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華航-現金流量表

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現金流量表

合併現金流量表

第三季 (最新)
單季
(TWD千元)2024年第三季2023年第三季2022年第三季2021年第三季2020年第三季2019年第三季2018年第三季2017年第三季2016年第三季2015年第三季2014年第三季2013年第三季2012年第三季
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%
營業活動之現金流量-間接法
繼續營業單位稅前淨利(淨損)5,208,45310.01%3,139,3026.58%(138,153)-0.37%3,152,2109.14%(893,060)-3.36%671,6861.56%1,659,7403.67%3,670,1049.05%1,022,6182.8%2,696,9167.27%1,489,1933.7%1,715,3074.59%1,652,0614.45%
本期稅前淨利(淨損)5,208,4533,139,302(138,153)3,152,210(893,060)671,6861,659,7403,670,1041,022,6182,696,9161,489,1931,715,3071,652,062
調整項目
收益費損項目
折舊費用7,480,6447,607,9087,608,7747,085,3037,877,3238,092,1124,841,7274,552,5664,389,1954,237,0624,383,1984,310,3144,231,455
攤銷費用51,56355,89155,84756,76947,20147,61749,74266,70644,18918,37014,18212,60511,855
預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數97(2)9,6189,6183,2696,05212,60712,7231,55515,04215,04519(208)
透過損益按公允價值衡量金融資產及負債之淨損失(利益)(594)(444)1,122(238)(304)(20,599)(1,041)(787)11,537(197,012)(52,871)25,879(28,407)
利息費用731,947635,460635,110572,520750,6762,523,6310000000
利息收入(547,128)(490,723)(168,447)(22,988)(62,650)(92,808)(85,176)
股利收入(2,186)(7,867)3(11,607)(15,099)(11,309)0
股份基礎給付酬勞成本00
採用權益法認列之關聯企業及合資損失(利益)之份額(175,000)(112,275)23,59385,14657,013(77,114)(81,098)(130,154)(138,821)(141,035)(124,866)(122,061)(92,230)
處分及報廢不動產、廠房及設備損失(利益)(25,188)(225,215)(12,869)33,839(6,586)(19,822)(2,764)
處分待出售非流動資產損失(利益)189,947000(82,544)0
處分投資損失(利益)29000006,231(61)00000
非金融資產減損損失(180,464)478,792272,475107,76763,163120,529102,479252,346254,17771,298113,96070,582(1,709)
未實現外幣兌換損失(利益)230,329575,011531,300154,786(368,876)39,65688,638
其他項目1,206,7311,608,0301,285,5341,791,9021,438,666(425,494)1,227,1021,127,069933,8461,003,605955,755198,515783,547
收益費損項目合計8,960,72710,124,56610,125,3849,863,4839,784,02010,182,4516,158,4475,721,2655,322,3753,586,7945,304,2804,289,0514,689,860
與營業活動相關之資產/負債變動數
與營業活動相關之資產之淨變動
強制透過損益按公允價值衡量之金融資產(增加)減少50,928(24,108)(1,638)89,3705,594(70,020)238,924
應收帳款(增加)減少(329,129)(512,688)108,997(2,653,563)(328,308)506,336(897,957)141,943392,758874,005(47,034)465,6981,268,850
應收帳款-關係人(增加)減少122,09225,888151,31224,666110,44552,33983,301(73,255)(122,901)293,482(273,692)(182,487)(118,206)
其他應收款(增加)減少(248,411)(270,404)(400,901)(29,983)(35,364)119,339(46,165)95,788(21,898)166,846383,010(20,531)96,671
存貨(增加)減少(954,240)(620,892)(1,123,182)36,620(166,889)(594,734)179,125(244,389)(172,512)(213,367)(535,108)(395,612)(157,946)
