單位:仟元
日期 |
現金及 約當現金 | 短期投資 |
應收帳款 及票據 | 存貨 |
其他 流動資產 | 流動資產 | 長期投資 | 固定資產 | 總資產 |
---|---|---|---|---|---|---|---|---|---|
2024/Q2 | 2,384,843 | 96 | 768,889 | 508,113 | 89,651 | 3,762,328 | 16,167 | 3,371,438 | 7,680,967 |
2024/Q1 | 3,666,800 | 96 | 865,319 | 596,563 | 108,842 | 5,249,482 | 16,165 | 3,433,646 | 9,231,835 |
2023/Q4 | 3,283,001 | 96 | 1,027,105 | 740,957 | 105,276 | 5,162,101 | 16,163 | 3,494,030 | 9,212,885 |
2023/Q3 | 2,671,759 | 96 | 1,169,007 | 785,728 | 112,449 | 4,744,292 | 16,452 | 3,598,071 | 8,898,558 |
2023/Q2 | 1,637,299 | 96 | 618,150 | 558,050 | 93,042 | 2,928,307 | 16,434 | 3,611,363 | 7,140,139 |
2023/Q1 | 1,729,060 | 96 | 434,786 | 571,852 | 98,991 | 2,860,234 | 16,439 | 3,467,492 | 7,142,390 |
2022/Q4 | 1,970,759 | 96 | 778,517 | 582,816 | 88,463 | 3,439,260 | 16,420 | 3,119,127 | 7,753,957 |
2022/Q3 | 1,778,257 | 96 | 1,003,613 | 1,022,047 | 85,976 | 3,952,626 | 16,531 | 3,173,422 | 8,134,445 |
2022/Q2 | 2,208,016 | 96 | 722,151 | 1,260,219 | 89,874 | 4,340,927 | 16,525 | 3,207,199 | 8,456,150 |
2022/Q1 | 2,758,975 | 96 | 745,851 | 1,330,143 | 103,721 | 4,942,677 | 16,719 | 3,281,414 | 9,042,348 |
2021/Q4 | 4,574,719 | 96 | 1,758,010 | 1,975,275 | 209,740 | 8,517,980 | 16,712 | 3,266,653 | 12,521,433 |
2021/Q3 | 2,684,669 | 42,556 | 1,907,009 | 2,122,062 | 219,792 | 6,976,623 | 16,623 | 3,236,728 | 10,812,900 |
2021/Q2 | 4,127,921 | 40,223 | 1,930,464 | 1,926,442 | 257,348 | 8,282,823 | 16,487 | 2,966,935 | 11,831,039 |
2021/Q1 | 2,720,318 | 55,516 | 2,150,902 | 1,804,272 | 243,899 | 6,975,419 | 17,075 | 2,884,049 | 10,255,799 |
2020/Q4 | 2,613,129 | 54,646 | 2,389,936 | 1,096,194 | 191,508 | 6,345,935 | 16,994 | 2,852,873 | 9,541,148 |
2020/Q3 | 1,476,124 | 50,128 | 2,324,017 | 946,863 | 254,396 | 5,072,519 | 169,698 | 2,461,007 | 8,002,335 |
2020/Q2 | 1,756,699 | 37,828 | 1,419,374 | 724,418 | 119,687 | 4,079,529 | 201,061 | 2,288,724 | 6,846,122 |
2020/Q1 | 2,346,288 | 31,331 | 749,188 | 520,830 | 103,540 | 3,752,871 | 149,944 | 2,331,422 | 6,499,194 |
2019/Q4 | 2,137,750 | 144,908 | 1,077,951 | 636,030 | 107,614 | 4,105,697 | 198,565 | 2,337,281 | 6,904,434 |
2019/Q3 | 1,350,310 | 455,566 | 1,511,934 | 707,095 | 199,875 | 4,226,307 | 212,901 | 2,308,850 | 7,015,676 |
短期投資 計算方式:【透過損益按公允價值衡量之金融資產-流動資產】+ 【透過其他綜合損益按公允價值衡量之金融資產-流動資產】+ 【備供出售金融資產-流動資產】 + 【持有至到期日金融資產-流動資產】+ 【按攤銷後成本衡量之金融資產-流動資產】+ 【 以成本衡量之金融資產-流動資產】+ 【無活絡市場之債券投資-流動資產】 長期投資 計算方式:【透過損益按公允價值衡量之金融資產-非流動資產】+【透過其他綜合損益按公允價值衡量之金融資產-非流動資產】+ 【備供出售金融資產-非流動資產】+【持有至到期日金融資產-非流動資產】+【避險之衍生金融資產-非流動資產】+ 【按攤銷後成本衡量之金融資產-非流動資產】+【以成本衡量之金融資產-非流動資產】+【無活絡市場之債券投資-非流動資產】+【採用權益法之投資】