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7566 亞果遊艇資料日期: 09/22
成交價 昨收 漲跌價 漲跌幅 振幅 開盤 最高 最低
32.1 31.95 +0.15 +0.47% 1.88% 31.95 32.1 31.5
成交張數 成交金額 成交筆數 成交均張 成交均價 PBR PER PEG
2683.59 萬 39 0.7 張/筆 31.92 元 1.3 N/A N/A
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)
123390.2 萬 121 1 張/筆 31.79 元 -0.4 (-1.24%)

連漲連跌: 首日上漲  ( +0.15元 / +0.47%)        
財報評分: 最新60分 / 平均58分        

 * 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。

7566 亞果遊艇 累季財務比率表 (合併)    (單位:%)
   
獲利能力2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
營業毛利率4964.8175.0773.3873.8171.2967.757.0557.68-16.56
營業利益率-7.2117.8134.8133.9533.1923.7316.56-3.94-4.81-100.1
稅前淨利率-11.6818.7530.7529.628.0524.0715.440.41-8.86-99.09
稅後淨利率-13.5613.9523.5325.6828.0523.7415.25-0.52-9.67-99.09
稅後淨利率 (母公司)-10.5413.9624.4525.8928.2124.317.661.4-6.36-96.84
每股稅前盈餘 (元)-0.180.850.871.690.921.360.380.01-0.14-1.93
每股稅後盈餘 (元)-0.160.630.691.480.921.380.430.05-0.1-1.89
每股淨值 (元)24.624.7422.9522.2916.5915.613.8913.64--
股東權益報酬率 (季累計)-0.812.552.896.745.619.062.68-0.14-1.34-20.27
股東權益報酬率 (年預估)-1.622.555.776.7411.229.065.36-0.14-2.68-20.27
資產報酬率 (季累計)-0.441.341.453.072.163.461.04-0.07-0.63-12.27
資產報酬率 (年預估)-0.881.342.913.074.323.462.08-0.07-1.26-12.27
獲利年成長率2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
營收年成長率-33.2515.8238.3430.2649.3379.8672.67116.4-46.3
毛利年成長率-56.432.2840.7134.0862.81124.8102.7845.7-48.38
營業利益年成長率-113.8-39.2445.186.37199.21183694.891.48-1.19
稅前淨利年成長率-125.4-26.6351.6460.17171.210571400.9100.9-3.97
稅後淨利年成長率-138.5-37.1116.0740.92174.68377372.398.87-3.97
稅後淨利年成長率 (母公司)-128.8-37.5519.9538.78138.53023579.4103.1-6.15
每股稅後盈餘年成長率-123.2-57.43-25.187.62114.52650530102.6-49.19
各項資產佔總資產比重2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
現金 (%)18.4223.2415.1627.387.312.516.7312.584.719.55
應收帳款 (%)0.080.530.120.230.560.441.410.980.881.62
存貨 (%)0.010.030.030.010.040.040.340.390.412.09
速動資產 (%)18.523.7815.2927.637.8812.9718.1813.615.6630.57
流動資產 (%)22.1126.0617.7628.688.8513.4519.9315.598.3636.29
基金與投資 (%)14.8615.3513.3710.8715.0511.932.833.265.887.45
固定資產 (%)3028.929.9823.3236.3634.2235.7635.5931.3841.54
無形資產 (%)2.732.763.052.694.3345.926.77.5414.35
其他資產 (%)5.541.732.880.731.461.160.770.530.010
資產年成長率2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
現金年成長率55.047.58250285.9-43.1533.76368.4201.3--15.56
應收帳款年成長率-21.21188.5-62.78-6.42-48.73-39.68110.638.01-109.9
存貨年成長率-39.14252.62.79-53.76-84.13-87.18.74-57.23-1768
流動資產年成長率58.8915.23238.1275.7-42.1316.08214.2-1.73-169.9
基金與投資年成長率41.8979.0549.6360.47591.8392.4-36.490.16-2538
固定資產年成長率27.757.1838.920.0332.4929.3850.1896-24.32
無形資產年成長率14.2430.3218.5618.51-4.65-19.683.456.73-12.73
其他資產年成長率146201.5230.99.87148.4198.311010---100
資產總額年成長率27.6126.7968.4576.1830.3334.5631.77128.7-61.29
負債&股東權益佔總資產2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
應付帳款 (%)0.651.441.240.861.962.581.651.632.335