其他流動資產(增加)減少(14,846)(101,041)(147,201)49,207846,6531,167,953(116,987)
與營業活動相關之資產之淨變動合計(1,373,606)(1,503,245)(1,412,613)(2,483,683)432,1311,215,761(559,759)727,1611,408,8582,682,95336,651744,6663,625,516
與營業活動相關之負債之淨變動
合約負債增加(減少)(636,185)(64,710)3,285,242(336,586)(1,864,129)(308,875)(206,301)
應付帳款增加(減少)169,172(21,183)(372,582)122,064(134,784)662,66583,300(191,084)681,9631,096,587192,506(30,663)(51,171)
應付帳款-關係人增加(減少)(126,566)(73,577)(67,506)98,032146,38045,32381,28881,60837,964(279,996)270,688232,344(305,593)
其他應付款增加(減少)1,381,3703,108,3581,256,6911,460,53879,276(654,336)1,495,593976,094(344,705)(268,756)(2,965,095)(805,101)269,260
負債準備增加(減少)(583,516)(4,416,995)(1,176,117)(313,237)(350,868)(599,632)(1,086,803)(229,736)(170,882)(88,198)31,351(138,272)(26,006)
其他流動負債增加(減少)(118,494)773,354362,272589,020(13,136)131,890(31,130)
淨確定福利負債增加(減少)4,579(21,713)(3,544)44,99821,9672,64221,03134,416(2,620,847)(72,464)(34,489)(78,376)(68,112)
其他營業負債增加(減少)(7,974)212,33419,247(23)(5,766)42(5,138)(9,437)(11,765)(43,084)(40,384)129,717(26,744)
與營業活動相關之負債之淨變動合計82,386(504,132)3,303,7031,664,806(2,121,060)(720,281)351,840(332,796)(4,172,222)(450,446)(3,531,283)(1,345,567)(2,009,036)
與營業活動相關之資產及負債之淨變動合計(1,291,220)(2,007,377)1,891,090(818,877)(1,688,929)495,480(207,919)394,365(2,763,364)2,232,507(3,494,632)(600,901)1,616,480
調整項目合計7,669,5078,117,18912,016,4749,044,6068,095,09110,677,9315,950,5286,115,6302,559,0115,819,3011,809,6483,688,1506,306,340
營運產生之現金流入(流出)12,877,96011,256,49111,878,32112,196,8167,202,03111,349,6177,610,2689,785,7343,581,6298,516,2173,298,8415,403,4577,958,402
收取之利息525,651468,334100,98416,92456,69687,47575,37350,383966121,430101,41897,20973,297
收取之股利2,1867,867(3)11,60717,805(397,694)195,494384,785432,0672,046,132281,183262,186170,614
支付之利息(749,701)(593,852)(645,955)(470,141)(747,383)(747,998)(329,588)(296,794)(233,738)(408,706)(539,610)(442,159)(577,568)
退還(支付)之所得稅(738,209)(1,070,830)(1,578,951)(66,571)(46,427)(91,088)(62,798)(48,822)(65,090)(83,860)(21,926)(6,726)(54,277)
營業活動之淨現金流入(流出)11,917,88710,068,0109,754,39611,688,6356,482,72210,200,3127,488,7499,875,2863,715,83410,191,2133,119,9065,313,9677,570,468
投資活動之現金流量
取得按攤銷後成本衡量之金融資產(457,880)(656,886)10,600(1,552,049)(3,884,486)
處分按攤銷後成本衡量之金融資產2,537,1205,652,8721,814,7391,623,74910,303
取得避險之金融資產(4,918,033)0(1,437,125)00
處分避險之金融資產8,058,9371,598,4482,632,4351,642,143
處分採用權益法之投資1,966,4450
取得不動產、廠房及設備(819,545)(500,198)(1,100,176)(997,169)(379,157)(1,437,007)(2,036,239)(2,087,028)(2,290,099)(2,423,865)(2,621,896)(1,057,127)(803,527)
