Creative Sensor Inc.
8249.TW
TAI
50.9
TWD-2.60(-4.86%)
As of today
Creative Sensor Inc. fundamentals
Key ratios
Statements Highlights
Period Ending | Dec 31, 2020 | Dec 31, 2021 | Dec 31, 2022 | Dec 31, 2023 | Dec 31, 2024 | |
---|---|---|---|---|---|---|
Total Revenue | 3,399,884,000 | 3,951,319,000 | 4,256,952,000 | 3,056,224,000 | 4,200,192,000 | |
Gross Profit | 463,509,000 | 523,269,000 | 758,787,000 | 573,831,000 | 858,386,000 | |
Operating Income | 267,555,000 | 236,993,000 | 537,150,000 | 237,191,000 | 482,045,000 | |
Net Income | 190,268,000 | 176,681,000 | 359,682,000 | 246,790,000 | 361,271,000 | |
Total Assets | 5,244,735,000 | 6,732,521,000 | 6,414,246,000 | 7,221,712,000 | 9,067,910,000 | |
Total Current Liabilities | 1,865,805,000 | 2,725,410,000 | 2,471,247,000 | 1,993,466,000 | 2,684,513,000 | |
Total Equity | 3,344,452,000 | 3,970,769,000 | 3,877,764,000 | 5,163,240,000 | 6,238,062,000 | |
Free Cash Flow | 329,549,000 | 266,442,000 | 667,160,000 | 168,702,000 | 721,867,000 | |
Cash from Operations | 341,119,000 | 283,094,000 | 697,342,000 | 181,770,000 | 755,161,000 | |
Cash from Investing | -256,374,000 | -1,771,481,000 | 79,945,000 | 906,416,000 | 103,755,000 | |
Cash from Financing | 582,893,000 | 1,064,759,000 | -542,801,000 | -286,763,000 | -282,693,000 | |
Net Change in Cash | 667,731,000 | -443,054,000 | 251,026,000 | 779,741,000 | 631,903,000 |