Taiwan Sakura Corporation

TWSE:9911.TW

88.7 (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 2,448.972,036.7621,849.0851,885.1031,353.9321,000.744948.2551,040.376949.9581,022.059874.894835.627945.4981,056.415957.851804.517541.322529.867
Kortetermijnbeleggingen 51171.778108.131-299.329229.05460.69389.673125.41550.82374.896238.478299.95500110.3770107.399106.389
Liquide middelen en kortetermijnbeleggingen 2,499.972,208.541,957.2161,885.1031,582.9821,461.4341,337.9281,165.7861,500.7781,396.9551,113.372835.627945.4981,056.4151,068.228804.517648.721636.256
Nettovorderingen 1,468.2541,399.7981,524.7651,359.4541,326.9461,317.6031,160.1471,115.3971,141.131,084.656963.001827.777660.413536.382611.546584.922763.711755.785
Voorraad 1,297.8861,165.622950.986668.722534.905519.918505.187497.262538.067410.607429.898382.873374.978365.33374.971397.633508.097351.756
Overige vlottende activa 97.80415.3214.71512.86919.91815.72816.98212.87812.86369.31319.52978.96762.60361.4100.53929.93677.86260.138
Totaal vlottende activa 5,363.9144,789.284,447.6823,926.1483,464.7513,314.6833,020.2442,791.3233,192.8382,961.5312,525.82,125.2442,043.4922,019.5272,155.2841,817.0081,998.3911,803.935
Niet-vlottende activa:
Materiële vaste activa, netto 2,457.9862,313.022,136.0331,717.8231,484.9211,354.1741,371.3061,353.7431,388.5731,410.1141,435.9451,640.1461,727.4361,550.8151,435.8381,360.9991,259.4231,252.362
Goodwill 9.0639.0639.063000000000000000
Immateriële activa 142.324145.252156.339108.49992.09296.3297.06103.429102.20790.16993.101161.273164.721163.383171.247179.96994.64794.271
Goodwill en immateriële activa 151.387154.315165.402108.49992.09296.3297.06103.429102.20790.16993.101161.273164.721163.383171.247179.96994.64794.271
Langetermijnbeleggingen 1,457.437978.5531,154.0691,525.609974.233694.548739.423927.897503.094786.9731,113.118978.558001,036.5330854.757691.862
Belastingvorderingen 28.47326.60230.28330.13535.90932.45533.86937.94553.83864.55766.947-978.5580000135.974187.14
Overige niet-vlottende activa 75.148429.077346.077195.148795.531863.999779.263523.113938.755767.939612.0381,409.2311,368.041,485.397485.4571,640.131517.754529.268
Totaal niet-vlottende activa 4,170.4313,901.5673,831.8643,577.2143,382.6863,041.4963,020.9212,946.1272,986.4673,119.7523,321.1493,210.653,260.1973,199.5953,129.0753,181.0992,862.5552,754.903
Totaal activa 9,534.3458,690.8478,279.5467,503.3626,847.4376,356.1796,041.1655,737.456,179.3056,081.2835,846.9495,335.8945,303.6895,219.1225,284.3594,998.1074,860.9464,558.838
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,581.2241,393.661,450.7621,255.6561,167.9821,076.6771,027.476957.5961,025.415872.65873.174731.698684.391554.443669.862291.905341.757288.713
Kortlopende schulden 130.70799.47857.78227.80626.478.8515.8385.24844.83471.7432.522111.497134.722229.72291.367665.943667.596563.318
Belastingschulden 273.697254.833242.208229.778126.441120.57486.81396.00965.68865.80565.11931.67833.60761.69130.9424.0150.0530
Uitgestelde opbrengsten 218.709123.8191,080.701965.686773.776120.574607.914572.034541.886530.499491.365381.466366.84381.106286.977300.617248.736316.576
Overige kortlopende verplichtingen 1,135.411,026.25243.0334.69235.004623.23489.16472.261148.95152.68735.01791.224143.975242.332167.35459.97662.60245.841
Totaal kortlopende verplichtingen 3,066.052,643.2092,632.2752,283.842,003.2321,829.3361,730.3921,607.1391,761.0861,527.5761,432.0781,315.8851,329.9281,407.6011,415.561,318.4411,320.6911,214.448
Langlopende verplichtingen:
Langetermijnschulden 112213.12886.93286.24350.69000042.5152.5185.167185.385164.893456.361417.731571.576634.996
Uitgestelde opbrengsten niet-vlottend 193.003048.88545.42853.6230000214.452217.53613.37815.16216.94618.73126.252108.480
Uitgestelde belastingverplichtingen niet-vlottend 44.02430.31224.68626.48522.7286.14181.3383.36399.997110.03399.41843.25439.38734.93562.60643.641.7680
Overige niet-vlottende verplichtingen 81.4381.71744.61522.4928.61668.31772.11875.33265.52621.79536.608181.88159.349134.314123.04627.7621.684128.979
Totaal niet-vlottende verplichtingen 430.457325.157205.118180.646155.649154.458153.448158.695165.523388.78506.062423.679399.283351.088660.743615.383703.508763.975
Totaal passiva 3,496.5072,968.3662,837.3932,464.4862,158.8811,983.7941,883.841,765.8341,926.6091,916.3561,938.141,739.5641,729.2111,758.6892,076.3031,933.8242,024.1991,978.423
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 2,211.2122,211.2122,211.2122,211.2122,211.2122,211.2122,211.2122,211.2122,764.0152,764.0152,764.0152,764.0152,764.0152,709.8182,656.6852,587.4512,400.8322,382.012
Ingehouden winsten 2,587.0252,437.6512,249.492,038.7021,814.1941,598.8111,439.9191,338.4451,067.771,308.887808.395572.417522.105488.301266.151176.559188.216-18.301
Overige gereserveerde algehele resultaten 1,078.77918.253828.29705.945586.914492.256453.336374.884398.82269.93622.5540000000
Overige totale aandeelhoudersvermogen 108.665100.10291.12283.01776.23670.10652.85847.07522.08922.089313.845259.898288.358262.314285.22194.099151.978133.885
Totaal eigen vermogen van aandeelhouders 5,985.6725,667.2185,380.1145,038.8764,688.5564,372.3854,157.3253,971.6164,252.6964,164.9273,908.8093,596.333,574.4783,460.4333,208.0562,958.1092,741.0262,497.596
Totaal eigen vermogen 6,037.8385,722.4815,442.1535,038.8764,688.5564,372.3854,157.3253,971.6164,252.6964,164.9273,908.8093,596.333,574.4783,460.4333,208.0563,064.2832,836.7472,580.415
Totaal passiva en aandeelhoudersvermogen 9,534.3458,690.8478,279.5467,503.3626,847.4376,356.1796,041.1655,737.456,179.3056,081.2835,846.9495,335.8945,303.6895,219.1225,284.3594,998.1074,860.9464,558.838