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8042 金山電股價近低PBR破低資料日期: 10/16
成交價 漲跌價 漲跌幅 昨收 開盤價 最高價 最低價
34.75 -0.15 -0.43% 34.9 34.95 35.1 34.7
成交張數 成交金額 成交筆數 成交均張 成交均價 PER PBR
125435.6 萬 99 1.3 張/筆 34.83 元 N/A 1.05
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)
114399.9 萬 93 1.2 張/筆 35.06 元 -0.2 (-0.57%)

連漲連跌統計: 連3跌  ( -1元 / -2.8%)        
財報評分: 最新40分 / 平均52分        上櫃指數: 141.27 (-0.3 / -0.21%)

 * 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。

8042 金山電 年度財務比率表 (合併)   (單位:%)       
獲利能力201220112010200920082007200620052004200320022001
營業毛利率27.422.8125.9623.3523.2519.4220.4121.4523.0822.7124.3921.97
營業利益率16.9313.4316.7314.7212.938.249.947.619.328.4610.066.35
稅前淨利率17.6813.9418.4817.5311.25.8910.316.867.048.078.275.76
稅後淨利率16.7413.0116.0415.998.045.210.996.336.366.095.374.62
稅後淨利率 (母公司)16.5112.9215.9415.757.785.1711.036.446.366.095.374.62
每股稅前盈餘 (元)5.814.856.716.223.481.52.71.962.032.132.342.03
每股稅後盈餘 (元)5.434.495.795.592.421.322.891.841.831.611.521.63
每股淨值 (元)29.3626.9525.4822.7819.7718.1616.314.6413.4713.3713.3613.74
股東權益報酬率18.6116.932326.7512.727.9518.5912.6512.7410.248.386.94
資產報酬率12.2911.1615.1616.527.734.589.435.575.95.444.283.3
獲利年成長率201220112010200920082007200620052004200320022001
營收年成長率-4.741.767.1625.4519.1517.55.911.5621.6616.7814.56-
毛利年成長率14.45-10.619.1426.0242.6311.810.773.6623.618.7427.19-
營業利益年成長率20.08-18.3321.8542.8386.85-2.5338.31-8.9233.99-1.7581.32-
稅前淨利年成長率20.78-23.2213.0196.35126.7-32.9659.38.676.113.9264.44-
稅後淨利年成長率22.57-17.477.47149.484.46-44.4483.911.0726.8932.5433.19-
稅後淨利年成長率 (母公司)21.76-17.548.46154.179.22-44.9481.4913.0126.8932.5433.19-
每股稅後盈餘年成長率20.94-22.453.5813183.33-54.3357.070.5513.665.92-6.75-
各項資產佔總資產比重201220112010200920082007200620052004200320022001
現金 (%)29.0225.0327.9721.5820.238.838.367.535.098.915.298.8
應收帳款 (%)27.427.3825.5936.0937.0440.8239.1544.0337.1328.1938.4333.38
存貨 (%)11.9215.2917.4714.2814.8123.8726.9222.9832.2731.2426.0326.26
速動資產 (%)64.2860.8564.2569.2758.7952.747.5551.842.2737.3244.342.6
流動資產 (%)77.9676.9682.5984.6975.4877.3576.1476.9176.3870.4271.670.71
基金與投資 (%)4.464.720.350.370.74--00.180.240.240.26
固定資產 (%)14.214.5613.6213.8919.6218.5820.0919.2120.524.620.9220.54
無形資產 (%)2.582.92.80000---00.11
其他資產 (%)0.790.850.651.064.164.073.773.892.944.757.248.38
資產年成長率201220112010200920082007200620052004200320022001
現金年成長率22.695.4237.3740.49132.325.6821.1760.12-25.8774.52-36.7-
應收帳款年成長率5.9126.07-24.8728.36-8.0324.09-2.9428.2371-23.9521.21-
存貨年成長率-17.483.0629.7226.94-37.095.5427.89-23.0134.1224.444.35-
流動資產年成長率7.29.793.3547.78-1.0820.918.078.8940.811.976.6-
基金與投資年成長率015070-34.63----100000-
固定資產年成長率3.1625.963.97-6.777.0410.0714.181.338.1521.937.2-
無形資產年成長率-5.6122.01---------100-
其他資產年成長率-1.6255.33-35.11-66.53.7428.255.9942.82-19.49-32.02-9.09-
資產總額年成長率5.8317.815.9831.711.3719.019.168.1429.823.685.27-
負債&股東權益佔總資產201220112010200920082007200620052004200320022001
應付帳款 (%)13.1712.8819.826.9816.2119.6918.5119.9823.4427.9613.9718.26
流動負債 (%)24.9736.8521.1628.7537.433.1540.2941.4744.4546.4143.1848.99
