Trio-Tech International

AMEX:TRT

5.35 (USD) • At close November 17, 2023
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10.0357.5837.6985.8364.154.8636.5394.7723.8073.7112.9382.7931.8223.1115.9588.0316.67.1352.5511.4391.3571.4951.1281.1491.9561.63.30.92.10.70.5
Kortetermijnbeleggingen 6.4976.6275.426.6516.6974.1440.6530.7870.2950.1010.1020.104000.8872.9357.7467.8157.8393.2115.6490.4850.554004.53.957.13.1100
Liquide middelen en kortetermijnbeleggingen 16.53214.2113.11812.48710.8479.0077.1925.5594.1023.8123.042.8971.8223.1116.8458.03114.34614.9510.394.657.0061.981.6821.1491.9561.63.30.92.10.70.5
Nettovorderingen 11.20210.75912.6118.9746.9497.938.6289.419.4228.2648.93610.8613.3748.20412.924.266.4987.6558.8244.324.2784.0164.6754.5946.9484.84.43.854.33.6
Voorraad 3.1622.1512.2582.081.9222.4272.931.7561.461.1411.1062.4632.3242.433.41.1842.4491.9462.4471.5841.4091.0491.0141.9182.7561.82.11.81.41.21.1
Overige vlottende activa 0.5360.6941.2150.4180.3410.2870.2080.2260.2640.2440.2050.3580.5360.1990.2960.1670.1380.1220.170.0910.1054.3085.9067.6935.6194.54.27.33.30.60.3
Totaal vlottende activa 32.18228.82729.20223.95920.219.7419.04917.03715.3413.55913.28716.57818.05614.42923.46113.64223.43124.67321.83110.64512.79811.49313.40515.50117.27912.71413.811.86.85.5
Niet-vlottende activa:
Materiële vaste activa, netto 7.82410.95311.63311.40711.25412.15911.93511.29111.28312.52213.54112.85113.19314.95112.6956.6078.1367.4587.0737.1765.2025.215.5937.5344.4975.54.74.45.35.35.2
Goodwill 0000000000000000000000000000000
Immateriële activa 00000000000000000.1120.2120.3110.38600000000000
Goodwill en immateriële activa -2.178-2.19-2.28-2.461-3.995-4.133-4.486-4.657-3.40700000000.1120.2120.3110.38600000000000
Langetermijnbeleggingen 2.1782.192.282.4613.9954.1334.4864.6573.407000.7910.7650.7642.1416.372000000000000000
Belastingvorderingen 0.1240.10.1690.2170.2470.390.40.3750.4010.4530.3880000000000.6440.7110.6690.64900.580.580.780.7700
Overige niet-vlottende activa 2.412.3062.4172.7233.9594.2385.094.7955.1955.5037.3745.8246.0366.2123.4271.3263.080.4450.1690.138-0.644-0.703-0.5920.4660.9360.120.02-0.48-0.470.50.6
Totaal niet-vlottende activa 10.35813.35914.21914.34715.4616.78717.42516.46116.87918.47821.30319.46619.99421.92718.26314.30511.3288.1157.5537.75.2025.2185.678.6495.4336.25.34.75.65.85.8
Totaal activa 42.5442.18643.42138.30635.6636.52736.47433.49832.21932.03734.5936.04438.0536.35641.72427.94734.75932.78829.38418.3451816.71119.07524.1522.71218.919.318.517.412.611.3
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3.1751.662.4013.7022.593.2723.7043.2292.9212.773.1624.1364.8341.8747.9681.0252.5862.2653.8091.6812.3161.081.7172.6464.12822.11.11.81.61.6
Kortlopende schulden 1.481.682.7371.381.3040.9582.663.0443.0682.1214.2964.7394.5461.6283.0671.3441.5090.6611.0791.1140.8981.2342.3481.0960.6760.50.80.30.70.70.9
Belastingschulden 0.4130.5580.7870.3140.3440.4170.2850.2330.230.2960.2140.5350.4880.4920.3420.2020.3970.9480.3110.1680.0490.0560.1060.1680000000
