Aten International Co., Ltd

TWSE:6277.TW

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

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,193.9871,225.6591,565.739941.902741.72692.377840.404794.5041,086.1011,077.281852.231850.608674.783442.132368.899420.947355.738635.971
Kortetermijnbeleggingen 487.689707.34613.771,938.2791,596.3821,422.578989.409957.898480.834621.25635.027190.857132.077172.62588.649218.628255.056181.609
Liquide middelen en kortetermijnbeleggingen 1,681.6761,932.9992,179.5092,880.1812,338.1022,114.9551,829.8131,752.4021,566.9351,698.5311,487.2581,041.465806.86614.757457.548639.575610.794817.58
Nettovorderingen 743.876854.392988.95838.878696.9491,435.11768.787665.308627.242729.472650.749616.149652.412675.661614.927000
Voorraad 1,266.2641,4971,021.4491,013.61985.2481,058.08816.614771.819833.535708.084717.988621.347665.961584.935491.918587.665569.904429.038
Overige vlottende activa 71.35614.11214.39432.64732.54830.07729.85617.14118.75519.14515.57715.33714.61821.8520.245704.925749.059672.464
Totaal vlottende activa 3,763.1724,298.5034,204.3024,765.3164,052.8474,638.2223,445.073,206.673,046.4673,155.2322,871.5722,294.2982,139.8511,897.2031,584.6381,932.1651,929.7571,919.082
Niet-vlottende activa:
Materiële vaste activa, netto 2,998.9452,698.7742,769.0192,378.2252,144.1751,994.4592,024.8792,026.922,058.0462,075.7492,102.1032,059.0632,143.0122,134.411,996.9441,241.8621,295.8111,113.553
Goodwill 2.7562.7562.7562.7562.7562.7562.7562.7562.7562.7562.75647.0654.0674.635105.859105.814105.814105.814
Immateriële activa 1.584.1937.55810.92400000001.8552.1630.4437.21217.21229.7848.917
Goodwill en immateriële activa 4.3366.94910.31413.682.7562.7562.7562.7562.7562.7562.75648.91556.22375.078113.071123.026135.598114.731
Langetermijnbeleggingen 143.379-574.136-486.607-1,806.988-1,372.627-1,208.55-674.805-642.024-221.071-391.55-403.607-124.508-27.644-75.916-10.248-149.255-186.624-113.42
Belastingvorderingen 143.557179.858152.944170.886207.177175.348149.667182.502199.437206.861212.95874.62674.18678.17273.7933.6083.6089.165
Overige niet-vlottende activa 36.584740.506642.8571,971.1961,621.6371,442.8291,004.68973.846492.085650.511648.2442.942342.065412.45275.636430.225590.414378.155
Totaal niet-vlottende activa 3,326.8013,051.9513,088.5272,726.9992,603.1182,406.8422,507.1772,5442,531.2532,544.3272,562.412,501.0382,587.8422,624.1942,449.1961,649.4661,838.8071,502.184
Totaal activa 7,089.9737,350.4547,292.8297,492.3156,655.9657,045.0645,952.2475,750.675,577.725,699.5595,433.9824,795.3364,727.6934,521.3974,033.8343,581.6313,768.5643,421.266
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 287.156466.549432.706350.867377.411470.081465.073370.692429.396387.247405.474285.841398.979423.391353.249333.049409.813330.922
Kortlopende schulden 507.464694.6650.836851.633774.521771.47752.441674.235624.15604.589587.16447.469460.124410.228413.75286.58590.9589.895
Belastingschulden 84.696189.492257.803192.811150.369142.356125.37190.54770.849128.481100.23675.24395.46352.6922.2040.7768.6153.492
Uitgestelde opbrengsten 335.5850855.918836.88680.578142.356635.756579.662534.179660.795562.002583.311431.59346.205255.1394.70210.9633.492
Overige kortlopende verplichtingen 649.288915.993112.39970.23264.498690.94929.3622.88220.83825.49432.41476.74986.86178.72458.811277.614265.593148.286
Totaal kortlopende verplichtingen 1,779.4932,077.1422,051.8592,109.6121,897.0082,074.8561,882.631,647.4711,608.5631,678.1251,587.051,393.371,377.5541,258.5481,080.949901.95777.319572.595
Langlopende verplichtingen:
Langetermijnschulden 194.7547.48389.908165.782118.36725.98336.16948.47768.48788.95134.065151.734159.466172.67996.0349.2465.522.383
Uitgestelde opbrengsten niet-vlottend 00179.868145.94296.36998.977107.131100.692114.096155.641147.812122.364111.93495.547085.48192.26781.776
Uitgestelde belastingverplichtingen niet-vlottend 181.7179.995177.909174.539174.917220.132172.298212.429206.234198.878163.88371.51361.21227.892013.66441.77346.599
Overige niet-vlottende verplichtingen 129.269160.65249.48845.49939.15938.69735.02131.23630.31524.03719.78822.86822.06615.699105.5891.9342.6823.43
Totaal niet-vlottende verplichtingen 505.719388.13497.173531.762428.812383.789350.619392.834419.132467.506465.548368.479354.678311.817201.623110.325142.222154.188
Totaal passiva 2,285.2122,465.2722,549.0322,641.3742,325.822,458.6452,233.2492,040.3052,027.6952,145.6312,052.5981,761.8491,732.2321,570.3651,282.5721,012.275919.541726.783
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 1,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,194.7111,103.2091,049.356964.903
Ingehouden winsten 1,655.4971,780.0241,716.3141,789.4071,454.7761,858.2691,023.4031,137.1641,035.9521,923.703989.368754.032748.267789.531612.2251,120.4751,417.6691,460.906
Overige gereserveerde algehele resultaten 1,572.841,533.131,454.2821,486.1531,251.7671,100.7541,012.616898.091891.19924.67116.7060000000
Overige totale aandeelhoudersvermogen 316.963316.963316.963316.963345.634343.149387.157382.976336.477316.9631,091.9051,000.793963.251892.091873.211282.42303.115176.456
Totaal eigen vermogen van aandeelhouders 4,740.0114,824.8284,682.274,787.2344,246.8884,496.8833,617.8873,612.9423,458.3393,460.0483,292.692,949.5362,906.2292,876.3332,680.1472,506.1042,770.142,602.265
Totaal eigen vermogen 4,804.7614,885.1824,743.7974,850.9414,330.1454,586.4193,718.9983,710.3653,550.0253,553.9283,381.3843,033.4872,995.4612,951.0322,751.2622,569.3562,849.0232,694.483
Totaal passiva en aandeelhoudersvermogen 7,089.9737,350.4547,292.8297,492.3156,655.9657,045.0645,952.2475,750.675,577.725,699.5595,433.9824,795.3364,727.6934,521.3974,033.8343,581.6313,768.5643,421.266