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3380 明泰期貨標的資料日期: 08/18
成交價 昨收 漲跌價 漲跌幅 振幅 開盤 最高 最低
31.25 31.15 +0.1 +0.32% 1.93% 31.15 31.3 30.7
成交張數 成交金額 成交筆數 成交均張 成交均價 PBR PER PEG
1,4544,510 萬 924 1.6 張/筆 31.03 元 1.73 28.94 -1.66
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)
1,5374,802 萬 1,079 1.4 張/筆 31.24 元 -0.1 (-0.32%)

連漲連跌: 連2跌→漲  ( +0.1元 / +0.32%)        
財報評分: 最新40分 / 平均40分        上市指數: 15396.76 (-68.69 / -0.44%)

 * 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。

3380 明泰 單季資產負債表 (合併)    (單位:億元)
   
資產2022Q22022Q12021Q42021Q32021Q22021Q12020Q4
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
現金及約當現金44.7415.337.7713.844.9818.235.1314.449.4319.358.2422.857.121.1
公平價值衡量列入損益之金融資產–流動0.650.220.680.250.680.270.620.250.740.290.60.230.820.3
以攤銷後成本衡量之金融資產–流動0.30.141.463.751.525.662.329.183.580.990.392.270.84
短期投資合計0.950.324.681.714.431.796.282.589.923.861.580.623.091.14
應收帳款59.920.547.9517.540.5316.448.3219.851.0719.951.112068.0125.2
所有應收款項合計59.920.547.9517.540.5316.448.3219.851.0719.951.112068.0125.2
存貨113.538.8115.14292.3937.487.4535.975.4129.47328.670.2926
其他流動資產9.143.124.941.84.681.895.212.148.393.279.223.618.573.17
流動資產合計228.278210.476.818775.6182.474.9194.275.7193.275.6207.176.7
公平價值衡量列入其他綜合損益之金融資產–非流動0.190.070.190.070.190.080.190.080.190.080.190.080.210.08
以攤銷後成本衡量之金融資產–非流動1.380.471.330.491.370.551.290.531.570.611.650.641.560.58
非流動金融資產及債券投資合計1.570.541.520.561.560.631.480.611.760.691.840.721.780.66
基金及投資合計1.570.541.520.561.560.631.480.611.760.691.840.721.780.66
不動產、廠房及設備38.111338.7614.136.5414.837.2715.337.914.838.361539.3714.6
使用權資產4.361.494.41.614.221.714.11.684.191.634.171.634.271.58
固定資產合計42.4714.543.1615.840.7716.541.371742.0816.442.5316.643.6416.2
無形資產合計13.614.6513.294.8513.455.4413.785.6613.835.3914.135.5314.365.32
遞延所得稅資產2.260.772.540.932.290.932.270.932.480.972.611.022.510.93
其他資產合計4.391.53.061.122.240.912.210.912.280.891.290.50.710.26
資產總額292.5100274100247.3100243.5100256.7100255.6100270.1100
負債2022Q22022Q12021Q42021Q32021Q22021Q12020Q4
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
短期借款66.5122.751.8318.940.4516.434.7714.332.4512.631.1512.228.4310.5
公平價值衡量列入損益之金融負債–流動0.110.040.120.050.0290.010.0490.020.0340.010.180.070.110.04
短期借款合計66.6222.851.951940.4816.434.8214.332.4812.731.3312.328.5310.6
應付帳款51.5817.652.8819.341.941747.9119.756.8522.155.4321.768.2825.3
其他應付款項12.214.1711.74.275.022.034.581.8811.324.416.482.547.492.77
所有應付款項合計63.7821.864.5823.646.961952.4921.668.1726.661.9224.275.7728.1
遞延所得稅負債–流動2.9213.211.172.340.942.541.052.170.843.151.232.680.99
負債準備–流動2.690.922.831.032.861.163.131.293.21.253.321.33.591.33
其他流動負債23.077.8921.417.8123.29.3821.348.7621.58.3820.858.1626.589.84
流動負債合計159.154.414452.6115.846.8114.347127.549.7120.647.2137.250.8
長期借款0.260.090.260.09----0000--
長期負債合計0.260.090.260.09--000000--
租賃負債–非流動2.260.772.30.842.240.912.070.852.120.832.010.792.010.74
其他負債合計3.581.233.751.373.641.473.271.343.291.283.331.33.511.3
負債總額165.256.5150.354.9121.749.2119.749.1132.951.8125.949.3142.752.8
股東權益2022Q22022Q12021Q42021Q32021Q22021Q12020Q4
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
普通股股本54.1718.554.1719.854.1721.954.1722.254.1721.154.1721.254.1720.1
股本合計54.1718.554.1719.854.1721.954.1722.254.1721.154.1721.254.1720.1
資本公積合計25.388.6825.369.2625.8410.425.8410.625.8410.130.1711.830.0511.1
法定盈餘公積11.7411.274.1211.274.5611.274.6311.274.3911.274.4111.274.17
特別盈餘公積4.471.534.491.644.491.814.491.844.491.757.322.867.322.71
未分配盈餘(或待彌補虧損)4.291.472.270.834.721.913.881.592.761.08-0.15-0.06-1.28-0.47
保留盈餘合計20.47718.046.5820.498.2819.648.0718.527.2218.447.2217.316.41
股東權益其他調整項目合計-2.25-0.77-2.34-0.85-4.47-1.81-4.87-2-4.74-1.85-4.21-1.65-4.49-1.66
母公司股東權益97.7733.495.2334.896.0238.894.7938.993.7936.598.5838.697.0435.9
非控制權益29.5910.128.4510.429.571229.0411.929.9411.731.0712.230.3411.2
股東權益總額127.443.5123.745.1125.650.8123.850.9123.748.2129.750.7127.447.2
待註銷股本股數(萬張)--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)18.05-17.58-17.73-17.5-17.31-18.2-17.91-
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