ADLINK Technology, Inc.

TWSE:6166.TW

71.9 (TWD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,841.7471,992.3781,296.3311,997.4881,873.161,419.1321,402.5741,526.5981,571.9641,183.1851,177.682743.308799.815606.626612.268550.775572.981584.261
Kortetermijnbeleggingen 42.27124.4291.415102.11149.1231.7721.86330.563202.7680.402432.73487.038002.99.93260.4532.707
Liquide middelen en kortetermijnbeleggingen 1,884.0182,016.8071,297.7462,099.5982,022.2831,420.9041,404.4341,857.1611,774.7321,183.5871,177.682830.346799.815606.626615.168560.707633.434586.968
Nettovorderingen 2,448.9952,310.822,583.0012,260.4992,147.4942,179.7241,944.1992,212.6291,676.2881,774.9771,391.631,196.1791,030.0231,051.217686.751654.923663.954569.034
Voorraad 3,159.2853,747.0323,713.271,833.0611,999.9862,596.4212,274.5251,727.8541,740.9311,573.1091,147.9241,134.3561,155.192983.594547.93541.534476.023483.992
Overige vlottende activa 98.53712.0793.091.784.2291.97810.0415.89823.4127.4422.6991.18275.09760.0577.61513.48412.9039.676
Totaal vlottende activa 7,590.8358,086.7387,597.1076,194.9386,173.9926,199.0275,633.1995,803.5425,215.3634,539.1153,719.9263,252.0633,060.1272,701.4941,857.4641,770.6481,786.3141,649.67
Niet-vlottende activa:
Materiële vaste activa, netto 4,376.5624,367.2014,353.411,312.3351,264.956837.172889.2721,024.8131,158.5021,106.6191,043.8781,071.1511,148.1551,004.992667.058595.447458.733359.411
Goodwill 169.603169.63152.894262.565454.332565.162583.173590.356234.291231.623182.079176.751171.269181.561181.561181.56100
Immateriële activa 156.029166.559163.459142.112194.12278.902328.421383.958287.152322.454248.415345.638271.598291.184320.365351.74489.786.845
Goodwill en immateriële activa 325.632336.189316.353404.677648.452844.064911.594974.314521.443554.077430.494522.389442.867472.745501.926533.30589.786.845
Langetermijnbeleggingen 441.496193.294159.21398.492-104.18139.04850.734-265.837614.64614.718-430.494-80.754007.0326.96-46.20
Belastingvorderingen 299.396322.782282.895283.295254.149240.668155.41396.6768.0980.15950.55419.4594.39948.61278.3849.66735.725.32
Overige niet-vlottende activa 31.202289.677471.132448.69192.154119.293159.457436.4623.25114.436537.984115.39543.37742.81226.38325.31175.84413.294
Totaal niet-vlottende activa 5,474.2885,509.1435,583.0032,547.4892,255.532,080.2452,166.472,266.422,385.9311,870.0091,632.4161,647.641,638.7981,569.1611,280.7791,210.69613.777484.87
Totaal activa 13,065.12313,595.88113,180.118,742.4278,429.5228,279.2727,799.6698,069.9627,601.2946,409.1245,352.3424,899.7034,698.9254,270.6553,138.2432,981.3382,400.0912,134.54
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,262.4411,563.0672,001.8171,310.611,307.571,675.2071,449.8251,479.2581,103.2161,040.445832.172620.382417.793507.233330.045256.822281.197222.132
Kortlopende schulden 1,839.5811,295.5982,812.1441,187.944799.103620.198528.449539.4651,534.145749.81573.254712.692756.602660.674562.282345.68672.793137.324
Belastingschulden 112.264236.11291.77384.30596.436112.157108.5566.25185.362112.51657.10827.4824.04263.80734.21133.61547.68239.523
Uitgestelde opbrengsten 249.187278.6131,097.2461,125.3561,427.341112.157973.834959.247885.496851.427629.689596.078470.652487.902258.854295.607184.231177.986
Overige kortlopende verplichtingen 1,158.2421,235.73121.906133.2119.2361,003.029131.345153.48461.08252.43524.542184.39394.32219.72213.71523.41525.83727.963
Totaal kortlopende verplichtingen 4,509.4514,373.0095,933.1133,757.1213,543.253,410.5913,083.4533,131.4543,583.9392,694.1172,059.6572,113.5451,739.3691,675.5311,164.896921.53564.058565.405
Langlopende verplichtingen:
Langetermijnschulden 2,946.5993,459.7332,727.99338.737107.109208.3470167.5000283.14460.491304.777123.929258.300
Uitgestelde opbrengsten niet-vlottend 68.814000000000050.386000000
Uitgestelde belastingverplichtingen niet-vlottend 14.61514.6698.88643.61704.1607.13126.55928.89715.5720000000
Overige niet-vlottende verplichtingen 67.8376.31489.6886.90691.94887.68890.23777.84583.80468.03975.412-37.5411.588.0928.919.98811.5712.714
Totaal niet-vlottende verplichtingen 3,097.8583,550.7162,826.556469.26199.057300.19590.237252.476110.36396.93690.984295.986472.071312.869132.839268.28811.5712.714
Totaal passiva 7,607.3097,923.7258,759.6694,226.3813,742.3073,710.7863,173.693,383.933,694.3022,791.0532,150.6412,409.5312,211.441,988.41,297.7351,189.818575.628578.119
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 2,174.9732,174.9732,174.9732,174.9732,174.9732,175.2322,175.2322,175.6192,017.5891,834.3351,709.2241,581.0071,374.7891,201.591,199.5771,142.2451,056.442969.837
Ingehouden winsten 1,527.6671,378.919642.946595.332445.321249.454427.151554.287703.5891,036.738498.797316.44507.418629.242188.667372.935502.103385.117
Overige gereserveerde algehele resultaten 1,107.0361,120.5561,006.339731.235900.492940.514798.995732.573782.527120.16361.0910000000
Overige totale aandeelhoudersvermogen 584.46904.201596.1831,014.5061,155.4671,192.8021,214.8051,214.714394.772620.038926.945587.19598.808446.008448.981276.34265.918201.467
Totaal eigen vermogen van aandeelhouders 5,394.1365,578.6494,420.4414,516.0464,676.2534,558.0024,616.1834,677.1933,898.4773,611.2743,196.0572,484.6372,481.0152,276.841,837.2251,791.521,824.4631,556.421
Totaal eigen vermogen 5,457.8145,672.1564,420.4414,516.0464,687.2154,568.4864,625.9794,686.0323,906.9923,618.0713,201.7012,490.1722,487.4852,282.2551,840.5081,791.521,824.4631,556.421
Totaal passiva en aandeelhoudersvermogen 13,065.12313,595.88113,180.118,742.4278,429.5228,279.2727,799.6698,069.9627,601.2946,409.1245,352.3424,899.7034,698.9254,270.6553,138.2432,981.3382,400.0912,134.54