Wistron NeWeb Corporation

TWSE:6285.TW

119 (TWD) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 4,801.2733,760.1241,411.6651,725.7521,883.7252,225.5862,690.6342,629.7432,549.6311,780.1891,960.1031,128.261,709.541,548.984821.623721.6451,066.9961,185.004
Afschrijvingen & Amortisatie 2,084.6121,790.0361,558.121,582.6121,446.0871,199.9131,220.6581,340.8751,166.028995.857986.41983.243904.329656.369545.564536.428524.247436.422
Uitgestelde Inkomstenbelasting -1,406.1390-367.708-131.993-528.071-581.36-706.495-579.546-448.928-374.106-407.46500251.8240000
Aandelen Gebaseerde Vergoedingen 189.309101.239112.53763.909126.284159.407179.648143.925138.592140.1659.582001400000
Verandering in Werkkapitaal -230.336-9,691.908-6,554.16742.7821,359.519-2,729.951-1,973.165-378.057-1,923.578-1,225.0641,485.975446.424-1,507.828-1,231.398268.739-113.80526.317-1,013.835
Vorderingen -1,279.237-6,593.778-2,052.123-662.168129.535-2,601.301-483.303-207.821-2,262.247-1,982.458-36.0211,343.254000000
Voorraden 4,000.613-11,769.627-5,394.67-1,444.4121,792.407-2,539.168-564.529286.778-2,177.395-1,393.859161.734554.416-1,080.813-1,439.405377.755-338.715-273.193-423.431
Crediteuren -3,811.2317,152.853589.911,518.227-665.2742,168.79-626.807-899.0361,724.886000000000
Overig Werkkapitaal 859.5191,518.644302.716631.135102.851-190.783-1,408.636-664.835253.817168.7951,324.241-107.992-427.015208.007-109.016224.91299.51-590.404
Overige Niet-Contante Posten 1,705.294625.081273.832278.614314.678525.431290.628283.44885.83107.103118.495114.42418.2178.825223.041354.09451.473163.86
Kasstroom uit Operationele Activiteiten 7,144.013-3,415.428-3,565.7213,561.6764,602.222799.0261,701.9083,440.3881,567.5751,424.1444,153.12,672.3471,524.2411,544.6041,858.9671,498.3621,669.033771.451
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,367.089-3,749.644-2,553.47-1,354.528-2,115.564-2,107.876-732.658-1,733.605-2,275.956-1,178.613-732.85-839.695-1,178.884-1,659.222-1,059.909-1,152.158-938.539-650.26
Netto Overnames 89.0834.678-126.722-48.712-140.37231.797-57.625-26.563-50.369-76.789-73.301-82.336-73.607-68.563-27.76279.22700
Aankoop van Beleggingen -1,950-1,689.132-1,170.4-3,432.908-4,178.79-244.146-1,553.328-3,660.816-1,919.713-1,662.132-2,260.7-1,440.199-3,338.7-1,343.61-2,206.982-72.532-571.389-558.589
Verkoop/verval van Beleggingen 2,002.8361,630.4411,884.5643,106.9744,177.5171,712.529792.0962,569.5172,418.5192,821.5171,198.0671,635.6372,095.3132,437.4421,674.5571,150.7543.48834.086
Overige Investeringsactiviteiten -118.63-45.068-74.209-205.155177.803-237.043348.83154.35890.04483.14578.719-71.219-95.327-38.0755.294-77.759-275.489-162.04
Kasstroom uit Investeringsactiviteiten -3,343.803-3,818.725-2,040.237-1,934.329-2,079.404-644.739-1,202.684-2,797.109-1,737.475-12.872-1,790.065-797.812-2,591.205-672.028-1,614.802-72.468-1,781.929-1,336.803
Financieringsactiviteiten:
Schuldaflossingen -394.446-47,052.004-38.976-395.354-271.552-67.766-328.911-1,786.22-43.141-1,726.589-1,015.8320000000
Uitgifte van Gewone Aandelen 4,2350000000017.01948.26298.339181.123399.55600099.18
Terugkoop van Gewone Aandelen 000000000000000-214.0210-113.407
Uitgekeerde Dividenden -2,024.042-832.551-993.836-975.581-1,366.433-1,357.075-1,306.534-1,240.331-887.661-965.304-669.268-1,012.029-953.125-446.647-231.715-440.977-525.529-191.826
Overige Financieringsactiviteiten 1,775.9356,071.5055,251.9051,164.45537.370.076328.9111,786.22343.141-209.57-967.57-148.3291,623.99546.471-63.78789.0861,005.7581,589.789
Kasstroom uit Financieringsactiviteiten 146.3348,186.954,219.093-206.48-1,600.615-1,424.765-977.623545.892-844.52-2,674.874-1,636.838-1,062.019851.988499.38-295.502-565.912480.2291,383.736
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -168.243240.234-54.38466.135-232.28-90.257-66.252-148.4233.00785.61638.561-19.46790.21-43.495.455-40.49832.773-6.84
Netto Kasstroomverandering 3,778.3011,193.031-1,441.2491,487.002689.923-1,360.735-544.6511,040.748-1,011.413-1,177.986764.758793.049-124.7661,328.466-45.882819.484400.106811.544
Kaspositie aan het Einde van de Periode 8,061.1044,282.8033,089.7724,531.0213,044.0192,354.0963,714.8314,259.4823,218.7344,230.1475,408.1334,643.3753,850.3263,975.0922,646.6262,692.5081,873.0241,472.918