Goodinfo!台灣股市資訊網
股票代號/名稱
登入網站使用google帳號進行登入使用facebook帳號進行登入
基本概況
 個股市況
 基本資料
 新聞公告
 經營績效
 資產狀況
 現金流量
 每月營收
 產品營收
股東權益
 股東會日程
 股利政策
 除權息日程
 停資停券日
 員工薪資
財務報表
 資產負債表
 損益表
 現金流量表
 財務比率表
 財務評分表
 財報比較
籌碼分析
 法人買賣
 融資融券
 現股當沖
 持股分級
 股東結構
 董監持股
 申報轉讓
技術分析
 個股K線圖
 K線比較圖
 本益比河流圖
 本淨比河流圖
 乖離率河流圖
 季漲跌統計
 月漲跌統計
其他
 上一檔股票
 下一檔股票
 上市大盤
 上櫃大盤
 回到首頁

1101 台泥期貨標的選擇權標的權證標的資料日期: 04/23
成交價 昨收 漲跌價 漲跌幅 振幅 開盤 最高 最低
32.35 32.6 -0.25 -0.77% 2.61% 32.8 33.15 32.3
成交張數 成交金額 成交筆數 成交均張 成交均價 PBR PER PEG
21,5797.04億 9,961 2.2張/筆 32.62元 1.08 30.52 0.64
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)
20,1576.53億 7,939 2.5張/筆 32.41元 +0.6 (+1.88%)

連漲連跌: 首日下跌  ( -0.25元 / -0.77%)        
財報評分: 最新45分 / 平均50分        上市指數: 19599.28 (188.06 / +0.97%)

