Good Will Instrument Co., Ltd.

TWSE:2423.TW

39.15 (TWD) • At close September 19, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) TWD.

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Assets:
Current Assets:
Cash & Cash Equivalents 589.877455.604518.259403.022427.415428.432586.528371.407452.84462.623441.931441.7682.228615.28647.846455.625433.764368.212369.998325.474515.531486.043438.363269.572461.905365.605591.676360.943547.611340.377347.121207.812231.824213.428180.426206.912193.866280.618249.704224.974246.033287.162285.881301.591388.534266.234290.181196.726253.127271.995298.707186.88246.14272.98289.554
Short Term Investments 158.316145.882150.367124.65589.8635.5352.943124.86861.32584.14383.125100.711113.98150.993168.033128.682123.08983.872203.023151.832128.902123.561133.993114.861104.093129.57335.252106.12476.68961.15314.738.09661.74942.13352.9553.70556.09534.06633.59833.14228.71634.125130.207129.57141.01629.884-63.326-63.814-62.729-64.153-65.436-63.72780-64.796-62.957
Cash and Short Term Investments 748.193601.486668.626527.677517.275463.962639.471496.275514.165546.766525.056542.411796.208766.273815.879584.307556.853452.084573.021477.306644.433609.604572.356384.433565.998495.178626.928467.067624.3401.53361.821245.908293.573255.561233.376260.617249.961314.684283.302258.116274.749321.287416.088431.162429.55296.118290.181196.726253.127271.995298.707186.88326.14272.98289.554
Net Receivables 743.195845.57818.598806.773751.863757.499843.167833.412742.775746.569746.115759.653725.751756.019809.011684.841691.778787.187809.074747.061773.315770.566823.966815.858831.034709.979688.43752.262768.632744.621764.453651.452633.903665.583706.265638.145618.289600.859694.533629.496577.885521.008523.33492.588513.906560.377447.796446.287425.238367.896392.108448.954342.892375.027337.438
Inventory 905.972959.671984.9521,092.6691,120.9471,187.1451,162.3191,147.9081,113.149961.233825.563785.649715.426657.389627.99616.787687.159713.839699.603751.57822.947817.071776.081843.027765.678716.468673.287667.525633.29628.523677.526785.982845.238791.918731.701762.11725.459734.165676.156694.522671.102665.898616.508659.118690.236721.156688.53603.523573.009585.966559.723616.306543.117484.293447.604
Other Current Assets 16.9074.1872.2024.3796.0644.5824.6717.5094.9134.4822.9272.9023.2175.7572.0896.4213.1222.9891.992.182.5113.6043.4015.9453.1034.2825.892.9861.961.3833.2194.6373.5473.8942.3945.8384.653.917.7657.6364.4634.1352.42511.8039.58310.18831.56331.50723.52428.91620.02746.10443.43748.19339.711
Total Current Assets 2,414.2672,410.9142,474.3782,431.4982,396.1492,413.1882,649.6282,485.1042,375.0022,259.052,099.6612,090.6152,240.6022,185.4382,254.9691,892.3561,938.9121,956.0992,083.6881,978.1172,243.2062,200.8452,175.8042,049.2632,165.8131,925.9071,994.5351,889.842,028.1821,776.0571,807.0191,687.9791,776.2611,716.9561,673.7361,666.711,598.3591,653.6181,661.7561,589.771,528.1991,512.3281,558.3511,594.6711,643.2751,587.8391,458.071,278.0431,274.8981,254.7731,270.5651,298.2441,255.5861,180.4931,114.307
Non-Current Assets:
Property, Plant & Equipment, Net 956.012939.78945.653948.331937.424931.112933.148929.828923.276932.244935.103943.205976.084986.597991.2803.787813.23825.565839.833854.16859.564863.897839.214810.98822.108806.167799.218800.394808.392814.766834.676847.161864.346878.264892.265880.848875.433882.424893.63886.372874.574842.103844.058842.863823.899812.572957.572926.342925.395890.518884.328883.623859.8831,019.8871,026.582
