Taiwan Pcb Techvest Co., Ltd.

TWSE:8213.TW

34.35 (TWD) • At close March 14, 2025
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 11,340.63810,988.0539,711.5628,736.79,991.1968,355.2127,124.5557,051.5757,703.6988,209.9218,698.8548,663.2297,822.816,174.8065,182.4162,494.688
Kortetermijnbeleggingen 93.760.123105.37634.38452.44514.17318.3424.929-171.0310.12447.882.7721.15878.614153.726228.193
Liquide middelen en kortetermijnbeleggingen 11,434.33811,080.5789,816.9388,771.08410,043.6418,369.3857,142.8957,076.5047,703.6988,210.0458,698.8548,666.0017,823.9686,253.425,336.1422,722.881
Nettovorderingen 06,856.7227,327.3111,612.42408,114.1838,492.3537,579.6737,344.8487,226.8338,034.5256,933.95806,444.4984,658.5834,710.408
Voorraad 2,043.5821,778.8642,082.612,937.2972,431.0522,279.8252,357.9582,143.1382,270.1171,746.0051,883.1421,513.0151,519.8571,550.3141,257.705829.676
Overige vlottende activa 7,075.009333.694329.171496.806738.2771,162.506583.509578.875915.225786.9851,096.35908.942990.128675.66499.689102.773
Totaal vlottende activa 20,552.92920,049.85819,551.02923,817.61122,997.34119,925.89918,576.71517,378.1918,233.88817,969.86819,712.87118,021.91617,810.41214,923.89211,599.3098,171.902
Niet-vlottende activa:
Materiële vaste activa, netto 9,498.0579,003.788,548.1477,748.5637,785.9918,428.128,403.9368,285.9789,060.8310,528.66311,421.67911,214.95410,530.3399,677.9346,723.2935,049.557
Goodwill 0368.709368.709368.709368.709368.709368.709368.709368.709368.709368.381368.381368.381368.381307.6370
Immateriële activa 03.9946.2357.4567.8778.7559.1228.18411.78712.98510.74114.299206.877188.755171.43751.213
Goodwill en immateriële activa 386.697372.703374.944376.165376.586377.464377.831376.893380.496381.694379.122382.68575.258557.136479.07451.213
Langetermijnbeleggingen 134.1279.912-54.9761.083-27.779-1.452-5.715-5.357188.99121.0836.7957.36856.492-5.56-97.889-158.779
Belastingvorderingen 0054.97634.384235.096198.64428.039374.767-188.991372.124-6.79389.883214.214300.364380.654463.872
Overige niet-vlottende activa 162.62190.143255.464203.01777.75177.4564.85649.609440.61958.728508.26141.915152.31109.091111.52880.54
Totaal niet-vlottende activa 10,181.4949,646.5389,178.5558,363.2128,447.6459,080.2229,268.9479,081.899,881.94511,362.29212,309.06212,086.811,528.61310,638.9657,596.665,486.403
Totaal activa 30,734.42329,696.39628,729.58432,180.82331,444.98629,006.12127,845.66226,460.0828,115.83329,332.1632,021.93330,108.71629,339.02525,562.85719,195.96913,658.305
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,636.8513,035.6733,046.2825,012.0894,190.293,280.3213,907.6241,159.3834,511.0243,973.6144,392.3813,722.3143,893.1133,984.2123,249.2133,153.511
Kortlopende schulden 5,013.4997,270.6186,114.7396,427.9714,340.6364,485.264,136.0734,271.2165,498.237,236.5718,548.848,150.6276,509.1265,653.1831,747.5883.714
Belastingschulden 172.688274.274387.234387.873589.183262.66301.004179.195182.945224.341214.019145.089152.63241.14139.243114.308
Uitgestelde opbrengsten 0004,390.1294,243.4864,179.03301.0043,133.3433,140.5793,087.483,381.2323,036.443,370.3493,162.6151,688.5241,515.216
Overige kortlopende verplichtingen 3,058.3662,944.8643,592.295-4,731.781-5,057.51-3,816.133,786.2796,132.115-95.007-138.208-24.776-82.3055,107.3154,771.4663,209.9311,465.671
Totaal kortlopende verplichtingen 11,881.40413,525.42913,140.5516,264.28313,138.75412,832.83112,431.98411,741.90913,237.77114,383.79816,511.69614,972.16515,643.30214,450.0018,345.8875,617.204
Langlopende verplichtingen:
Langetermijnschulden 1,950.665598.234128.788876.0335,039.2134,326.8732,869.9772,343.882,736.251,313.521,936.6362,775.2623,074.1832,704.1782,958.9162,412.03
Uitgestelde opbrengsten niet-vlottend 00000000000048.434070.8480
Uitgestelde belastingverplichtingen niet-vlottend 00000000000014.791024.4410
Overige niet-vlottende verplichtingen 323.751176.05169.768394.127239.148102.93788.23987.0694.858177.045101.984111.53354.546115.5816.63582.672
Totaal niet-vlottende verplichtingen 2,274.416774.284298.5561,270.165,278.3614,429.812,958.2162,430.942,831.1081,490.5652,038.622,886.7953,318.712,819.7583,070.842,494.702
Totaal passiva 14,155.8214,299.71313,439.10617,534.44318,417.11517,262.64115,390.214,172.84916,068.87915,874.36318,550.31617,858.9618,962.01217,269.75911,416.7278,111.906
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 2,712.4252,712.4252,712.4252,712.4252,712.4252,712.4252,712.4292,712.4292,712.4292,712.4292,750.1392,750.1392,513.1392,363.1392,316.8031,942.548
Ingehouden winsten 7,641.8098,319.2047,068.6876,868.4995,463.9174,854.9874,786.8394,276.7114,215.5894,055.0844,780.113,446.5973,176.4511,689.6271,828.1791,627.724
Overige gereserveerde algehele resultaten 0-1,035.0192,155.7581,575.5381,572.897630.305903.699907.159771.991,442.452762.821421.6660000
Overige totale aandeelhoudersvermogen 5,582.5764,744.7862,875.6943,056.5652,790.9833,056.1121,660.0041,634.1971,601.2782,392.4392,340.7652,909.3162,198.7191,502.191,542.387826.61
Totaal eigen vermogen van aandeelhouders 15,936.8114,741.39614,642.13314,042.56212,533.31611,246.92310,029.59,523.599,294.3810,595.49810,633.8359,527.7187,916.9036,374.0835,776.5914,622.882
Totaal eigen vermogen 16,578.60315,396.68315,290.47814,646.3813,027.87111,743.4812,455.46212,287.23112,046.95413,457.79713,471.61712,249.75610,377.0138,293.0987,779.2425,546.399
Totaal passiva en aandeelhoudersvermogen 30,734.42329,696.39628,729.58432,180.82331,444.98629,006.12127,845.66226,460.0828,115.83329,332.1632,021.93330,108.71629,339.02525,562.85719,195.96913,658.305