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9935 慶豐富資料日期: 09/24
成交價 昨收 漲跌價 漲跌幅 振幅 開盤 最高 最低
21.25 21.2 +0.05 +0.24% 1.89% 21.35 21.35 20.95
成交張數 成交金額 成交筆數 成交均張 成交均價 PBR PER PEG
194411.8 萬 106 1.8 張/筆 21.18 元 1.73 9.2 0.08
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)
60128.4 萬 57 1.1 張/筆 21.31 元 -0.25 (-1.17%)

連漲連跌: 首日上漲  ( +0.05元 / +0.24%)        
財報評分: 最新39分 / 平均31分        上市指數: 17260.19 (181.97 / +1.07%)

 * 配合國際財務報導準則(IFRSs), 自2013年第一季以後之財報統一以合併資料顯示, 若欲查詢早期無合併財報之資料, 請以「個別報表」選項查詢。

 * 因證交所在2013年以前並未強制上市櫃公司編製合併財報, 故早期之合併財報會有部分「無資料」之情形, 請使用者多加留意。

 * 「近四季財報」指的是將最近四季的單季財報合計為一個年度的財報,例如2018Q3指的是以2017Q4到2018Q3的各季財報合計為一個年度的財報。

 * 「近四季財報」為本網站自行計算之報表,並非各上市櫃公司公布的正規財報,故資料僅供參考,請使用者自行斟酌使用。

9935 慶豐富 單季資產負債表 (合併)    (單位:億元)
   
資產2021Q22021Q12020Q42020Q32020Q22020Q12019Q4
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
現金及約當現金6.8110.47.2210.85.148.294.095.875.358.826.1310.75.9510.4
公平價值衡量列入損益之金融資產–流動0.821.250.440.650.380.620.0220.03000000
短期投資合計0.821.250.440.650.380.620.0220.03000000
應收票據000.0180.030.0150.020.010.010.0140.020.0040.010.010.02
應收票據–關係人0000----000.0010--
應收帳款13.320.314.5721.812.8720.720.6729.713.2821.99.0315.811.1319.4
應收帳款–關係人0.971.471.081.611.151.851.121.61.492.461.562.731.723
其他應收款0.731.110.520.780.781.250.640.910.871.430.50.880.681.18
其他應收款–關係人0.00100.220.320.240.390.320.470.210.350.520.910.150.27
所有應收款項合計1522.916.4124.515.0524.322.7632.715.8726.211.6220.313.6923.9
存貨9.7414.99.9314.99.1114.78.111.67.3412.17.7313.57.0312.3
預付款項–流動資產1.432.190.911.361.262.031.472.110.711.180.681.180.71.21
遞延所得稅資產–流動0000000.0720.10.0740.120.0750.130.0540.09
其他流動資產1.842.811.882.811.452.332.673.831.512.491.642.881.833.2
流動資產合計35.6354.436.785532.3952.239.1856.230.8650.927.8848.829.2651
不動產、廠房及設備20.7631.720.9531.320.8733.621.1830.420.013318.7132.717.7931
使用權資產5.828.96.049.035.999.656.178.866.3610.56.4911.46.5411.4
固定資產合計26.5940.626.9940.426.8543.327.3639.326.3743.525.2144.124.3342.4
無形資產合計1.281.961.362.041.382.221.522.181.552.561.622.841.652.89
遞延所得稅資產0.640.980.560.840.60.960.550.780.480.790.420.740.360.63
其他資產合計1.322.011.181.770.821.321.061.531.42.312.023.531.723
資產總額65.4710066.8810062.0410069.6710060.6610057.1410057.32100
負債2021Q22021Q12020Q42020Q32020Q22020Q12019Q4
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
短期借款4.657.118.1812.21.682.717.5210.85.28.574.487.840.811.42
公平價值衡量列入損益之金融負債–流動0.0010000.0060.010.0060.01000000
短期借款合計4.657.118.1812.21.692.727.5210.85.28.574.487.840.811.42
應付票據6.6210.15.267.868.7814.1--7.9813.26.84129.9617.4
應付票據–關係人000000--000000
應付帳款------11.2116.1------
其他應付款項3.45.191.722.572.073.342.173.112.794.61.051.841.773.09
其他應付款項–關係人0000000.0460.070.0490.080.0410.070.0690.12
所有應付款項合計10.0215.36.9810.410.8517.513.4319.310.8217.87.9413.911.820.6
遞延所得稅負債–流動1.312.011.331.991.342.171.071.530.711.160.490.850.530.92
負債準備–流動0.0710.110.0710.110.0710.110.0850.120.0450.070.0460.080.0590.1
租賃負債–流動0.210.320.230.350.210.330.210.30.210.350.20.350.190.34
其他流動負債3.064.672.523.761.42.250.630.910.470.770.280.490.320.55
流動負債合計19.3229.519.328.915.5525.122.9532.917.4528.813.4323.513.7223.9
長期借款24.3437.224.1836.22438.724.9235.822.8737.722.874022.639.4
長期負債合計24.3437.224.1836.22438.724.9235.822.8737.722.874022.639.4
遞延所得稅負債0.0150.020.0150.020.0150.020.0170.030.0170.030.0170.030.0170.03
租賃負債–非流動0.981.51.051.571.061.711.081.551.121.851.121.961.141.99
其他負債合計00000.0110.020.0770.110.0770.130.0830.150.0850.15
負債總額44.6568.244.5566.640.6465.549.0570.441.5468.537.5265.737.5565.5
股東權益2021Q22021Q12020Q42020Q32020Q22020Q12019Q4
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
普通股股本16.9625.916.9625.416.9627.316.9624.316.962816.9629.716.9629.6
股本合計16.9625.916.9625.416.9627.316.9624.316.962816.9629.716.9629.6
資本公積合計0.560.860.560.840.560.90.560.80.560.920.560.980.560.98
未分配盈餘(或待彌補虧損)----5.458.78------2.854.97
保留盈餘合計5.067.746.239.315.458.784.436.362.644.362.925.112.854.97
股東權益其他調整項目合計-1.77-2.7-1.42-2.13-1.57-2.54-1.33-1.91-1.05-1.72-0.82-1.43-0.6-1.04
母公司股東權益20.8231.822.3333.421.434.520.6229.619.1231.519.6234.319.7734.5
股東權益總額20.8231.822.3333.421.434.520.6229.619.1231.519.6234.319.7734.5
待註銷股本股數(萬張)--0-0-0---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)12.27-13.16-12.61-12.16-11.27-11.56-11.66-
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