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RT Interim / Quarterly Report 2024

Mar 14, 2025

52043_rns_2025-03-14_a6a5840b-4fec-4ece-ba82-817f9aaf9587.pdf

Interim / Quarterly Report

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瑞昱半導體 2024年第四季法人說明會 Realtek 4Q24 Earnings Release

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© 2025Realtek Semiconductor Corp. All rights reserved

© 2025 Realtek Semiconductor Corp. All rights reserved 1

4Q24 合併損益表(查核數)

4Q24 4Q24 3Q24 3Q24 QoQ 4Q23 4Q23 YoY
(單位: 新台幣百萬元) 金額 % 金額 % % 金額 % %
營業收入淨額 26,345 100% 30,752 100% (14.3%) 22,585 100% 16.6%
營業毛利 12,737 48.3% 15,795 51.4% (19.4%) 10,105 44.7% 26.0%
推銷費用 (977) (3.7%) (1,359) (4.4%) (28.1%) (975) (4.3%) 0.2%
管理及總務費用 (1,419) (5.4%) (1,326) (4.3%) 7.0% (1,206) (5.3%) 17.7%
研究發展費用 (7,461) (28.3%) (9,203) (29.9%) (18.9%) (6,767) (30.0%) 10.3%
營業費用合計 (9,858) (37.4%) (11,889) (38.7%) (17.1%) (8,948) (39.6%) 10.2%
營業利益 2,879 10.9% 3,906 12.7% (26.3%) 1,157 5.1% 149.0%
營業外收入及支出 762 2.9% 759 2.5% 0.5% 1,128 5.0% (32.4%)
本期淨利 3,400 12.9% 4,375 14.2% (22.3%) 2,180 9.7% 55.9%
每股盈餘(元) 6.63
$
8.53
$
4.25
$

註: 數字加總不等,因四捨五入造成

2024 合併損益表(查核數)

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2024 2023 YoY
(單位: 新台幣百萬元) 金額 % 金額 % %
營業收入淨額 113,394 100% 95,179 100% 19.1%
營業毛利 57,162 50.4% 40,748 42.8% 40.3%
推銷費用 (4,793) (4.2%) (3,865) (4.1%) 24.0%
管理及總務費用 (5,324) (4.7%) (3,794) (4.0%) 40.3%
研究發展費用 (33,544) (29.6%) (26,434) (27.8%) 26.9%
營業費用合計 (43,660) (38.5%) (34,093) (35.8%) 28.1%
營業利益 13,502 11.9% 6,655 7.0% 102.9%
營業外收入及支出 2,840 2.5% 2,890 3.0% (1.7%)
本期淨利 15,292 13.5% 9,153 9.6% 67.1%
每股盈餘 (元) $ 29.82 $ 17.85
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註: 數字加總不等,因四捨五入造成

4Q24 合併資產負債表(查核數)

4Q24 3Q24 4Q23
(單位: 新台幣百萬元) 金額 金額 金額
現金及金融資產-流動 55,099 60,166 43,590
應收帳款淨額 14,946 18,345 12,757
存貨淨額 13,506 14,846 11,757
其他流動資產 1,106 1,941 1,183
基金與投資 12,529 11,529 8,820
固定資產 9,641 9,450 8,788
無形資產 2,659 2,567 2,625
其他非流動資產 4,409 4,222 4,295
資產總計 113,897 123,067 93,815
短期借款 4,500 6,146 4,250
應付帳款 9,584 12,058 7,273
其他流動負債 43,877 51,794 34,723
非流動負債 2,978 5,095 5,331
股東權益 52,957 47,975 42,238
負債及股東權益總計 113,897 123,067 93,815

註: 數字加總不等,因四捨五入造成

4Q24 合併現金流量表(查核數)

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4Q24 3Q24 4Q23
(單位: 新台幣百萬元) 金額 金額 金額
營業活動之淨現金流入(出) 6,279 5,994 4,901
投資活動之淨現金流入(出) 571 (4,165) 2,322
籌資活動之淨現金流入(出) (11,865) 1,246 (15,798)
當期淨現金流入(出) (5,015) 3,075 (8,575)
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註: 數字加總不等,因四捨五入造成

