Chailease Holding Company Limited

TWSE:5871.TW

112 (TWD) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 36,993.98767,598.65146,374.54832,796.80518,660.54617,579.96719,030.59312,936.61511,097.8128,338.1177,586.22110,131.4316,558.074,347.4043,045.546
Kortetermijnbeleggingen 25,830.57433,399.1230,923.41720,765.14119,546.3715,572.55510,158.9229,253.59511,407.17810,516.46210,103.1717,748.7515,663.4612,479.9641,776.815
Liquide middelen en kortetermijnbeleggingen 85,922.722100,997.77177,297.96553,561.94638,206.91633,152.52229,189.51522,190.2122,504.9918,854.57917,689.39217,880.18212,221.5316,827.3684,822.361
Nettovorderingen 00000000000082,081.03500
Voorraad 0-155,574.525-117,147.6-94,028.216-81,624.288281.95110.1110.2070.2070.207567.752970.877638.924534.6880
Overige vlottende activa 554,909.364510,947.907434,491.921384,422.476328,910.3269,391.109222,332.632198,049.606188,489.87168,230.934136,042.046112,412.5751,945.59753,060.63645,801.278
Totaal vlottende activa 640,832.086611,945.678511,789.886437,984.422367,117.216302,543.631251,522.147220,240.023210,995.067187,085.72154,299.19127,584.33996,864.23260,422.69250,623.639
Niet-vlottende activa:
Materiële vaste activa, netto 100,559.83371,494.03757,275.13248,240.56738,076.01910,349.30110,059.22710,336.2149,932.6588,997.8567,186.367-5,331.345-7,107.591251.133289.412
Goodwill 0078.63579.84660.70161.05146.44846.50812.6812.683.7283.728000
Immateriële activa 580.386198.9815.2117.9314.60714.69517.41231.39332.82722.91118.88423.08724.66900
Goodwill en immateriële activa 580.386198.9893.84597.77675.30875.74663.8677.90145.50735.59122.61223.08724.66926.69524.87
Langetermijnbeleggingen 9,966.602-24,498.829-20,039.642-13,822.38-14,003.576-11,298.542-6,540.46-5,551.407-6,326.066-5,644.778-6,159.785-1,843.416-418.021,851.7341,887.369
Belastingvorderingen 7,219.2385,660.0084,377.4324,121.8253,428.9453,360.5463,697.7873,755.3632,949.0522,334.5711,535.50945,402.0645,285.8929,571.8728,880.598
Overige niet-vlottende activa 184,186.725212,398.88159,730.263116,701.624102,643.94795,347.02768,774.12457,225.36449,973.60445,127.59738,892.057957.9811,069.31933.1141,220.654
Totaal niet-vlottende activa 302,512.784265,253.076201,437.03155,339.412130,220.64397,834.07876,054.53865,843.43556,574.75550,850.83741,476.7639,208.36738,854.25832,634.54632,302.903
Totaal activa 943,344.87877,198.754713,226.916593,323.834497,337.859400,377.709327,576.685286,083.458267,569.822237,936.557195,775.95166,792.706135,718.4993,057.23882,926.542
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,353.4335,247.1996,278.6226,826.8846,586.3074,313.5640000000258.656289.98
Kortlopende schulden 457,617.779398,368.117343,217.248141,924.362266,386.056232,068.376180,074.465160,031.634156,536.125128,563.429109,036.89497,564.69742,143.53235,248.58536,194.491
Belastingschulden 4,235.1663,969.9067,712.7323,011.6662,011.2151,845.8731,660.2271,860.3221,295.6011,381.461618.258673.99669.27100
Uitgestelde opbrengsten 0070,371.22960,142.85847,821.934000000001,124.3411,062.47
Overige kortlopende verplichtingen 79,573.237-407,585.222-357,208.602224,305.144-274,983.578-238,227.813-181,734.692-161,891.956-157,831.726-129,944.89-109,655.15217,124.52443,268.12125,689.26217,359.44
Totaal kortlopende verplichtingen 545,779.615483,276.945423,903.922376,068.056324,375.686272,813.141212,945.09189,812.595185,123.152154,094.232130,712.078115,363.21186,080.92461,196.50354,906.381
Langlopende verplichtingen:
Langetermijnschulden 221,104.32232,366.301158,347.826107,941.8489,176.0455,446.28451,833.24949,065.57638,332.79243,551.73531,452.33218,878.21827,517.69815,520.79910,064.422
Uitgestelde opbrengsten niet-vlottend 0727,042.0078.413493,344.964423,399.839336,314.61271,412.864244,575.230000000
Uitgestelde belastingverplichtingen niet-vlottend 3,745.9183,211.9113,739.7323,005.0052,578.6052,433.0461,836.9021,632.0861,771.0181,574.7171,344.0680000
Overige niet-vlottende verplichtingen 9,379.219491,463.79510,721.1736,330.063331,645.194278,435.28217,742.713193,877.568187,435.473156,381.024132,538.3575,722.214,763.4493,087.0841,968.729
Totaal niet-vlottende verplichtingen 234,229.457243,765.062172,808.731117,276.90899,024.15363,501.46958,467.77454,762.63542,416.13147,413.24434,622.67925,576.51832,281.14718,607.88312,033.151
Totaal passiva 780,009.072727,042.007596,712.653493,344.964423,399.839336,314.61271,412.864244,575.23227,539.283201,507.476165,334.757140,939.729118,362.07179,804.38666,939.532
Eigen vermogen:
Preferente aandelen 1,5001,5001,5001,5001,187.33698.122723.044674.7790000000
Gewone aandelen 16,145.72415,829.14114,503.94413,813.2813,28212,895.14612,642.311,392.311,392.310,954.1349,958.3049,053.0047,853.0046,910.6849,159.138
Ingehouden winsten 97,991.69479,950.79863,225.72749,322.51540,287.82531,649.40524,374.82319,201.44115,497.08112,132.8188,215.7815,699.2853,364.4291,737.9510
Overige gereserveerde algehele resultaten -3,737.7512,338.022-503.0041,476.604-1,187.33-698.122-723.044-674.7791,590.2651,844.301973.7950000
Overige totale aandeelhoudersvermogen 38,320.80241,680.27931,050.21730,859.94514,096.19217,367.79616,644.7528,041.9239,407.3959,407.4599,387.4699,132.9224,877.4083,391.8024,918.094
Totaal eigen vermogen van aandeelhouders 153,958.22141,320.441109,624.06795,495.7469,761.96261,214.22553,661.87539,310.44337,887.04134,338.71228,624.44324,100.89916,078.86712,026.86614,077.232
Totaal eigen vermogen 163,335.798150,156.747116,514.26399,978.8773,938.0264,063.09956,163.82141,508.22840,030.53936,429.08130,441.19325,852.97717,356.41913,252.85215,987.01
Totaal passiva en aandeelhoudersvermogen 943,344.87877,198.754713,226.916593,323.834497,337.859400,377.709327,576.685286,083.458267,569.822237,936.557195,775.95166,792.706135,718.4993,057.23882,926.542