NAK Sealing Technologies Corporation

TWSE:9942.TW

114 (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 519.086437.993470.015391.253333.319295.079419.718348.024358.495351.516494.178537.09361.281550.329438.37274.562271.614249.344
Kortetermijnbeleggingen 163.48251.49959.41624.84637.956.484000014.304112.303180.31173.8537.63295.902177.92935.473
Liquide middelen en kortetermijnbeleggingen 682.568489.492529.431416.099371.269301.563419.718348.024358.495351.516508.482649.393541.592624.179476.002370.464449.543284.817
Nettovorderingen 1,449.7941,440.0961,326.4531,065.276944.1881,044.9241,150.9461,131.7641,085.1381,128.632999.539844.111886.899717.333529.83534.265608.77522.316
Voorraad 1,041.3091,242.492984.46819.88812.517857.434836.555780.801849.202787.723651.954543.767616.776479.924378.945397.399368.503333.743
Overige vlottende activa 62.35152.98548.49258.07936.87373.61861.1564.7355.98594.53954.32938.9547.24129.48222.38737.11538.79625.404
Totaal vlottende activa 3,236.0223,225.0652,888.8362,359.3342,164.8472,277.5392,468.3692,325.3192,348.822,362.412,214.3042,076.2212,092.5081,850.9181,407.1641,339.2431,465.6121,166.28
Niet-vlottende activa:
Materiële vaste activa, netto 1,894.961,600.5051,566.631,568.9641,623.0541,492.2011,315.1261,165.0161,229.5331,249.4191,056.161800.186682.433680.715763.773826.599854.907845.278
Goodwill 00000-56.731-59.366-61.671-68.701-70.76-69.760000000
Immateriële activa 21.19514.6133.18314.77811.47370.96270.65573.66984.9489.48295.624105.417104.69250.18315.17916.31614.54315.399
Goodwill en immateriële activa 21.19514.6133.18314.77811.47314.23111.28911.99816.23918.72225.864105.417104.69250.18315.17916.31614.54315.399
Langetermijnbeleggingen 33.215-8.814-21.70642.193-0.38334.93458.8777.1984.7452.63121.829-90.954-141.183-43.762-5.306-66.699-163.733-16.368
Belastingvorderingen 84.15374.63580.05371.40565.52162.81347.96743.96549.93554.75349.669112.303180.311173.14137.63295.902181.84935.473
Overige niet-vlottende activa 22.709338.946353.659330.167361.719105.52885.35109.7697.77791.302107.0944.1763.9115.4634.42513.48416.932.048
Totaal niet-vlottende activa 2,056.2322,019.8851,981.8192,027.5072,061.3841,709.7071,518.6021,407.9291,478.2241,466.8271,260.617931.128830.164865.74815.703885.602904.466911.83
Totaal activa 5,292.2545,244.954,870.6554,386.8414,226.2313,987.2463,986.9713,733.2483,827.0443,829.2373,474.9213,007.3492,922.6722,716.6582,222.8672,224.8452,370.0782,078.11
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 122.728218.591173.966134.713114.21114.386149.043118.259110.103113.188122.671104.411125.565147.85473.44166.689144.73593.066
Kortlopende schulden 15.163508.848434.541163.753143.3183.89277.704123.43374.5913.9924.4993.0738.3826.2475.2647.94751.34489.501
Belastingschulden 230.307147.528129.83483.8536.36886.58449.45874.18550.75585.10147.89941.13347.0342.53130.1059.32250.01410.434
Uitgestelde opbrengsten 10.02516.229532.501364.509302.25486.584372.109358.568296.075402.372310.434256.756240.219218.687136.105116.074152.97698.238
Overige kortlopende verplichtingen 711.245558.34429.11233.05225.548307.55283.2648.70372.51353.96372.70853.83484.53656.01824.35624.789140.155118.27
Totaal kortlopende verplichtingen 859.1611,302.0121,170.12696.027585.33512.414682.12608.963553.282573.515510.312418.074458.702428.806239.166215.499489.21399.075
Langlopende verplichtingen:
Langetermijnschulden 67.9279.2490.56281.315293.2900077.756142.81844.24462.378015.0620003.119
Uitgestelde opbrengsten niet-vlottend 0.9220000000165.16100139.8850167.72400066.256
Uitgestelde belastingverplichtingen niet-vlottend 368.51331.63329.441301.593291.551302.811275.67265.355305.276295.438257.965136.879123.111108.15164.81584.99549.12739.438
Overige niet-vlottende verplichtingen 30.99148.37150.35270.65857.59298.171100.28293.1632.553185.279167.27312.448158.57512.3114.28101.28398.8597.165
Totaal niet-vlottende verplichtingen 468.343459.241470.353653.566642.343490.982375.952358.518550.746623.535469.482351.59281.686303.237179.095186.278147.986115.978
Totaal passiva 1,327.5041,761.2531,640.4731,349.5931,227.6731,003.3961,058.072967.4811,104.0281,197.05979.794769.664740.388732.043418.261401.777637.196515.053
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 831.613831.613831.613831.613831.613831.613831.613831.613831.613831.613831.613831.613831.613831.613831.613830.422825763.191
Ingehouden winsten 2,066.5831,575.0451,419.6641,243.0241,309.0021,325.4241,314.3331,245.451,135.4531,536.7191,041.479831.513761.932682.308477.65746.366723.48644.065
Overige gereserveerde algehele resultaten 853.891845.734749.386737.569635.994606.7565.224472.35539.68151.2697.1310000000
Overige totale aandeelhoudersvermogen 208.642214.743214.743214.743214.743214.743214.743214.743214.743214.743616.929576.034589.004470.959495.343246.28184.402155.801
Totaal eigen vermogen van aandeelhouders 3,960.7293,467.1353,215.4063,026.9492,991.3522,978.482,925.9132,764.1562,721.492,634.3442,497.1522,239.162,182.5491,984.881,804.6061,823.0681,732.8821,563.057
Totaal eigen vermogen 3,964.753,483.6973,230.1823,037.2482,998.5582,983.852,928.8992,765.7672,723.0162,632.1872,495.1272,237.6852,182.2841,984.6151,804.6061,823.0681,732.8821,563.057
Totaal passiva en aandeelhoudersvermogen 5,292.2545,244.954,870.6554,386.8414,226.2313,987.2463,986.9713,733.2483,827.0443,829.2373,474.9213,007.3492,922.6722,716.6582,222.8672,224.8452,370.0782,078.11