Goodwill 115.879115.879115.879135.318135.318135.318135.318135.318135.318135.318135.318135.318135.318135.318135.3180000000-23.292-23.606-24.6090-24.772-24.8810-24.3450-26.294-27.263-28.0820-29.338-28.3730-29.4040000000000000000
Intangible Assets 11.0269.6810.64410.54210.42510.50811.2419.1549.0885.6074.6935.1755.6286.3866.2834.9484.7495.4394.6695.456.3176.31929.89728.95431.4297.60533.33634.76211.03636.8913.31640.01941.60143.75416.1943.92443.34115.41245.58814.8194.6781.2340.9431.0581.1171.22436.92937.40638.26438.10338.95640.19738.05438.39838.035
Goodwill and Intangible Assets 126.905125.559126.523145.86145.743145.826146.559144.472144.406140.925140.011140.493140.946141.704141.6014.9484.7495.4394.6695.456.3176.3196.6055.3486.827.6058.5649.88111.03612.54513.31613.72514.33815.67216.1914.58614.96815.41216.18414.8194.6781.2340.9431.0581.1171.22436.92937.40638.26438.10338.95640.19738.05438.39838.035
Long Term Investments 143.903-81.467-86.462-39.546-6.61250.47332.809-30.37740.85522.25736.604-9.583-5.483-41.624-57.85-20.664-12.582-78.683-197.834-146.643-123.713-118.372-128.804-107.672-96.904-122.384-28.063-98.935-69.578.433121.32484.53764.37395.52684.70937.35496.964118.993119.594140.051164.477175.65879.57644.72864.79771.09148.166180.858145.565155.265157.132160.34724.867165.408157.892
Tax Assets 89.44987.99689.48269.18976.23570.54472.66580.57481.99876.64876.94480.80780.94482.40980.94776.54778.93274.86275.380.06570.78569.18175.22665.71266.25465.62361.0160.33365.1473.55477.49586.7789.75390.13189.01880.68581.08480.66179.53371.6170.82670.2470.50265.0164.92465.42615.88613.39913.86819.81922.53210.48410.0919.4559.28
Other Non-Current Assets 15.174250.197246.195227.989193.281139.536155.654232.14179.901207.597205.249225.631217.31259.752277.509237.813231.864304.964322.977274.609258.272258.431278.834271.718261.998290.735196.831268.06243.395220.705183.014212.269237.566225.971237.984245.917246.023227.755231.141227.474219.978237.941336.412341.169256.794233.72221.8317.64312.77810.89212.3213.338155.18613.8449.835
Total Non-Current Assets 1,331.4431,322.0651,321.3911,351.8231,346.0711,337.4911,340.8351,356.6371,370.4361,379.6711,393.9111,380.5531,409.8011,428.8381,433.4071,102.4311,116.1931,132.1471,044.9451,067.6411,071.2251,079.4561,071.0751,046.0861,060.2761,047.7461,037.561,039.7331,058.4631,200.0031,229.8251,244.4621,270.3761,305.5641,320.1661,259.391,314.4721,325.2451,340.0821,340.3261,334.5331,327.1761,331.4911,294.8281,211.5311,184.0341,180.3831,175.6481,135.871,114.5971,115.2681,107.9891,088.0811,246.9921,241.624
Total Assets 3,745.713,732.9793,795.7693,783.3213,742.223,750.6793,990.4633,841.7413,745.4383,638.7213,493.5723,471.1683,650.4033,614.2763,688.3762,994.7873,055.1053,088.2463,128.6333,045.7583,314.4313,280.3013,246.8793,095.3493,226.0892,973.6533,032.0952,929.5733,086.6452,976.063,036.8442,932.4413,046.6373,022.522,993.9022,926.12,912.8312,978.8633,001.8382,930.0962,862.7322,839.5042,889.8422,889.4992,854.8062,771.8732,638.4532,453.6912,410.7682,369.372,385.8332,406.2332,343.6672,427.4852,355.931
Liabilities & Equity:
Current Liabilities:
Account Payables 166.634178.407204.723198.801165.953254.216282.354261.884299.872296.89269.285266.303235.041230.901214.34123.327123.957166.525179.976182.832204.675261.058281.549291.859294.06190.575241.764223.698250.655169.992184.985136.228194.519210.67188.777187.341145.119191.484202.296148.729113.783126.774135.838124.509135.443146.36105.251109.362102.595123.0195.215129.843122.066153.753123.24
