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2025.04.07收盤

新纖-損益表

合併綜合損益表

第四季 (最新)
單季
(TWD千元)2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年2013年全年2012年全年
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
收入
利息收入889,817775,309598,877584,006494,073487,830429,185394,687347,158370,543373,132390,365389,876
手續費收入546,174451,886408,154587,142442,252213,504176,237187,89473,891101,980123,03638,63532,261
採用權益法認列之關聯企業及合資利益之份額(33,013)(18,465)(12,949)(9,233)(6,564)(2,138)3,520(597)(15,755)0(7,176)
透過損益按公允價值衡量之金融資產及負債利益(16,104)(613)0769(6,530)(1,535)(16,218)(6,193)2,71719,089(21,569)(11,562)
透過其他綜合損益按公允價值衡量之金融資產已實現利益2701,486(80)2,18610,5947212,222
銷貨收入淨額
銷貨收入淨額10,129,8018,553,2448,140,68710,292,7838,363,7567,321,9189,482,5928,728,6958,135,8818,356,89410,640,4709,051,9898,722,757
租賃收入140,857113,73695,03470,26350,67541,01436,742
處分投資利益53,9146,929(829)17,0140931
處分不動產、廠房及設備利益1,0951,4722,173014,184(16)0
投資性不動產利益134,932025,07927,17258,7442,301(3,213)00
兌換利益135,630(244,002)(213,646)(62,888)70,9930(2,259)81,40950,1770
其他收入217,057193,359129,38377,00288,70443,22999,06789,974146,310148,73316,36849023,093
未實現銷貨損益00
已實現銷貨損益249
收入合計12,200,6799,834,3419,199,16211,647,0119,478,3168,101,31410,293,1539,505,1928,990,2659,001,62611,265,8379,572,7049,194,983
支出
利息費用600,539478,625338,507179,075175,866230,552194,115187,001144,294182,493188,855162,232172,852
呆帳費用、承諾及保證責任準備提存46,682(15,345)17,7906,097(5,667)5,527(19,097)
透過損益按公允價值衡量之金融資產及負債損失3,8780(984)019,099
銷貨成本8,715,3098,106,2217,636,3608,554,3487,038,5266,631,5728,466,2617,867,9647,601,9117,491,4459,850,7848,175,4687,879,750
租賃成本20,53218,58415,89915,22311,6157,1716,7265,4143,2641,7927736,705419
營業費用
推銷費用368,009308,319315,495507,211376,605177,336180,645162,063217,008222,945344,399279,387226,641
管理及總務費用700,944540,059598,403663,024473,125541,446535,613
研究發展費用165,174125,43798,581117,68380,92267,73997,360102,465103,04967,89089,39068,78945,043
營業費用合計1,234,127973,8151,012,4791,287,918930,652786,521813,618789,066667,216871,400908,897902,905655,469
減損損失674,1305,058(2,471)824823(9,594)
預期信用減損損失2,11217,314(7,345)21,70729,233(6,195)
其他支出96,565129,24216,859106,83650,62440,387130,295113,91595,440107,13856,65755,67026,229
支出合計11,393,8749,713,5149,027,09410,222,4648,435,3587,788,6849,616,9719,070,9468,628,8849,094,09911,063,9459,330,9278,715,847
繼續營業單位稅前淨利(淨損)806,805120,827172,0681,424,5471,042,958312,630676,182434,246361,381(92,473)201,892241,777479,136
