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ASE Technology Holding Co., Ltd.

Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 648.92 607.72 574.18 679.14 564.46 455.06 408.57 378.03 288.06 275.62 293.77 260.08 216.51 191.47 189.59 175.07 83.33 94.43 100.20 100.77
Cost of revenue 534.10 514.23 488.46 546.58 459.57 384.90 348.96 318.78 237.95 224.62 244.24 207.91 176.37 157.35 155.91 139.12 66.90 71.89 72.70 73.07
Gross profit 114.82 93.49 85.73 132.56 104.89 70.16 59.61 59.25 50.11 51.00 49.53 52.17 40.14 34.13 33.68 35.95 16.43 22.55 27.50 27.70
Total operating expenses + 63.78 52.41 44.86 50.28 42.63 36.35 35.76 31.71 24.97 24.22 23.73 22.12 18.44 16.67 16.48 13.60 7.48 10.73 8.38 7.18
Operating income 51.03 41.08 40.87 82.28 62.26 33.81 23.85 27.55 25.13 26.78 25.80 30.05 21.71 17.46 17.21 22.35 8.95 11.82 19.11 20.52
Non-operating income (net) 0.55 1.47 1.17 0.35 17.29 0.28 -0.75 5.10 5.54 1.34 0.42 -1.11 -2.65 -1.09 0.18 -1.18 -0.80 -2.34 -1.93 1.81
Income before tax 51.58 42.55 42.03 82.63 79.55 34.09 23.10 32.65 30.68 28.12 26.22 28.94 19.06 16.37 17.39 21.17 8.15 9.48 17.19 22.33
Income tax expense 9.51 7.92 8.92 16.60 14.18 6.16 5.25 5.69 6.21 5.11 5.02 4.32 3.15 3.02 3.09 3.37 1.44 2.27 3.33 2.09
Net income 40.88 33.15 31.30 62.86 63.29 26.33 16.66 25.73 22.80 21.74 20.20 23.96 15.45 12.90 14.04 17.01 6.55 6.16 12.05 17.82
Show Quarterly Income Statement
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 175.46 179.60 168.57 142.51 149.48 164.49 156.40 140.90 135.23 160.58 156.53 137.87 131.09 170.73 196.61 161.69 147.43 171.87 150.39 126.63 121.00 146.87 121.34 105.88 97.46 116.30 116.83 90.29 88.91 113.52 107.13 86.61 64.54 84.14 74.02 66.39 64.88 78.52 71.96 62.60 62.37 75.55 72.87 70.22 64.66 76.64 66.63 58.62 54.70 64.16 37.81 50.76 48.19 56.01 48.99 32.49 43.10 46.39 46.70 32.26 46.01 53.28 51.49 46.42 37.56 26.29 25.21 20.88 13.40 18.50 25.74 25.59 24.68 29.40 27.57 23.41 21.08 22.59 26.71 26.33 24.86
Cost of revenue 140.25 144.53 139.69 119.64 125.84 138.91 131.92 119.05 115.32 134.82 132.54 117.10 112.82 138.93 158.06 128.02 119.36 140.27 120.73 103.03 99.98 124.99 103.05 88.46 82.35 97.44 98.89 77.41 78.44 95.81 89.71 73.33 54.69 69.82 60.71 54.79 53.77 63.48 58.57 50.35 50.92 62.27 59.88 58.66 52.35 60.25 52.43 46.02 44.35 51.68 28.16 40.33 39.91 45.03 39.39 25.20 35.91 37.92 37.79 24.72 37.35 41.32 40.38 36.50 30.00 19.69 18.85 16.36 12.74 15.28 19.14 19.06 18.51 20.03 19.20 16.98 16.09 16.22 18.44 18.84 18.23
Gross profit 35.21 35.06 28.88 22.88 23.65 25.58 24.48 21.85 19.91 25.76 23.99 20.76 18.27 31.81 38.55 33.67 28.07 31.60 29.66 23.60 21.02 21.88 18.29 17.42 15.11 18.85 17.94 12.88 10.47 17.72 17.42 13.28 9.85 14.32 13.31 11.60 11.12 15.04 13.39 12.26 11.45 13.28 12.99 11.57 12.31 16.39 14.20 12.60 10.35 12.49 9.65 10.43 8.28 10.97 9.60 7.29 7.19 8.48 8.91 7.53 8.66 11.97 11.11 9.92 7.56 6.61 6.36 4.52 0.66 3.22 6.60 6.53 6.17 9.37 8.38 6.44 5.00 6.37 8.27 7.49 6.63
