Pou Chen Corporation

TWSE:9904.TW

34.7 (TWD) • At close September 19, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operationele Activiteiten:
Nettowinst 10,623.60821,431.57717,156.7345,961.32621,521.97820,260.38324,817.50426,279.80220,240.27415,874.37918,732.09318,939.82212,890.53716,010.54314,893.97811,163.26711,793.36212,466.795
Afschrijvingen & Amortisatie 13,088.69115,272.05416,776.77116,611.11915,729.07110,549.4719,585.7358,793.4058,351.7637,650.2667,854.8779,711.9257,400.6927,073.1747,981.126,929.9376,807.1856,435.606
Uitgestelde Inkomstenbelasting -12,733.6920-18,720.937-12,192.27-14,925.391-13,059.327-12,858.29-12,811.695-9,386.407-10,039.523-8,976.4780-230.06400000
Aandelen Gebaseerde Vergoedingen 106.342119.868131.78111.992154.948130.489142.91258.8969.17346.267-1.61159.503330.31900000
Verandering in Werkkapitaal 10,309.592-1,479.327-3,849.6648,198.025-428.977-9,490.296-6,256.99-7,400.0032,076.657-360.902-4,645.699-1,953.522-4,010.436-3,078.4176,492.649-1,528.295546.275-2,543.018
Vorderingen 138.46-3,712.2126,662.1112,164.3472,017.011-3,705.4582,018.746-4,930.145-2,120.09-1,192.338-1,699.509-4,354.77000000
Voorraden 11,701.3187,045.362-9,479.7159,479.131-4,257.541-6,796.982-6,949.322653.189182.368-5,358.204-2,680.415-1,566.388-10,411.7121,489.7874,645.141-9,490.836-2,035.961-2,071.165
Crediteuren 1,710.254-4,858.393963.061,762.58687.3041,233.352-797.691-2,645.3652,177.069000000000
Overig Werkkapitaal -3,240.4445.916-1,995.12-5,208.0391,724.249-2,693.314692.332-8,053.1921,894.2894,997.302-1,965.284-387.1346,401.276-4,568.2041,847.5087,962.5412,582.236-471.853
Overige Niet-Contante Posten 11,637.987-11,297.9421,134.1921,767.6622,457.8372,152.4821,377.777785.526692.719587.143912.352-1,601.739466.784-136.12110.8372,032.8534.74-1,793.621
Kasstroom uit Operationele Activiteiten 33,032.52824,046.2312,628.87720,357.85424,509.46610,543.20216,808.64815,705.92522,044.17913,757.6313,875.53425,096.48616,847.83219,869.1829,478.58418,597.70919,681.56214,565.762
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -6,735.158-7,111.055-8,570.72-8,199.726-13,002.232-14,432.872-17,247.892-14,854.059-14,544.74-9,867.41-5,489.732-11,114.993-16,213.963-10,486.678-9,815.004-13,736.936-14,952.335-12,934.521
Netto Overnames -321.298464.483,145.219-828.065-1,253.0371,093.3531,937.983-143.6042,170.022119.0631,390.194278.721-8,453.479674.343-80.14600592.214
Aankoop van Beleggingen -14,575.822-9,063.577-19,685.49-13,542.939-10,489.138-5,040.644-1,959.8-5,803.298-5,335.307-5,637.169-2,524.971-307.119-589.18-50.962-110.35-7,261.733-7,184.748-6,566.969
Verkoop/verval van Beleggingen 10,103.72416,566.84818,577.30610,737.8175,618.8878,093.12,222.7151,890.2694,476.6524,818.075634.232-350.667-650.732558.497382.04400589.376
Overige Investeringsactiviteiten 97.2384,510.793,559.3994,355.2024,177.7483,579.5774,378.8085,068.3653,769.913,445.9482,889.7092,122.7331,111.738-145.571-235.328-2,820.424-1,069.559-87.479
Kasstroom uit Investeringsactiviteiten -11,431.3165,367.486-2,974.286-7,477.711-14,947.772-6,707.486-10,668.186-13,842.327-9,463.463-7,121.493-3,100.568-9,371.325-24,795.616-9,450.371-9,858.784-23,819.093-23,206.642-18,407.379
Financieringsactiviteiten:
Schuldaflossingen -14,324.5-10,208.262-11,221.489-18,515.453-321.5-98-15,027.3-632-2,713.921-452-5,012.2180-8,292.529-591.722-8,794.971-5,001.698-1,760.806-5,902.478
Uitgifte van Gewone Aandelen 1.1161.2281.19327.223000047.7414.70519.236195.181,181.9976.753.60937.24,898.068860.61
Terugkoop van Gewone Aandelen -3,817.655-1.2280-27.22300001,5374,016.24977.644020,201.443-30,048.934-256.168-2,077.34112,434.3518,927.46
Uitgekeerde Dividenden -3,830.823-4,420.181-1,473.394-3,683.484-4,420.181-5,893.574-4,420.181-4,420.181-4,416.206-2,944.137-4,401.307-3,812.297-3,470.432-4,184.39-1,326.269-2,471.099-4,360.366-3,204.97
Overige Financieringsactiviteiten 2.812-7,080.938-49.3955,388.6381,773.551-237.499-7,734.6761,352.309-1,724.131457.821-768.563-10,789.6710.7390.31212,154.15220,252.306-142.332-142.811
Kasstroom uit Financieringsactiviteiten -21,969.05-21,709.381-12,744.278-16,810.299-2,968.13-6,229.073-12,154.857-3,699.872-7,269.5581,492.629-9,185.208-14,406.7889,621.218-34,817.9841,780.35310,739.36811,068.915537.811
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -1,234.0043,162.948-568.692-1,011.074-1,795.61537.0054,443.59-305.479-2,284.974-2,940.203-838.2192,679.334-641.913211.073242.387562.17843.956-202.585
Netto Kasstroomverandering 1,246.07310,867.283-3,658.379-4,941.234,797.954-1,856.352-1,570.805-2,141.7533,026.1845,188.563751.5394,095.341,076.93-23,439.46820,102.9175,354.537,587.791-3,506.391
Kaspositie aan het Einde van de Periode 40,582.12139,317.62928,450.34632,108.72537,049.95532,252.00134,108.35335,679.15837,820.91134,794.72729,606.16429,372.26625,276.92624,199.99647,639.46427,536.54722,182.01714,594.226