處分不動產、廠房及設備(2,284,067)1,509,37115,674204,10826,76628,3565,591
存出保證金增加(20,233)(63,480)(4,778)(538)(1,448)(205,335)(64,313)(45,891)(126,808)(222,755)(125,772)(22,725)(232,365)
存出保證金減少89,257182,06782,30955,62565,59210,461147,47136,97361,090288,49669,25949,07829,288
取得無形資產0000000000000
取得使用權資產0000000000000
長期應收租賃款減少76,161
預付設備款增加(5,412,809)(9,274,506)(4,063,803)(2,040,734)(1,396,527)(8,770,192)(1,247,649)(5,938,056)(4,597,548)(4,261,377)(2,869,638)(2,492,916)(3,460,043)
其他投資活動(61,982)(63,913)(33,477)(254,735)(54,882)(64,229)(48,465)
投資活動之淨現金流入(流出)2,851,830(2,141,586)(1,953,458)(4,886,444)(15,280,865)(8,932,282)(3,249,835)(7,320,164)(6,888,489)(3,858,992)(5,580,914)(3,549,053)(4,440,839)
籌資活動之現金流量
短期借款減少0250,0000(980,000)(80,000)15,000(3,939,000)2,899,000
發行公司債000000005,000,000000
償還公司債000(2,500,000)(2,500,000)00000000
舉借長期借款12,770,0344,203,077383,9357,338,53535,240,8495,805,350698,146917,0009,030,5001,400,22114,375,8506,785,0002,498,624
償還長期借款(11,160,071)(9,780,845)(1,897,910)(1,525,643)(28,270,256)(2,512,241)(4,529,025)(8,013,642)(11,141,544)(5,597,969)(12,568,242)(6,009,101)(4,802,256)
存入保證金增加58,93485,064(39,430)137,97550,95641,83233,95629,18927,73626,60613,74238,78613,164
存入保證金減少(70,826)(18,135)35,108(73,626)(29,793)(30,409)(32,669)(23,897)(19,863)(11,737)(18,555)(65,224)(60,889)
租賃本金償還(3,441,440)(3,647,324)(3,192,874)(2,580,451)(2,718,884)(2,814,681)
發放現金股利(4,319,692)(2,771,252)(4,998,275)(9,927)0(1,136,278)(1,193,670)8(2,508,512)10000
其他籌資活動0550,80101,598,891
籌資活動之淨現金流入(流出)(6,378,061)(11,363,614)(9,459,446)406,0071,374,4494,269,233(5,731,206)(7,151,342)478,317(6,752,089)138,330(1,751,101)(4,351,547)
匯率變動對現金及約當現金之影響(690,112)280,6721,040,61253,342(155,197)(55,102)(142,211)(247,127)(73,128)117,810193,214(146,822)(89,969)
本期現金及約當現金增加(減少)數7,701,544(3,156,518)(617,896)7,261,540(7,578,891)5,482,161(1,634,503)(4,843,347)(2,767,466)(302,058)(2,129,464)(133,009)(1,311,887)
期初現金及約當現金餘額00000022,585,33224,267,19723,491,08520,468,15119,007,64910,831,13111,113,772
期末現金及約當現金餘額7,701,544(3,156,518)(617,896)7,261,540(7,578,891)5,482,16123,227,91525,848,49322,192,08424,481,25116,909,61815,707,84010,599,296
資產負債表帳列之現金及約當現金51,214,33616.47%35,648,23712.26%37,623,07813.27%36,894,14613.37%26,638,8509.38%28,831,0659.66%23,227,91510.27%25,848,49311.58%22,192,08410.25%24,481,25110.91%16,909,6187.64%15,707,8407.2%10,599,2964.81%
今年初累積至今
(TWD千元)2024年前9個月2023年前9個月2022年前9個月2021年前9個月2020年前9個月2019年前9個月2018年前9個月2017年前9個月2016年前9個月2015年前9個月2014年前9個月2013年前9個月2012年前9個月
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%