Uitgestelde opbrengsten 0.7541.2750.9980.740.5940.6080.0170.2180.0910.0410.0790.0890.2280.4920.3420.2023.0364.3543.3372.8732.1662.0962.3153.6890000000
Overige kortlopende verplichtingen 4.0134.7115.7932.9372.7553.2953.443.0582.7813.3393.1813.433.2523.1793.4191.7690.3970.9480.3110.1680.0490.0560.1060.1683.5453.44.55.65.72.92.5
Totaal kortlopende verplichtingen 9.4229.32611.9298.7597.2438.1339.8219.5498.8618.27110.71812.39412.867.17314.7964.347.5288.2288.5365.8365.4294.4666.4867.5998.3495.97.478.25.25
Langlopende verplichtingen:
Langetermijnschulden 1.3722.433.3253.0782.8052.7341.9612.0832.2282.6732.7982.8413.5943.0392.5660.2891.7630.2940.8740.7440.7930.8360.9861.7450.58610.40.70.70.60.9
Uitgestelde opbrengsten niet-vlottend 00.2550000.4390.8280000000000-0.155-0.324-0.242-0.854-1.055-0.345-3.19700-2.7-4.31000
Uitgestelde belastingverplichtingen niet-vlottend 00.010000.3270.3270.2950.2160.3330.2020.1910.4970.6770.7180.5260.510.3730.3860.4070.6440.7110.6690.6490.720.60.60.80.80.90.9
Overige niet-vlottende verplichtingen 0.1680.5940.1650.4160.4660.0330.0360.0440.0430.0380.0390.0120.5430.490.5690.010.0090.1550.3240.2420.8541.0550.3453.1970-0.12.74.31-0.1-0.10
Totaal niet-vlottende verplichtingen 1.543.2893.493.4943.2713.5333.1522.4222.4873.0443.0393.0444.6344.2063.8530.8252.2820.6671.261.1511.4371.5471.6552.3941.3061.511.51.41.41.8
Totaal passiva 10.96212.61515.41912.25310.51411.66612.97311.97111.34811.31513.75715.43817.49411.37918.6495.1659.818.8959.7966.9876.8666.0138.1419.9939.6557.48.48.59.66.66.8
Eigen vermogen:
Preferente aandelen 000000000000000000000000000.040.01000
Gewone aandelen 13.32512.81912.7512.17811.42411.42411.02310.92110.88210.88210.88210.53110.53110.53110.36510.365010.36110.3389.5549.5279.4239.4239.4239.0678.78.715.084.8800
Ingehouden winsten 11.81310.7639.2196.8248.0367.075.5254.3413.0252.2461.7251.6682.6875.7916.4866.8598.82510.1357.15-0.298-0.519-0.739-0.6582.8891.7260.70.5-0.3-1.3-2.1-2.7
Overige gereserveerde algehele resultaten 0.660.7581.1972.3991.1431.8672.1821.6332.1622.7713.5223.683.1873.4591.8181.1942.0260.478-0.433-0.243-0.268-0.378-0.417-0.703-0.345-0.3-0.883.443.34-110
Overige totale aandeelhoudersvermogen 5.5315.0664.7084.2333.3633.3053.2493.2063.1883.0872.9722.7562.4312.2271.5971.44611.290.460.3370.2840.2840.2840.270000.43-1.73-1.7217.56.3
Totaal eigen vermogen van aandeelhouders 31.32929.40627.87425.63423.96623.66621.97920.10119.25718.98619.10118.63518.83622.00820.26619.86422.14121.43417.3929.2979.0248.598.61811.60910.4489.18.86.55.24.43.6
Totaal eigen vermogen 31.57829.57128.00226.05325.14624.86123.50121.52720.87120.72220.83320.60620.55624.97723.07522.78224.94923.89319.58811.35811.13410.69810.93414.15713.05711.510.9107.864.5
Totaal passiva en aandeelhoudersvermogen 42.5442.18643.42138.30635.6636.52736.47433.49832.21932.03734.5936.04438.0536.35641.72427.94734.75932.78829.38418.3451816.71119.07524.1522.71218.919.318.517.412.611.3