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2207 和泰車資料日期: 04/23
成交價 昨收 漲跌價 漲跌幅 振幅 開盤 最高 最低
610 611 -1 -0.16% 1.64% 610 616 606
成交張數 成交金額 成交筆數 成交均張 成交均價 PBR PER PEG
2771.69億 480 0.6張/筆 611.5元 5.13 14.87 0.07
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)
2671.62億 585 0.5張/筆 606.9元 +10 (+1.66%)

連漲連跌: 首日下跌  ( -1元 / -0.16%)        
財報評分: 最新45分 / 平均41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。

2207 和泰車 年度資產負債表 (合併)(單位:億元)
匯出: 
資產2010200920082007200620052004
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
現金及約當現金77.69.0869.899.8561.618.9274.810.649.237.8758.179.8241.319.61
透過損益按公允價值衡量之金融資產–流動14.121.658.41.18007.191.0217.022.7254.749.2459.8813.9
備供出售金融資產–流動0.0100.00800.00600.00800.360.060.0070--
避險之金融資產–流動------0.140.02------
應收票據45.515.3220.292.8618.132.6219.652.7819.313.0920.463.4519.234.47
應收帳款312.636.6263.937.226338.1293.141.5258.241.3214.936.3117.227.2
其他應收款3.920.463.40.482.280.333.840.543.490.563.370.573.810.89
應收款項合計36242.4287.640.5283.441316.644.928144.9238.840.3140.232.6
存貨66.867.8236.995.2157.548.3342.796.0641.476.6327.584.6611.662.71
預付費用24.992.9219.822.7912.241.7714.262.02------
其他流動資產4.010.474.570.645.590.815.620.819.693.1518.633.1516.113.75
流動資產合計549.664.3427.260.2420.460.8461.465.4408.865.4397.967.2269.162.6
備供出售金融資產–非流動4.710.554.060.572.650.384.420.635.110.822.330.39--
按攤銷後成本衡量之金融資產–非流動1.920.221.940.271.980.2917.42.4717.582.8116.252.74--
採用權益法之長期股權投資57.436.7253.637.5651.447.4412.661.7911.381.8210.91.8430.97.19
長期投資合計57.436.7253.637.5651.447.4412.661.7911.381.8210.91.8430.97.19
投資合計64.067.4959.638.4156.088.1134.484.8934.075.4529.484.9830.97.19
土地27.873.2627.053.8127.724.0126.413.7425.244.0426.024.3923.535.47
房屋及建築27.533.2226.113.6822.813.319.882.8217.412.7817.262.9113.843.22
水電設備1.340.161.330.191.430.211.420.21.420.231.420.241.420.33
辦公設備10.381.219.671.369.421.368.641.227.381.186.441.094.781.11
機具設備7.150.846.860.976.190.95.030.714.650.744.290.720.430.1
出租資產–其他231.127209.729.6198.628.719127.115825.3130.32291.8421.4
租賃改良1.820.212.270.322.320.341.760.253.040.492.860.482.640.61
重估增值14.591.7114.592.0614.592.1113.41.913.312.1313.312.2513.243.08
未完工程及預付房地設備款0.590.071.660.230.950.141.930.271.640.260.170.031.90.44
累計折舊–固定資產-94.05-11-89.46-12.6-81.09-11.7-71.85-10.2-61.71-9.87-48.06-8.11-31.95-7.43
固定資產合計228.426.7209.829.6202.929.4197.628170.427.315426121.728.3
其他無形資產2.280.272.110.31.750.251.820.261.450.230.510.09--
遞延退休金成本----------0.00200.0060
無形資產合計2.280.272.110.31.750.251.820.261.450.230.510.090.0060
出租資產5.950.76.880.976.60.957.191.027.211.157.741.316.281.46
閒置資產--------0.710.110.290.0500
存出保證金2.230.262.390.341.610.231.190.170.840.130.950.160.910.21
其他資產–其他2.310.271.370.191.690.241.990.281.870.31.510.251.030.24
其他資產合計10.51.2310.641.59.91.4310.371.4710.621.710.51.778.221.91
非流動資產合計305.235.7282.239.8270.739.2244.334.6216.534.6194.432.8160.837.4
資產總額854.8100709.4100691.1100705.7100625.3100592.3100429.9100
負債2010200920082007200620052004
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