Total operating expenses + 17.50 17.21 15.68 12.99 13.89 13.95 13.01 12.52 12.30 13.95 12.13 10.97 10.28 12.51 13.58 12.63 11.34 11.86 11.05 10.32 9.82 10.65 9.15 8.98 8.90 9.99 9.47 8.61 8.02 9.08 8.99 7.66 5.37 6.51 6.20 6.35 6.02 6.76 6.04 6.32 6.24 6.44 6.61 6.16 5.98 6.58 6.11 6.00 5.24 5.61 4.26 5.16 4.68 5.03 4.81 3.59 4.34 4.97 4.60 3.20 4.27 4.58 4.44 4.15 3.28 2.64 2.39 2.03 2.07 2.27 2.70 2.91 2.86 2.75 2.31 2.50 2.22 2.18 2.15 2.08 1.95
Operating income 17.71 17.86 13.20 9.88 9.76 11.63 11.47 9.32 7.61 11.82 11.85 9.80 7.98 19.30 24.97 21.05 16.73 19.74 18.61 13.29 11.19 11.24 9.14 8.43 6.21 8.87 8.48 4.27 2.45 8.63 8.43 5.62 4.48 7.81 7.11 5.25 5.09 8.28 7.35 5.93 5.21 6.84 6.38 5.41 6.29 9.82 8.08 6.60 5.07 6.87 5.38 5.40 3.60 5.94 4.80 3.70 2.85 3.50 4.31 4.33 4.39 7.39 6.67 5.76 4.28 3.96 3.97 2.50 -1.41 0.99 3.89 3.58 3.34 6.62 6.06 3.91 2.78 4.19 6.12 5.45 4.68
Non-operating income (net) 0.67 0.58 0.78 -1.13 0.14 0.03 0.57 0.83 0.34 0.40 0.58 0.43 -0.10 0.16 -0.36 0.25 0.28 17.37 -0.17 0.03 0.13 1.20 -0.26 0.31 -0.97 -0.27 -0.80 0.13 0.19 -1.43 -0.35 7.62 -0.73 0.08 0.72 6.20 -1.35 1.13 -1.01 0.54 0.45 -0.69 1.43 -0.01 -0.79 -0.27 0.51 -0.55 -0.79 -0.42 -0.25 -0.36 -0.44 -0.13 -0.34 -0.16 -0.26 -0.55 -0.11 0.25 0.71 -0.50 -0.19 -0.38 -0.21 0.01 -0.11 -0.29 -0.24 -1.49 -0.74 -0.03 -0.06 -0.90 -0.26 -0.30 -0.50 -0.15 -0.60 3.15 -0.59
Income before tax 18.39 18.43 13.98 8.75 9.90 11.66 12.04 10.15 7.96 12.21 12.44 10.23 7.88 19.45 24.62 21.30 17.01 37.11 18.44 13.31 11.32 12.43 8.88 8.74 5.24 8.60 7.67 4.40 2.64 7.20 8.08 13.24 3.75 7.89 7.83 11.45 3.75 9.41 6.35 6.47 5.66 6.15 7.81 5.40 5.51 9.55 8.59 6.05 4.28 6.46 5.13 5.04 3.16 5.81 4.46 3.54 2.58 2.95 4.20 4.58 5.10 6.89 6.48 5.38 4.07 3.97 3.86 2.21 -1.65 -0.50 3.15 3.55 3.28 5.72 5.80 3.61 2.28 4.04 5.53 8.59 4.10
Income tax expense 3.67 3.28 2.62 1.49 2.04 1.89 2.00 1.96 1.93 2.46 2.93 1.94 1.78 3.46 5.26 4.51 3.35 5.56 3.62 2.64 2.48 1.81 1.77 1.62 1.18 1.78 1.49 1.62 0.41 1.34 1.55 1.30 1.41 1.09 1.09 3.22 0.86 1.30 0.96 1.52 1.32 1.27 1.13 1.60 0.86 1.47 1.24 0.82 0.73 0.51 0.66 1.13 0.80 1.27 0.87 0.31 0.47 0.34 0.72 0.83 0.96 1.79 0.77 0.61 0.46 0.42 0.56 0.56 -0.05 0.31 0.77 0.79 0.43 1.17 1.01 0.85 0.33 0.89 0.76 0.42 -0.03
Net income 14.29 14.85 10.87 7.11 7.62 9.51 9.51 7.81 5.76 9.39 8.91 7.83 5.83 15.14 18.20 16.11 13.18 30.73 14.15 10.31 8.59 9.91 6.61 6.83 3.90 6.40 5.70 2.68 2.04 5.42 6.23 11.75 2.08 6.26 6.35 7.89 2.49 8.11 5.44 4.30 3.88 4.99 6.37 3.65 4.47 7.86 7.22 5.11 3.45 5.21 4.43 3.82 2.23 4.37 3.45 3.20 2.05 2.64 3.47 3.64 3.97 4.87 5.46 4.61 3.40 3.45 3.19 1.67 -1.57 0.26 2.21 2.41 2.34 3.76 4.20 2.59 1.65 1.82 4.17 7.33 4.10
