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COM:ASEGLOBAL

ASE Technology Holding Co., Ltd.

  • Stock

TWD

Last Close

156.50

25/11 05:30

Market Cap

835.84B

Beta: -

Volume Today

11.47M

Avg: -

Preview

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Mar '14
Mar '15
Dec '15
Dec '16
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
4.28B
-
5.51B
28.56%
6.58B
19.43%
9.65B
46.78%
11.39B
17.99%
7.81B
31.40%
7.83B
0.24%
3.78B
51.79%
12.92B
242.16%
8.12B
37.17%
7.24B
10.87%
2.63B
63.58%
4.42B
67.89%
7.72B
74.53%
8.58B
11.15%
5.24B
38.98%
8.88B
69.54%
9.01B
1.52%
12.60B
39.83%
11.34B
10.04%
13.34B
17.69%
18.47B
38.44%
37.34B
102.10%
16.66B
55.37%
21.14B
26.84%
23.61B
11.73%
20.21B
14.41%
7.87B
61.06%
10.11B
28.48%
12.25B
21.17%
9.39B
23.34%
5.68B
39.50%
7.78B
36.98%
9.67B
24.19%
depreciation and amortization
6.41B
-
7.39B
15.42%
7.35B
0.63%
7.38B
0.51%
7.18B
2.70%
7.34B
2.14%
7.42B
1.13%
7.23B
2.54%
10.77B
48.89%
12.47B
15.80%
12.22B
2.00%
12.57B
2.91%
12.64B
0.49%
12.61B
0.21%
12.64B
0.28%
12.69B
0.33%
12.79B
0.77%
13.02B
1.85%
12.76B
1.98%
13.05B
2.21%
13.46B
3.17%
13.86B
3.00%
14.07B
1.49%
13.50B
4.03%
13.75B
1.82%
13.95B
1.44%
14.25B
2.19%
14.44B
1.31%
14.49B
0.33%
14.57B
0.55%
14.33B
1.62%
15.04B
-
deferred income tax
-332.42M
-
-719.02M
116.30%
80.95M
111.26%
-1.91B
2,453.75%
-423.85M
-
17.22B
-
-11.69B
167.87%
-6.75B
42.27%
1.83B
127.18%
stock based compensation
33.49M
-
12.88M
61.55%
97.58M
657.88%
117.11M
20.02%
41.11M
-
269.55M
-
148.40M
44.95%
150.15M
1.18%
-29.41M
119.59%
change in working capital
2.14B
-
2.98B
39.32%
8.12B
172.12%
-846.72M
110.43%
-10.90B
1,187.91%
-5.64B
48.27%
-1.56B
72.38%
-2.28B
46.08%
-17.47B
667.53%
-3.31B
81.04%
-920M
72.22%
813M
188.37%
-17.49B
-
11.54B
165.98%
6.60B
42.83%
-1.80B
127.36%
-6.53B
261.84%
21.07B
422.64%
-5.75B
127.30%
-9.21B
60.03%
-10.32B
12.10%
accounts receivables
5.39B
-
9.90B
83.56%
8.24B
16.76%
864.57M
89.51%
-3.35B
-
-24.73B
-
27.52B
211.29%
24.48B
11.06%
-7.72B
131.53%
-16.63B
115.55%
16.72B
200.53%
inventory
144.37M
-
-3.18B
2,304.87%
3.44B
208.12%
2.08B
39.58%
3.07B
-
-7.18B
-
7.79B
208.49%
6.12B
21.47%
5.67B
7.33%
-561.92M
109.91%
14.18B
2,623.00%
accounts payables
-3.52B
-
-3.71B
5.34%
-5.56B
50.08%
-2.05B
63.10%
-519.82M
-
17.75B
-
-25.29B
242.46%
-15.45B
38.93%
3.67B
123.78%
11.83B
222.04%
-9.09B
176.88%
other working capital
120.68M
-
-28.55M
123.66%
1.99B
7,086.41%
-1.74B
187.14%
-10.90B
527.26%
-5.64B
48.27%
-755.29M
86.61%
-2.28B
201.34%
-17.47B
667.53%
-3.31B
81.04%
-920M
72.22%
813M
188.37%
-3.33B
-
1.52B
145.55%
-8.55B
663.13%
-3.43B
59.89%
-1.16B
66.09%
-735.94M
36.73%
-5.75B
681.59%
-11.05B
92.14%
-10.32B
6.64%
other non cash items
304.73M
-
131.05M
56.99%
1.11B
745.27%