所得稅費用-繼續營業單位222,4122,09774,056303,390228,7474,529136,122
繼續營業單位本期淨利(淨損)584,393118,73098,0121,121,157814,211308,101540,060
本期淨利(淨損)584,393118,73098,0121,143,094878,313308,101540,060284,362294,132(156,325)169,704275,587330,888
其他綜合損益
不重分類至損益之項目
透過其他綜合損益按公允價值衡量之權益工具評價利益(損失)(458,354)477,471407,790696,957416,459248,807(920,739)
採用權益法認列之關聯企業及合資其他綜合損益之份額-不重分類至損益之項目(164,390)27,333189,333215,70452,84472,744(187,075)
不重分類至損益之項目總額(582,026)528,450606,066960,771444,178292,801(1,131,688)
後續可能重分類至損益之項目
國外營運機構財務報表換算之兌換差額(119,236)(66,662)203,48767,949127,131(98,044)34,4623,06229,179(95,588)171,27159,437(5,852)
透過其他綜合損益按公允價值衡量之債務工具利益(損失)(49,766)25,260(7,141)(5,926)190334(6,051)
後續可能重分類至損益之項目總額(169,002)(41,402)196,34662,023127,321(97,710)28,411
其他綜合損益淨額(751,028)487,048802,4121,022,794571,499195,091(1,103,277)494,285340,632(352,067)(173,075)451,404115,767
本期綜合損益總額(166,635)605,778900,4242,165,8881,449,812503,192(563,217)
淨利(淨損)歸屬
母公司業主365,20097,00621,596882,068663,888210,492431,923230,535190,629(43,679)121,240149,919175,760
非控制股權219,19321,72476,416261,026214,42597,609108,13753,827103,503(112,646)48,464125,668155,128
綜合損益總額歸屬
母公司業主(294,223)512,448726,1441,863,6041,226,569446,725(656,451)778,820556,840(387,218)(40,887)587,678351,748
非控制股權127,58893,330174,280302,284223,24356,46793,234(173)77,924(121,174)37,516139,31394,907
基本每股盈餘
繼續營業單位稅後淨利(淨損)0.230.060.010.540.38
基本每股盈餘合計0.230.060.010.550.420.130.260.150.11(0.02)0.070.070.1
稀釋每股盈餘
繼續營業單位稅後淨利(淨損)0.230.060.020.540.37
稀釋每股盈餘合計0.230.060.020.550.410.130.270.150.11(0.02)0.070.070.1
今年初累積至今
(TWD千元)2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年2013年全年2012年全年
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
收入
利息收入3,292,7897.14%2,717,6446.87%2,263,1304.92%2,062,7074.67%1,860,8685.79%1,812,5304.77%1,693,9003.99%1,459,4273.99%1,410,5344.1%1,508,7054.08%1,441,1333.25%1,332,9643.15%1,289,2053.1%
手續費收入2,350,1255.09%1,857,0694.69%1,729,9283.76%2,618,0475.93%1,474,2344.59%800,1812.11%855,0992.01%662,7651.81%460,2651.34%499,3701.35%523,6851.18%344,4530.82%331,1930.8%
採用權益法認列之關聯企業及合資利益之份額6,3820.01%6,4170.02%46,7410.1%48,1290.11%49,7290.15%49,3280.13%59,7820.14%38,3420.1%15,4310.04%00%8270%
透過損益按公允價值衡量之金融資產及負債利益00%39,6910.1%00%57,5590.13%4,9020.02%63,3790.17%18,7850.04%33,9840.09%42,4690.12%34,7120.09%00%18,7340.05%
透過其他綜合損益按公允價值衡量之金融資產已實現利益41,9790.09%20,4550.05%27,4720.06%37,0730.08%49,9970.16%22,8020.06%18,9520.04%
銷貨收入淨額
