EMC Public Company Limited

SET:EMC.BK

0.09 (THB) • At close November 12, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062003
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 20.66731.95118.30534.57162.875100.10829.481199.3951,075.545108.74536.61857.911176.669342.234290.96300.49302.496357.418102.869
Kortetermijnbeleggingen 973.8790.0070.0880.3511.825.9593.7588.6024.955402.36000000000
Liquide middelen en kortetermijnbeleggingen 20.73831.95118.30534.92264.695106.06733.239207.9981,080.5511.10536.61857.911176.669342.234290.96300.49302.496357.418102.869
Nettovorderingen 496.304645.432526.712496.904725.011893.901301.77255.582290.042473.485879.8291,701.6521,311.5531,094.59933.574949.946851.236949.474197.309
Voorraad 617.238625.266660.702718.106768.322874.6981,103.51885.106650.67505.14516.788284.008389.195110.27166.71545.71173.64669.40.001
Overige vlottende activa 10.569.5956.9089.30618.0026.6749.678439.71535.99139.85781.51170.55654.28326.428185.645218.615158.469124.10623.11
Totaal vlottende activa 1,144.841,331.3351,235.4891,303.0241,592.511,967.4691,471.5611,843.9412,614.2511,589.1431,236.7852,343.2082,095.0951,695.2291,516.1921,514.7621,385.8471,500.399323.288
Niet-vlottende activa:
Materiële vaste activa, netto 156.306172.886155.25169.569170.538921.518854.713589.235278.285208.184181.614176.621122.462115.319125.785144.367138.17348.75114.335
Goodwill 0000000003.086000000000
Immateriële activa 9.9333.4743.7213.8263.2363.7584.5374.853.927.129000000000
Goodwill en immateriële activa 9.9333.4743.7213.8263.2363.7584.5374.853.9210.215000000000
Langetermijnbeleggingen 16.42217.14120.06922.41225.1580.1580.7143.4661.9116.72517.0612.274354.148329.519317.4250.2740.2740.2740.816
Belastingvorderingen 973.80812.1121,163.7991,184.6361,210.381501.585311.272446.24198.89178.41947.65300000000
Overige niet-vlottende activa 1,041.7811,223.5970.448213.073109.254183.524272.828208.876219.104367.604320.737370.24521.54816.81312.585365.661349.157151.2199.952
Totaal niet-vlottende activa 1,224.4421,429.2031,413.2871,593.5161,518.5681,610.5421,444.0631,252.668702.111681.148567.064559.14498.158461.651455.795510.303487.604200.24425.103
Totaal activa 2,369.2822,760.5382,648.7762,896.543,111.0783,578.012,915.6243,096.6093,316.3632,270.2911,803.8492,902.3472,593.2542,156.881,971.9872,025.0641,873.4521,700.643348.391
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 280.647328.841163.917195.335137.922256.891251.685125.269154.12237.736643.097923.6230346.081313.193467.122254.632302.531169.093
Kortlopende schulden 711.29437.87233.508167.484547.014590.366569.494220.063190.736231.105359.867248.968172.768770.141543.439153.89263.777115.675242.113
Belastingschulden 000000003.8640000000000
Uitgestelde opbrengsten 63.542103.00768.22376.073186.864504.662277.276254.45244.549324.285388.051566.34703.8132.827314.24822.92512.91214.038
Overige kortlopende verplichtingen 157.258-244.886-77.211-82.055-7.73-105.179-119.317-28.95127.057-84.797-505.135-813.4791,400.315-272.988-243.28-399.436488.647286.64-85.667
Totaal kortlopende verplichtingen 1,212.737953.673552.354552.1721,001.9921,503.631,230.824696.1774.445946.0661,528.9771,849.0831,573.0831,193.128929.3721,002.9481,084.6141,020.288508.67
Langlopende verplichtingen:
Langetermijnschulden 82.228131.05263.922217.48411.2354.588.47378.0990.58581.6640.7631.552136.579121.5050.3762.7215.9286.61735.12
Uitgestelde opbrengsten niet-vlottend -32.3090.3470.3474.654.8275.0834.85121.6590027.09800000000
Uitgestelde belastingverplichtingen niet-vlottend 14.5023.2933.7427.20717.14917.8118.47219.1347.7168.328.92400000000
Overige niet-vlottende verplichtingen 105.197158.171170.032178.815200.359175.885150.3463.62134.698145.483113.297135.497.1270127.2840000
Totaal niet-vlottende verplichtingen 201.928292.862238.042408.156233.57203.358182.142222.512143235.468150.082137.043143.705121.505127.6592.7215.9286.61735.12
Totaal passiva 1,414.6641,246.536790.396960.3281,235.5621,706.9881,412.966918.612917.4451,181.5341,679.0591,986.1251,716.7881,314.6331,057.0321,005.6691,090.5421,026.905543.79
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 8,434.0498,433.788,433.7558,433.7558,433.7558,433.7558,433.7558,433.7358,430.0443,557.2321,173.101586.538586.538586.319586.319586.319483.084452.092592.79
Ingehouden winsten -3,217.618-2,661.358-2,320.819-2,246.532-2,308.27-2,316.779-2,689.395-2,017.979-1,746.254-1,449.051-1,245.36180.50863.06142.926113.801203.266152.81349.638-807.389
Overige gereserveerde algehele resultaten 16.48316.48316.48316.483102.22616.48316.48316.48316.48316.48316.48316.4830-12.271-11.758-7.459-2.99100
Overige totale aandeelhoudersvermogen -4,147.549-4,144.674-4,142.005-4,139.359-4,222.455-4,134.065-4,131.418-4,128.757-4,171.839-905.523290.25254.548226.812226.593226.593237.268150.003172.00819.2
Totaal eigen vermogen van aandeelhouders 1,085.3651,644.2311,987.4142,064.3462,005.2561,999.3931,629.4242,303.4812,528.4331,219.141234.473938.077876.411843.568914.9551,019.395782.91673.738-195.399
Totaal eigen vermogen 954.6181,514.0021,858.3791,936.2121,875.5171,871.0221,502.6592,177.9972,398.9181,088.758124.79916.222876.466842.247914.9551,019.395782.91673.738-195.399
Totaal passiva en aandeelhoudersvermogen 2,369.2822,760.5382,648.7762,896.543,111.0783,578.012,915.6243,096.6093,316.3632,270.2911,803.8492,902.3472,593.2542,156.881,971.9872,025.0641,873.4521,700.643348.391