about 2 months ago
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 101.96 85.87 71.97 65.60 79.15 56.43 65.02 65.32 51.86 42.29 59.42 58.86 50.45 24.48 25.31 25.09 27.58 27.41 28.22 26.65
Accounts receivable, net 125.04 122.69 121.41 114.65 115.46 101.01 78.95 83.97 56.51 52.28 45.53 53.52 43.81 38.05 31.39 34.46 19.04 12.01 19.69 12.35
Inventories 69.38 61.18 63.33 92.83 73.25 62.06 45.30 46.69 34.08 45.63 48.97 44.15 34.87 32.07 30.07 23.30 12.21 3.64 5.60 5.67
Other current assets 17.67 5.55 4.97 27.29 24.50 4.58 12.73 5.58 2.48 2.59 2.81 3.43 3.05 2.89 2.35 2.75 2.58 3.32 3.41 4.07
Total current assets 313.80 275.29 261.68 300.37 292.36 224.09 202.00 201.56 144.94 142.79 156.73 159.96 132.18 97.50 89.13 85.60 61.40 46.37 56.91 48.75
Total non-current assets + 575.54 465.77 405.71 406.70 380.58 360.07 354.65 332.50 218.98 215.14 208.25 173.76 154.55 150.23 135.84 122.54 100.58 105.82 95.48 88.31
Total assets 889.33 741.06 667.39 707.07 672.93 584.15 556.65 534.06 363.92 357.93 364.99 333.72 286.72 247.72 224.96 208.14 161.97 152.19 152.39 137.05
Total current liabilities + 244.35 234.42 225.97 222.26 210.93 174.59 152.27 158.63 108.38 106.97 122.70 113.68 102.06 85.70 67.89 59.73 34.57 25.27 35.75 27.99
Total non-current liabilities + 271.62 164.37 126.67 164.88 187.37 177.82 190.04 156.40 54.24 84.12 76.37 64.35 58.92 52.21 57.28 56.57 52.69 54.96 26.89 31.90
Total liabilities 515.97 398.79 352.64 387.14 398.30 352.42 342.31 315.03 162.61 191.09 199.06 178.03 160.98 137.90 125.17 116.30 87.26 80.23 62.64 59.89
Total stockholders' equity + 346.90 320.03 294.48 319.93 274.63 216.12 214.35 201.39 188.12 154.84 154.43 147.48 121.62 106.31 98.28 88.56 71.62 69.67 75.18 66.05
Common shares outstanding 2,215 2,200 2,174 4,323 4,366 2,144 4,263 2,126 2,092 2,071 2,062 2,055 1,937 1,894 1,956 1,900 1,820 1,907 1,955 1,945
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 113.93 101.96 83.41 76.90 93.54 85.87 78.35 75.34 83.52 71.37 71.87 66.39 68.37 65.60 62.03 78.98 89.12 79.15 57.55 57.48 56.43 56.43 61.81 63.71 79.44 65.02 67.80 66.28 70.42 65.32 63.61 84.99 53.70 51.86 42.96 48.03 46.19 42.29 39.59 40.46 49.04 59.12 45.57 58.87 55.58 58.86 36.79 45.38 49.17 50.17 43.53 30.75 27.37 24.44 23.56 23.58 30.91 25.27 33.18 20.27 28.24 25.09 29.35 28.06 40.42 27.58 32.52 28.68 27.75 27.41 26.67 23.28 27.65 28.22 24.48 26.70 26.71 26.63 30.45 22.37 17.16
