HannStar Board Corporation

TWSE:5469.TW

54.6 (TWD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 18,692.54921,974.91113,410.77411,364.57611,445.9297,536.1367,937.019,484.1759,934.6978,071.90614,156.87113,206.5416,083.4326,506.074,347.5684,462.2382,350.112,647.958
Kortetermijnbeleggingen 3,312.5521,426.8682,668.4761,049.023396.7145,744.2726,609.3976,054.4828,451.57710,600.9483,500.85417.652137.22737.67300242.68515.796
Liquide middelen en kortetermijnbeleggingen 22,005.10123,401.77916,079.2512,413.59911,842.64313,280.40814,546.40715,538.65718,386.27418,672.85417,657.72513,224.19216,220.6596,543.7434,347.5684,462.2382,592.7952,663.754
Nettovorderingen 12,439.31415,335.41818,689.28416,936.60714,904.17115,924.83314,685.15412,764.30312,418.73716,076.74414,844.1714,886.67416,026.7597,562.7688,007.0596,819.0227,350.35,534.759
Voorraad 7,195.0378,098.4189,738.80810,108.6238,677.3914,942.1544,597.8264,586.9924,278.054,269.0624,739.1854,586.7994,585.2411,750.3621,972.1461,191.852,177.0561,516.554
Overige vlottende activa 786.728316.646772.0721,400.686658.842673.8821,174.966671.226595.749631.643570.907319.422272.75312.8424.024378.614462.651,644.378
Totaal vlottende activa 42,426.1847,152.26145,279.41440,859.51536,083.04734,821.27735,004.35333,561.17835,678.8139,650.30337,811.98733,017.08737,105.41215,869.71514,330.79712,851.72412,582.80111,359.445
Niet-vlottende activa:
Materiële vaste activa, netto 11,885.23513,184.48413,134.88512,449.9413,329.12513,174.12411,029.71612,085.18213,402.51914,606.53416,128.42817,728.54720,084.82712,219.21211,391.35512,949.64611,882.1739,072.7
Goodwill 699.86699.877689.419692.18701.958726.345722.226732.965735.444848.646833.795863.809875.28800000
Immateriële activa 719.033720.154716.383712.848717.3052,521.5522,516.6282,603.26770.85464.33969.4781,053.638622.426168.221182.365191.329180.49171.678
Goodwill en immateriële activa 719.033720.154716.383712.848717.305754.169763.628790.383806.298912.985903.2731,917.4471,497.714168.221182.365191.329180.49171.678
Langetermijnbeleggingen 22,811.91211,954.90414,293.33419,447.04219,253.4024,395.943614.891-2,510.637-6,917.676-9,538.759-2,871.811536.449262.9214,917.5070146.018149.44519.29
Belastingvorderingen 401.305516.866470.917321.176235.861130.83449.2235.21140.31129.51828.79354.41529.21237.673075.2117.850.4
Overige niet-vlottende activa 160.9872,332.5543,559.7231,638.377898.7058,913.3699,933.0219,069.05511,955.97413,615.5535,024.321303.592428.056105.07556.929132.456288.30344.201
Totaal niet-vlottende activa 35,978.47228,708.96232,175.24234,569.38334,434.39827,368.43922,390.47619,469.19419,287.42619,625.83119,213.00420,540.4522,302.7317,447.68312,130.64913,494.64912,618.2119,358.269
Totaal activa 78,404.65275,861.22377,454.65675,428.89870,517.44562,189.71657,394.82953,030.37254,966.23659,276.13457,024.99153,557.53759,408.14233,317.39826,461.44626,346.37325,201.01220,717.714
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,859.0237,285.85110,374.5488,948.2027,630.7437,065.5177,684.0617,048.8966,595.9957,334.668,813.0857,535.4899,410.3764,251.9794,132.0833,512.2595,763.1014,474.17
