Innolux
TWSE:3481
NT$ 25,00
NT$-1,25 (-4,76%)
25,00 NT$
NT$-1,25 (-4,76%)
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$0,03
Earnings Per Share
NT$24,18
Revenue Per Share
8,23%
Gross Margin %
NT$209,61 B
Market Cap
NT$20,99 B
Long-Term Debt
Earnings Per Share
NT$0,03
Revenue Per Share
NT$24,18
Gross Margin %
8,23%
Market Cap
NT$209,61 B
Long-Term Debt
NT$20,99 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$0,03 NT$0,76 NT$-2,28 NT$-3,30 NT$7,06 NT$0,22 NT$-2,34 NT$0,29 NT$4,80 NT$0,25 NT$1,44 NT$3,05 NT$0,75 NT$-5,34 NT$-11,64 NT$-3,03 NT$-0,98 NT$1,96 NT$7,35 NT$1,42
Earnings Earnings NT$281,34M NT$6,07B NT$-18,20B NT$-26,11B NT$56,40B NT$1,65B NT$-17,05B NT$2,18B NT$36,14B NT$1,88B NT$10,84B NT$22,97B NT$5,17B NT$-31,97B NT$-64,40B NT$-14,59B NT$-2,41B NT$4,77B NT$16,64B NT$3,02B
RPS Revenue Per Share NT$0,00 NT$24,18 NT$27,11 NT$26,53 NT$28,27 NT$43,82 NT$35,89 NT$34,58 NT$37,11 NT$43,72 NT$38,13 NT$48,35 NT$56,92 NT$61,34 NT$80,33 NT$92,19 NT$99,67 NT$66,95 NT$66,02 NT$69,42 NT$49,75
Revenue Revenue NT$0,00M NT$226,72B NT$216,51B NT$211,74B NT$223,72B NT$350,08B NT$269,91B NT$251,97B NT$279,40B NT$329,20B NT$287,09B NT$364,13B NT$428,66B NT$422,73B NT$480,91B NT$510,08B NT$480,04B NT$164,73B NT$160,65B NT$157,17B NT$105,68B
OCF Operating Cash Flow NT$0,00M NT$33,33B NT$17,53B NT$9,56B NT$-1,98B NT$101,75B NT$22,40B NT$13,84B NT$52,58B NT$82,64B NT$33,40B NT$81,06B NT$104,21B NT$75,89B NT$43,51B NT$28,14B NT$78,12B NT$11,02B NT$18,54B NT$18,87B NT$10,24B
FCF Free Cash Flow NT$0,00M NT$10,47B NT$1,48B NT$-11,80B NT$-23,03B NT$73,61B NT$1,73B NT$-10,97B NT$5,88B NT$57,63B NT$-10,75B NT$56,55B NT$83,69B NT$57,52B NT$26,66B NT$-17,50B NT$-17,84B NT$0,00M NT$0,00M NT$0,00M NT$0,00M
OM Operating Margin 0,00% -1,83% -3,66% -8,84% -14,15% 17,91% 0,67% -7,91% 1,73% 14,28% 2,23% 6,16% 6,57% 3,63% -4,08% -12,29% -0,93% -2,10% 3,56% 10,87% 4,33%
GM % Gross Margin % 0,00% 8,23% 6,55% 1,47% -3,09% 26,14% 8,83% 1,20% 9,60% 20,88% 9,09% 12,81% 11,75% 8,93% 0,93% -6,90% 4,38% 2,56% 7,49% 14,24% 8,25%
FCFS Free Cash Flow Per Share NT$0,00 NT$0,00 NT$1,94 NT$-1,44 NT$-2,71 NT$9,36 NT$0,23 NT$-1,48 NT$0,77 NT$7,61 NT$-1,43 NT$7,53 NT$11,87 NT$8,45 NT$5,39 NT$-3,22 NT$-3,64 NT$-11,75 NT$-0,61 NT$6,65 NT$0,43
LT Debt Long-Term Debt N/A NT$20,99B NT$20,99B NT$31,98B NT$26,84B NT$35,59B NT$25,76B NT$19,70B NT$35,14B NT$17,29B NT$28,13B NT$43,63B NT$42,29B NT$21,92M NT$152,20B NT$54,27B NT$180,80B NT$30,40B NT$13,40B NT$13,93B NT$20,72B
Sha. Stocks 9.377,96M 9.377,96M 7.985,13M 7.981,05M 7.913,54M 7.989,2M 7.520,73M 7.286,68M 7.529,54M 7.529,54M 7.529,6M 7.530,42M 7.531,4M 6.892,01M 5.986,8M 5.532,85M 4.816,35M 2.460,54M 2.433,22M 2.264,17M 2.124,13M
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