Goodway Machine
TWSE:1583
NT$ 45,00
+ NT$0,70 (1,58%)
45,00 NT$
+NT$0,70 (1,58%)
End-of-day quote: 03/26/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

NT$2,43
Earnings Per Share
NT$55,48
Revenue Per Share
0,00%
Gross Margin %
NT$4,85 B
Market Cap
NT$1,00 B
Long-Term Debt
Earnings Per Share
NT$2,43
Revenue Per Share
NT$55,48
Gross Margin %
0,00%
Market Cap
NT$4,85 B
Long-Term Debt
NT$1,00 B

Financials

Year Year 2026 2025 2019 2018 2017 2016 2015 2014
EPS Earnings Per Share NT$2,43 NT$2,43 NT$5,27 NT$3,32 NT$2,21 NT$5,35 NT$6,19
Earnings Earnings NT$268,27M NT$268,27M NT$581,81M NT$366,53M NT$243,98M NT$584,59M NT$681,15M
RPS Revenue Per Share NT$0,00 NT$55,48 NT$55,48 NT$75,93 NT$68,65 NT$58,74 NT$65,53 NT$71,04
Revenue Revenue NT$0,00M NT$6,12B NT$6,12B NT$8,38B NT$7,58B NT$6,48B NT$7,16B NT$7,82B
OCF Operating Cash Flow NT$0,00M NT$1,87B NT$1,87B NT$-225,46M NT$351,25M NT$1,51B NT$328,02M NT$923,64M
FCF Free Cash Flow NT$0,00M NT$0,00M NT$1,72B NT$-540,32M NT$-366,22M NT$1,41B NT$150,01M NT$505,03M
OM Operating Margin 0,00% 0,00% 7,60% 9,48% 10,11% 9,24% 11,37% 11,49%
GM % Gross Margin % 0,00% 0,00% 24,39% 23,58% 25,18% 25,80% 27,06% 26,57%
FCFS Free Cash Flow Per Share NT$0,00 NT$0,00 NT$11,75 NT$-4,98 NT$-3,47 NT$12,76 NT$1,32 NT$4,22
LT Debt Long-Term Debt N/A NT$996,06M NT$549,10M NT$712,33M NT$1,12B NT$1,13B NT$949,90M NT$488,61M
Sha. Stocks 110,4M 110,4M 110,4M 110,4M 110,4M 110,4M 109,27M 110,04M
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