銷貨收入淨額38,358,55983.12%33,545,38884.79%39,862,18086.72%38,294,29386.73%27,590,91985.88%34,442,56190.66%38,916,00691.58%33,623,08392.02%31,667,22791.96%34,287,25792.74%39,576,31489.24%39,968,22194.6%39,421,63194.81%
租賃收入569,1451.23%413,4291.04%351,0180.76%289,2160.65%228,4330.71%166,2220.44%139,4340.33%
處分投資利益69,1220.15%14,7350.04%2350%42,6740.1%00%12,7100.03%6,5120.02%
處分不動產、廠房及設備利益5,0980.01%9,2950.02%3,7090.01%00%37,1030.12%14,7840.04%00%
投資性不動產利益156,2760.34%00%42,0130.1%30,6920.1%85,1230.22%2,3010.01%11,9510.03%00%2,196,5394.95%
兌換利益352,9400.76%80,7000.2%852,0661.85%00%218,2050.51%00%131,5310.36%120,7510.27%96,2590.23%00%
其他收入943,7462.04%856,8672.17%778,8361.69%663,6731.5%802,0902.5%519,4261.37%555,1541.31%453,6391.24%456,3481.33%464,7661.26%355,5200.8%290,3250.69%316,1460.76%
未實現銷貨損益2,3400.01%3,4500.01%(9,424)-0.02%
已實現銷貨損益6640%
收入合計46,149,165100%39,565,140100%45,967,673100%44,155,384100%32,128,967100%37,989,046100%42,493,927100%36,537,343100%34,435,310100%36,971,097100%44,350,318100%42,251,225100%41,581,259100%
支出
利息費用2,207,0214.78%1,732,2144.38%1,032,3142.25%692,4381.57%764,4592.38%897,1852.36%800,9341.88%692,4881.9%644,3241.87%767,7542.08%751,6691.69%728,3281.72%738,7351.78%
呆帳費用、承諾及保證責任準備提存61,1990.13%(36,306)-0.09%37,2750.08%17,9100.04%(5,742)-0.02%8170%(30,374)-0.07%
透過損益按公允價值衡量之金融資產及負債損失3,8780.01%00%1,5680%00%23,0100.05%8,1410.02%00%
銷貨成本34,907,99575.64%31,905,46280.64%35,140,08076.45%31,996,58872.46%24,309,17475.66%30,864,53681.25%34,570,80881.35%30,737,55584.13%29,176,02084.73%31,402,61384.94%36,333,88781.92%36,446,48186.26%36,296,71687.29%
租賃成本76,0430.16%70,9860.18%63,5700.14%56,7140.13%36,7140.11%26,5200.07%21,2770.05%16,9780.05%10,0510.03%4,6060.01%3,3690.01%18,9600.04%12,5490.03%
營業費用
推銷費用1,502,7513.26%1,178,1322.98%1,834,1913.99%1,754,5653.97%838,0842.61%718,3721.89%761,0311.79%747,2182.05%821,3692.39%900,0172.43%923,7132.08%895,5602.12%857,9082.06%
管理及總務費用2,633,8545.71%2,303,3095.82%2,415,6555.26%2,579,0725.84%2,129,8436.63%2,105,7155.54%2,081,2144.9%
研究發展費用583,8141.27%478,1351.21%395,9510.86%378,8740.86%309,6960.96%314,4060.83%355,6490.84%371,4071.02%238,9590.69%203,0530.55%282,9340.64%213,3810.51%193,0500.46%
營業費用合計4,720,41910.23%3,959,57610.01%4,645,79710.11%4,712,51110.67%3,277,62310.2%3,138,4938.26%3,197,8947.53%2,935,0258.03%2,673,6127.76%2,973,2918.04%3,150,1967.1%2,847,8366.74%2,650,6586.37%
減損損失676,6011.47%7,5290.02%00%3,2950.01%709,8872.21%00%
