財務報表-損益表 / 單位(千)元
|
請選擇全年/半年報表
|
全年報
項目/年度 |
96 |
97 |
98 |
99 |
100 |
101 |
營業收入 |
814,725 |
783,996 |
811,742 |
815,309 |
802,283 |
796,608 |
營業成本 |
420,610 |
406,761 |
405,564 |
394,642 |
390,649 |
373,033 |
營業毛利損 |
394,115 |
377,235 |
406,178 |
420,667 |
411,634 |
423,575 |
營業費用 |
128,563 |
105,132 |
115,870 |
108,659 |
110,982 |
105,519 |
營業損益 |
265,552 |
272,103 |
290,308 |
312,008 |
300,652 |
318,056 |
營業外收入 |
35,435 |
51,411 |
35,470 |
37,935 |
46,948 |
103,145 |
營業外支出 |
20,653 |
67,286 |
1,006 |
64 |
227 |
93 |
稅前損益 |
280,334 |
256,228 |
324,772 |
349,879 |
347,373 |
421,108 |
所得稅費用利益 |
64,118 |
73,847 |
76,238 |
55,749 |
46,558 |
61,272 |
稅後損益 |
216,216 |
182,381 |
248,534 |
294,130 |
300,815 |
359,836 |
期末股本 |
- - |
- - |
- - |
- - |
- - |
- - |
普通股每股盈餘 |
5.070 |
3.260 |
4.440 |
- - |
5.370 |
6.430 |
簡單每股盈餘 |
- - |
- - |
- - |
- - |
- - |
- - |
完全稀釋每股盈餘 |
- - |
- - |
- - |
- - |
- - |
- - |
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財務報表-資產負債表 / 單位(千)元 |
請選擇全年/半年報表
|
全年報
項目/年度 |
96 |
97 |
98 |
99 |
100 |
101 |
流動資產 |
420,164 |
566,545 |
723,369 |
786,120 |
646,334 |
390,698 |
現金及約當現金 |
212,688 |
424,663 |
592,389 |
689,664 |
556,456 |
239,891 |
短期投資 |
- - |
- - |
- - |
- - |
- - |
- - |
應收票據淨額 |
6,431 |
8,726 |
10,157 |
7,876 |
10,954 |
20,741 |
應收短期票據 |
- - |
- - |
- - |
- - |
- - |
- - |
應收票據–關係人淨額 |
- - |
- - |
- - |
- - |
- - |
- - |
應收帳款淨額 |
17,010 |
64,167 |
76,745 |
72,823 |
65,870 |
70,469 |
應收帳款–關係人淨額 |
- - |
- - |
- - |
- - |
- - |
- - |
其他應收款項 |
- - |
- - |
- - |
- - |
- - |
40,538 |
其他應收款項–關係人 |
- - |
- - |
- - |
- - |
- - |
- - |
存貨 |
17,010 |
8,124 |
9,939 |
9,820 |
9,632 |
9,200 |
預付款項 |
6,234.000 |
3,579.000 |
7,610.000 |
5,937.000 |
3,422.000 |
8,688.000 |
預付費用 |
- - |
- - |
- - |
- - |
- - |
- - |
其他流動資產 |
- - |
- - |
- - |
- - |
- - |
1,171.000 |
基金及長期投資 |
- - |
- - |
- - |
- - |
- - |
- - |
長期投資 |
- - |
- - |
- - |
- - |
- - |
- - |
固定資產 |
452,657 |
383,139 |
323,392 |
274,276 |
216,297 |
799,684 |
無形資產 |
- - |
- - |
- - |
- - |
- - |
45,326 |
其他資產 |
39,167 |
5,541 |
2,872 |
8,038 |
7,986 |
768,291 |
存出保證金 |
745 |
- - |
- - |
6,946 |
7,187 |
8,417 |
遞延費用 |
1,645 |
- - |
- - |
- - |
- - |
5,992 |
遞延所得稅資產 |
7,810 |
667 |
- - |
- - |
- - |
- - |
其他資產–其它 |
- - |
1,390 |
2,872 |
1,092 |
799 |
- - |
資產總額 |
1,609,598 |
1,600,069 |
1,791,439 |
1,932,805 |
2,019,334 |
3,027,967 |
負債及股東權益總額 |
1,609,598 |
1,600,069 |
1,791,439 |
1,932,805 |
2,019,334 |
3,027,967 |
流動負債 |
- - |
- - |
- - |
- - |
- - |
- - |
短期借款 |
- - |
- - |
- - |
- - |
- - |
46,145 |
應付短期票券 |
- - |
- - |
- - |
- - |
- - |
- - |
應付票據 |
47,532 |
40,711 |
42,611 |
40,827 |
42,912 |
53,444 |
應付票據–關係人淨額 |
- - |
- - |
- - |
- - |
- - |
- - |
應付帳款 |
7,486 |
6,069 |
8,021 |
6,482 |
5,982 |
6,046 |
應付帳款–關係人淨額 |
- - |
- - |
- - |
- - |
- - |
- - |
應付所得稅 |
38,246 |
32,912 |
40,723 |
30,021 |
18,968 |
54,253 |
應付費用 |
27,626 |
23,042 |
32,039 |
32,769 |
36,448 |
41,343 |
其他應付款項–關係人 |
- - |
- - |
- - |
- - |
- - |
- - |
其他應付款項 |
9,413 |
842 |
1,804 |
1,260 |
787 |
57,048 |
一年或一營業週期內到期長期負債 |
- - |
- - |
- - |
- - |
- - |
8,538 |
預收款項 |
30,470 |
107,273 |
108,863 |
116,288 |
118,908 |
112,451 |
其他流動負債 |
- - |
- - |
- - |
- - |
- - |
- - |
長期負債 |
- - |
- - |
- - |
- - |
- - |
498,716 |
長期借款 |
- - |
- - |
- - |
- - |
- - |
498,716 |
其他負債 |
1,520 |
2,169 |
3,710 |
5,558 |
5,619 |
14,245 |
負債總額 |
162,293 |
213,018 |
237,771 |
233,205 |
229,624 |
930,962 |
股本 |
- - |
- - |
- - |
- - |
- - |
- - |
普通股股本 |
560,000 |
560,000 |
560,000 |
560,000 |
560,000 |
560,000 |
股本–其它 |
- - |
- - |
- - |
- - |
- - |
- - |
待分配股票股利 |
- - |
- - |
- - |
- - |
- - |
- - |
資本公積 |
360,800 |
360,800 |
360,800 |
360,800 |
360,800 |
360,800 |
保留盈餘 |
451,099 |
429,313 |
498,647 |
579,977 |
656,792 |
792,628 |
法定盈餘公積 |
129,124 |
150,746 |
168,984 |
193,837 |
223,250 |
253,332 |
未提撥保留盈餘 |
321,975 |
278,567 |
329,663 |
386,140 |
433,542 |
539,296 |
未實現長期股權投資損失 |
- - |
- - |
- - |
- - |
- - |
- - |
累積換算調整數 |
2,859 |
7,637 |
7,041 |
2,554 |
15,116 |
11,816 |
金融商品未實現損益 |
- - |
- - |
- - |
- - |
- - |
- - |
未認列為退休金成本之淨損失 |
- - |
- - |
- - |
- - |
|
- - |
股東權益總額 |
1,447,305 |
1,387,051 |
1,553,668 |
1,699,600 |
1,789,710 |
2,097,005 |
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