Accounts receivable, net 125.98 125.04 125.66 103.10 109.72 113.42 114.06 102.35 97.26 121.15 114.08 98.67 91.51 114.65 140.18 116.62 106.56 115.46 108.16 88.64 91.83 101.01 86.72 73.76 73.57 78.95 83.74 67.24 63.39 85.30 79.81 69.79 44.25 56.51 56.78 46.16 43.73 52.07 53.22 44.68 40.53 45.53 53.16 50.73 43.62 53.52 48.50 41.12 38.66 43.81 38.67 35.52 33.43 38.05 33.41 31.62 29.24 31.39 33.99 34.41 34.65 34.46 36.33 34.31 33.40 19.04 16.85 14.58 10.32 12.01 17.82 17.61 16.71 19.69 17.96 13.83 12.41 12.35 14.13 13.49 15.05
Inventories 76.03 69.38 66.18 57.06 59.86 61.18 68.99 63.49 63.26 63.27 76.95 77.57 85.67 92.83 101.29 94.66 86.20 73.25 77.83 75.87 61.99 61.99 62.95 50.65 50.03 45.30 48.43 47.00 45.37 46.69 47.15 41.40 34.19 34.08 37.27 42.82 42.62 45.63 47.78 44.26 44.22 48.97 52.71 46.15 47.61 44.15 42.26 37.43 36.27 34.87 35.26 32.05 31.56 32.07 32.92 31.61 28.96 30.07 26.81 24.21 24.00 23.30 25.22 24.91 20.69 4.96 5.72 5.22 4.45 4.99 5.79 5.59 5.44 5.60 5.70 5.58 5.49 5.67 5.89 6.52 7.57
Other current assets 21.69 17.67 18.82 16.93 15.54 24.19 17.36 29.15 28.96 5.56 29.79 28.40 25.72 27.29 29.24 28.50 25.16 24.50 16.70 15.37 14.35 5.72 22.17 14.40 13.58 12.73 12.47 11.14 9.66 10.79 10.63 10.51 5.87 2.48 2.91 10.00 3.84 3.36 2.78 7.57 3.21 2.81 5.74 4.51 2.80 3.43 5.68 4.48 3.05 3.05 4.60 3.16 4.24 3.43 5.71 5.09 4.87 3.40 7.01 4.62 3.14 2.75 5.56 3.48 5.62 2.59 4.40 3.51 2.95 3.32 5.15 12.57 17.11 3.41 3.78 3.91 4.07 4.07 3.67 9.60 6.14
Total current assets 337.62 313.80 294.08 254.00 278.65 275.29 278.77 270.33 273.00 261.35 292.69 271.03 271.27 300.37 332.73 318.76 307.04 292.36 260.23 237.36 224.60 224.60 233.64 202.51 216.62 202.00 212.45 191.66 188.83 201.56 201.20 206.69 138.00 144.94 139.91 147.00 136.37 142.79 143.37 136.97 137.00 156.73 157.17 160.26 149.61 159.96 133.23 128.41 127.14 132.18 122.06 101.47 96.61 98.04 95.60 91.90 93.97 90.13 100.99 83.50 90.02 85.60 96.47 90.76 100.12 61.41 59.49 51.99 45.47 46.37 55.44 59.04 55.85 56.91 51.92 50.01 48.69 48.76 54.15 51.98 45.92
Total non-current assets + 619.69 575.54 548.56 511.18 495.53 465.41 435.79 412.61 408.47 405.23 408.40 401.49 404.17 406.70 405.10 394.32 389.11 380.58 390.23 374.50 359.26 359.26 347.91 356.08 355.05 354.65 350.53 343.18 336.49 331.81 334.77 338.28 218.88 218.98 220.18 209.62 211.18 215.15 217.26 217.97 219.49 208.53 211.28 174.90 172.88 173.76 171.50 159.19 152.68 154.64 153.97 153.75 150.38 148.46 146.37 141.75 133.04 133.75 132.71 126.60 123.43 122.54 126.10 119.29 109.68 100.65 99.20 99.18 103.59 105.82 106.08 105.06 95.21 95.48 94.07 92.48 94.82 88.26 90.33 89.59 83.79
Total assets 957.32 889.33 842.64 765.18 774.18 740.70 714.56 682.93 681.47 666.58 701.08 672.52 675.44 707.07 737.83 713.08 696.15 672.93 650.47 611.86 583.86 583.86 581.55 558.59 571.67 556.65 562.98 534.84 525.32 533.37 535.97 544.97 356.88 363.92 360.10 356.62 347.55 357.94 360.63 354.94 356.49 365.26 368.45 335.16 322.49 333.72 304.73 287.60 279.82 286.81 276.04 255.23 246.98 246.50 241.97 233.65 227.01 223.88 233.70 210.10 213.45 208.14 222.56 210.05 209.80 162.06 158.68 151.17 149.06 152.19 161.51 164.10 151.06 152.39 145.99 142.49 143.51 137.02 144.48 141.56 129.71