預期信用減損損失55,6840.12%47,7940.12%31,4820.07%107,3130.24%60,2920.19%1,6300%35,6630.08%
其他支出318,0660.69%377,0540.95%321,5420.7%463,6381.05%254,4310.79%209,6970.55%224,4930.53%205,7210.56%393,3521.14%275,1380.74%198,6870.45%208,2900.49%189,2510.46%
支出合計43,026,90693.23%38,064,30996.21%41,273,62889.79%38,307,42286.76%29,811,79792.79%35,232,02792.74%38,858,21991.44%34,962,83495.69%33,176,61296.34%35,894,04697.09%42,314,30395.41%40,277,84295.33%39,997,96596.19%
繼續營業單位稅前淨利(淨損)3,122,2596.77%1,500,8313.79%4,694,04510.21%5,847,96213.24%2,317,1707.21%2,757,0197.26%3,635,7088.56%1,574,5094.31%1,258,6983.66%1,077,0512.91%2,036,0154.59%1,973,3834.67%1,583,2943.81%
所得稅費用-繼續營業單位699,6851.52%331,2570.84%1,073,5572.34%1,072,1302.43%718,9452.24%505,6261.33%773,6151.82%
繼續營業單位本期淨利(淨損)2,422,5745.25%1,169,5742.96%3,620,4887.88%4,775,83210.82%1,598,2254.97%2,251,3935.93%2,862,0936.74%
本期淨利(淨損)2,422,5745.25%1,169,5742.96%3,620,4887.88%4,804,58810.88%3,639,88411.33%2,251,3935.93%2,862,0936.74%1,129,7063.09%954,5662.77%813,7492.2%1,722,9883.88%1,683,7403.99%1,129,6232.72%
其他綜合損益
不重分類至損益之項目
確定福利計畫之再衡量數50,5160.11%29,6920.08%10,7690.02%64,3970.15%(30,958)-0.1%(35,531)-0.09%(29,438)-0.07%
透過其他綜合損益按公允價值衡量之權益工具評價利益(損失)410,0090.89%1,247,2113.15%(980,472)-2.13%1,710,9633.87%(292,500)-0.91%481,8301.27%(335,810)-0.79%
採用權益法認列之關聯企業及合資其他綜合損益之份額-不重分類至損益之項目(22,491)-0.05%503,3681.27%(411,344)-0.89%790,4921.79%(123,166)-0.38%205,9780.54%(22,935)-0.05%
與不重分類之項目相關之所得稅9,7980.02%6,0460.02%1,8260%16,2870.04%(5,833)-0.02%(6,781)-0.02%2,4560.01%
不重分類至損益之項目總額428,2360.93%1,774,2254.48%(1,382,873)-3.01%2,549,5655.77%(440,791)-1.37%659,0581.73%(390,639)-0.92%
後續可能重分類至損益之項目
國外營運機構財務報表換算之兌換差額408,6290.89%(25,655)-0.06%354,0080.77%(348,018)-0.79%(152,765)-0.48%2,3380.01%(99,743)-0.23%(70,662)-0.19%7,2220.02%(140,342)-0.38%222,9120.5%137,8200.33%(154,338)-0.37%
透過其他綜合損益按公允價值衡量之債務工具利益(損失)(53,575)-0.12%31,8050.08%(70,823)-0.15%(12,970)-0.03%3,5630.01%6,8900.02%(8,539)-0.02%
後續可能重分類至損益之項目總額355,0540.77%6,1500.02%283,1850.62%(360,988)-0.82%(149,202)-0.46%9,2280.02%(108,282)-0.25%
其他綜合損益淨額783,2901.7%1,780,3754.5%(1,099,688)-2.39%2,188,5774.96%(589,993)-1.84%668,2861.76%(498,921)-1.17%1,144,2973.13%689,6122%(1,083,636)-2.93%(153,274)-0.35%1,466,0893.47%592,2111.42%
本期綜合損益總額3,205,8646.95%2,949,9497.46%2,520,8005.48%6,993,16515.84%3,049,8919.49%2,919,6797.69%2,363,1725.56%
淨利(淨損)歸屬
母公司業主1,705,9203.7%764,4101.93%2,823,7876.14%3,888,4168.81%2,884,3298.98%1,792,5794.72%2,457,9375.78%964,7262.64%748,2482.17%748,9892.03%1,365,3583.08%1,152,2612.73%665,9331.6%