-911.46M
182.28%
424.83M
-
-5.44B
-
-7.25B
33.32%
10.36B
242.84%
-4.48B
143.22%
-1.66B
62.94%
-8.55B
415.37%
2.77B
132.36%
-8.63B
412.00%
-8.57B
0.70%
-17.30B
101.77%
-18.54B
7.16%
-2.99B
83.89%
-19.86B
565.04%
-18.94B
4.60%
15.69B
182.84%
8.45B
46.17%
-8.64B
202.31%
590.46M
106.83%
-541.95M
191.78%
16.76B
3,193.27%
19.70B
17.52%
11.25B
42.92%
net cash provided by operating activities
13.17B
-
16.03B
21.71%
23.24B
45.04%
15.40B
33.77%
7.67B
50.19%
9.51B
24.02%
14.16B
48.90%
8.73B
38.34%
6.22B
28.78%
17.27B
177.76%
18.54B
7.30%
16.02B
13.55%
11.62B
27.46%
13.08B
12.54%
31.58B
141.44%
13.45B
57.42%
20.00B
48.76%
13.49B
32.59%
28.14B
108.62%
15.75B
44.02%
18.23B
15.75%
15.04B
17.50%
32.87B
118.54%
27.18B
17.31%
15.03B
44.71%
18.62B
23.90%
50.16B
169.41%
30.76B
38.68%
15.96B
48.12%
20.88B
30.86%
44.25B
111.94%
16.69B
62.28%
18.28B
9.50%
25.63B
40.21%
investments in property plant and equipment
-4.06B
-
-7.93B
95.05%
-5.68B
28.30%
-6.46B
13.74%
-6.84B
5.88%
-4.70B
31.29%
-4.90B
4.29%
-5.55B
13.12%
-11.64B
109.86%
-13.08B
12.34%
-9.99B
23.59%
-8.88B
11.16%
-11.45B
28.98%
-18.77B
63.92%
-17.26B
8.04%
-13.61B
21.18%
-16.59B
21.92%
-12.30B
25.86%
-15.14B
23.11%
-14.05B
7.17%
-18.44B
31.22%
-20.29B
10.05%
-16.51B
18.63%
-17.18B
4.05%
-17.29B
0.64%
-17.22B
0.42%
-20.20B
17.29%
-15.21B
24.71%
-12.15B
20.12%
-14.47B
19.13%
-12.12B
16.27%
-12.51B
3.27%
-14.65B
17.07%
-19.50B
33.13%
acquisitions net
-100M
-
-131.72M
31.72%
-67.88M
48.47%
-225M
231.46%
3.49B
-
350.08M
-
61.29M
82.49%
151.03M
146.44%
-774.97M
613.11%
77.31M
109.98%
1.41B
1,720.23%
purchases of investments
-25.83B
-
-31.76B
22.95%
-19.86B
37.47%
-12.27B
38.21%
-15.61B
-
-30.06M
-
-409.00M
1,260.80%
-75.13M
81.63%
-2.27B
2,924.47%
-76.16M
96.65%
-55.97M
26.50%
sales maturities of investments
26.44B
-
32.30B
22.14%
19.89B
38.40%
12.40B
37.65%
15.77B
-
-320.02M
-
315.90M
198.71%
511.70M
61.98%
28.76M
94.38%
-1.15M
104.00%
137.22M
12,042.38%
other investing activites
-66.67M
-
-164.66M
146.98%
-110.56M
32.86%
392.35M
454.88%
3.55B
805.82%
778M
78.11%
-455.66M
158.57%
-3.99B
776.32%
-86.68B
2,070.85%
7.62B
108.79%
-6.23B
181.74%
2.75B
144.14%
-772M
128.07%
488M
163.21%
-677M
238.73%
-205M
69.72%
1.90B
1,027.80%
-156M
108.20%
-4.86B
3,014.74%
-205M
95.78%
-1.26B
514.15%
-348M
72.36%
21.81B
6,367.82%
-753M
103.45%
-245M
67.46%
288M
217.55%
-1.32B
558.40%
-172.61M
86.93%
733.37M
524.88%
-152M
120.73%
-221.02M
45.41%
-3.00B
1,255.07%
-1.19B
60.23%
-2.00B
67.54%
net cash used for investing activites
-3.53B
-
-7.39B
109.32%
-5.66B
23.43%
-6.02B
6.41%
-3.29B
45.39%
-3.92B
19.31%
-1.61B
59.07%
-9.54B
494.02%
-98.32B
930.64%
-5.46B
94.45%
-16.22B
197.34%
-6.13B
62.23%
-12.22B
99.46%
-18.28B
49.58%
-17.94B
1.89%
-13.81B
