Systex Corporation

TWSE:6214.TW

131 (TWD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,110.0634,331.3784,068.2543,590.0042,775.3432,815.3093,708.2354,245.2822,805.6412,309.9831,934.1071,977.691,959.3231,699.0882,456.615
Kortetermijnbeleggingen 1,867.5854,033.3564,564.2293,243.3923,342.0253,079.4853,595.9663,001.2793,888.894,940.4214,941.4634,000.6795,098.8956,161.6035,362.399
Liquide middelen en kortetermijnbeleggingen 8,977.6488,364.7348,632.4836,833.3966,117.3685,894.7947,304.2017,246.5616,694.5317,250.4046,875.575,978.3697,058.2187,860.6917,819.014
Nettovorderingen 6,433.1658,549.8457,344.1145,568.6035,358.1445,222.3284,543.1425,541.4724,862.5574,310.4254,342.1563,950.9183,915.6813,202.6322,662.556
Voorraad 4,574.4034,793.5343,250.7553,166.143,064.0872,894.1762,910.5652,422.2831,975.0111,960.1371,797.5241,981.8691,362.0561,169.5691,010.746
Overige vlottende activa 2,241.30945.01245.6758.32943.36950.86863.14953.75460.54975.65772.02849.22542.85421.35926.318
Totaal vlottende activa 22,226.52521,753.12519,273.02215,626.46814,582.96814,062.16614,821.05715,264.0713,592.64813,596.62313,087.27811,960.38112,378.80912,254.25111,518.634
Niet-vlottende activa:
Materiële vaste activa, netto 2,711.5692,538.2662,365.0722,358.4592,249.6721,913.331,940.5252,009.6732,089.4972,278.122,449.2642,407.9262,447.2912,443.0892,449.595
Goodwill 0000026.70300315.967401.644395.329409.037266.74779.25967.481
Immateriële activa 261.258329.033136.147131.4486.27989.37151.368112.751135.043143.731163.427378.682341.672270.12856.675
Goodwill en immateriële activa 261.258329.033136.147131.4486.279116.07451.368112.751451.01545.375558.756787.719608.419349.387124.156
Langetermijnbeleggingen 4,902.077900.627-280.542170.08970.016453.024-1,358.889-1,622.277-1,714.904-3,198.049-3,119.585-2,199.386-3,305.981-4,413.759-3,514.82
Belastingvorderingen 49.53262.77660.84876.08257.26475.654.8766.70249.33547.17974.63740.91856.5872.15875.308
Overige niet-vlottende activa 445.7514,315.9165,005.6433,666.7063,640.3553,359.2693,855.2393,251.7094,195.2715,289.5075,287.4544,319.7995,419.1196,536.125,639.487
Totaal niet-vlottende activa 8,370.1878,146.6187,287.1686,402.7677,003.5865,917.2974,543.1133,818.5585,070.2094,962.1325,250.5265,356.9765,225.4284,986.9954,773.726
Totaal activa 30,596.71229,899.74326,560.1922,029.23521,586.55419,979.46319,364.1719,082.62818,662.85718,558.75518,337.80417,317.35717,604.23717,241.24616,292.36
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,492.4015,193.6964,341.3813,639.0733,828.9043,193.0593,100.5222,953.9922,833.6332,926.6172,672.8162,609.52,529.2152,015.2321,679.986
Kortlopende schulden 2,220.211,998.8581,394.329917.76651.596815.9251,460.0531,046.022589.821240481.34300.389173.466108.18798.986
Belastingschulden 220.011175.744125.443140.545103.738126.68962.039168.43999.871113.6861.11941.78645.35675.70418.213
Uitgestelde opbrengsten 2,360.6022,438.3753,168.1823,043.3912,781.0681,071.1022,045.3381,952.4811,695.7091,546.0761,724.4541,268.6141,405.3811,041.162838.035
Overige kortlopende verplichtingen 2,199.8142,225.4355.965242.763211.4241,412.284160.581112.09120.867113.947107.169208.329169.926125.69896.792
Totaal kortlopende verplichtingen 12,273.02711,856.3299,259.8577,842.9877,472.9926,492.376,766.4946,064.5855,240.034,826.644,985.7794,386.8324,277.9883,290.2792,713.799
Langlopende verplichtingen:
Langetermijnschulden 3,091.1523,294.0973,228.188235.532197.8160000031.78738.47943.79457.1710
Uitgestelde opbrengsten niet-vlottend 315.2520249.455258.644282.85600000190.8580000
Uitgestelde belastingverplichtingen niet-vlottend 6.4526.8596.08434.073139.4385.9385.0235.89417.71917.43317.3610000
Overige niet-vlottende verplichtingen 138.319134.6495.4398.55211.319286.204270.497252.954247.405205.4128.271126.08496.95294.50784.269
Totaal niet-vlottende verplichtingen 3,551.1753,435.6053,489.166536.801631.429292.142275.52258.848265.124222.845248.277164.563140.746151.67884.269
Totaal passiva 15,824.20215,291.93412,749.0238,379.7888,104.4216,784.5127,042.0146,323.4335,505.1545,049.4855,234.0564,551.3954,418.7343,441.9572,798.068
Eigen vermogen:
Preferente aandelen 0000000000105.7060000
Gewone aandelen 2,723.0332,723.3332,693.9332,693.9332,693.9332,693.9332,693.9332,693.9332,688.3832,671.1132,630.6932,599.3452,593.212,665.6552,654.706
Ingehouden winsten 4,170.7183,573.223,634.6914,138.4884,295.7253,622.2482,708.8992,681.3152,317.1332,930.7351,685.2521,187.9591,168.5112,007.0581,404.394
Overige gereserveerde algehele resultaten 1,660.9762,015.8271,501.331,115.882928.71,088.667512.574726.086873.39799.787-105.7060000
Overige totale aandeelhoudersvermogen 5,717.785,755.7815,673.3855,560.825,474.2855,720.9136,354.956,626.8587,222.7647,730.0578,624.3558,693.2419,036.5858,614.6948,991.709
Totaal eigen vermogen van aandeelhouders 14,272.50714,068.16113,503.33913,509.12313,392.64313,125.76112,270.35612,728.19213,101.67713,431.69212,940.312,480.54512,798.30613,287.40713,050.809
Totaal eigen vermogen 14,772.5114,607.80913,811.16713,649.44713,482.13313,194.95112,322.15612,759.19513,157.70313,509.2713,103.74812,765.96213,185.50313,799.28913,494.292
Totaal passiva en aandeelhoudersvermogen 30,596.71229,899.74326,560.1922,029.23521,586.55419,979.46319,364.1719,082.62818,662.85718,558.75518,337.80417,317.35717,604.23717,241.24616,292.36