短期借款312.536.6239.733.8252.536.5295.941.9252.440.4210.635.512428.8
應付短期票券54.546.3834.234.8247.726.9118.342.624.943.9928.274.7735.648.29
透過損益按公允價值衡量之金融負債–流動1.560.180.660.0900--------
避險之金融負債–流動0.320.040.790.111.10.1600------
應付票據0.890.11.020.140.530.080.480.070.320.050.350.060.290.07
應付帳款15.961.8719.772.7911.281.6313.881.9713.292.138.241.394.381.02
應付帳款–關係人31.863.7325.743.6322.233.2218.992.6911.141.7839.256.6332.847.64
應付費用30.63.5827.33.8522.623.2721.673.0713.622.1816.362.7610.092.35
應付所得稅6.980.827.341.045.620.817.361.045.610.98.131.375.81.35
其他應付款6.950.813.90.553.590.526.450.91------
應付款項合計93.2410.985.071265.869.5368.839.7543.997.0372.3312.253.412.4
其他金融負債–流動0.90.11------------
預收款項10.461.2213.161.858.881.285.910.84------
一年或一營業週期內到期長期負債7.740.9114.492.0412.491.8112.51.77142.24122.0310.23
在建工程-----------2.46-0.4100
預收工程款----------2.620.4400
其他流動負債--------13.842.2110.211.726.081.41
流動負債合計481.356.3388.154.7388.656.2401.556.9349.255.8333.556.3220.151.2
長期借款30.183.5317.692.4923.653.42273.8322.73.6323.53.97235.35
長期負債合計30.183.5317.692.4923.653.42273.8322.73.6323.53.97235.35
土地增值稅準備5.650.665.650.85.650.825.650.85.770.925.770.974.941.15
營業及負債準備合計5.650.665.650.85.650.825.650.85.770.925.770.974.941.15
遞延所得稅負債1.710.21.740.241.460.211.380.21.170.19----
淨確定福利負債–非流動1.690.21.590.222.570.372.150.312.050.332.20.370.430.1
存入保證金59.326.9454.517.6851.237.4148.726.938.576.1731.325.2921.254.94
其他負債–其他4.640.540.0120--0.0920.010.00200.210.040.0390.01
其他負債合計65.657.6856.127.9153.87.7850.977.2240.636.533.735.6921.725.05
非流動負債合計103.212.181.1911.484.5612.2851270.2711.26310.649.6611.5
負債總額584.568.4469.366.2473.168.5486.568.9419.567.1396.566.9269.762.7
股東權益2010200920082007200620052004
 金額  %  金額  %  金額  %  金額  %  金額  %  金額  %  金額  % 
普通股股本54.626.3954.627.754.627.954.627.7454.628.7354.629.2254.6212.7
股本合計54.626.3954.627.754.627.954.627.7454.628.7354.629.2254.6212.7
資本公積–發行溢價2.630.312.630.372.630.382.630.372.630.422.630.442.630.61
資本公積–長期投資0.770.090.770.110.770.110.770.110.790.130.790.130.790.18
資本公積–資產重估增值準備------------6.011.4
資本公積合計3.40.43.40.483.40.493.40.483.420.553.420.589.432.19
法定盈餘公積37.054.3333.774.7631.254.5227.853.9524.333.8919.773.3416.373.81
特別盈餘公積000.360.0500--------
未分配盈餘(或待彌補虧損)134.615.7110.815.694.613.797.0213.790.6914.591.7815.572.6216.9
保留盈餘合計171.720.114520.4125.918.2124.917.711518.4111.518.888.9920.7
國外營運機構財務報表換算之兌換差額-0.11-0.012.090.292.980.431.310.190.580.090.360.060.0580.01
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2.240.261.280.18-0.35-0.052.160.312.780.4500--
確定福利計畫再衡量數-0.21-0.03-0.088-0.01-0.016000------
未實現重估增值6.010.76.010.856.010.876.010.856.010.966.011.02--
其他權益合計7.930.939.291.318.631.259.481.349.371.56.371.080.0580.01
非控制權益32.73.8327.843.9225.433.6826.873.8123.383.7419.873.357.121.66
股東權益總額270.331.6240.133.8217.931.5219.231.1205.832.9195.833.1160.237.3
預收股款之約當發行股數(萬張)0-0-0-0-0-----
母公司暨子公司持有之母公司庫藏股股數(萬張)0-0-0-0-0-0---
每股淨值(元)43.51-38.87-35.25-35.22-33.4-32.22-28.03-
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