Lumax International Corp., Ltd.

TWSE:6192.TW

108 (TWD) • At close November 14, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,531.3891,346.3182,328.7641,430.3111,596.0881,483.367935.2831,350.451,497.9471,461.8621,315.5551,623.4891,239.802952.38968.593683.119656.599498.582
Kortetermijnbeleggingen 2,264.0532,076.9791,234.7111,542.4981,488.7631,240.4641,568.0731,106.286953.163873.071600.384312.63404.271.610.934.680
Liquide middelen en kortetermijnbeleggingen 3,795.4423,423.2973,563.4752,972.8093,084.8512,723.8312,503.3562,456.7362,451.112,334.9331,915.9391,623.4891,239.802956.65970.203684.049661.279498.582
Nettovorderingen 0001,532.3071,606.55301,208.9851,241.3471,261.4931,240.9731,671.6141,739.7161,676.621,505.3051,279.322000
Voorraad 3,366.2343,001.8052,088.4691,781.21,747.5771,816.8381,593.7421,413.9481,605.1951,518.4581,406.1361,468.2761,353.5261,135.549923.5751,127.891697.467691.174
Overige vlottende activa 101.133135.30971.771119.34482.25960.523109.736137.976202.401200.882136.47563.776145.81375.47952.5061,117.1271,341.4841,233.406
Totaal vlottende activa 9,291.6828,329.1257,532.9246,364.2186,511.0876,144.9075,400.4215,221.6715,483.9195,182.3985,130.1644,904.3844,415.7613,791.1193,269.4652,929.0672,700.232,423.162
Niet-vlottende activa:
Materiële vaste activa, netto 1,293.2741,047.4271,069.861,131.8861,082.1741,071.6461,058.788964.334904.889920.78843.497844.427850.338836.84916.689927.424749.885669.294
Goodwill 00000000-0000000000
Immateriële activa 000000008.057.1738.05213.52314.79312.03111.70513.49311.07210.661
Goodwill en immateriële activa 01,925.3351,408.3951,722.3841,644.7481,401.3621,732.4511,272.9828.057.1738.05213.52314.79312.03111.70513.49311.07210.661
Langetermijnbeleggingen 208.881-1,925.335-991.613-1,227.467-1,472.964-1,225.197-1,555.411-1,083.624-930.501-850.409-587.72212.66208.39211.05211.7327.9820
Belastingvorderingen 25.83320.92726.24131.2733.97133.72134.90735.18528.74832.68929.149-12.662000065.0230
Overige niet-vlottende activa 72.373503.70668.7033.6773.15515.21614.79928.961,149.8541,010.503719.758128.563137.235141.71592.04567.54768.008219.957
Totaal niet-vlottende activa 1,600.3611,572.061,581.5861,661.751,291.0841,296.7481,285.5341,217.8371,161.041,120.7361,012.734986.5131,002.366998.9781,031.4911,020.196901.97899.912
Totaal activa 10,892.0439,901.1859,114.518,025.9687,802.1717,441.6556,685.9556,439.5086,644.9596,303.1346,142.8985,890.8975,418.1274,790.0974,300.9563,949.2633,602.23,323.074
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 438.918414.822373.409407.246472.449387.866382.819361.244393.189445.179574.446626.411499.33633.053556.219445.593531.417409.081
Kortlopende schulden 86.46445.04850.93744.39340.23550.4745.71849.32339.476173.004190.335124.838136.42639.97130.805119.34493.458104.63
Belastingschulden 175.686138.446118.084100.396122.70177.075229.3478.50665.29370.01685.63482.02591.76861.51431.42268.13185.36254.577
Uitgestelde opbrengsten 2,923.5112,396.5792,577.6071,977.0481,941.80877.0751,536.2091,149.9321,353.941,059.3691,130.2571,254.5071,093.702946.847735.752697.24485.301504.161
Overige kortlopende verplichtingen 440.881432.329-87.17326.166-93.645273.724213.2291,076.765195.719228.861207.215213.3641,050.06917.516734.412-24.205-66.027464.661
Totaal kortlopende verplichtingen 4,065.463,427.2243,032.8672,445.9382,483.5482,435.4081,968.9051,565.8381,794.3411,683.8731,905.1442,016.2411,777.5841,652.0541,352.8581,306.1031,129.5111,032.949
Langlopende verplichtingen:
Langetermijnschulden 5.06710.94114.24213.69388.02889.502110.898132.141152.55448.605190.03146.791195.843246.09230.708286.174232.145260.545
Uitgestelde opbrengsten niet-vlottend 0098.233109.169116.403119.139122.916126.271121.216122.026113.03429.66631.37232.79633.88968.54568.60669.377
Uitgestelde belastingverplichtingen niet-vlottend 305.995298.569271.491233.461291.632277.934199.965353.917359.791340.871299.225263.733207.357175.089161.008145.104130.203120.025
Overige niet-vlottende verplichtingen 50.6479.6781.8821.8821.9211.5392.6751.8921.6570.62214.0930.62396.49114.21.1930.2170.9280.771
Totaal niet-vlottende verplichtingen 361.702389.188385.848358.205497.984488.114435.407614.221635.218634.15616.382502.875563.119468.175460.687500.04500.488520.095
Totaal passiva 4,427.1623,816.4123,418.7152,804.1432,981.5322,923.5222,404.3122,180.0592,429.5592,318.0232,521.5262,519.1162,340.7032,120.2291,813.5451,806.1431,629.9991,553.044
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 961.558961.5581,068.3981,068.3981,068.3981,068.3981,068.3981,187.1091,187.1091,187.1091,187.1091,187.1091,079.191,027.8978.857880.314800.286784.594
Ingehouden winsten 4,206.833,868.6813,497.7873,072.2282,811.5942,546.8832,403.7162,192.1552,102.9782,572.551,752.3771,621.0321,410.3391,226.4781,060.7091,108.2461,046.739887.092
Overige gereserveerde algehele resultaten 1,184.6381,142.8121,017.899970.308829.756791.961698.638769.294814.422114.56112.7420000000
Overige totale aandeelhoudersvermogen 110.891110.891110.891110.891110.891110.891110.891110.891110.891110.891669.144543.84110.891415.59110.891154.56125.17698.344
Totaal eigen vermogen van aandeelhouders 6,463.9176,083.9425,694.9755,221.8254,820.6394,518.1334,281.6434,259.4494,215.43,985.1113,621.3723,371.7813,077.4242,669.8682,487.4112,143.121,972.2011,770.03
Totaal eigen vermogen 6,464.8816,084.7735,695.7955,221.8254,820.6394,518.1334,281.6434,259.4494,215.43,985.1113,621.3723,371.7813,077.4242,669.8682,487.4112,143.121,972.2011,770.03
Totaal passiva en aandeelhoudersvermogen 10,892.0439,901.1859,114.518,025.9687,802.1717,441.6556,685.9556,439.5086,644.9596,303.1346,142.8985,890.8975,418.1274,790.0974,300.9563,949.2633,602.23,323.074