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       8936 國統     股價破低     PBR破低                 資料日期: 01/20
成交價 漲跌價 漲跌幅 昨收 開盤價 最高價 最低價
19.55 +0.55 +2.89% 19 19 19.65 18.8
成交張數 成交金額 成交筆數 成交均張 成交均價 PER PBR
4,127 8,009.3 萬 1,849 2.2 張/筆 19.41 元 N/A 0.92
昨日張數 昨日金額 昨日筆數 昨日均張 昨日均價 昨漲跌價 (幅)
1,261 2,397.4 萬 579 2.2 張/筆 19.01 元 +0.15 (+0.8%)

連漲連跌統計: 連3漲  ( +1元 / +5.39%)      最新年報評分: 30分   平均年報評分: 49分     上櫃指數: 125.16 (-0.23 / -0.18%)

8936 國統  合併資產負債季表 (單位:億元)      
資產2016Q32016Q22016Q12015Q42015Q32015Q22015Q1
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
現金及約當現金4.944.198.166.784.633.966.15.44.644.319.0996.957.68
公平價值衡量列入損益之金融資產–流動0.0720.060.0740.060.080.070.0740.070.0770.070.0940.090.150.16
短期投資合計0.0720.060.0740.060.080.070.0740.070.0770.070.0940.090.150.16
應收票據0.110.090.0810.070.0860.070.0360.030.0680.060.110.110.140.16
應收帳款6.55.535.824.833.933.364.253.763.713.453.653.622.572.85
應收建造合約款44.723846.6638.750.4643.144.9439.843.4940.439.6339.333.1636.7
其他應收款0.0890.080.0530.040.0410.040.0480.040.270.250.250.250.140.15
所有應收款項合計51.4243.752.6143.754.5146.649.2743.647.5444.243.6543.336.0239.8
存貨5.454.635.044.193.993.423.733.32.512.332.882.852.773.06
其他流動資產16.441416.6213.815.4913.217.3415.317.4616.212.5512.412.8914.3
流動資產合計78.3266.682.5168.578.767.376.5167.772.2267.268.2667.658.7765
以成本衡量之金融資產–非流動1.81.531.81.51.81.541.81.61.941.811.941.931.942.15
非流動金融資產及債券投資合計1.81.531.81.51.81.541.81.61.941.811.941.931.942.15
長期股權投資0.0550.050.060.050.0670.060.070.060.0740.070.0760.070.0790.09
長期投資合計0.0550.050.060.050.0670.060.070.060.0740.070.0760.070.0790.09
基金及投資合計1.861.581.861.551.871.61.871.662.021.882.0222.022.24
不動產、廠房及設備14.2212.114.712.215.0712.99.498.411.9111.19.619.538.939.88
固定資產合計14.2212.114.712.215.0712.99.498.411.9111.19.619.538.939.88
無形資產合計7.216.126.335.255.784.954.564.034.494.173.793.763.593.97
遞延所得稅資產1.271.080.620.510.610.520.610.540.410.390.410.410.420.46
其他資產合計14.812.614.3911.914.9112.719.9317.616.4915.316.8116.716.6918.5
資產總額117.7100120.4100116.9100113100107.5100100.910090.43100
負債2016Q32016Q22016Q12015Q42015Q32015Q22015Q1
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
短期借款25.8321.923.6519.621.318.221.1218.721.7520.211.5211.46.927.66
應付短期票券3.12.632.52.072.52.142.52.2121.862.12.080.10.11
公平價值衡量列入損益之金融負債–流動----0.00100000000.0130.01
短期借款合計28.9224.626.1521.723.820.423.6220.923.7422.113.6213.57.047.78
應付票據0.920.781.711.421.060.91.291.142.091.942.132.111.241.37
應付票據–關係人0.470.40.480.4----------
應付帳款6.825.86.685.546.795.817.876.976.736.2610.1410.110.211.3
應付建造合約款1.981.682.251.876.815.821.461.290.90.830.840.830.310.34
其他應付款項2.522.143.312.751.521.31.711.521.391.35.095.041.021.13
其他應付款項–關係人0.50.430.50.420.760.650.740.660.0080.010.0210.020.0190.02
所有應付款項合計13.2111.214.9312.416.9414.513.0711.611.1210.318.2318.112.7914.1
遞延所得稅負債–流動0.0560.050.0460.040.350.30.250.221.060.990.840.831.071.18
其他流動負債9.698.2410.338.5810.148.674.884.325.985.566.566.57.047.78
流動負債合計51.8844.151.4542.751.2243.841.823741.93939.2538.927.9330.9
公平價值衡量列入損益之金融負債–非流動0000000.00200.0050.010.00400.0020
應付公司債00000065.325.985.565.965.915.946.57
長期借款8.647.349.457.859.167.838.657.659.148.58.378.296.497.17
長期負債合計8.647.349.457.859.167.8314.651315.1314.114.3314.212.4313.7
遞延所得稅負債1.531.31.441.191.431.221.421.261.41.31.381.371.381.52
其他負債合計0.410.350.380.320.380.320.430.380.460.430.440.430.430.47
負債總額62.4653.162.7252.162.1953.258.3251.658.8854.855.454.942.1746.6
股東權益2016Q32016Q22016Q12015Q42015Q32015Q22015Q1
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
普通股股本21.5118.321.5117.921.5118.421.511918.717.418.718.518.720.7
待分配股票股利1.080.911.080.89----------
股本合計22.5819.222.5818.821.5118.421.511918.717.418.718.518.720.7
資本公積合計13.0711.113.0710.913.0611.213.0511.67.456.937.347.277.348.11
保留盈餘合計10.89.1812.710.615.1312.914.731316.5415.415.3515.217.8519.7
股東權益其他調整項目合計-0.61-0.52-0.28-0.230.00100.0510.050.470.440.0250.030.180.2
母公司股東權益45.843948.0839.949.742.549.3443.743.1640.141.414144.0648.7
少數股權9.387.979.67.975.054.315.314.75.55.124.14.064.24.64
股東權益總額55.2346.957.6847.954.7546.854.6448.448.6645.245.5145.148.2653.4
待註銷股本股數(萬張)------0-0-0-0-
母&子公司持有之母公司庫藏股(萬張)0-0-0-0-0-0-0-
預收股款(萬張)0-0-0-0-0-0-0-
每股淨值(元)21.31-22.35-23.11-22.94-23.08-22.15-23.57-
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