Taiwan Cogeneration Corporation

TWSE:8926.TW

44.8 (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 2,657.1153,734.6532,763.8221,603.21962.0191,096.72832.4181,017.893834.688986.522997.6041,228.1061,527.5071,509.9432,133.1142,950.9852,340.3121,018.624
Kortetermijnbeleggingen 734.29320.3411.64620.63325.04930.06430.06600.08234.66145.833-1,712.611000-403.639-727.782-842.218
Liquide middelen en kortetermijnbeleggingen 2,657.1153,754.9942,765.4681,623.843987.0681,126.784862.4841,017.893834.771,021.1831,043.4371,228.1061,527.5071,509.9432,133.1142,950.9852,340.3121,018.624
Nettovorderingen 3,127.4572,828.5833,338.3184,583.4514,557.5481,786.401471.69561.855711.092930.8051,386.735808.657607.957826.9621,272.8362,054.602591.16483.454
Voorraad 7.95118.10413.1877.4856.1758.5446.8159.1710.19312.65914.872735.344656.547786.6611,276.443501.709765.7221,315.891
Overige vlottende activa 38.47834.52335.48419.23347.8517.33710.5663.4924.164.824.298.7714.9726.2555.9972.62833.83425.621
Totaal vlottende activa 5,831.0016,636.2046,152.4576,234.0125,598.6422,929.0661,351.5551,592.411,560.2151,969.4672,449.3342,780.8782,796.9833,129.8214,688.3835,579.9243,731.0282,843.59
Niet-vlottende activa:
Materiële vaste activa, netto 4,707.1993,656.7843,457.4693,013.7151,643.587849.782568.045442.729417.479546.745632.598757.366906.3571,026.6131,117.4241,192.5361,291.5381,365.236
Goodwill 96.37141.014141.01496.37000000018.84618.84618.84618.84618.84618.84614.33
Immateriële activa 879.838937.452903.256400.7126.6434.0549.3317.82111.66914.47516.28915.11313.33113.41413.45619.2123.37327.054
Goodwill en immateriële activa 976.2081,078.4661,044.27497.0826.6434.0549.3317.82111.66914.47516.28933.95932.17732.2632.30238.05642.21941.384
Langetermijnbeleggingen 14,304.23113,295.60213,067.20912,849.54612,950.59612,761.98913,182.41612,891.46312,799.36912,873.92310,407.7110,118.6850006,338.7475,645.1685,487.506
Belastingvorderingen 232.304188.007197.174209.551138.281128.14189.82688.19799.05126.563155.968135.718126.275105.988117.235105.63100.46783.602
Overige niet-vlottende activa 104.07121.337135.262175.78491.71488.23450.14113.82342.51344.942105.999-1,615.518,713.3727,110.1236,637.0969.3048.55188.139
Totaal niet-vlottende activa 20,324.01218,340.19617,901.38416,745.67814,830.82113,832.213,899.75913,444.03313,370.0813,606.64811,318.5649,430.2189,778.1818,274.9847,904.0577,684.2737,087.9437,065.867
Totaal activa 26,155.01324,976.424,053.84122,979.6920,429.46316,761.26615,251.31415,036.44314,930.29515,576.11513,767.89812,211.09612,575.16411,404.80512,592.4413,264.19710,818.9719,909.457
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 106.5733,379.6973,477.9593,554.6372,474.499879.177229.672299.61438.762565.193854.596759.985613.019682.886819.9271.067115.836112.422
Kortlopende schulden 1,279.3442,066.984709.84250.194939.296989.006288.207293.158351.775748.089743.514455.215651.225528.2384.735624.2450066.7
Belastingschulden 74.12170.65750.92195.5631.61736.94716.12524.43963.30507.1443.4126.57225.374203.42921.06564.45120.407
Uitgestelde opbrengsten 3,072.5253,803.864861.8221,031.562881.38136.947119.62119.214153.764163.084150.71979.27140.228205.156721.0343,335.012,309.7781,517.788
Overige kortlopende verplichtingen 1,162.288-2,550.10817.8388.7873.388286.3933.0336.055.61122.33652.151172.956513.569509.425522.27890.68537.5369.4
Totaal kortlopende verplichtingen 5,620.736,700.4375,067.4594,845.184,298.5642,191.523640.532718.032949.9121,498.7021,800.981,467.4261,918.0411,925.6672,447.9474,321.0022,963.151,706.31
Langlopende verplichtingen:
Langetermijnschulden 4,088.9546,049.2976,692.685,670.8093,820.1472,553.2032,6252,5402,3902,6101,5232,0191,566.51,012.582,011.941,336.241,5902,330
Uitgestelde opbrengsten niet-vlottend 168.845122.18856.1812.07900099.61992.66380.542114.929639.429670.806702.181733.555000
Uitgestelde belastingverplichtingen niet-vlottend 63.28470.69174.20178.5640000.1370.04910.0366.3970.2440.2030.1630.3250.1600
Overige niet-vlottende verplichtingen 625.534183.547185.258183.39208.593145.974107.56214.37711.74920.43913.15647.18129.39316.75810.234577.561532.685463.429
Totaal niet-vlottende verplichtingen 4,946.6176,425.7237,008.3195,944.8424,028.742,699.1772,732.5622,654.1332,494.4612,721.0171,657.4822,705.8542,266.9021,731.6822,756.0541,913.9612,122.6852,793.429
Totaal passiva 10,567.34713,126.1612,075.77810,790.0228,327.3044,890.73,373.0943,372.1653,444.3734,219.7193,458.4624,173.284,184.9433,657.3495,204.0016,234.9635,085.8354,499.739
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 7,302.825,890.4865,890.4865,890.4865,890.4865,890.4865,890.4865,890.4865,890.4865,890.4865,890.4865,890.4865,890.4865,505.1275,293.3915,293.3914,509.4224,114.602
Ingehouden winsten 1,269.7958.281961.2351,196.8641,182.324784.2411,060.971,074.3491,218.8684,922.6573,030.674876.3581,343.1381,205.5371,114.361,251.344825.321884.456
Overige gereserveerde algehele resultaten 4,287.6274,384.6424,519.7524,503.2334,432.34,597.0774,447.0714,239.4433,916.56843.55917.7940000000
Overige totale aandeelhoudersvermogen 2,589.425460460460460460460460460499.6941,370.4821,270.9721,156.5971,036.792980.688484.499378.718371.956
Totaal eigen vermogen van aandeelhouders 15,449.57211,693.40911,831.47312,050.58311,965.1111,731.80411,858.52711,664.27811,485.92211,356.39610,309.4368,037.8168,390.2217,747.4567,388.4397,029.2345,713.4615,371.014
Totaal eigen vermogen 15,587.66611,850.2411,978.06312,189.66812,102.15911,870.56611,878.2211,664.27811,485.92211,356.39610,309.4368,037.8168,390.2217,747.4567,388.4397,029.2345,733.1365,409.718
Totaal passiva en aandeelhoudersvermogen 26,155.01324,976.424,053.84122,979.6920,429.46316,761.26615,251.31415,036.44314,930.29515,576.11513,767.89812,211.09612,575.16411,404.80512,592.4413,264.19710,818.9719,909.457