Cal-Comp Electronics (Thailand) Public Company Limited

TWSE:9105.TW

6.62 (TWD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10,085.2937,004.3476,332.0535,004.0544,167.9184,058.443,854.3873,839.0163,923.9241,808.7423,525.4431,840.1841,962.6875,351.5972,666.0222,083.1851,724.503976.941,305.831253.465528.591832.719982.524
Kortetermijnbeleggingen 115.96700165.641291.476852.66504.71228.72637.846131.528110.93531.803450.29969.5511,525.041349.455119.107287.550158.85445.364111.722
Liquide middelen en kortetermijnbeleggingen 10,201.267,004.3476,332.0535,169.6954,459.3944,911.1053,854.3873,843.7283,952.651,846.5873,656.9711,951.1142,494.495,801.8873,635.5733,608.2262,073.9571,096.0471,593.382253.465687.446878.0831,094.247
Nettovorderingen 37,735.13942,242.12326,032.48224,674.17719,203.57325,185.50626,775.63322,303.07331,518.93936,450.05326,376.55127,267.58426,667.49228,981.55123,959.62634,423.09324,406.45617,266.68611,144.73212,267.7025,772.2425,377.7445,093.568
Voorraad 15,290.28322,117.52626,684.76315,435.55313,215.77117,053.07811,143.24510,436.73811,805.09914,506.70714,069.13311,742.09114,088.76210,001.0888,710.7310,333.5138,357.9947,972.746,482.1377,582.1214,708.7023,813.7894,321.643
Overige vlottende activa 590.364547.029514.897505.029340.403327.997270.262302.033181.042355.435267.15550.6421,046.189835.499829.9722,010.4812,210.3051,013.232907.518566.855349.77276.958164.419
Totaal vlottende activa 64,308.42374,245.27160,236.77346,404.34737,325.37747,558.05242,177.17637,083.13447,859.88353,410.70344,936.45241,851.70744,727.96545,981.45937,518.71450,375.31237,048.71227,348.70420,127.76920,965.7311,664.11410,561.46510,919.707
Niet-vlottende activa:
Materiële vaste activa, netto 18,235.19819,276.94817,273.15614,109.5114,277.20814,763.38415,976.44616,491.5116,997.54517,531.52616,578.85214,928.28612,579.8559,481.8837,797.2818,184.1466,792.4325,555.1415,610.7034,927.4513,829.2242,719.1412,815.638
Goodwill 00045.445.57649.04657.26588.02688.416137.972145.54131.328106.5180000000000
Immateriële activa 00746.208574.254371.34177.746134.499113.074119.886117.121124.124196.857207.376453.541508.567603.806428.863467.97170.48868.599190.234269.535309.252
Goodwill en immateriële activa 139.5030746.208619.654416.916226.792191.764201.1208.302255.093269.664328.185313.895453.541508.567603.806428.863467.97170.48868.599190.234269.535309.252
Langetermijnbeleggingen 2,126.1061,998.2841,822.6861,607.7811,727.1211,657.8031,084.0211,042.581824.024444.564452.719162.76863.42209.89165.57669.948.6558.8677.617170.417213.652202.042165.505
Belastingvorderingen 281.339159.42171.048126.969109.928108.6294.241102.33107.95115.4022.09135.01400000000000
Overige niet-vlottende activa 747.202863.283599.6921,202.947605.191483.705638.05341.79650.90276.832194.773199.391357.318174.144714.641254.827111.58799.821100.90597.457000
Totaal niet-vlottende activa 21,529.34822,297.93620,612.7917,666.86117,136.36417,240.30517,984.52318,179.31718,188.72318,323.41717,498.09915,653.64413,314.48710,319.4599,086.0649,112.6797,381.5316,181.7945,859.7145,263.9244,233.1113,190.7193,290.396
Totaal activa 85,837.77296,543.20780,849.56364,071.20954,461.7464,798.35760,161.69955,262.45166,048.60771,734.1262,434.55157,505.35158,042.45256,300.91846,604.77759,487.99144,430.24433,530.49825,987.48326,229.65415,897.22513,752.18414,210.103
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 21,496.88126,329.38226,233.90822,605.90817,021.16923,208.46920,321.82919,722.17522,940.56332,776.79221,860.65421,873.19424,725.86824,236.46718,787.94728,043.80118,992.82814,583.6778,943.8499,017.513,667.2012,681.2993,825.848