營業活動之現金流量-間接法
繼續營業單位稅前淨利(淨損)14,052,7189.31%9,078,0156.6%3,841,9133.44%1,270,0751.39%(2,559,621)-2.99%532,2340.42%2,286,3951.81%1,997,5881.74%2,876,0372.73%6,458,8125.88%(1,382,495)-1.23%644,2840.62%(127,080)-0.12%
本期稅前淨利(淨損)14,052,71838.14%9,078,01520.26%3,841,91314.21%1,270,0754.52%(2,559,621)-93.35%532,2341.61%2,286,39511.74%1,997,5888.93%2,876,03723.44%6,458,81225.37%(1,382,495)-12.02%644,2843.69%(127,080)-0.86%
調整項目
收益費損項目
折舊費用22,036,47759.81%23,195,84251.76%22,384,86382.77%22,528,43280.19%23,898,705871.6%24,582,49474.41%14,379,98073.85%13,707,15961.26%13,002,138105.99%13,052,78451.26%13,050,413113.45%12,935,46174.11%12,675,88386.01%
攤銷費用161,4160.44%166,2930.37%167,9590.62%165,9700.59%152,7585.57%149,1500.45%142,2260.73%195,1640.87%92,1970.75%49,7400.2%40,8000.35%38,0290.22%34,1230.23%
預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數970%00%28,8550.11%28,6060.1%5,7910.21%20,4340.06%37,4910.19%38,0060.17%13,9430.11%35,6210.14%15,1330.13%1180%2980%
透過損益按公允價值衡量金融資產及負債之淨損失(利益)(1,796)0%(1,190)0%(384)0%(13)0%(2,234)-0.08%(43,641)-0.13%(10,204)-0.05%27,4880.12%30,5800.25%(148,628)-0.58%(47,579)-0.41%(109,782)-0.63%(483,466)-3.28%
利息費用2,020,0515.48%2,008,5104.48%1,846,5996.83%1,850,9816.59%2,367,84186.36%2,523,6317.64%0000000
利息收入(1,610,580)-4.37%(1,323,296)-2.95%(307,186)-1.14%(97,677)-0.35%(242,761)-8.85%(287,238)-0.87%(226,694)-1.16%
股利收入(12,097)-0.03%(14,840)-0.03%(850)0%(11,607)-0.04%(22,516)-0.82%(18,009)-0.05%(7,705)-0.04%
股份基礎給付酬勞成本00%29,2820.07%00%6660%2240.01%
採用權益法認列之關聯企業及合資損失(利益)之份額(511,605)-1.39%(286,726)-0.64%107,6470.4%382,5991.36%176,2356.43%(234,913)-0.71%(244,917)-1.26%(385,762)-1.72%(397,508)-3.24%(389,920)-1.53%(388,174)-3.37%(333,333)-1.91%(317,255)-2.15%
處分及報廢不動產、廠房及設備損失(利益)(380,240)-1.03%(99,708)-0.22%(16,747)-0.06%1,023,6943.64%(13,466)-0.49%(25,280)-0.08%280,1951.44%
處分待出售非流動資產損失(利益)(28,284)-0.08%00%(116,676)-0.43%00%10,4620.03%368,9921.9%(147,568)-0.66%26,4290.22%
處分投資損失(利益)290%(2,523)-0.01%00%5400%00%(7,656)-0.02%(450,195)-2.31%00%120%00%(2,550)-0.02%00%(128)0%
非金融資產減損損失717,7431.95%1,749,1533.9%612,7442.27%850,6843.03%388,46014.17%502,3171.52%611,1943.14%601,5652.69%496,0024.04%231,7320.91%406,1013.53%258,7221.48%293,9041.99%
未實現外幣兌換損失(利益)1,044,3712.83%87,5540.2%1,381,5505.11%(829,452)-2.95%(621,249)-22.66%516,1161.56%311,0021.6%
其他項目3,497,8009.49%4,496,43810.03%3,984,76414.73%4,914,48117.49%4,733,808172.65%3,395,06710.28%3,581,98018.4%3,374,29615.08%2,876,01223.44%2,877,53011.3%2,566,62522.31%1,741,3479.98%2,531,46117.18%
