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6015 宏遠證資料日期: 04/24
成交價 昨收 漲跌價 漲跌幅 振幅 開盤 最高 最低
12.75 12.75 0 0% 0.78% 12.8 12.8 12.7
成交張數 成交金額 成交筆數 成交均張 成交均價 PBR PER PEG
1,3741,755萬 470 2.9張/筆 12.77元 0.95 25 0.14
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)
8771,114萬 334 2.6張/筆 12.7元 +0.05 (+0.39%)

連漲連跌: 連2漲→平盤  ( 0元 / 0%)        
財報評分: 最新43分 / 平均46分        上櫃指數: 244.93 (5.67 / +2.37%)

 * 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。

6015 宏遠證 單季資產負債表 (合併)(單位:億元)
匯出: 
資產2022Q32022Q22022Q12021Q42021Q32021Q22021Q1
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
現金及約當現金24.8619.332.222.528.591931.0618.828.6617.929.6417.111.528.24
透過損益按公允價值衡量之金融資產–流動28.0721.825.741833.6822.442.0925.539.6224.838.7822.346.5733.3
透過其他綜合損益按公允價值衡量之金融資產–流動0.50.380.550.380.640.420.70.430.680.430.720.410.580.42
附賣回債券投資17.5113.616.0111.215.019.9711.516.9821.5213.59.025.1915.5311.1
應收證券借貸款項00000.0190.010.0110.01--0000
應收借貸款項–不限用途6.495.034.973.475.753.824.792.94.672.933.952.284.022.87
備抵損失–應收借貸款項–不限用途00000000000000
客戶保證金專戶5.494.265.053.534.853.225.23.155.023.146.463.723.712.65
應收票據0.00200.00100.00100.00200.00400.00100.0070
應收帳款26.0920.239.6127.743.1428.741.1324.941.2925.869.6440.142.0830.1
備抵損失–應收帳款-0.0010-0.0060-0.0020-0.0010-0.0020-0.0030-0.0010
應收帳款–關係人0.0090.010.00600.00700.00700.00700.00700.0060
其他應收款0.180.140.280.20.140.090.150.090.240.150.190.110.130.09
備抵損失–其他應收款-0.0030-0.0050-0.0040-0.0040-0.0030-0.0030-0.0020
其他應收款–關係人0.0080.010.0590.040.040.030.0240.010.00700.00900.0040
應收款項合計26.2920.439.9527.943.3228.841.32541.542669.8440.242.2230.2
預付款項0.210.170.260.180.260.170.190.120.210.130.220.130.210.15
本期所得稅資產0.030.020.0220.020.0480.030.0530.030.110.070.110.070.120.08
其他流動資產4.63.573.962.774.332.8815.639.475.553.474.272.464.413.15
流動資產合計114.188.5128.789.9136.590.7152.592.5147.692.416393.8128.992.2
透過損益按公允價值衡量之金融資產–非流動4.593.574.152.93.552.363.221.953.212.013.732.153.832.74
透過其他綜合損益按公允價值衡量之金融資產–非流動1.050.820.90.630.920.610.920.560.610.380.610.350.570.41
按攤銷後成本衡量之金融資產–非流動21.5521.421.3321.2121.250000
投資合計7.655.937.064.936.484.316.153.735.823.644.342.54.43.15
設備0.540.420.510.350.420.280.450.270.380.240.350.20.370.26
租賃改良0.340.260.130.090.0420.030.0540.030.0660.040.0780.050.0860.06
固定資產合計0.880.680.640.450.460.310.50.30.440.280.430.250.450.32
使用權資產–房屋及建築1.381.071.621.131.571.040.810.490.960.61.110.641.260.9
使用權資產–其他資產0.0630.050.0720.050.0720.050.0550.030.0540.030.0630.040.0610.04
使用權資產1.451.121.691.181.641.090.860.521.010.631.170.671.320.94
無形資產合計0.80.620.760.530.780.520.740.450.670.420.660.380.670.48
遞延所得稅資產0.0760.060.070.050.0850.060.0970.060.0890.060.0830.050.0820.06
營業保證金2.82.172.81.962.81.862.71.642.71.692.71.552.71.93
交割結算基金0.90.70.940.661.250.831.10.671.160.731.120.651.10.79
存出保證金0.260.20.270.190.260.170.270.160.210.130.210.120.210.15
催收款項1.621.261.621.131.621.081.620.981.621.021.620.931.621.16
備抵損失–催收款項-1.62-1.26-1.62-1.13-1.62-1.08-1.62-0.98-1.62-1.02-1.62-0.93-1.62-1.16
預付設備款0.0070.010.20.140.20.130.00500.0580.040.0250.0100
