203.71688,894.20381,368.0760,420.17356,823.00353,189.71940,394.63530,634.70823,658.7513,921.37910,963.344
Niet-vlottende activa:
Materiële vaste activa, netto 115,225.307108,635.00894,618.17776,786.6454,278.26341,913.16636,681.45332,261.91732,074.41830,072.9727,843.10926,636.63827,096.91225,444.80625,361.375
Goodwill 1,335.4051,335.6231,203.8631,238.65789.51191.72188.85496.28998.02194.49789.00486.70590.407241.422265.124
Immateriële activa 977.801802.963875.445926.372270.8597,821.4894,155.551,310.4571,387.9381,410.676970.25938.757000
Goodwill en immateriële activa 2,313.2062,138.5862,079.3082,165.029360.3791.72188.85496.28998.02194.49789.00486.70590.407241.422265.124
Langetermijnbeleggingen 7,738.987966.954303.868-1,367.427-4,597.118-8,729.761264.121244.047227.568131.414499.424243.6540625.466123.049
Belastingvorderingen 2,827.9712,576.8981,199.7531,285.0391,408.0381,024.491825.911326.504453.636296.721134.2071,624.97301,254.7241,329.804
Overige niet-vlottende activa 624.5217,949.6871,619.1542,939.2015,228.06616,913.3334,488.1041,554.9061,578.7691,699.2262,591.0281,251.923,235.7061,059.872788.54
Totaal niet-vlottende activa 128,729.992122,267.13399,820.2681,808.48256,677.61951,212.9542,348.44334,483.66334,432.41232,294.82831,156.77229,843.8930,423.02528,626.2927,867.892
Totaal activa 242,775.665232,560.112195,755.294181,120.487139,881.335140,107.153123,716.51394,903.83691,255.41585,484.54771,551.40760,478.59854,081.77542,547.66938,831.236
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 19,566.93616,900.63920,096.74223,849.57314,417.76518,079.46523,208.43116,402.10911,874.16615,964.89113,875.8239,547.967,684.7866,695.2825,030.341
Kortlopende schulden 35,324.72432,479.27219,770.25713,920.5219,771.30717,883.38520,248.96621,373.83517,611.36815,446.56610,174.7459,136.26210,825.1355,067.44211,358.779
Belastingschulden 986.6921,635.2431,029.989777.2041,848.6432,391.5191,268.536750.6991,104.0111,173.257889.9251,123.685467.357205.407137.313
Uitgestelde opbrengsten 986.692015,850.91616,608.53314,778.5342,391.51911,600.2078,781.8939,674.248,130.8027,104.7026,634.6855,934.8313,791.4963,023.077
Overige kortlopende verplichtingen 23,060.9924,846.9941,161.8119,045.17165.27313,480.69123.50565.85990.27287.06383.1657,011.0173,465.2322,579.0792,410.243
Totaal kortlopende verplichtingen 78,939.34274,226.90556,879.72663,423.79839,032.87951,835.05955,181.10946,623.69639,250.04639,629.32231,238.43532,329.92427,909.98418,133.29921,822.44
Langlopende verplichtingen:
Langetermijnschulden 18,026.28713,302.96718,365.80211,044.2389,131.7969,194.8812,700.1559,651.1289,649.51213,678.62413,475.2016,613.0847,138.41510,375.9122,916.622
Uitgestelde opbrengsten niet-vlottend 992.3310000000001,076.7550000
Uitgestelde belastingverplichtingen niet-vlottend 3,030.8213,647.0572,750.0272,022.315972.792857.644423.207363.111000.1550000
Overige niet-vlottende verplichtingen 7,461.0368,517.4924,239.8592.26399.767110.99150.72335.544103.324153.85646.7671,142.0571,201.3551,147.9121,310.596
Totaal niet-vlottende verplichtingen 29,510.47525,467.51625,355.62913,658.81310,504.35510,163.51413,274.08510,049.7839,752.83613,832.4814,598.8787,755.1418,339.7711,523.8244,227.218
Totaal passiva 108,449.81799,694.42182,235.35577,082.61149,537.23461,998.57368,455.19456,673.47949,002.88253,461.80245,837.31340,085.06536,249.75429,657.12326,049.658
Eigen vermogen:
Preferente aandelen 000000000000000
Gewone aandelen 9,470.4929,470.4929,470.4929,470.4929,022.2998,047.4848,047.4848,047.4848,047.4847,386.3117,385.9687,034.2556,699.296,4646,640.365
Ingehouden winsten 52,972.6640,698.11132,898.62927,429.47626,318.37523,731.618,486.19617,285.54318,223.68115,318.1810,150.2476,933.6044,036.4151,680.355969.18
Overige gereserveerde algehele resultaten 22,724.59725,500.48921,105.08820,784.27315,968.2288,527.8088,378.066954.8984,038.9362,716.1041,807.8220000
Overige totale aandeelhoudersvermogen 10,529.88421,224.54620,886.94320,732.98915,850.815,748.3159,432.28811,942.43211,942.4326,602.156,370.0576,425.6747,096.3164,746.1915,172.033
Totaal eigen vermogen van aandeelhouders 95,697.63396,893.63884,361.15278,417.2367,159.70256,055.20744,344.03438,230.35742,252.53332,022.74525,714.09420,393.53317,832.02112,890.54612,781.578
Totaal eigen vermogen 134,325.848132,865.691113,519.939104,037.87690,344.10178,108.5855,261.31938,230.35742,252.53332,022.74525,714.09420,393.53317,832.02112,890.54612,781.578
Totaal passiva en aandeelhoudersvermogen 242,775.665232,560.112195,755.294181,120.487139,881.335140,107.153123,716.51394,903.83691,255.41585,484.54771,551.40760,478.59854,081.77542,547.66938,831.236