4Q24 Consolidated Income Statement (Audited)

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4Q24 3Q24 QoQ 4Q23 YoY
(in NT$ Millions) Amount % Amount % % Amount % %
Net Sales 26,345 100% 30,752 100% (14.3%) 22,585 100% 16.6%
Gross Profit 12,737 48.3% 15,795 51.4% (19.4%) 10,105 44.7% 26.0%
Selling Expenses (977) (3.7%) (1,359) (4.4%) (28.1%) (975) (4.3%) 0.2%
Administration Expenses (1,419) (5.4%) (1,326) (4.3%) 7.0% (1,206) (5.3%) 17.7%
R&D Expenses (7,461) (28.3%) (9,203) (29.9%) (18.9%) (6,767) (30.0%) 10.3%
Operating Expenses (9,858) (37.4%) (11,889) (38.7%) (17.1%) (8,948) (39.6%) 10.2%
Operating Income 2,879 10.9% 3,906 12.7% (26.3%) 1,157 5.1% 149.0%
Net Non-Operating Income 762 2.9% 759 2.5% 0.5% 1,128 5.0% (32.4%)
Net Income 3,400 12.9% 4,375 14.2% (22.3%) 2,180 9.7% 55.9%
EPS (NT$) $ 6.63 $ 8.53 $ 4.25
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Note : Sums may not equal totals due to rounding.

2024 Consolidated Income Statement (Audited)

2024 2024 2023 2023 YoY
(in NT$ Millions) Amount % Amount % %
Net Sales 113,394 100% 95,179 100% 19.1%
Gross Profit 57,162 50.4% 40,748 42.8% 40.3%
Selling Expenses (4,793) (4.2%) (3,865) (4.1%) 24.0%
Administration Expenses (5,324) (4.7%) (3,794) (4.0%) 40.3%
R&D Expenses (33,544) (29.6%) (26,434) (27.8%) 26.9%
Operating Expenses (43,660) (38.5%) (34,093) (35.8%) 28.1%
Operating Income 13,502 11.9% 6,655 7.0% 102.9%
Net Non-Operating Income 2,840 2.5% 2,890 3.0% (1.7%)
Net Income 15,292 13.5% 9,153 9.6% 67.1%
EPS(NT$) 29.82
$
17.85
$

Note : Sums may not equal totals due to rounding.

4Q24 Consolidated Balance Sheet (Audited)

4Q24 3Q24 4Q23
(in NT$ Millions) Amount Amount Amount
Cash and financial Assets-current 55,099 60,166 43,590
Accounts Receivable 14,946 18,345 12,757
Inventories 13,506 14,846 11,757
Other Current Assets 1,106 1,941 1,183
Funds and Investments 12,529 11,529 8,820
Fixed assets 9,641 9,450 8,788
Intangible assets 2,659 2,567 2,625
Other non-current assets 4,409 4,222 4,295
Total Assets 113,897 123,067 93,815
Short-term borrowings 4,500 6,146 4,250
Accounts payable 9,584 12,058 7,273
Other current liabilities 43,877 51,794 34,723
Non-current liabilities 2,978 5,095 5,331
Total Equities 52,957 47,975 42,238
Total Liabilities and Equity 113,897 123,067 93,815

Note : Sums may not equal totals due to rounding.

4Q24 Consolidated Cash Flow Statement (Audited)

4Q24 3Q24 4Q23
(in NT$ Millions) Amount Amount Amount
Cash flows from operating activities 6,279 5,994 4,901
Cash flows from investing activities 571 (4,165) 2,322
Cash flows from financing activities (11,865) 1,246 (15,798)
Net increase(decrease) in cash (5,015) 3,075 (8,575)

Note : Sums may not equal totals due to rounding.

© 2025 Realtek Semiconductor Corp. All rights reserved 10

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