Tai Sin Electric Limited

SGX:500.SI

0.395 (SGD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 27.41732.00329.19639.32933.50116.82218.75421.09829.46523.48122.34924.48119.49218.02215.44918.1613.6175.1346.8476.4324.5273.7212.1042.83
Kortetermijnbeleggingen 00-4.831-10.116-2.952-3.1140.3791.154.74300000-2.1-2.17700.0130.17100000
Liquide middelen en kortetermijnbeleggingen 27.41732.00329.19639.32933.50116.82218.75421.09829.46523.48122.34924.48119.49218.02215.44918.1613.6175.1477.0176.4324.5273.7212.1042.83
Nettovorderingen 111.895100.689116.57598.41565.19597.9299.86783.282104.96387.1994.4620000071.76671.70755.77243.6180021.95418.943
Voorraad 103.369101.16898.80969.93778.9268.20270.30963.5961.30357.94765.25166.12463.59265.91255.10936.63864.61750.53332.93327.38126.8722.53112.20314.405
Overige vlottende activa 120.5512.4170.1637.3993.0790.440.3730.9834.7020.010.009000000.0280.0330.1220.256000.4090.324
Totaal vlottende activa 251.337236.277244.743215.08180.695183.384189.303168.953200.433168.628182.071190.652170.884150.19129.503102.507150.028127.4295.84477.68767.6360.22336.67136.502
Niet-vlottende activa:
Materiële vaste activa, netto 49.13249.34852.87254.22749.28440.32934.16135.29234.5129.7723.223.16828.57624.06225.6126.82824.50824.98124.81226.80826.71131.64224.53927.55
Goodwill 0.1290.129-16.3700000000000000000-2.912-3.63300
Immateriële activa 00.1290.12900.1590.3910.6230.8551.0871.3821.6582.1742.4680.0410.0150.0280.1540.0030.0040.0110.0350.1120.160.215
Goodwill en immateriële activa 0.1290.258-16.241-20.6010.1590.3910.6230.8551.0871.3821.6582.1742.4680.0410.0150.0280.1540.0030.0040.011-2.877-3.520.160.215
Langetermijnbeleggingen 12.42415.02516.24120.60113.15212.25111.16395.404000004.6574.5430.0330.026-0.1510.030.0480.07500
Belastingvorderingen 0.7751.2921.8533.4030.0930.1060.0620.0760.06600000.2250.2760.3160.570.2910.0930.350.4590.31500
Overige niet-vlottende activa 1.865-0.12916.24120.60100.1240.130.1360.146.916.6446.4376.245.245-0.504-0.4890.2860.4420.3450.3680.1880.2060.0840.047
Totaal niet-vlottende activa 64.32565.79470.96678.23162.68853.20146.13945.35941.20738.06231.50231.77937.28429.57330.05431.22625.55125.74325.10327.56824.52928.71824.78327.812
Totaal activa 315.662302.071315.709293.311243.383236.585235.442214.312241.64206.69213.573222.431208.168179.763159.557133.733175.579153.163120.948105.25592.15988.94261.45464.313
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 23.38623.60638.69528.54116.03122.22328.72723.50424.88325.55724.82831.42126.62722.71819.16114.94924.59128.16920.23719.85816.53514.9795.8937.017
Kortlopende schulden 47.30734.72932.19518.64521.68525.72419.75310.04337.07716.35925.86736.93338.66637.55727.37912.1210.6842.0191.8572.2752.1722.66913.11215.204
Belastingschulden 3.2053.042.757.1412.2211.9861.6442.3143.0812.8153.5453.2833.5472.1542.2131.5685.1575.2493.282.0611.5271.3711.3570.358
Uitgestelde opbrengsten 4.5693.1792.4831.5841.2021.23600000000005.15712.0887.8365.0333.6653.132.8042.229
Overige kortlopende verplichtingen 18.98121.80926.82640.18211.378.75110.29510.47313.26911.13213.04313.55213.1799.948.835.05547.49925.71826.22419.37116.57515.5140.0520.064
Totaal kortlopende verplichtingen 94.24383.323100.19988.95250.28857.93458.77544.0275.22953.04863.73881.90678.47270.21555.3732.12577.93167.99456.15446.53838.94836.29221.86124.513
Langlopende verplichtingen:
Langetermijnschulden 010.99110.84511.1999.6110.13600.0870.1150.0920.1441.2971.7182.3572.4792.2081.521.9733.3025.186.5788.5222.8943.581
Uitgestelde opbrengsten niet-vlottend 000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 1.4660.8070.9070.9461.2531.5872.0791.6491.4531.5411.6651.8931.8781.0070.8680.9340.6990.7660.7631.0921.3021.5681.3221.687
Overige niet-vlottende verplichtingen 11.3030.1950.1910.1940.1590.1150.0880.0690.0640.0480.0530.0470.077000000000.0552.2322.608
Totaal niet-vlottende verplichtingen 12.76911.99311.94312.33911.0231.8382.1671.8051.6321.6811.8623.2373.6733.3643.3473.1422.2192.7394.0656.2727.8810.1456.4477.876
Totaal passiva 107.01295.316112.142101.29161.31159.77260.94245.82576.86154.72965.685.14382.14573.57958.71735.26780.1570.73360.21952.8146.82846.43728.30832.389
Eigen vermogen:
Preferente aandelen 0.9120001.1711.4493.90200000000000000000
Gewone aandelen 63.71263.71263.71263.71263.71258.64156.28856.28856.2880056.28851.72349.48847.31947.31947.3190000018.818.8
Ingehouden winsten 150.574145.881140.935129.285118.907119.307121.881116.66108.71895.37688.09876.201000000000000
Overige gereserveerde algehele resultaten -6.452-3.837-2.008-1.808-1.171-1.449-3.902-4.613-3.538000000000000000
Overige totale aandeelhoudersvermogen -1.862-0.95-0.95-0.95-2.121-2.399-4.852-0.95-0.9552.82953.693-2.89666.42254.73251.59448.76445.2940000012.17210.609
Totaal eigen vermogen van aandeelhouders 206.884204.806201.689190.239180.498175.549173.317167.385160.518148.205141.791129.593118.145104.2298.91396.08392.61379.8458.68150.05642.74139.91630.97229.409
Totaal eigen vermogen 208.65206.755203.567192.02182.072176.813174.5168.487164.779151.961147.973137.288126.023106.184100.8498.46695.42982.4360.72852.44545.3342.50533.14631.924
Totaal passiva en aandeelhoudersvermogen 315.662302.071315.709293.311243.383236.585235.442214.312241.64206.69213.573222.431208.168179.763159.557133.733175.579153.163120.948105.25592.15988.94261.45464.313