長期負債 (%)5.330.018.498.870.037.14.5212.6213.451.791.932.74
營業準備 (%)-000000-----
其他負債 (%)0.480.470.510.610.830.0300.040.010.080.380.69
負債總額 (%)30.7737.3330.1638.2338.2640.2744.8254.1257.9148.2745.4852.43
普通股股本 (%)23.222.8327.4727.0731.6832.1232.6429.9228.9933.2631.1724.6
股東權益總額 (%)69.2362.6769.8461.7761.7459.7355.1845.8842.0951.7354.5247.57
負債&股東權益年增減率201220112010200920082007200620052004200320022001
應付帳款年成長率8.19-23.34-22.24119.2-16.5126.561.15-7.838.81107.6-19.46-
流動負債年成長率-28.3105.2-21.991.2614.38-2.16.070.8924.3311.44-7.23-
長期負債年成長率97421-99.921.436830-99.5586.72-60.861.43875.7-3.68-26.1-
其他負債年成長率7.298.27-10.67-3.223082729.9-88.86331.9-84.03-79.2-43.16-
負債總額年成長率-12.7645.79-16.3831.63-3.76.93-9.61.0755.7310.05-8.69-
普通股股本年成長率7.52-2.077.5212.56017.119.0911.6113.1410.6433.4-
股東權益總額年成長率16.95.7319.8231.774.7928.8331.2917.875.63-1.6420.67-
償債能力201220112010200920082007200620052004200320022001
現金比116.267.93132.275.0754.126.6420.7518.1711.4519.212.2617.97
速動比257.5165.1303.6240.9157.2159118124.995.180.41102.686.94
流動比312.3208.8390.3294.6201.8233.4189185.5171.8151.7165.8144.3
利息保障倍數34.3161.45100.1107.916.4518.3411.656.8811.728.544.882.86
現金流量比59.499.5972.4266.1662.159.6216.3213.19-27.9863.19-1.89-7.31
經營能力201220112010200920082007200620052004200320022001
營業成本率72.677.1974.0476.6576.7580.5879.5978.5576.9277.2975.6178.03
營業費用率10.479.389.238.6310.3211.1710.4713.8413.7614.2514.3415.62
應收帳款週轉率 (次/年)2.683.233.082.832.472.22.072.162.792.692.222.14
應收款項收現日數 (日)136.1112.9118.5129147.9165.8176.5168.8130.8135.9164.5170.4
應付帳款週轉率 (次/年)4.094.133.013.544.113.713.553.22.813.273.763.06
應付款項付現日數 (日)89.2188.46121.410388.8398.35102.7114.2129.9111.697.14119.5
存貨週轉率 (次/年)3.934.074.45.463.822.812.732.522.242.42.312.12
平均售貨日數 (日)92.889.7483.0466.8995.63129.7133.8144.8162.8151.8158.1171.8
固定資產週轉率 (次/年)5.116.076.876.315.034.584.364.444.163.913.853.48
總資產週轉率 (次/年)0.730.860.951.030.960.880.860.880.930.890.80.71
淨值週轉率 (次/年)1.111.31.431.671.581.531.69221.681.561.5
應收帳款佔營收比率38.3734.5127.8639.7338.8350.3147.6351.9745.2132.1749.446.69
存貨佔營收比率16.6919.2719.0215.7115.5329.4232.7527.1239.335.6533.4536.73
現金流量狀況201220112010200920082007200620052004200320022001
每股營業現金流量 (元)6.841.556.067.437.5812.11.84-4.368.84-0.3-1.77
每股投資現金流量 (元)-1.05-4.48-1.88-3-3.17-2.25-0.98-2.05-1.16-2.67-1.75-6.69
每股融資現金流量 (元)-2.342.820.34-1.61-0.881.63-0.760.596.74-2.881.733.1
每股淨現金流量 (元)2.470.563.012.433.760.570.470.95-0.621.15-1.120.96
每股自由現金流量 (元)5.79-2.944.184.434.41-1.241.12-0.21-5.526.17-2.05-8.46
其他指標201220112010200920082007200620052004200320022001
負債對淨值比率44.4559.5643.1961.8961.9667.4381.24118137.693.3383.41110.2
長期資金適合率525.2430.4575508.8314.9359.7297.2304.6271217.5269.8244.9
所得稅佔稅前淨利比率5.346.7213.218.7428.1511.71-6.547.716.242.966.046.39
業外淨利佔營收比率1.932.783.093.934.090.92.733.142.652.631.725.02
業外支出佔營收比率1.182.271.341.125.823.252.353.894.933.023.55.61
業外損益佔營收比率0.750.511.752.81-1.73-2.360.38-0.75-2.28-0.39-1.78-0.59
業外損益佔稅前淨利比率4.253.699.4516.02-15.45-40.063.66-10.96-32.4-4.84-21.56-10.25
財報評分 (100為滿分)606064625130413834403430


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