23.01%
-14.69B
6.34%
-12.45B
15.20%
-20.00B
60.59%
-14.26B
28.70%
-19.70B
38.16%
-20.64B
4.79%
5.30B
125.67%
-17.93B
438.46%
-17.54B
2.22%
-16.93B
3.46%
-21.55B
27.28%
-14.79B
31.36%
-14.43B
2.43%
-14.62B
1.32%
-10.85B
25.81%
-15.51B
42.94%
-14.46B
6.76%
-21.50B
48.67%
debt repayment
-17.52B
-
-9.84B
43.82%
-14.81B
50.43%
-22.98B
55.14%
-4.10B
82.16%
-395M
90.37%
-9.01B
2,182.17%
-504M
94.41%
-8.18B
-
-10.21B
24.84%
-3.17B
68.93%
-2.52B
20.52%
-1.11B
-
-18.01B
1,521.50%
-11.62B
35.48%
-3.40B
70.78%
-28.64B
743.55%
-24.44B
14.66%
-139M
99.43%
common stock issued
344.25M
-
375.11M
8.96%
417.18M
11.22%
146.05M
64.99%
226.17M
54.86%
385.86M
70.61%
common stock repurchased
-5.33B
-
-1.45B
-
17.64B
1,312.06%
-28.87B
-
-279.08M
99.03%
dividends paid
-11.21B
-
-10.61B
-
-10.62B
-
-8.52B
-
-18.08B
-
-29.99B
-
-158K
100.00%
-37.84B
-
-391K
100.00%
-22.46B
-
other financing activites
5.31B
-
5.56B
4.73%
11.26B
102.49%
13.73B
21.94%
-144M
101.05%
474M
429.17%
4.44B
836.56%
-1.58B
135.70%
115.37B
7,379.12%
-4.12B
103.57%
3.25B
179.10%
-157M
104.82%
-898M
471.97%
23.04B
2,666.15%
-12.37B
153.68%
14.08B
213.86%
-19.36B
237.44%
6.50B
133.55%
-14.70B
326.28%
21.21B
244.34%
-17.66B
183.26%
24.46B
238.52%
-15.75B
164.36%
-5.58B
64.57%
-9.87B
76.97%
3.10B
131.44%
-17.84B
674.55%
-301.18M
98.31%
-1.20B
298.74%
85.88B
7,251.14%
-260K
100.00%
-33M
12,592.31%
-1.13B
3,335.65%
29.99B
2,745.42%
net cash used provided by financing activities
-12.21B
-
-9.62B
21.26%
-3.55B
63.08%
-9.25B
160.41%
-4.24B
54.11%
-11.13B
162.37%
-4.58B
58.91%
-2.09B
54.34%
115.37B
5,622.93%
-22.91B
119.85%
-6.95B
69.65%
-3.33B
52.12%
-3.42B
2.70%
12.42B
463.29%
-12.37B
199.59%
14.08B
213.86%
-19.36B
237.44%
-2.03B
89.53%
-14.70B
625.42%
21.21B
244.34%
-17.66B
183.26%
6.38B
136.13%
-15.75B
346.73%
-5.58B
64.57%
-9.87B
76.97%
-29.11B
194.82%
-17.84B
38.72%
-11.51B
35.50%
-4.45B
61.32%
-9.24B
107.62%
-24.33B
163.39%
-172M
99.29%
-13.44B
7,712.19%
7.53B
156.06%
effect of forex changes on cash
1.13B
-
-1.30B
214.84%
-1.19B
8.03%
604.85M
150.72%
1.28B
111.79%
632M
50.66%
-877.53M
238.85%
-35M
96.01%
1.61B
4,705.71%
-1.60B
199.57%
824M
151.34%
1.23B
49.64%
-208M
116.87%
-1.09B
423.56%
-2.36B
117.08%
-24M
98.98%
-1.57B
6,437.50%
243M
115.49%
625M
157.20%
-461M
173.76%
-1.67B
261.39%
-348M
79.11%
232M
166.67%
4.69B
1,920.26%
803M
82.87%
6.93B
763.39%
-5.09B
173.43%
-446M
91.24%
481M
207.85%
6.44B
1,239.71%
-13.06B
302.65%
net change in cash
-1.45B
-
-2.28B
57.36%
12.84B
663.23%
731.10M
94.31%
1.42B
93.82%
-4.92B
446.93%
7.10B
244.49%
-2.93B
141.28%
24.88B
948.64%
-12.69B
151.01%
-3.82B
69.93%
7.80B
304.32%
-4.23B
154.20%
6.13B
245.02%
-1.09B
117.77%
13.70B
1,357.85%
-15.61B
213.93%
-750M
95.19%
-5.93B
691.33%
22.25B
474.81%