Kortlopende schulden 12,726.55724,360.51821,339.8416,936.30212,064.89314,796.49315,326.22810,214.62114,859.87613,023.83121,322.96716,583.34715,402.69311,973.078,803.87914,633.1668,298.9192,277.573,143.4924,471.9843,204.1351,077.0282,493.567
Belastingschulden 39.458149.407188.919150.73445.121163.301112.977119.48438.302138.74875.125221.50728.50116.73563.50657.37449.6627.6889.8419.0902.6750
Uitgestelde opbrengsten 412.382614.927452.139146.878191.292186.126264.058456.58874.216983.154734.13153.71628.5012,744.6322,737.8391,520.6551,331.2261,106.182531.314781.951512.555445.195458.615
Overige kortlopende verplichtingen 9,758.10910,566.9536,128.2564,238.8052,825.6572,360.6481,662.2232,618.7062,698.2492,273.7212,220.0132,665.4647.145548.889338.292379.1121,467.6741,624.254284.476529.811197.1751,171.7161,322.186
Totaal kortlopende verplichtingen 44,393.92961,871.7854,154.14443,927.89332,103.01140,551.73637,574.33833,012.08241,372.90549,057.49846,137.76341,275.65740,804.20839,503.05830,667.95744,576.73330,090.64719,591.68312,903.1314,801.2557,581.0665,375.2378,100.216
Langlopende verplichtingen:
Langetermijnschulden 14,776.15314,930.1867,090.6543,008.565,361.3816,263.13,529.5373,869.716,495.9395,933.340784.16900000003,136.21,409.2152,075.670
Uitgestelde opbrengsten niet-vlottend 364.49101,491.825895.605701.361264.7900000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 18.70112.14613.16917.4710.60337.59149.07449.39862.81473.92990.78651.61400000000000
Overige niet-vlottende verplichtingen 58.1871,064.196103.78154.787156.2681.043209.124161.176144.381129.54191.2112.24264.581000403.7341,343.2382,762.1660000
Totaal niet-vlottende verplichtingen 15,217.53116,006.5288,699.4284,076.4226,229.6136,566.5253,787.7354,080.2846,703.1346,136.81181.986948.02564.581000403.7341,343.2382,762.1663,136.21,409.2152,075.670
Totaal passiva 59,611.4677,878.30862,853.57248,004.31438,332.62547,118.26141,362.07337,092.36648,076.03955,194.30846,319.74942,223.68240,868.78939,503.05830,667.95744,576.73330,494.3820,934.92115,665.29517,937.4558,990.2817,450.9078,100.216
Eigen vermogen:
Preferente aandelen 00000000000000000000000
Gewone aandelen 10,450.0035,386.3444,959.7354,554.6444,554.6444,554.6444,554.6444,552.0944,552.0944,273.3864,085.2784,077.5564,077.5564,077.5563,941.1093,930.9233,919.2083,915.63,629.72903,050.3113,0203,020
Ingehouden winsten 10,517.11910,479.26710,203.5710,378.84410,399.61310,438.88910,524.20410,033.7999,388.6878,375.4488,725.5098,911.52110,012.45210,188.6739,038.9197,934.6577,374.7036,040.8544,931.4884,246.0213,366.5692,789.6172,551.714
Overige gereserveerde algehele resultaten 1,045562.592517.787511.112511.112511.112511.112511.112511.112511.112511.112511.1120-591.481-187.751-62.8830-292.69613.196-135.835-78.027-1.4890.762
Overige totale aandeelhoudersvermogen 4,002.5222,087.212,149.257413.499601.4262,062.7753,016.3532,818.2873,520.6763,379.8672,792.9031,781.483,083.6553,123.1123,144.5443,108.5612,626.9432,931.8181,747.7744,182.012568.09493.149537.412
Totaal eigen vermogen van aandeelhouders 26,014.64418,515.41317,830.3515,858.09816,066.79517,567.41918,606.31217,915.29117,972.56816,539.81316,114.80215,281.66917,173.66316,797.8615,936.8214,911.25813,920.85512,595.57710,322.1878,292.1996,906.9436,301.2776,109.887
Totaal eigen vermogen 26,226.31118,664.89917,995.99116,066.89416,129.11617,680.09718,799.62518,170.08517,972.56816,539.81316,114.80215,281.66917,173.66316,797.8615,936.8214,911.25813,935.86312,595.57710,322.1878,292.1996,906.9436,301.2776,109.887
Totaal passiva en aandeelhoudersvermogen 85,837.77296,543.20780,849.56364,071.20954,461.7464,798.35760,161.69955,262.45166,048.60771,734.1262,434.55157,505.35158,042.45256,300.91846,604.77759,487.99144,430.24433,530.49825,987.48326,229.65415,897.22513,752.18414,210.103