NT$581.91B
Ingresos
NT$7.18
Ganancias por acción
15.77%
Margen bruto %
NT$58.16B
Flujo de caja disponible
Ingresos
581,914.00
Ganancias por acción
7.18
Margen bruto %
15.77
Flujo de caja disponible
58,161.00
Finanzas
Año | Año | TTM | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 |
---|---|---|---|---|---|---|---|---|
Ing. | Ingresos | N/A | NT$581.91B | NT$670.95B | NT$570.00B | NT$476.98B | NT$413.18B | NT$371.09B |
MB % | Margen bruto % | 16.72% | 15.77% | 20.11% | 19.36% | 16.35% | 15.56% | 16.48% |
MO | Margen operativo | 8.27% | 6.93% | 12.13% | 11.12% | 7.31% | 5.69% | 7.18% |
GpA | Ganancias por acción | NT$8.47 | NT$7.18 | NT$13.94 | NT$14.40 | NT$6.31 | NT$3.86 | NT$5.84 |
Div. | Dividendos | N/A | NT$6.05 | NT$8.79 | NT$7.00 | NT$4.20 | NT$2.50 | NT$2.50 |
IR % | Índice de reparto % | 0 | 84.26% | 63.06% | 48.61% | 66.56% | 64.77% | 42.81% |
Acc. | Acciones | N/AM | 4,312.52M | 4,295.04M | 4,282.64M | 4,278.65M | 4,257.59M | 4,248.77M |
FCO | Flujo de caja operativo | N/A | NT$114.43B | NT$111.00B | NT$81.69B | NT$75.07B | NT$72.30B | NT$50.76B |
FCD | Flujo de caja disponible | N/A | NT$58.16B | NT$38.36B | NT$12.39B | NT$17.45B | NT$15.94B | NT$10.50B |
FCDA | Flujo de caja disponible por acción | NT$12.90 | NT$13.94 | NT$8.89 | NT$2.27 | NT$2.82 | NT$3.31 | NT$2.15 |