-20.80B
193.49%
432M
102.08%
22.65B
5,143.98%
8.35B
63.13%
-11.58B
238.63%
-20.49B
76.93%
5.68B
127.73%
4.02B
29.32%
-2.44B
160.88%
3.46B
241.60%
4.47B
29.19%
7.82B
74.85%
-8.93B
214.21%
5.54B
162.00%
cash at beginning of period
45.03B
-
51.69B
14.81%
42.41B
17.96%
37.66B
11.20%
42.47B
12.78%
43.89B
3.34%
38.98B
11.20%
46.08B
18.22%
43.15B
6.36%
68.03B
57.67%
55.34B
18.66%
51.52B
6.90%
59.32B
15.14%
55.09B
7.13%
61.22B
11.13%
60.13B
1.78%
73.83B
22.78%
58.22B
21.14%
55.81B
4.14%
51.54B
7.66%
73.78B
43.16%
52.99B
28.19%
53.42B
0.82%
76.07B
42.41%
84.43B
10.98%
72.85B
13.72%
52.36B
28.13%
58.04B
10.85%
62.06B
6.92%
59.35B
4.36%
62.81B
5.83%
67.28B
7.12%
75.11B
11.62%
66.17B
11.89%
cash at end of period
43.58B
-
49.41B
13.39%
55.25B
11.81%
38.39B
30.51%
43.89B
14.32%
38.98B
11.20%
46.08B
18.22%
43.15B
6.36%
68.03B
57.67%
55.34B
18.66%
51.52B
6.90%
59.32B
15.14%
55.09B
7.13%
61.22B
11.13%
60.13B
1.78%
73.83B
22.78%
58.22B
21.14%
57.47B
1.29%
49.88B
13.21%
73.78B
47.92%
52.99B
28.19%
53.42B
0.82%
76.07B
42.41%
84.43B
10.98%
72.85B
13.72%
52.36B
28.13%
58.04B
10.85%
62.06B
6.92%
59.61B
3.94%
62.81B
5.37%
67.28B
7.12%
75.11B
11.62%
66.17B
11.89%
71.71B
8.37%
operating cash flow
13.17B
-
16.03B
21.71%
23.24B
45.04%
15.40B
33.77%
7.67B
50.19%
9.51B
24.02%
14.16B
48.90%
8.73B
38.34%
6.22B
28.78%
17.27B
177.76%
18.54B
7.30%
16.02B
13.55%
11.62B
27.46%
13.08B
12.54%
31.58B
141.44%
13.45B
57.42%
20.00B
48.76%
13.49B
32.59%
28.14B
108.62%
15.75B
44.02%
18.23B
15.75%
15.04B
17.50%
32.87B
118.54%
27.18B
17.31%
15.03B
44.71%
18.62B
23.90%
50.16B
169.41%
30.76B
38.68%
15.96B
48.12%
20.88B
30.86%
44.25B
111.94%
16.69B
62.28%
18.28B
9.50%
25.63B
40.21%
capital expenditure
-4.06B
-
-7.93B
95.05%
-5.68B
28.30%
-6.46B
13.74%
-6.84B
5.88%
-4.70B
31.29%
-4.90B
4.29%
-5.55B
13.12%
-11.64B
109.86%
-13.08B
12.34%
-9.99B
23.59%
-8.88B
11.16%
-11.45B
28.98%
-18.77B
63.92%
-17.26B
8.04%
-13.61B
21.18%
-16.59B
21.92%
-12.30B
25.86%
-15.14B
23.11%
-14.05B
7.17%
-18.44B
31.22%
-20.29B
10.05%
-16.51B
18.63%
-17.18B
4.05%
-17.29B
0.64%
-17.22B
0.42%
-20.20B
17.29%
-15.21B
24.71%
-12.15B
20.12%
-14.47B
19.13%
-12.12B
16.27%
-12.51B
3.27%
-14.65B
17.07%
-19.50B
33.13%
free cash flow
9.10B
-
8.10B
11.02%
17.56B
116.80%
8.93B
49.14%
826M
90.75%
4.81B
482.20%
9.26B
92.52%
3.19B
65.60%
-5.42B
270.24%
4.20B
177.39%
8.54B
103.57%
7.14B
16.35%
172M
97.59%
-5.69B
3,408.14%
14.32B
351.70%
-157M
101.10%
3.42B
2,277.07%
1.19B
65.21%
13.00B
993.02%
1.70B
86.93%
-209M
112.31%
-5.25B
2,413.88%
16.36B
411.31%
10.00B
38.87%
-2.27B
122.65%
1.40B
161.77%
29.96B
2,041.67%
15.55B
48.09%
3.81B
75.51%
6.41B
68.26%
32.14B
401.42%
4.18B
86.99%
3.63B
13.16%
6.13B
68.78%

All numbers in TWD (except ratios and percentages)