流動負債 (%)7.376.474.675.4410.3511.2913.7310.838.9914.72
長期負債 (%)9.439.066.226.248.586.5111.6412.797.8815.28
其他負債 (%)0.370.390.510.520.670.930.190.40.741.95
負債總額 (%)46.2945.3548.9450.2761.3761.760.2762.1163.8831.94
普通股股本 (%)21.4521.7621.9822.0722.812428.3426.9832.6161.57
股東權益總額 (%)53.7154.6551.0649.7338.6338.339.7337.8936.1268.06
負債&股東權益年增減率2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
應付帳款年成長率-33.21111.66.72-41.254.62113.5-6.8-25.6--47.78
流動負債年成長率101.250.7-23.91-15.08-1.7940.19101.468.38--20.19
長期負債年成長率93.384.1622.1468.86-3.87-31.5194.4991.54-41.1
其他負債年成長率-8.36-4.729.2-0.94370.2211-66.86-52.95--28.2
負債總額年成長率20.7114.434.3443.5432.733.6724.32344.8--0.12
普通股股本年成長率24.5325.0362.3662.034.919.6814.520.24-69.16
股東權益總額年成長率34.2239.32122.6128.826.7336.0244.9527.36-126.7
償債能力2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
現金比250359.3324.4503.470.51110.8121.8116.152.3764.9
速動比251367.7327507.976.14114.9132.4125.662.97207.8
流動比300.1403.1380527.285.52119.2145.1143.993.03246.6
利息保障倍數-0.435.058.297.296.539.087.921.13-0.79-43.39
現金流量比 (季累計)6.2273.53-275.0433.8382.4558.4311229.28-2.37
現金流量比 (年預估)12.4573.53-4.0175.0467.6682.45116.911258.56-2.37
經營能力2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
營業成本率5135.1924.9326.6226.1928.7132.342.9542.32116.6
營業費用率56.214740.2639.4440.6247.5751.1360.9962.4983.55
應收帳款週轉率 (次/年)21.5223.9769.5638.8830.8421.7411.3211.2411.468.37
應收款項收現日數 (日)16.9615.235.259.3911.8316.7932.2532.4831.8543.61
應付帳款週轉率 (次/年)3.182.852.932.151.781.922.692.141.71.6
應付款項付現日數 (日)114.8128.1124.6170204.7189.9135.8170.7215227.5
存貨週轉率 (次/年)168.1171.4174.7160.2101.822.1612.066.245.5610.6
平均售貨日數 (日)2.172.132.092.283.5916.4730.2658.5465.6934.44
固定資產週轉率 (次/年)0.220.360.460.440.440.420.380.350.370.27
總資產週轉率 (次/年)0.060.10.120.120.150.150.140.130.130.12
淨值週轉率 (次/年)0.120.180.250.260.40.380.350.280.280.2
應收帳款佔營收比率 (季累計)2.366.222.497.423.4621.610.3217.7116.18
應收帳款佔營收比率 (年預估)1.186.212.493.713.4610.810.328.8516.18
存貨佔營收比率 (季累計)0.380.320.410.110.550.35.224.138.2820.88
存貨佔營收比率 (年預估)0.190.320.210.110.280.32.614.134.1420.88
現金流量狀況2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
每股營業現金流量 (元)0.222.5-0.042.491.534.152.994.570.83-0.07
每股投資現金流量 (元)-3.04-9.97-5.52-5.54-3.95-3.91-1.64-4.25-0.63-7.28
每股融資現金流量 (元)0.728.330.0715.420.431.170.582.84-0.317
每股淨現金流量 (元)-2.10.86-5.4912.37-1.981.411.933.16-0.11-0.34
每股自由現金流量 (元)-2.82-7.47-5.56-3.05-2.420.241.350.320.2-7.34
其他指標2023Q22022Q42022Q22021Q42021Q22020Q42020Q22019Q42019Q22018Q4
負債對淨值比率86.282.9995.85101.1158.9161.1151.7163.9176.946.93
長期資金適合率210.5220.4191.1240.1129.9131143.6142.4140.2200.6
所得稅佔稅前淨利比率-16.0925.6223.4613.2301.381.24227.1-9.120
業外損益佔營收比率-4.470.94-4.06-4.35-5.140.34-1.124.35-4.061.02
業外損益佔稅前淨利比率38.265.02-13.21-14.7-18.311.43-7.23107145.76-1.03
財報評分 (100為滿分)43606264626060473834


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