Total current liabilities + 294.44 244.35 259.55 248.97 267.74 230.94 235.68 230.12 229.04 222.35 241.51 225.77 234.36 222.26 273.75 270.23 250.73 210.93 192.63 182.69 172.54 172.54 175.47 172.63 173.01 152.27 186.43 160.49 153.02 156.30 192.75 186.86 89.04 108.38 104.36 113.14 98.59 104.25 118.40 120.77 109.43 120.47 119.91 119.94 100.76 113.68 106.60 104.12 88.18 101.12 94.85 89.32 78.32 84.70 83.90 79.14 70.82 66.76 76.43 72.69 68.00 59.73 67.65 64.04 62.29 34.57 39.08 27.43 21.64 25.27 34.14 47.75 35.55 35.75 30.80 32.45 28.33 28.01 32.57 30.45 28.28
Total non-current liabilities + 281.82 271.62 243.54 201.27 171.41 163.97 147.82 129.34 140.26 126.12 143.94 149.34 151.36 164.88 158.43 164.54 181.66 187.37 207.00 174.66 177.06 177.06 188.53 172.03 181.19 190.04 158.14 156.84 146.40 156.40 132.09 146.16 61.81 54.24 59.64 64.43 72.17 84.12 81.01 73.95 78.32 76.37 84.26 62.54 65.08 64.35 62.01 56.61 58.64 57.92 61.09 53.18 52.98 49.34 49.41 48.11 49.59 54.83 55.16 41.26 48.05 56.57 62.35 54.93 60.07 52.77 48.36 55.97 57.38 54.96 53.89 47.45 23.70 26.89 31.42 34.38 35.15 31.90 38.36 43.61 42.54
Total liabilities 576.26 515.97 503.09 450.24 439.15 394.91 383.51 359.46 369.30 348.47 385.45 375.10 385.71 387.14 432.18 434.77 432.39 398.30 399.63 357.35 349.60 349.60 364.01 344.66 354.20 342.31 344.56 317.33 299.43 312.70 324.84 333.02 150.85 162.61 164.00 177.56 170.76 188.37 199.41 194.71 187.75 196.83 204.17 182.47 165.84 178.03 168.62 160.72 146.82 159.04 155.94 142.50 131.30 134.05 133.30 127.25 120.40 121.60 131.59 113.95 116.05 116.30 130.00 118.97 122.36 87.35 87.44 83.41 79.01 80.23 88.03 95.19 59.26 62.64 62.22 66.83 63.48 59.90 70.93 74.06 70.82
Total stockholders' equity + 350.54 346.90 317.04 293.77 311.52 323.52 309.40 302.35 291.00 297.83 295.61 278.62 270.65 301.29 288.36 263.04 248.37 260.08 235.19 238.99 218.64 218.64 205.51 200.41 203.62 200.97 201.51 199.30 207.77 203.02 197.33 195.77 193.24 188.12 183.31 166.84 164.89 157.58 150.16 149.36 158.02 156.92 153.53 142.60 148.33 147.48 131.49 122.56 128.68 123.63 116.15 108.91 111.93 109.52 105.87 103.70 104.00 101.17 98.85 93.01 93.96 88.56 88.67 84.02 80.21 71.62 68.57 65.58 67.98 69.67 70.65 65.93 76.85 75.18 70.60 63.87 68.58 66.01 63.02 58.20 50.51
Common shares outstanding 2,243 2,231 2,210 2,200 2,200 4,399 2,196 2,192 2,184 4,351 4,348 4,343 2,168 2,109 2,187 2,188 2,171 2,172 2,185 2,181 2,148 2,148 2,141 2,137 2,140 2,165 2,131 2,135 2,128 2,127 2,128 2,126 2,168 2,158 2,156 2,151 1,983 2,064 2,063 2,060 2,073 1,960 2,058 2,038 1,967 2,048 2,049 1,959 1,948 2,018 1,913 1,895 1,892 1,876 1,876 1,894 1,891 1,880 1,908 1,935 1,936 1,886 1,901 2,100 1,703 1,813 1,813 1,985 1,811 1,888 1,888 2,007 1,979 1,943 1,943 1,899 1,943 1,930 1,948 1,680 1,920