其他資產–其他3.973.084.212.944.5234.072.474.132.594.062.344.012.87
其他資產合計7.946.168.435.899.0368.154.948.275.178.134.688.025.73
非流動資產合計14.8211.514.4310.113.969.2812.427.5312.177.6210.756.1910.947.82
資產總額128.9100143.1100150.4100165100159.8100173.8100139.8100
負債2022Q32022Q22022Q12021Q42021Q32021Q22021Q1
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
短期借款00----0.50.3--000.50.36
應付商業本票0000001.50.91--003.52.5
應付商業本票折價00000000--00-0.0010
透過損益按公允價值衡量之金融負債–流動0.090.070.0680.050.006000000000
附買回債券負債38.9630.236.2725.337.2424.838.0423.146.1828.932.2918.641.7229.8
期貨交易人權益5.494.265.033.514.853.225.193.155.023.146.453.713.712.65
應付票據----------0.00300.0040
應付帳款26.3520.437.9926.543.1628.740.4724.541.0425.767.1938.741.6829.8
應付帳款–關係人0.00100.00100.00200.00100.00200.00200.0020
其他應付款1.110.867.044.920.990.663.752.273.051.915.513.173.192.28
應付款項合計27.4721.345.0331.544.1529.344.2226.844.127.672.7141.844.8732.1
預收款項0.0070.010.00300.0080.010.0820.050.0620.040.10.060.310.22
代收款項1.591.240.650.460.990.6611.927.223.222.010.780.450.620.44
本期所得稅負債0.130.10.250.171.460.971.280.781.210.761.030.5900
負債準備–流動0.0590.050.0630.040.0590.040.0620.040.060.040.0720.040.0610.04
租賃負債–流動0.380.30.440.310.520.340.470.280.60.370.650.370.650.47
其他流動負債0.00200.0210.010.00600.140.080.00300.00500.0030
流動負債合計74.1857.687.8261.489.2859.3103.462.7100.462.9114.165.795.9468.6
應付公司債7.195.587.555.277.595.057.644.637.684.817.844.5100
營業及負債準備合計0.120.090.120.090.120.080.0940.060.0930.060.0930.050.0250.02
租賃負債–非流動0.870.670.990.690.90.60.210.130.250.160.340.190.560.4
遞延所得稅負債0.0320.020.0150.010.0160.010.0110.010.010.010.0140.010.0090.01
其他負債–其他0.30.230.30.210.310.20.310.190.170.110.180.10.180.13
其他負債合計0.30.230.30.210.310.20.310.190.170.110.180.10.180.13
非流動負債合計8.516.68.986.288.935.938.265.018.25.138.464.870.780.56
負債總額82.6964.296.8167.698.2165.3111.767.7108.668122.570.596.7269.2
股東權益2022Q32022Q22022Q12021Q42021Q32021Q22021Q1
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
普通股股本35.1327.333.1423.133.142233.1420.133.0820.733.081933.0823.7
已認購普通股股本--------0.0550.03----
待分配股票股利--1.991.39------00--
股本合計35.1327.335.1324.533.142233.1420.133.1420.733.081933.0823.7
資本公積合計3.582.783.592.513.592.393.592.183.592.253.532.033.122.23
法定盈餘公積1.751.361.751.230.530.350.530.320.530.330.530.30.130.1
特別盈餘公積3.562.763.562.491.110.741.110.671.110.71.110.640.280.2
未分配盈餘(或待彌補虧損)1.070.831.30.9112.758.4813.738.3211.97.4512.086.955.774.12
保留盈餘合計6.384.956.624.6214.49.5715.379.3213.548.4713.727.96.184.42
透過其他綜合損益按公允價值衡量之金融資產未實現評價損益1.10.8510.71.110.741.180.720.840.530.880.510.710.51
其他權益合計1.10.8510.71.110.741.180.720.840.530.880.510.710.51
歸屬於母公司業主之權益合計46.1935.846.3432.452.2434.753.2932.351.113251.2129.543.130.8
股東權益總額46.1935.846.3432.452.2434.753.2932.351.113251.2129.543.130.8
待註銷股本股數(萬張)----------0-0-
預收股款之約當發行股數(萬張)--------0.06-0-0-
母公司暨子公司持有之母公司庫藏股股數(萬張)----------0-0-
每股淨值(元)13.15-13.98-15.77-16.08-15.42-15.48-13.03-
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