IBASE Technology Inc.

TPEx:8050.TWO

84.7 (TWD) • At close November 20, 2023
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,316.0541,285.7731,531.312949.314521.998726.937732.1624.318686.947542.856479.296613.756209.593339.457326.789256.22241.526247.763
Kortetermijnbeleggingen 994.224573.2621,164.472877.917317.062417.424479.36858.706404.71389.086303.60944.91941.586123.776194.645183.167203.482246.629
Liquide middelen en kortetermijnbeleggingen 3,310.2781,859.0352,695.7841,827.231839.061,144.3611,211.461,483.0241,091.657931.942782.905658.675251.179463.233521.434439.387445.008494.392
Nettovorderingen 1,123.041,286.941781.902954.358709.941829.135650.445732.943483.844494.063350.067475.471439.193330.493255.747269.729319.813175.164
Voorraad 1,747.212,355.611,918.0821,501.791,270.2111,222.3641,080.174925.598861.952848.454674.918531.076479.613430.028332.655320.485359.987275.826
Overige vlottende activa 206.327114.915107.355149.42171.56763.32944.01856.10634.87440.60337.1533.51928.71523.24529.565-4.6157.6933.783
Totaal vlottende activa 6,386.8555,616.5015,503.1234,432.82,890.7793,259.1892,986.0973,197.6712,472.3272,315.0621,845.041,698.7411,198.71,246.9991,139.4011,024.9861,132.501949.165
Niet-vlottende activa:
Materiële vaste activa, netto 3,970.133,862.5892,354.3712,348.4151,724.7541,050.4731,069.2151,090.0541,096.8321,075.631,015.715880.836801.038452.292385.747369.026350.017125.648
Goodwill 68.06368.07361.96163.57466.60168.08366.15790.62491.94788.87578.53276.781000000
Immateriële activa 35.44729.89218.23413.94814.44110.35516.19220.7558.7613.3568.95612.3210.5660.6060.647000
Goodwill en immateriële activa 103.5197.96580.19577.52281.04278.43882.349111.379100.707102.23187.48889.1020.5660.6060.647183.167203.482246.629
Langetermijnbeleggingen 1,926.9862,113.9451,290.1231,604.3212,217.0172,116.667-303.355-784.192-335.16-335.35-245.75615.77937.657-59.92-152.183-165.167-180.784-234.64
Belastingvorderingen 130.087110.12118.338115.043106.10298.66285.08171.86858.74450.24231.69-89.102186.716270.468344.2859.1469.77210.596
Overige niet-vlottende activa 1,053.108610.8051,204.1481,406.738764.361645.274783.3591,130.256558.817464.809325.635287.0280.10478.09683.654263.597116.40382.253
Totaal niet-vlottende activa 7,183.8216,795.4245,047.1755,552.0394,893.2763,989.5141,716.6491,619.3651,479.941,357.5621,214.7721,183.6351,106.081741.542662.15659.769498.89230.486
Totaal activa 13,570.67612,411.92510,550.2989,984.8397,784.0557,248.7034,702.7464,817.0363,952.2673,672.6243,059.8122,882.3762,304.7811,988.5411,801.5511,684.7551,631.3911,179.651
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 815.428876.988845.283587.818442.066451.395468.835585.818366.442360.414320.726185.387111.71787.10995.66759.28274.17349.841
Kortlopende schulden 1,348.381532.7561,805.44349.141,508.106939.842545.313260.666247.041587.21515.796255.33285.20799.88383.233160.66592.01169.522
Belastingschulden 28.96170.39160.3191.29410.1528.67528.398115.54865.31758.78350.37927.02716.8631.1052.810.30224.0765.395
Uitgestelde opbrengsten 509.03138.548374.722187.984250.9648.675295.087416.76302.343316.967280.326188.377162.785175.74145.8385.57667.32640.084
Overige kortlopende verplichtingen 13.54530.6658.9545.0169.151307.88130.09511.69513.7113.20613.11712.97711.59110.2118.32622.48766.76739.822
Totaal kortlopende verplichtingen 2,686.3792,078.9573,034.3991,129.9582,210.2871,707.7931,339.331,274.939929.5361,277.802629.965642.073371.3372.943333.056328.01300.277199.269
Langlopende verplichtingen:
Langetermijnschulden 2,236.512,902.3691,699.5582,961.015231.77924.3221.3431.927135.5741136.253213.248386.162102.308132.82114000
Uitgestelde opbrengsten niet-vlottend 0.008008.39806.386-1.343-1.92710.5619.49210.39110.93611.57517.6471.263000
Uitgestelde belastingverplichtingen niet-vlottend 17.18113.4590.0370.4260.0210.0121.0443.0782.3546.117.3869.1836.6776.6276.4318.0646.6432.722
Overige niet-vlottende verplichtingen 1.8658.880.1542.6792.2362.3573.9638.3675.8435.851.52.8921.4221.3991.1881.1720.0380.035
Totaal niet-vlottende verplichtingen 2,255.5642,924.7081,699.7492,972.518234.03633.0775.00711.445154.33222.452155.53236.259405.836127.981141.703149.2366.6812.757
Totaal passiva 4,941.9435,003.6654,734.1484,102.4762,444.3231,740.871,344.3371,286.3841,083.8681,300.254785.495878.332777.136500.924474.759477.246306.958202.026
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 2,068.2181,949.9671,770.9981,770.9981,770.9981,764.1851,234.7261,203.8091,138.4881,001.93911.367842.845696.236701.196646.375615.745550.363467.299
Ingehouden winsten 1,918.6121,964.7591,156.125921.471,118.6631,256.531,238.3941,298.444925.796866.363479.412471.993361.059500.4450.62562.036579.53366.947
Overige gereserveerde algehele resultaten 954.98592.744512.245563.1472.383394.267486.377346.605319.37712.89516.9320000000
Overige totale aandeelhoudersvermogen 2,667.0172,138.9341,396.2361,797.861,624.8751,694.066-48.60692.961180.913286.282744.917667.017470.011284.794226.95325.138191.12141.196
Totaal eigen vermogen van aandeelhouders 7,608.8276,646.4044,835.6045,053.4284,986.9195,109.0482,910.8912,941.8192,564.5742,167.472,152.6281,981.8551,527.3061,486.391,323.9481,202.9191,321.013975.442
Totaal eigen vermogen 8,628.7337,408.265,816.155,882.3635,339.7325,507.8333,358.4093,530.6522,868.3992,372.372,274.3172,004.0441,527.6451,487.6171,326.7921,207.5091,324.433977.625
Totaal passiva en aandeelhoudersvermogen 13,570.67612,411.92510,550.2989,984.8397,784.0557,248.7034,702.7464,817.0363,952.2673,672.6243,059.8122,882.3762,304.7811,988.5411,801.5511,684.7551,631.3911,179.651