about 2 months ago
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 143.03 84.74 104.56 110.98 81.69 75.07 72.30 51.68 47.27 51.19 55.36 45.65 40.58 32.58 32.17 34.36 15.55 30.69 28.08 34.64
Cash flow from investing + -166.55 -86.53 -54.87 -73.95 -49.09 -60.95 -54.58 -141.15 -16.20 -46.35 -56.45 -29.30 -29.50 -43.29 -32.76 -33.47 -15.53 -37.62 -17.94 -22.18
Cash flow from financing + 45.52 -6.53 -47.97 -62.40 -5.81 -22.00 -6.54 93.85 -18.92 -18.07 -0.28 -12.88 11.60 7.55 -0.35 1.58 -2.70 14.34 -8.41 -12.60
Change in cash 21.99 -8.33 1.72 -25.36 26.78 -7.87 11.19 4.38 12.15 -13.23 -1.38 3.47 22.69 -3.15 -0.95 2.46 -2.68 7.42 1.74 -0.14
Change in exchange rate 0.00 0.00 0.00 0.00 0.00
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06 Dec-05
Operating cash flow + 36.39 -170.76 252.11 33.90 20.15 36.30 18.97 14.74 15.48 44.25 20.88 11.55 30.80 50.16 18.16 12.76 27.60 30.20 16.11 17.41 15.69 28.14 13.02 18.76 14.03 29.11 13.08 10.26 15.16 18.54 16.66 6.78 9.10 15.52 9.21 7.60 15.04 15.40 12.06 9.80 14.01 23.24 10.74 7.54 16.03 12.88 9.91 9.91 13.17 12.51 8.72 9.78 10.35 10.61 8.04 -22.17 1.06 8.12 7.45 1.27 7.65 5.37 0.49 0.94 0.87 1.14 0.62
Cash flow from investing + -45.74 391.54 -466.87 -40.39 -37.90 -32.51 -21.61 -15.36 -15.81 -10.85 -43.85 -15.65 -14.81 -21.55 -18.01 -18.56 -18.44 -0.86 -19.74 -20.56 -14.44 -20.00 -17.84 -14.74 -13.82 -25.16 -18.28 -12.62 -6.14 -16.22 -7.35 -108.12 -11.37 -1.59 -3.94 -3.65 -7.09 -6.02 -8.73 -9.16 -19.47 -5.66 -40.42 -9.88 -7.39 -8.48 -17.22 -9.59 -3.53 -8.33 -8.44 -6.70 -6.72 -11.46 -11.52 -9.70 -6.06 -9.70 -3.22
Cash flow from financing + 0.84 -243.17 245.15 19.88 16.56 -2.14 8.36 -12.81 -0.15 -24.33 -9.24 -3.60 -11.52 -17.90 -31.52 -9.00 -5.57 -9.31 5.33 -16.51 21.48 -14.70 3.54 -18.50 14.10 -4.66 12.42 -3.02 -3.32 -6.95 -21.66 125.86 -0.18 -4.53 -11.10 -3.97 0.62 -9.25 -0.40 -8.01 -3.30 -3.55 13.63 8.18 -9.62 13.37 -2.90 -1.05 -12.21 0.24 15.04 1.27 -3.76 0.40 4.96 13.20 -5.78 1.86 0.06 -9.28 11.87 0.42
Change in cash -8.52 -22.39 30.39 13.39 -1.19 1.64 5.71 -13.42 -0.49 9.07 -32.21 -7.70 4.47 10.71 -31.37 -14.80 3.59 20.03 1.70 -19.66 22.73 -6.56 -1.27 -14.49 14.30 -0.71 7.22 -5.38 5.71 -4.64 -12.35 24.52 -2.45 9.41 -5.83 -0.01 8.57 0.13 2.94 -7.37 -8.76 14.03 -16.06 5.84 -0.98 17.76 -10.20 -0.73 -2.58 4.42 15.31 4.36 -0.14 -0.45 1.48 0.00 -8.97 1.06 0.00 -7.35 3.25 1.33 0.00 -11.33 14.02 0.49 0.00 0.00 1.36 0.00 0.00 0.00 0.87 0.00 0.00 0.00 1.14 0.00 0.00 0.00 0.62
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00 0.00
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