 * 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。

1101 台泥 年度資產負債表 (合併)(單位:億元)
匯出: 
資產2000199919981997199619951994
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
現金及約當現金20.91.5130.172.8511.531.5512.441.858.692.036.011.536.381.95
透過損益按公允價值衡量之金融資產–流動20.341.4732.813.17.080.9510.391.5515.943.7215.473.9316.875.16
應收票據13.350.979.90.9411.541.5515.132.2514.933.4812.153.0913.274.06
應收票據–關係人1.350.10.180.021.70.230.670.10.0410.011.940.491.550.47
應收帳款29.062.124.232.2915.722.1118.892.8116.083.7514.973.813.554.14
應收帳款–關係人4.70.341.810.175.880.790.760.110.280.060.340.090.950.29
其他應收款3.730.271.180.111.510.21.350.23.550.830.80.20.720.22
應收款項合計52.183.7837.293.5236.364.8836.85.4734.888.1330.27.6730.059.18
存貨19.581.4218.531.7519.32.5919.842.9516.323.8116.554.214.724.5
預付款項42.233.0635.043.3112.031.616.410.9513.253.096.181.574.351.33
其他流動資產9.510.695.660.534.870.653.720.552.330.541.470.371.20.37
流動資產合計164.711.9159.515.191.1712.289.613.391.421.375.8819.373.5722.5
採用權益法之長期股權投資254.518.4150.214.2----------
長期投資合計254.518.4150.214.2148.319.981.7812.255.951360.2415.344.9713.7
投資合計254.518.4150.214.2148.319.981.7812.255.951360.2415.344.9713.7
土地75.945.581.697.7134.424.6134.555.1434.568.0633.438.4933.3610.2
房屋及建築90.926.5885.878.1186.1411.655.398.2441.859.7640.6410.338.9711.9
機器設備178.712.9180.717.1182.124.4179.526.7143.733.5144.236.696.229.4
運輸設備96.386.9870.436.6564.168.666.89.9438.488.9721.015.3318.865.77
租賃改良0.870.060.840.080.840.110.840.130.840.20.830.210.680.21
其他設備15.931.1522.092.0914.93210.821.6110.332.419.912.528.552.61
重估增值152.211172.216.317022.8174.225.919.954.6520.35.1520.546.28
未完工程及預付房地設備款452.132.724322.959.898.0374.8811.178.0918.251.9113.269.521.2
天然資源2.230.162.240.212.240.32.240.332.310.542.310.592.310.71
累計折舊–固定資產-180.8-13.1-171.3-16.2-153.4-20.6-138-20.5-129.7-30.3-107.1-27.2-96.03-29.4
固定資產合計884.464687.765461.361.9461.268.6240.456.1217.455.219359
其他無形資產0.0820.010.0960.01----------
遞延退休金成本11.480.8311.671.113.011.749.761.4510.342.4111.272.8600
無形資產合計11.560.8411.771.1113.011.749.761.4510.342.4111.272.8600
遞延所得稅資產002.140.22.260.30.140.020.160.040.070.0200
閒置資產41.643.0120.681.9516.42.216.212.4116.243.7916.354.152.240.68
存出保證金1.690.122.680.251.050.141.330.21.260.291.470.371.450.44
遞延費用20.691.5181.711.241.5111.051.6410.852.53102.5410.593.24
其他資產–其他1.910.146.150.580.940.131.270.192.220.521.140.291.350.41
其他資產合計65.924.7747.54.4929.633.9729.854.4430.567.1328.957.3515.634.78
非流動資產合計1,21688.1899.384.9654.687.8582.886.7337.478.731880.7253.677.5
資產總額1,3811001,059100745.8100672.4100428.8100393.8100327.1100
負債2000199919981997199619951994
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
短期借款65.894.7769.226.542.780.3715.542.319.692.2614.313.6312.053.68
應付短期票券27.141.9734.833.2932.834.425.533.820.384.7530.327.750.4715.4
應付票據0.0860.010.170.02----------
應付帳款16.031.1618.161.7110.661.438.991.344.421.033.810.973.261
應付帳款–關係人3.610.261.090.10.980.131.690.250.640.151.920.492.10.64
應付費用17.231.2513.791.310.781.459.891.478.912.085.921.56.682.04
應付所得稅0.70.050.690.070.180.021.260.190.0280.010.450.111.240.38
其他應付款3.580.264.050.385.270.713.720.552.560.63.130.795.851.79
應付款項合計41.232.9937.943.5827.873.7425.563.816.573.8615.223.8719.135.85
預收款項5.960.435.480.527.741.047.411.19.952.326.451.646.091.86
一年或一營業週期內到期長期負債39.982.8933.513.1620.12.699.271.3814.243.327.061.792.720.83
其他流動負債3.340.242.40.232.50.331.280.191.840.431.180.31.750.54
流動負債合計183.513.3183.417.393.8112.684.612.672.6616.974.5418.992.2128.2
應付公司債1007.24130.212.390.112.1608.92601400--
長期借款519.437.6202.119.1106.714.379.9611.966.8715.698.42526.938.23
長期負債合計619.444.9332.331.4196.826.414020.8126.929.698.42526.938.23
土地增值稅準備93.296.7593.348.8290.6312.293.0113.84.491.054.461.134.461.36
營業及負債準備合計93.296.7593.348.8290.6312.293.0113.84.491.054.461.134.461.36
遞延所得稅負債0.160.01000.620.082.790.411.290.30.390.100
淨確定福利負債–非流動10.510.768.580.819.731.34.350.653.950.924.111.0400
存入保證金0.110.010.260.020.230.030.20.030.210.050.160.040.160.05
其他負債–其他2.640.191.920.182.530.348.391.251.840.433.040.772.960.91
其他負債合計13.270.9610.761.0212.481.6712.941.9361.47.311.863.120.95
非流動負債合計726.152.6436.441.2300.540.3248.737138.732.3110.628.134.5110.5
負債總額909.765.9619.858.5394.352.9333.349.6211.349.3185.147126.738.7
股東權益2000199919981997199619951994
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
普通股股本237.217.2219.620.7181.524.316524.5140.932.9128.132.5114.435
股本合計237.217.2219.620.7181.524.316524.5140.932.9128.132.5114.435
資本公積–發行溢價31.222.2637.813.5717.812.3927.714.121.650.385.491.395.491.68
資本公積–處分資產增益3.640.263.590.3416.32.190.220.038.5621.180.30.990.3
資本公積–受贈資產0.320.020.320.030.320.040.320.050.320.070.320.080.320.1
資本公積–長期投資12.450.910.981.048.121.093.050.451.360.326.191.570.780.24
資本公積–資產重估增值準備71.345.1771.346.7471.349.5771.3410.63.90.913.90.993.91.19
資本公積–其他1.060.081.040.10.90.120.780.120.680.160.580.150.420.13
資本公積合計1208.69125.111.8114.815.4103.415.416.473.8417.664.4811.893.64
法定盈餘公積39.762.8837.483.5436.684.9234.835.1833.457.831.768.0629.479.01
特別盈餘公積1.70.121.70.161.70.231.70.251.70.41.70.431.70.52
未分配盈餘(或待彌補虧損)9.070.6621.92.0710.851.4622.663.3715.813.6921.445.4434.9910.7
保留盈餘合計50.533.6661.085.7749.236.659.188.850.9611.954.8913.966.1720.2
國外營運機構財務報表換算之兌換差額4.50.333.120.293.070.413.670.55-0.65-0.15-0.87-0.22-1.18-0.36
確定福利計畫再衡量數-0.94-0.0700-1.18-0.1600------
未實現長期股權投資損失-12.29-0.89-7.24-0.68-6.24-0.8400-----0.084-0.03
其他權益合計-8.73-0.63-4.12-0.39-4.35-0.583.670.55-0.65-0.15-0.87-0.22-1.26-0.39
庫藏股票-0.77-0.06-1.38-0.13-2.47-0.33-1.89-0.28------
非控制權益73.155.338.763.6612.731.719.681.449.842.298.982.289.242.83
股東權益總額471.434.1439.141.5351.447.1339.150.4217.550.7208.753200.461.3
每股淨值(元)16.82-18.28-18.79-20.07-14.74-15.6-16.72-
財務報告書–公開資訊觀測站


股豐資訊有限公司 (統一編號 24620254) 版權所有 © 2012-2024 Good Information Co., Ltd. All Rights Reserved.  (服務條款)

本網站運用 Cookie 技術以提供您更佳的瀏覽體驗,如果您持續使用本網站,代表您已同意使用。 (隱私及Cookies政策)

本網站所有資料僅供參考,如使用者依本資料交易發生交易損失需自行負責,股豐資訊有限公司 對資料內容錯誤、更新延誤或傳輸中斷不負任何責任。

ETtoday新聞雲 | Anue鉅亨 | PR Newswire | Investing.com 相關新聞標題與內容之著作權與智慧財產權均屬原網站及原作者所有,本網站僅提供新聞聯播,不主張任何權利。