Globe Union Industrial Corp.

TWSE:9934.TW

13.85 (TWD) • At close December 27, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,964.0922,271.4372,281.2973,572.3193,239.3993,101.7923,088.6253,291.3372,963.0512,570.3872,438.1962,518.8763,774.7633,477.6092,957.188
Kortetermijnbeleggingen 63.159190.932117.418177.524339.572273.8362.9661.4864.989596.7431,184.75930.61626.43522.39322.205
Liquide middelen en kortetermijnbeleggingen 3,068.0922,462.3692,398.7153,749.8433,578.9713,375.6283,091.5913,292.8232,968.043,167.133,622.9552,549.4923,801.1983,500.0022,979.393
Nettovorderingen 2,131.2712,565.8432,879.2953,005.5772,289.4762,622.9973,042.9982,915.0713,693.3013,853.0283,611.2562,846.115-30.85200
Voorraad 3,701.8554,788.4574,289.1523,417.7223,049.83,322.5563,066.1913,150.24,080.1744,360.9983,877.4994,057.6994,020.9574,070.1223,950.354
Overige vlottende activa 888.908792.383904.617921.256671.275654.5631,037.625667.103453.938512.474701.8739.024,123.036563.073619.385
Totaal vlottende activa 9,818.36710,609.05210,471.77911,094.3989,589.5229,975.74410,249.52810,035.59711,226.04111,936.40411,813.5110,251.48311,962.16811,722.77611,327.644
Niet-vlottende activa:
Materiële vaste activa, netto 4,500.4324,639.84,537.274,573.3084,573.2971,541.0941,574.8721,677.652,043.1361,984.2961,976.171,978.222,404.7852,288.7972,496.592
Goodwill 713.874680.469683.574718.003719.664780.187800.856791.9091,771.7911,792.421,795.0291,781.8131,778.7021,711.3031,939.777
Immateriële activa 56.88552.63130.34239.40645.67643.03552.51791.351177.428248.75342.674641.06690.838731.182894.243
Goodwill en immateriële activa 770.759733.1713.916757.409765.34823.222853.373883.261,949.2192,041.172,137.7032,422.8732,469.542,442.4852,834.02
Langetermijnbeleggingen 68.521-143.925-60.848-118.133-317.542-251.13820.83323.66123.753-516.31-1,133.31265.38553.39528.89846.91
Belastingvorderingen 292.627322.514192.706236.148215.181232.286260.459358.516310.553320.569255.518128.285199.33818.7221.978
Overige niet-vlottende activa 34.487441.284319.997287.6131,024.046491.973322.211373.661443.1841,101.5181,591.836210.959228.389165.355146.142
Totaal niet-vlottende activa 5,666.8265,992.7735,703.0415,736.3456,260.3222,837.4373,031.7483,316.7484,769.8454,931.2434,827.9154,805.7225,355.4474,944.2555,545.642
Totaal activa 15,485.19316,601.82516,174.8216,830.74315,849.84412,813.18113,281.27613,352.34515,995.88616,867.64716,641.42515,057.20517,317.61516,667.03116,873.286
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,549.6811,888.5052,177.222,705.2512,008.522,077.7112,329.2872,270.0842,615.9282,684.6812,685.222,249.6842,606.0913,089.2623,179.014
Kortlopende schulden 2,879.8212,462.0472,927.8992,170.1091,924.1081,427.6131,831.2711,587.511,702.2981,929.4882,462.053549.3761,105.6111,413.962857.55
Belastingschulden 80.47574.41372.518101.21882.59898.01339.13997.57795.611530.734410.37659.74154.34369.729174.782
Uitgestelde opbrengsten 0.0770.6651,676.4231,579.2761,237.52698.0131,311.3011,551.6141,414.0032,151.0312,406.0531,325.5081,521.0661,288.0591,584.023
Overige kortlopende verplichtingen 1,861.2142,195.9641,706.6011,618.0971,276.0591,346.1861,562.0241,850.0261,735.3891,978.3362,418.032,036.4412,172.8161,715.3561,844.564
Totaal kortlopende verplichtingen 6,371.2686,621.5946,887.0446,599.8335,311.5575,225.5315,761.7215,805.1976,149.2267,123.2397,975.6794,895.2425,938.8616,288.3096,055.91
Langlopende verplichtingen:
Langetermijnschulden 3,033.3274,993.9283,698.5234,061.9834,294.2211,288.004958.2441,313.8772,022.5532,376.4021,564.1753,383.243,574.3683,037.1423,618.275
Uitgestelde opbrengsten niet-vlottend 0012.136101.44665.472137.529218.389253.25196.799218.087234.6170000
Uitgestelde belastingverplichtingen niet-vlottend 17.51811.83815.0577.05629.63437.22823.45742.12984.698184.361185.5420000
Overige niet-vlottende verplichtingen 163.349300.661389.375543.148575.3512.5451.83831.4134.14462.52964.92247.568299.862258.918247.972
Totaal niet-vlottende verplichtingen 3,214.1945,306.4274,115.0914,713.6334,964.6771,612.8351,420.3171,893.9162,534.9932,841.3792,049.2543,630.8083,874.233,296.063,866.247
Totaal passiva 9,585.46211,928.02111,002.13511,313.46610,276.2346,838.3667,182.0387,699.1138,684.2199,964.61810,024.9338,526.059,813.0919,584.3699,922.157
Eigen vermogen:
Preferente aandelen 000000000000000
Gewone aandelen 4,087.293,584.743,581.643,581.643,565.9773,682.2353,675.8893,553.0423,543.0423,543.0423,239.7843,013.0743,069.8113,094.2132,950.046
Ingehouden winsten 1,470.52-914.87155260.69387.585656.738806.937709.8851,759.2642,111.1381,057.97719.566308.32992.152676.634
Overige gereserveerde algehele resultaten -646.471,174.705703.715773.492661.062753.361556.968416.771986.514231.73764.6590000
Overige totale aandeelhoudersvermogen 988.391824.43877.995938.667954.933794.909980.356895.599920.265916.938932.7171,717.1852,161.912547.97107.978
Totaal eigen vermogen van aandeelhouders 5,899.7314,673.8045,172.6855,517.2775,573.615,897.636,023.6515,571.2977,209.0856,802.8556,514.4714,331.7595,105.4644,634.3354,494.196
Totaal eigen vermogen 5,899.7314,673.8045,172.6855,517.2775,573.615,974.8156,099.2385,653.2327,311.6676,903.0296,616.4926,531.1557,504.5247,082.6626,951.129
Totaal passiva en aandeelhoudersvermogen 15,485.19316,601.82516,174.8216,830.74315,849.84412,813.18113,281.27613,352.34515,995.88616,867.64716,641.42515,057.20517,317.61516,667.03116,873.286