Short Term Debt 120.854131.639205.645325.52221.133259.267419.489423.531271.2246.618190.739309.09323.453338.344378.628177.694116.062117.586134.131115.068171.108132.09983.45982.04983.60689.804135.059123.534132.057162.602138.676152.059123.573140.095115.328213.024192.874233.814221.07276.338307.169313.142372.09448.26430.077429.466385.776247.898129.336154.827149.391188.533158.287160.272139.969
Tax Payables 49.336101.14886.00166.27548.33288.74176.65881.17452.85976.49157.70357.48836.3957.11450.4242.24124.07629.92320.00110.78232.47274.53366.6963.02645.99329.06919.4879.13810.97111.99514.05211.62818.19120.02319.0552.66510.58547.86543.43831.40129.71728.09115.51323.24814.9727.44727.24516.17713.264.8531.8930.81211.32526.0629.051
Deferred Revenue 28.711697.728451.313430.811670.17936.53662.37440.04236.7853.921416.001343.786501.798482.032364.381286.092489.246485.876317.851270.343551.849314.535396.981334.351509.874225.323260.936211.894367.843168.547241.425211.356298.833186.005264.749173.257267.343216.493259.739228.574235.01176.801197.139195.197238.142171.899200.607160.96265.324118.26174.949135.933227.309132.945193.814
Other Current Liabilities 663.999.43712.18110.66613.273602.391434.718386.989554.245538.73810.399.99813.7915.80612.6714.4938.9539.2397.70750.78212.0528.3839.38210.13911.06210.38818.40525.74533.11119.1226.65719.56718.49118.7113.59714.32519.32314.81434.60629.76518.18524.56318.13417.93914.32610.75730.19716.4416.57544.18134.86722.06824.09343.63540.814
Total Current Liabilities 980.1891,017.211873.862965.7981,070.5381,152.411,198.9351,112.4461,162.0971,136.167886.415929.1771,074.0821,067.083970.019601.606738.218779.226639.665619.025939.684716.075771.371718.398898.602516.09656.164584.871783.666520.261591.743519.21635.416555.48582.451587.947624.659656.605717.711683.406674.147641.28723.201785.905817.988758.482721.831534.66513.83440.278454.422476.377531.755490.605497.837
Non-Current Liabilities:
Long Term Debt 16.21715.70816.86122.46717.87511.5388.4910.2194.4855.384.89466.467175.558186.051241.7797.829.3465.8876.3593.6945.5897.342000000.1820.71210.0551.7952.3792.9543.5654.1044.7855.1475.7196.2696.5436.8247.47.8630000000000158.742163.527
Deferred Revenue Non-Current -051.7254.04956.41258.87200000108.21110.919112.855114.799116.885105.387106.556107.69118.607123.547124.711125.86700000160.927190.397218.855247.309275.721295.417295.141294.889296.54296.498295.727-6.269-6.543-6.824-7.4280.881000000000000
Deferred Tax Liabilities Non-Current 96.539103.62496.31890.53484.06981.44673.10389.50573.02460.07449.4742.26231.5325.71719.94613.3468.4326.1886.1556.5916.3173.3840.9820.321.82814.90613.0730.3570.540.5950.6341.1653.9392.8222.0253.8010.4240.2310.9151.381.4261.73311.3611.06618.59612.791000000000
Other Non-Current Liabilities 62.61613.31113.0213.19412.89774.48376.124114.939116.747119.38912.77912.82412.66312.68513.07912.98912.8113.30413.22813.64214.15413.502148.106147.389149.39148.728149.20811.81411.30215.27515.8316.6216.99815.71614.93614.79113.228.372309.383298.445298.342297.8658.442272.226271.007272.346177.734187.208182.854179.896177.4169.654166.209163.504158.455
Total Non-Current Liabilities 175.372184.363180.248182.607173.713167.467157.717214.663194.256184.843175.353232.472332.606339.252391.689139.542137.144133.069144.349147.474150.771150.095149.088147.709151.218163.634162.281173.28202.951244.78265.568295.885319.308317.244315.954319.917315.289310.049310.298299.825299.768299.598308.546283.292289.603285.137177.734187.208182.854179.896177.4169.654166.209322.246321.982
