Taiflex Scientific Co., Ltd.

TWSE:8039.TW

47.8 (TWD) • At close July 2, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,889.3471,965.4212,264.3863,270.4011,793.6322,584.5211,862.5861,934.2762,982.2082,729.2353,406.4453,529.282,571.3472,944.9063,300.0181,816.142
Kortetermijnbeleggingen 232.40132.71357.668304.429168.55187.13136.43817.46336.00719.321.64318.45479.34272.78354.95573.974
Liquide middelen en kortetermijnbeleggingen 3,121.7481,998.1342,322.0543,574.831,962.1832,671.6521,899.0241,951.7393,018.2152,748.5353,428.0883,547.7342,650.6893,017.6893,354.9731,890.116
Nettovorderingen 3,881.8173,868.933,730.183,963.3594,182.3743,340.174,950.7224,776.4114,340.7344,505.9954,684.224,190.8723,151.877-10.5171,725.4451,366.476
Voorraad 1,652.3271,409.7261,770.5961,868.7471,282.343938.5661,464.3071,626.2861,132.3991,116.052926.417957.4241,038.1551,337.431,092.432978.629
Overige vlottende activa 120.35297.7790.29151.962215.043654.655111.006178.241192.509486.027353.914220.579129.5422,162.3211,888.4371,410.609
Totaal vlottende activa 8,776.2447,374.567,913.129,556.9597,581.8017,601.8938,425.0598,532.6778,683.8578,856.6099,392.6398,916.6096,957.6646,506.9236,335.8424,279.354
Niet-vlottende activa:
Materiële vaste activa, netto 5,010.2924,892.2434,287.423,731.353,557.6023,372.5343,020.8882,876.4582,789.522,694.4352,422.7372,367.0022,163.2272,232.831,568.5321,099.956
Goodwill 069.78169.78169.78169.78169.78169.78169.78169.78169.78169.78169.78169.78169.78169.7810
Immateriële activa 081.31994.26892.59854.27257.326182.30171.81564.81473.16771.68273.81574.32256.80444.53737.103
Goodwill en immateriële activa 142.075151.1164.049162.379124.053127.107114.708121.378113.598119.48117.086119.595144.103126.585114.31837.103
Langetermijnbeleggingen 213.995409.1225.529109.254-127.567-37.66115.0320017.116-15.9880-36.939-22.38128.49253.187
Belastingvorderingen 135.495157.049175.599195.565200.958205.308157.314130.697129.825125.309120.15777.382144.246113.63578.02585.106
Overige niet-vlottende activa 249.3947.4181.81319.373195.068104.8208.88972.02680.85465.758146.153114.1920.820.820.820.82
Totaal niet-vlottende activa 5,751.2475,656.9024,934.4074,517.9213,950.1143,772.0883,516.8313,200.5593,113.7973,022.0982,790.1452,678.1712,415.4572,451.4891,790.1871,276.172
Totaal activa 14,527.49113,031.46212,847.52714,074.8811,531.91511,373.98111,941.8911,733.23611,797.65411,878.70712,182.78411,594.789,373.1218,958.4128,126.0295,555.526
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,332.1921,042.424752.3691,279.3031,747.887833.241,672.7492,416.5322,133.2761,901.6211,640.1591,472.9821,048.456598.816663.348579.1
Kortlopende schulden 423.82,185.17346.186856.353191.981767.1111,440.842702.3841,145.0481,236.6351,446.7381,072.6721,443.8012,236.3211,430.226861.306
Belastingschulden 245.002216.706275.025133.232276.047135.929194.512115.33884.82896.804144.98133.396118.96594.91194.50975.895
Uitgestelde opbrengsten 01.4730.758794.978864.217693.013194.512795.404645.209721.459734.421731.416436.394355.955411.046211.448
Overige kortlopende verplichtingen 824.931655.989419.489529.375309.494421.457580.841-1,020.303576.28630.972605.422602.47423.048284.22347.18159.049
Totaal kortlopende verplichtingen 2,825.9254,103.2352,069.2082,934.8322,806.4722,295.8343,959.463,920.0973,939.4323,866.0323,837.2993,281.523,034.273,214.2682,535.2631,675.35
Langlopende verplichtingen:
Langetermijnschulden 771.295592.8832,438.462,865.883795.6521,175.727331.359213.37553.15777.1641,220.8081,679.851635.099286.002866.1161.649
Uitgestelde opbrengsten niet-vlottend 000248.689261.958219.55138.423184.124190.276111.00981.47300.0710.3520.6330.914
Uitgestelde belastingverplichtingen niet-vlottend 148.006118.076108.382111.82889.642114.231130.944176.327159.115194.169205.979157.06581.479131.88883.86832.589
Overige niet-vlottende verplichtingen 116.74148.641179.4020.2550.255216.0290.2550.2550.0460.0470.06672.59241.67439.58528.56522.61
Totaal niet-vlottende verplichtingen 1,036.041859.62,726.2443,226.6551,147.5071,725.537600.981574.0761,092.8631,193.3981,589.7991,909.508774.338457.827979.166217.762
Totaal passiva 3,861.9664,962.8354,795.4526,161.4873,953.9794,021.3714,560.4414,494.1735,032.2955,059.435,427.0985,191.0283,808.6083,672.0953,514.4291,893.112
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 2,549.1172,091.1972,091.1972,091.1972,091.1972,091.1972,091.1972,088.4672,083.2522,042.8582,042.6782,039.2542,025.7072,019.4441,818.0131,638.512
Ingehouden winsten 4,211.0135,034.63,661.0493,515.6613,365.9262,994.1422,999.3832,845.732,561.3352,518.4083,126.8222,231.521,572.4611,349.341,332.832795.018
Overige gereserveerde algehele resultaten 01,432.6121,127.3541,130.0061,044.512930.62837.014865.528825.196888.25880.61428.410000
Overige totale aandeelhoudersvermogen 3,883.898-571.1071,140.5661,145.7661,066.1471,342.7591,072.1441,441.3391,308.8141,349.2081,348.8751,436.8481,805.393994.341765.821671.053
Totaal eigen vermogen van aandeelhouders 10,644.0287,987.3027,908.0327,765.2967,459.8647,246.0437,262.2387,126.8516,665.0496,685.1846,598.9196,250.0995,430.965,195.6264,511.8973,662.414
Totaal eigen vermogen 10,665.5258,068.6278,052.0757,913.3937,577.9367,352.617,381.4497,239.0636,765.3596,819.2776,755.6866,403.7525,564.5135,286.3174,611.63,662.414
Totaal passiva en aandeelhoudersvermogen 14,527.49113,031.46212,847.52714,074.8811,531.91511,373.98111,941.8911,733.23611,797.65411,878.70712,182.78411,594.789,373.1218,958.4128,126.0295,555.526