King Slide Works
TWSE:2059
NT$ 3.400,00
NT$-5,00 (-0,15%)
3.400,00 NT$
NT$-5,00 (-0,15%)
End-of-day quote: 03/23/2026

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

NT$63,44
Earnings Per Share
NT$106,29
Revenue Per Share
69,12%
Gross Margin %
NT$324,01 B
Market Cap
NT$0,62 B
Long-Term Debt
Earnings Per Share
NT$63,44
Revenue Per Share
NT$106,29
Gross Margin %
69,12%
Market Cap
NT$324,01 B
Long-Term Debt
NT$0,62 B

Financials

Year Year 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$63,44 NT$63,44 NT$28,02 NT$41,84 NT$21,55 NT$12,14 NT$16,32 NT$18,59 NT$9,52 NT$16,45 NT$20,11 NT$18,93 NT$14,49 NT$11,19 NT$9,07 NT$7,43 NT$6,74 NT$8,37 NT$7,02 NT$6,27
Earnings Earnings NT$6,05B NT$6,05B NT$2,67B NT$3,99B NT$2,05B NT$1,16B NT$1,56B NT$1,77B NT$907,26M NT$1,57B NT$1,92B NT$1,80B NT$1,38B NT$1,03B NT$835,89M NT$684,45M NT$616,71M NT$758,91M NT$633,20M NT$561,42M
RPS Revenue Per Share NT$106,29 NT$106,29 NT$60,47 NT$81,83 NT$66,55 NT$50,38 NT$51,09 NT$46,54 NT$43,13 NT$46,86 NT$47,20 NT$44,93 NT$39,61 NT$38,90 NT$28,40 NT$27,69 NT$21,13 NT$28,25 NT$22,18 NT$18,80
Revenue Revenue NT$10,13B NT$10,13B NT$5,76B NT$7,80B NT$6,34B NT$4,80B NT$4,87B NT$4,44B NT$4,11B NT$4,47B NT$4,50B NT$4,28B NT$3,77B NT$3,59B NT$2,62B NT$2,55B NT$1,93B NT$2,56B NT$2,00B NT$1,68B
OCF Operating Cash Flow NT$5,19B NT$5,19B NT$3,28B NT$3,94B NT$1,52B NT$1,59B NT$1,81B NT$1,84B NT$883,22M NT$1,70B NT$2,24B NT$1,90B NT$1,89B NT$1,01B NT$904,74M NT$914,22M NT$800,70M NT$1,03B NT$422,46M NT$0,00M
FCF Free Cash Flow NT$8,49B NT$4,83B NT$2,52B NT$3,11B NT$750,57M NT$1,22B NT$1,68B NT$1,69B NT$684,43M NT$1,55B NT$2,16B NT$1,81B NT$1,80B NT$903,66M NT$761,70M NT$0,00M NT$0,00M NT$0,00M NT$0,00M NT$0,00M
OM Operating Margin 0,00% 60,23% 50,12% 48,12% 42,88% 40,85% 41,39% 39,19% 40,51% 45,34% 44,98% 42,00% 39,68% 37,25% 33,52% 37,37% 35,62% 35,75% 36,33% 40,18%
GM % Gross Margin % 0,00% 69,12% 61,28% 57,27% 52,90% 52,38% 53,75% 52,45% 53,33% 57,12% 57,43% 54,86% 52,50% 50,76% 48,88% 52,03% 51,65% 48,34% 49,72% 50,30%
FCFS Free Cash Flow Per Share NT$0,00 NT$50,70 NT$30,44 NT$32,67 NT$7,85 NT$12,83 NT$19,54 NT$17,78 NT$7,18 NT$16,21 NT$22,61 NT$18,98 NT$18,38 NT$8,44 NT$8,27 NT$7,78 NT$5,73 NT$5,47 NT$0,21 NT$6,09
LT Debt Long-Term Debt NT$614,66M NT$614,66M NT$741,23M NT$894,54M NT$452,36M NT$199,50M N/A N/A N/A N/A N/A NT$290,00M NT$367,56M NT$884,01M N/A NT$1,25B NT$435,34M NT$865,53M NT$862,86M N/A
Sha. Stocks 95,3M 95,3M 95,3M 95,3M 95,3M 95,3M 95,3M 95,3M 95,3M 95,3M 95,3M 95,3M 95,19M 92,32M 92,16M 92,12M 91,5M 90,67M 90,2M 89,54M
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