非控制股權716,6541.55%405,1641.02%796,7011.73%916,1722.07%755,5552.35%458,8141.21%404,1560.95%164,9800.45%206,3180.6%64,7600.18%357,6300.81%531,4791.26%463,6901.12%
綜合損益總額歸屬
母公司業主2,420,5915.25%2,474,5586.25%1,655,8483.6%6,217,66714.08%2,338,5767.28%2,457,2446.47%1,956,7534.6%2,160,2105.91%1,430,6864.15%(270,235)-0.73%1,269,5872.86%2,604,9416.17%1,350,8693.25%
非控制股權785,2731.7%475,3911.2%864,9521.88%775,4981.76%711,3152.21%462,4351.22%406,4190.96%113,7930.31%213,4920.62%3480%300,1270.68%544,8881.29%370,9650.89%
基本每股盈餘
繼續營業單位稅後淨利(淨損)1.060.471.752.390.62
基本每股盈餘合計1.060.471.752.411.791.111.520.60.460.460.810.650.38
稀釋每股盈餘
繼續營業單位稅後淨利(淨損)1.060.471.752.390.61
稀釋每股盈餘合計1.060.471.752.411.781.111.520.60.460.460.810.650.38
需注意:由於會計政策的變動,部分現行會計科目在過往資料中,可能名稱不同,或是合併於其他科目中。此外,過往會計科目也可能消失。 然而我們盡力確保表中各項目之數值與公司公布之財報相符。以上資訊僅供參考,實際數據仍以公司公布之財報為準。

營業收入

新纖(1409) 2024年第1季「營業收入」為NT$109億元、前3個月累積營業收入為NT$109億元
單季
新纖(1409) 最新公布的2024年第1季財報中,單季營業收入為NT$109億元,較去年同期成長19.00%。為過去10年同期中的第3高。 同時新纖過去3年、5年與10年的「第1季營業收入年化成長率」分別為2.80%、1.97%與-0.70%。
今年初累積至今
累積部分,今年前3個月營業收入累積為NT$109億元,較去年同期成長19.00%,為過去10年同期中的第3高。 同時新纖過去3年、5年與10年的「前3個月營業收入年化成長率」分別為2.80%、1.97%與-0.70%。
營業收入成長率-單季
(%)2024年第1季2023年第1季2022年第1季2021年第1季2020年第1季2019年第1季2018年第1季2017年第1季2016年第1季2015年第1季2014年第1季
YoY19.00%-26.58%24.35%29.35%-21.54%6.34%6.42%3.65%-7.61%-21.97%22.01%
3年年化成長率2.80%5.70%8.06%2.57%-3.89%5.46%0.63%-9.26%-4.19%
5年年化成長率1.97%-0.30%7.39%3.55%-3.19%-3.30%-0.60%
10年年化成長率-0.70%-0.45%
營業收入成長率-今年初累積至今
(%)2024年前3個月2023年前3個月2022年前3個月2021年前3個月2020年前3個月2019年前3個月2018年前3個月2017年前3個月2016年前3個月2015年前3個月2014年前3個月
YoY19.00%-26.58%24.35%29.35%-21.54%6.34%6.42%3.65%-7.61%-21.97%22.01%
3年年化成長率2.80%5.70%8.06%2.57%-3.89%5.46%0.63%-9.26%-4.19%
5年年化成長率1.97%-0.30%7.39%3.55%-3.19%-3.30%-0.60%
10年年化成長率-0.70%-0.45%

淨利率

新纖(1409) 2023年第4季「淨利率」為1.21%、全年累積淨利率為2.96%
單季
新纖(1409) 最新公布的2023年第4季財報中,第4季單季淨利率為1.21%,而過去10年第4季單季淨利率平均為3.57%、中位數為2.99%、最高值為9.81%、最低值為-1.74%。
今年初累積至今
累積部分,今年全年淨利率為2.96%,而過去10年全年的淨利率平均為3.57%、中位數為3.99%、最高值為11.33%、最低值為2.20%。
淨利率-單季
(%)2023年第4季2022年第4季2021年第4季2020年第4季2019年第4季2018年第4季2017年第4季2016年第4季2015年第4季2014年第4季2013年第4季
單季淨利率1.21%1.07%9.81%9.27%3.80%5.25%2.99%3.27%-1.74%1.51%2.88%
淨利率-今年初累積至今
(%)2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年2013年全年
累積淨利率2.96%7.88%10.88%11.33%5.93%6.74%3.09%2.77%2.20%3.88%3.99%
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