收益費損項目合計26,933,38273.1%30,004,78966.95%30,073,138111.2%30,807,904109.65%30,821,5961124.08%31,082,93494.08%18,773,34596.41%20,683,29192.45%15,904,093129.64%13,767,68154.07%15,484,381134.61%14,568,60683.47%13,383,91090.82%
與營業活動相關之資產/負債變動數
與營業活動相關之資產之淨變動
強制透過損益按公允價值衡量之金融資產(增加)減少47,8430.13%(40,681)-0.09%24,8720.09%105,6430.38%12,1560.44%(122,553)-0.37%732,3653.76%
應收帳款(增加)減少(780,456)-2.12%1,193,5542.66%1,865,5596.9%(2,301,224)-8.19%(140,637)-5.13%701,9102.12%(1,235,248)-6.34%(14,893)-0.07%186,0951.52%1,709,8546.72%(318,297)-2.77%334,7071.92%3,307,66222.44%
應收帳款-關係人(增加)減少(183,672)-0.5%(259,946)-0.58%124,3670.46%(68,763)-0.24%867,39631.63%(140,527)-0.43%117,3280.6%(5,295)-0.02%(69,169)-0.56%315,8881.24%(350,965)-3.05%(270,548)-1.55%(274,692)-1.86%
其他應收款(增加)減少85,2900.23%(39,239)-0.09%(235,940)-0.87%305,7531.09%110,7254.04%(127,624)-0.39%(103,940)-0.53%351,7221.57%45,0030.37%203,1810.8%154,5631.34%(147,946)-0.85%106,3780.72%
存貨(增加)減少(1,397,346)-3.79%(722,600)-1.61%(1,997,163)-7.38%43,3620.15%663,25124.19%(294,431)-0.89%(290,784)-1.49%(554,836)-2.48%(210,303)-1.71%(678,480)-2.66%(481,312)-4.18%(57,515)-0.33%(137,338)-0.93%
其他流動資產(增加)減少(206,533)-0.56%(342,782)-0.76%(547,155)-2.02%(129,676)-0.46%1,528,63755.75%1,878,2305.69%157,8790.81%
與營業活動相關之資產之淨變動合計(2,434,874)-6.61%(211,694)-0.47%(765,460)-2.83%(2,044,905)-7.28%3,041,528110.93%4,224,09212.79%(622,400)-3.2%1,498,6216.7%(111,871)-0.91%2,932,86811.52%(1,147,645)-9.98%2,888,40816.55%6,184,03041.96%
與營業活動相關之負債之淨變動
合約負債增加(減少)2,151,1195.84%8,921,75819.91%5,106,56718.88%(1,142,865)-4.07%(16,904,416)-616.52%1,543,0904.67%1,103,5535.67%
應付帳款增加(減少)512,3501.39%47,0800.11%67,9630.25%(111,976)-0.4%61,5952.25%173,5230.53%540,0382.77%(435,870)-1.95%325,8352.66%1,397,2025.49%173,8861.51%(15,974)-0.09%29,8600.2%
應付帳款-關係人增加(減少)330,5910.9%538,0191.2%(45,818)-0.17%31,3110.11%(1,073,199)-39.14%150,3360.46%149,0090.77%295,7651.32%134,7201.1%(94,317)-0.37%462,4424.02%253,7391.45%(11,556)-0.08%
其他應付款增加(減少)(646,642)-1.76%1,241,1732.77%(1,902,600)-7.03%1,617,6575.76%(4,520,964)-164.88%(822,899)-2.49%476,9742.45%(177,870)-0.79%(997,371)-8.13%625,9522.46%(1,015,221)-8.83%685,3133.93%(1,987,058)-13.48%
負債準備增加(減少)(2,973,694)-8.07%(5,514,127)-12.3%(3,157,305)-11.67%(1,142,874)-4.07%(962,948)-35.12%(2,051,888)-6.21%(2,309,957)-11.86%(920,122)-4.11%(936,054)-7.63%(160,021)-0.63%(513,866)-4.47%(396,155)-2.27%(140,394)-0.95%
其他流動負債增加(減少)728,5561.98%2,919,9086.52%280,4551.04%670,4042.39%(2,628,167)-95.85%649,8371.97%117,2380.6%
