Oriental Union Chemi...
TWSE:1710
NT$ 14,50
+ NT$0,20 (1,40%)
14,50 NT$
+NT$0,20 (1,40%)
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$0,02
Earnings Per Share
NT$26,94
Revenue Per Share
0,86%
Gross Margin %
NT$12,54 B
Market Cap
NT$8,70 B
Long-Term Debt
Earnings Per Share
NT$0,02
Revenue Per Share
NT$26,94
Gross Margin %
0,86%
Market Cap
NT$12,54 B
Long-Term Debt
NT$8,70 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share NT$0,02 NT$0,02 NT$0,30 NT$0,04 NT$1,03 NT$-1,22 NT$0,04 NT$2,00 NT$2,00 NT$-0,64 NT$-0,14 NT$0,13 NT$1,45 NT$1,32 NT$3,30 NT$2,40 NT$1,66 NT$1,28 NT$2,68 NT$1,69
Earnings Earnings NT$17,66M NT$17,54M NT$262,98M NT$35,06M NT$902,89M NT$-1,06B NT$34,88M NT$1,74B NT$1,74B NT$-558,05M NT$-122,07M NT$113,35M NT$1,26B NT$1,15B NT$2,88B NT$2,09B NT$1,45B NT$1,12B NT$2,33B NT$1,47B
RPS Revenue Per Share NT$0,00 NT$26,94 NT$27,12 NT$23,75 NT$0,00 NT$31,33 NT$21,46 NT$25,60 NT$36,81 NT$33,17 NT$22,38 NT$15,97 NT$16,20 NT$17,70 NT$15,40 NT$17,13 NT$14,28 NT$11,25 NT$14,95 NT$15,37 NT$12,30
Revenue Revenue NT$0,00M NT$23,78B NT$23,78B NT$20,82B NT$0,00M NT$27,47B NT$18,71B NT$22,32B NT$32,10B NT$28,92B NT$19,52B NT$13,92B NT$14,13B NT$15,43B NT$13,42B NT$14,93B NT$12,45B NT$9,81B NT$13,04B NT$13,37B NT$10,68B
OCF Operating Cash Flow NT$0,00M NT$0,00M NT$1,25B NT$35,00M NT$0,00M NT$3,69B NT$751,60M NT$-747,30M NT$4,22B NT$4,26B NT$1,04B NT$322,58M NT$-437,24M NT$2,90B NT$1,33B NT$3,47B NT$1,52B NT$2,21B NT$1,60B NT$0,00M NT$0,00M
FCF Free Cash Flow NT$0,00M NT$935,00M NT$79,00M NT$8,27M NT$0,00M NT$3,68B NT$238,29M NT$-1,15B NT$3,69B NT$3,38B NT$-657,75M NT$-3,25B NT$-463,21M NT$2,54B NT$461,82M NT$2,00B NT$49,13M NT$0,00M NT$0,00M NT$0,00M NT$0,00M
OM Operating Margin 0,00% -4,06% -0,30% -3,27% -5,24% 5,17% -2,43% -4,53% 10,27% 12,11% 0,71% 3,84% 2,74% 10,55% 9,70% 17,21% 12,38% 9,05% 12,98% 23,11% 15,18%
GM % Gross Margin % 0,00% 0,86% 4,60% 1,62% -0,25% 9,29% 2,76% -0,10% 13,39% 15,37% 4,89% 9,77% 8,25% 14,66% 14,31% 21,84% 18,57% 15,24% 17,41% 27,18% 20,18%
FCFS Free Cash Flow Per Share NT$0,00 NT$-1,21 NT$-0,69 NT$-1,02 NT$-2,49 NT$3,02 NT$0,26 NT$-1,32 NT$4,23 NT$3,88 NT$-0,76 NT$-3,85 NT$-8,08 NT$2,91 NT$0,61 NT$2,25 NT$0,05 NT$1,66 NT$1,17 NT$2,88 NT$3,38
LT Debt Long-Term Debt N/A NT$8,70B NT$8,23B NT$9,01B NT$9,60B NT$8,13B NT$9,25B NT$8,34B NT$7,01B NT$7,39B NT$9,02B NT$11,18B NT$8,56B NT$2,28B NT$261,36M NT$454,13M NT$343,73M N/A N/A N/A N/A
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