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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/Q4 | 14,100,396 | 8,520,204 | 10,038,346 | 24,201,163 | 1,932,190 | 59,515,489 | 10,833,279 | 100,252,092 | 177,784,148 |
2024/Q3 | 15,504,660 | 11,816,681 | 11,562,629 | 23,057,175 | 2,032,703 | 64,921,671 | 12,859,601 | 100,915,377 | 186,255,837 |
2024/Q2 | 13,408,518 | 12,121,499 | 11,160,033 | 22,433,998 | 2,054,380 | 62,269,236 | 13,312,519 | 99,803,548 | 182,501,734 |
2024/Q1 | 13,710,169 | 12,577,127 | 11,386,817 | 22,391,551 | 2,046,833 | 62,956,872 | 13,580,938 | 100,916,364 | 185,599,820 |
2023/Q4 | 16,962,598 | 13,169,039 | 9,783,527 | 23,869,969 | 1,918,109 | 66,505,389 | 14,145,885 | 102,147,688 | 190,787,944 |
2023/Q3 | 20,352,951 | 12,254,882 | 10,720,622 | 23,220,187 | 1,544,342 | 69,167,302 | 13,429,653 | 92,305,879 | 183,468,627 |
2023/Q2 | 17,640,454 | 13,831,489 | 10,484,980 | 22,383,424 | 1,637,525 | 67,648,652 | 14,001,503 | 90,730,763 | 180,862,502 |
2023/Q1 | 18,129,136 | 15,702,089 | 9,587,066 | 21,945,080 | 1,301,534 | 67,637,325 | 14,669,292 | 92,813,052 | 183,938,753 |
2022/Q4 | 20,402,936 | 14,811,364 | 9,873,405 | 21,448,078 | 1,346,173 | 68,537,523 | 13,150,044 | 93,806,639 | 184,164,993 |
2022/Q3 | 18,290,658 | 13,183,312 | 11,572,155 | 20,479,002 | 1,311,912 | 65,714,428 | 12,079,880 | 92,452,543 | 178,800,277 |
2022/Q2 | 26,419,261 | 11,124,597 | 12,774,589 | 18,816,333 | 1,346,463 | 72,173,429 | 10,869,953 | 87,634,668 | 179,088,329 |
2022/Q1 | 30,153,294 | 11,116,883 | 12,210,077 | 17,558,927 | 1,119,579 | 73,528,265 | 11,634,767 | 75,593,696 | 168,193,241 |
2021/Q4 | 30,914,427 | 11,193,652 | 12,154,855 | 15,940,688 | 1,036,085 | 72,506,733 | 11,837,098 | 61,079,605 | 152,740,284 |
2021/Q3 | 22,340,398 | 10,221,727 | 12,943,963 | 15,270,998 | 1,093,596 | 63,155,995 | 10,131,484 | 59,995,867 | 140,647,490 |
2021/Q2 | 17,750,564 | 12,851,597 | 12,650,515 | 14,454,024 | 940,835 | 59,869,186 | 11,744,796 | 60,417,059 | 139,208,440 |
2021/Q1 | 13,084,635 | 9,431,900 | 10,804,399 | 14,480,093 | 811,534 | 50,880,028 | 9,234,410 | 60,161,942 | 128,077,025 |
2020/Q4 | 11,744,306 | 8,888,830 | 9,785,138 | 14,141,414 | 997,529 | 47,530,801 | 8,481,776 | 61,452,516 | 126,043,240 |
2020/Q3 | 9,235,795 | 6,772,210 | 10,462,429 | 14,356,530 | 1,722,007 | 45,212,057 | 6,235,699 | 61,884,457 | 121,483,282 |
2020/Q2 | 12,558,789 | 6,411,185 | 6,711,007 | 10,582,810 | 1,521,278 | 38,610,882 | 5,060,487 | 55,340,204 | 103,540,695 |
2020/Q1 | 10,631,690 | 4,894,592 | 6,259,021 | 10,568,598 | 1,654,459 | 34,785,731 | 4,408,992 | 55,409,113 | 99,266,217 |
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】