淨確定福利負債增加(減少)(285,536)-0.77%(153,490)-0.34%(249,828)-0.92%(2,080)-0.01%(126,909)-4.63%(137,886)-0.42%(214,214)-1.1%(804,232)-3.59%(3,363,329)-27.42%(217,469)-0.85%(119,773)-1.04%(150,910)-0.86%(124,602)-0.85%
其他營業負債增加(減少)2880%311,7490.7%27,8470.1%5,5560.02%(33,033)-1.2%1,1020%8,7960.05%18,9110.08%(15,358)-0.13%(100,821)-0.4%(505,666)-4.4%141,2630.81%(28,230)-0.19%
與營業活動相關之負債之淨變動合計(182,968)-0.5%8,312,07018.55%127,2810.47%(74,867)-0.27%(26,188,041)-955.1%(494,785)-1.5%(128,563)-0.66%(1,209,052)-5.4%(5,865,373)-47.81%1,415,6295.56%(533,334)-4.64%323,4351.85%(3,303,081)-22.41%
與營業活動相關之資產及負債之淨變動合計(2,617,842)-7.11%8,100,37618.08%(638,179)-2.36%(2,119,772)-7.54%(23,146,513)-844.17%3,729,30711.29%(750,963)-3.86%289,5691.29%(5,977,244)-48.72%4,348,49717.08%(1,680,979)-14.61%3,211,84318.4%2,880,94919.55%
調整項目合計24,315,54065.99%38,105,16585.03%29,434,959108.84%28,688,132102.11%7,675,083279.92%34,812,241105.37%18,022,38292.56%20,972,86093.74%9,926,84980.92%18,116,17871.15%13,803,402120%17,780,449101.87%16,264,859110.36%
營運產生之現金流入(流出)38,368,258104.13%47,183,180105.29%33,276,872123.04%29,958,207106.63%5,115,462186.56%35,344,475106.98%20,308,777104.3%22,970,448102.67%12,802,886104.36%24,574,99096.52%12,420,907107.98%18,424,733105.57%16,137,779109.5%
收取之利息1,505,3164.09%1,227,2992.74%232,8580.86%90,8110.32%232,1568.47%272,0900.82%182,8370.94%143,1270.64%150,2001.22%339,9551.34%348,4833.03%248,5991.42%206,9871.4%
收取之股利12,0970.03%14,8400.03%8500%11,6070.04%63,8172.33%260,7140.79%224,3011.15%458,8802.05%437,8123.57%2,332,9749.16%323,8392.82%312,4471.79%454,5213.08%
支付之利息(1,997,458)-5.42%(1,930,538)-4.31%(1,835,719)-6.79%(1,707,710)-6.08%(2,477,852)-90.37%(2,483,505)-7.52%(1,081,492)-5.55%(1,057,576)-4.73%(956,914)-7.8%(1,576,476)-6.19%(1,550,267)-13.48%(1,466,051)-8.4%(1,949,189)-13.23%
退還(支付)之所得稅(1,043,416)-2.83%(1,680,452)-3.75%(4,629,711)-17.12%(257,444)-0.92%(191,653)-6.99%(356,524)-1.08%(162,870)-0.84%(141,286)-0.63%(166,088)-1.35%(209,736)-0.82%(40,064)-0.35%(66,471)-0.38%(112,707)-0.76%
營業活動之淨現金流入(流出)36,844,797100%44,814,329100%27,045,150100%28,095,471100%2,741,930100%33,037,250100%19,471,553100%22,373,593100%12,267,896100%25,461,707100%11,502,898100%17,453,257100%14,737,391100%
投資活動之現金流量
取得透過其他綜合損益按公允價值衡量之金融資產(278)0.01%
取得按攤銷後成本衡量之金融資產(8,548,283)342.25%(15,511,765)87.5%(8,985,310)283.89%(2,505,043)82.5%(5,398,640)29.59%
處分按攤銷後成本衡量之金融資產11,052,195-442.5%14,197,510-80.09%20,545,777-649.13%7,646,697-251.83%1,694,234-9.28%
取得避險之金融資產(23,292,991)932.6%(5,501,876)31.04%(5,342,055)168.78%(3,566,844)117.47%(9,667,026)52.98%00%(13,096)0.15%