Total Liabilities 1,155.5611,201.5741,054.111,148.4051,244.2511,319.8771,356.6521,327.1091,356.3531,321.011,061.7681,161.6491,406.6881,406.3351,361.708741.148875.362912.295784.014766.4991,090.455866.17920.459866.1071,049.82679.724818.445758.151986.617765.041857.311815.095954.724872.724898.405907.864939.948966.6541,028.009983.231973.915940.8781,031.7471,069.1971,107.5911,043.619899.565721.868696.684620.174631.822646.031697.964812.851819.819
Equity:
Preferred Stock 0000000000000093.211114.559125.503114.018100.97888.4556.50948.72965.69472.6643.07739.54152.51856.60270.02126.4230000000000000000000000000
Common Stock 1,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,450.4721,381.4021,381.4021,381.4021,381.4021,315.6211,315.6211,315.6211,315.6211,225.1841,225.1841,225.1841,225.1831,166.9061,166.9061,166.9061,166.9061,111.4031,111.4031,111.4031,111.4031,058.4791,058.479
Retained Earnings 635.728649.677881.725735.914623.729592.608801.036666.329546.701500.76625.023533.396442.474412.986500.44448.759385.807432.512535.546457.228370.202599.915529.048438.521355.997550.794483.428445.217387.329480.328406.434337.431278.94398.262340.26281.405212.741321.555530.209507.378447.964525.44205.746217.189194.626275.737322.03334.139300.509374.473361.213365.762304.631389.567323.098
Accumulated Other Comprehensive Income/Loss 499.902427.209405.415444.483419.721383.675378.256393.784387.865362.432352.262321.604346.722340.436-93.211-114.559-125.503-114.018-100.978-88.45-56.509-48.729-65.694-72.66-43.077-39.541-52.518-56.602-70.021-26.42315.36821.916124.08285.41888.62169.594159.03106.787114.624109.875203.222141.686139.888.88388.45817.881000000000
Other Total Stockholders Equity 4.0474.0474.0474.0474.0474.0474.0474.0474.0474.0474.0474.0474.0474.047375.756354.408343.464288.154353.411365.939397.88358.131341.166334.2363.783286.395273.418269.334255.915274.014300.437300.438231.368277.203277.203277.203211.422259.4864.0474.047-87.740.503281.046281.046222.769257.882239.596222.05237.51252.238269.787270.79228.657162.846150.38
Total Shareholders Equity 2,590.1492,531.4052,741.6592,634.9162,497.9692,430.8022,633.8112,514.6322,389.0852,317.7112,431.8042,309.5192,243.7152,207.9412,326.6682,253.6392,179.7432,171.1382,339.4292,273.6392,218.5542,408.5182,320.6862,223.1932,170.2522,287.6612,207.3182,165.0232,093.7162,204.8142,172.7112,110.2572,084.8622,142.2852,087.4862,009.6041,964.5952,003.4491,964.5011,936.9211,879.0671,892.8131,851.7761,812.3021,731.0361,718.4061,728.5321,723.0951,704.9251,738.1141,742.4031,747.9551,644.6911,610.8921,531.957
Total Equity 2,590.1492,531.4052,741.6592,634.9162,497.9692,430.8022,633.8112,514.6322,389.0852,317.7112,431.8042,309.5192,243.7152,207.9412,326.6682,253.6392,179.7432,175.9512,344.6192,279.2592,223.9762,414.1312,326.422,229.2422,176.2692,293.9292,213.652,171.4222,100.0282,211.0192,179.5332,117.3462,091.9132,149.7962,095.4972,018.2361,972.8832,012.2091,973.8291,946.8651,888.8171,898.6261,858.0951,820.3021,747.2151,728.2541,738.8881,731.8231,714.0841,749.1961,754.0111,760.2021,645.7031,614.6341,536.112
Total Liabilities & Shareholders Equity 3,745.713,732.9793,795.7693,783.3213,742.223,750.6793,990.4633,841.7413,745.4383,638.7213,493.5723,471.1683,650.4033,614.2763,688.3762,994.7873,055.1053,088.2463,128.6333,045.7583,314.4313,280.3013,246.8793,095.3493,226.0892,973.6533,032.0952,929.5733,086.6452,976.063,036.8442,932.4413,046.6373,022.522,993.9022,926.12,912.8312,978.8633,001.8382,930.0962,862.7322,839.5042,889.8422,889.4992,854.8062,771.8732,638.4532,453.6912,410.7682,369.372,385.8332,406.2332,343.6672,427.4852,355.931