Kortlopende schulden 12,555.39512,682.11612,243.9237,120.8411,743.79111,180.90211,023.39712,234.37713,007.67115,714.94413,659.70510,884.84911,050.9952,390.3442,153.6853,734.7594,589.92,663.978
Belastingschulden 1,183.9711,571.4751,227.124760.464446.975265.085276.638191.685212.61965.008109.773264.15159.20468.185102.939189.95343.80225.17
Uitgestelde opbrengsten 7.8391.1495,203.2897,209.2894,032.753265.0853,802.6043,278.7072,976.7623,233.1353,198.6542,952.7433,748.1581,659.1771,219.8591,322.7261,686.66425.17
Overige kortlopende verplichtingen 5,854.2686,266750.691928.899553.8084,063.533528.975401.989337.856583.142184.9474,401.753,826.01912.4671,203.6770.0250.7531,200.264
Totaal kortlopende verplichtingen 24,276.52526,235.11628,572.45124,207.2323,961.09522,575.03723,039.03722,963.96922,918.28426,865.88125,856.39125,774.83128,035.5488,313.9678,709.3048,569.76912,040.4188,363.582
Langlopende verplichtingen:
Langetermijnschulden 7,653.0818,355.8527,715.31610,724.56710,142.53211,209.00510,520.2049,549.811,695.74612,158.413,769.78510,413.83413,532.69712,798.294,947.896,406.0582,730.6613,624.046
Uitgestelde opbrengsten niet-vlottend 439.814000000000095.711022.61132.9726.26700
Uitgestelde belastingverplichtingen niet-vlottend 1,187.537964.758833.615658.544488.306459.459136.47136.57136.57165.27160.2752.3040.2215.6815.65300
Overige niet-vlottende verplichtingen 355.126354.344363.893428.413338.939347.867170.44133.124176.51238.165262.275200.766302.893110.04953.05772.99834.8516.293
Totaal niet-vlottende verplichtingen 9,635.5589,674.9548,912.82411,811.52410,969.77712,016.33110,827.1149,819.49412,008.82612,561.83514,192.3310,762.61113,835.5912,971.175,049.5976,520.9762,765.5113,640.339
Totaal passiva 33,912.08335,910.0737,485.27536,018.75434,930.87234,591.36833,866.15132,783.46334,927.1139,427.71640,048.72136,537.44241,871.13821,285.13713,758.90115,090.74514,805.92912,003.921
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 5,284.4135,284.4135,284.4135,284.4134,914.4134,504.3624,504.3624,504.3624,554.3624,554.3624,579.3624,579.3624,579.3624,407.7074,004.6183,976.0843,313.522,808.068
Ingehouden winsten 14,496.17613,257.85511,567.1059,343.9867,334.9215,372.064,209.9063,727.2352,915.9924,716.352,178.8641,508.4851,235.7141,300.6941,754.8571,335.5521,733.6371,177.438
Overige gereserveerde algehele resultaten 6,841.4584,796.5357,428.1659,908.2519,828.3316,770.0174,698.2492,042.8972,815.604744.04868.7960000000
Overige totale aandeelhoudersvermogen 3,994.2264,115.3934,118.4754,060.813,087.0092,086.342,205.1872,158.2521,975.1242,050.0443,844.8934,412.2824,787.9543,629.4094,222.8923,537.0083,431.593,313.192
Totaal eigen vermogen van aandeelhouders 30,616.27327,454.19628,398.15828,597.4625,164.67418,732.77915,617.70412,432.74612,261.08212,064.80410,671.91510,500.12910,603.039,337.819,982.3678,848.6448,478.7477,298.698
Totaal eigen vermogen 44,492.56939,951.15339,969.38139,410.14435,586.57327,598.34823,528.67820,246.90920,039.12619,848.41816,976.2717,020.09517,537.00412,032.26112,702.54511,255.62810,395.0838,713.793
Totaal passiva en aandeelhoudersvermogen 78,404.65275,861.22377,454.65675,428.89870,517.44562,189.71657,394.82953,030.37254,966.23659,276.13457,024.99153,557.53759,408.14233,317.39826,461.44626,346.37325,201.01220,717.714