處分避險之金融資產29,508,127-1181.44%9,479,715-53.47%7,603,306-240.22%8,888,275-292.72%
處分採用權益法之投資1,966,445-78.73%2,523-0.01%00%1,505,664-9.59%00%
處分待出售非流動資產4,098,737-164.1%00%130,144-4.11%00%35,692-0.23%688,427-5.06%
取得不動產、廠房及設備(2,346,136)93.93%(1,467,388)8.28%(1,965,232)62.09%(1,635,174)53.85%(858,411)4.7%(4,075,360)25.95%(4,128,575)30.36%(6,711,221)38.79%(6,625,710)63.27%(4,292,644)50.65%(5,927,634)36.65%(4,394,614)44.58%(3,087,834)42.34%
處分不動產、廠房及設備405,145-16.22%1,519,720-8.57%23,755-0.75%394,747-13%39,076-0.21%66,784-0.43%300,162-2.21%
存出保證金增加(137,234)5.49%(167,199)0.94%(102,395)3.24%(84,030)2.77%(63,471)0.35%(347,289)2.21%(81,314)0.6%(158,364)0.92%(276,592)2.64%(802,955)9.47%(299,958)1.85%(65,358)0.66%(358,632)4.92%
存出保證金減少296,907-11.89%225,725-1.27%212,490-6.71%92,839-3.06%100,018-0.55%141,930-0.9%204,834-1.51%174,876-1.01%145,051-1.39%763,812-9.01%271,592-1.68%358,618-3.64%405,375-5.56%
取得無形資產0000000000000
取得使用權資產0000000000000
長期應收租賃款增加00%(786,163)4.43%
長期應收租賃款減少225,541-9.03%260,802-1.47%
預付設備款增加(15,746,372)630.45%(19,822,627)111.82%(15,093,029)476.86%(11,860,667)390.61%(3,983,167)21.83%(12,864,504)81.91%(10,562,015)77.67%(11,824,421)68.34%(9,493,653)90.65%(11,738,052)138.5%(10,276,689)63.54%(5,753,155)58.36%(4,502,016)61.74%
其他投資活動20,550-0.82%(156,520)0.88%(192,569)6.08%(408,174)13.44%(110,125)0.6%(152,095)0.97%(157,502)1.16%
投資活動之淨現金流入(流出)(2,497,647)100%(17,727,543)100%(3,165,118)100%(3,036,432)100%(18,247,512)100%(15,706,591)100%(13,599,214)100%(17,303,246)100%(10,472,675)100%(8,475,171)100%(16,174,476)100%(9,857,693)100%(7,292,105)100%
籌資活動之現金流量
短期借款減少00%(150,000)0.45%00%(1,270,000)24.76%(225,000)6.93%(80,000)2.72%(17,759,000)136.46%(196,000)-7.77%
應付短期票券減少(20,000)0.15%00%(350,060)2.63%(350,060)6.82%
發行公司債00%2,650,000-9.65%00%4,500,000-29.32%00%3,500,000-26.34%6,012,000-117.21%2,350,000-72.37%9,700,000-329.91%00%10,900,000-397.95%5,345,000-67.94%
償還公司債(2,125,000)15.75%(1,125,000)4.1%(200)0%(5,000,000)32.58%(8,950,000)-63.97%(4,445,900)33.46%(2,700,000)52.64%(2,700,000)83.14%(2,400,000)81.63%(8,585,000)65.97%(4,780,000)-189.43%(5,460,000)199.34%(11,000,000)139.83%
舉借長期借款21,109,067-156.43%9,013,068-32.83%2,559,673-7.75%8,023,590-52.28%65,830,527470.54%7,532,213-56.69%12,292,996-239.67%21,247,000-654.27%19,430,500-660.86%16,123,172-123.89%26,165,1931036.89%7,925,000-289.34%8,071,188-102.6%
償還長期借款(18,293,618)135.57%(24,697,179)89.95%(21,622,115)65.45%(10,268,775)66.91%(43,944,169)-314.1%(14,629,858)110.1%(19,048,299)371.37%(23,096,592)711.23%(27,007,433)918.56%(14,184,194)108.99%(22,904,679)-907.68%(18,408,353)672.08%(17,964,770)228.37%
存入保證金增加243,821-1.81%146,459-0.53%75,421-0.23%266,221-1.73%92,9830.66%122,618-0.92%120,609-2.35%122,192-3.76%84,851-2.89%97,479-0.75%118,2694.69%158,003-5.77%78,512-1%
存入保證金減少(152,545)1.13%(229,714)0.84%(8,703)0.03%(201,638)1.31%(137,738)-0.98%(104,852)0.79%(63,773)1.24%(86,715)2.67%(54,633)1.86%(91,304)0.7%(154,056)-6.11%(135,813)4.96%(188,614)2.4%
租賃本金償還(9,933,936)73.62%(10,285,898)37.46%(8,687,337)26.3%(7,754,584)50.53%(8,153,315)-58.28%(8,624,846)64.91%
發放現金股利(4,322,017)32.03%(3,025,052)11.02%(5,200,925)15.74%(124,727)0.81%(375,036)-2.68%(1,552,716)11.69%(1,364,689)26.61%(39,920)1.23%(2,710,411)92.18%(157,053)1.21%(103,936)-4.12%00
非控制權益變動00%(205,000)0.75%
其他籌資活動00%821,464-2.99%90%3,281,212-21.38%00%4,905,660-36.92%
籌資活動之淨現金流入(流出)(13,494,228)100%(27,456,852)100%(33,034,177)100%(15,347,583)100%13,990,385100%(13,287,681)100%(5,129,138)100%(3,247,422)100%(2,940,205)100%(13,014,357)100%2,523,422100%(2,739,018)100%(7,866,671)100%
匯率變動對現金及約當現金之影響(30,150)1,037,8341,507,35756,753(305,481)(149,450)(100,618)(241,629)(154,017)40,92150,12520,163(93,091)
本期現金及約當現金增加(減少)數20,822,772667,768(7,646,788)9,768,209(1,820,678)3,893,528642,5831,581,296(1,299,001)4,013,100(2,098,031)4,876,709(514,476)
期初現金及約當現金餘額30,391,56434,980,46945,269,86627,125,93728,459,52824,937,537
期末現金及約當現金餘額51,214,33635,648,23737,623,07836,894,14626,638,85028,831,065
資產負債表帳列之現金及約當現金51,214,33635,648,23737,623,07836,894,14626,638,85028,831,06523,227,91525,848,49322,192,08424,481,25116,909,61815,707,84010,599,296
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。

營業活動之現金流

華航(2610) 2024年第3季「營業活動之現金流」單季為NT$119億元、較上一季衰退-20.48%;而今年初至今累積為NT$368億元、較去年同期衰退-17.78%。
單季
華航(2610) 最新公布的2024年第3季財報中,本季新增之「營業活動之現金流」為NT$119億元,較上一季衰退-20.48%,為過去10年同期中的第1高。 同時華航過去3年、5年與10年的「第3季營業活動之現金流年化成長率」分別為0.65%、3.16%與14.34%。 其中稅前淨利為NT$52.08億元,收益費損相關之調整項目為NT$89.61億元,所得稅/利息等之影響數為NT$-9.6億元
今年初累積至今
今年前9個月營業活動之現金流累積為NT$368億元,較去年同期衰退-17.78%,為過去10年同期中的第2高。 同時華航過去3年、5年與10年的「前9個月營業活動之現金流年化成長率」分別為9.46%、2.21%與12.35%。 其中稅前淨利為NT$141億元,收益費損相關之調整項目為NT$269億元,所得稅/利息等之影響數為NT$-15.23億元
營業活動之現金流-今年初累積至今
(TWD千元)2024年前9個月2023年前9個月2022年前9個月2021年前9個月2020年前9個月2019年前9個月2018年前9個月2017年前9個月2016年前9個月2015年前9個月2014年前9個月2013年前9個月2012年前9個月
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%
繼續營業單位稅前淨利(淨損)14,052,71838.14%9,078,01520.26%3,841,91314.21%1,270,0754.52%(2,559,621)-93.35%532,2341.61%2,286,39511.74%1,997,5888.93%2,876,03723.44%6,458,81225.37%(1,382,495)-12.02%644,2843.69%(127,080)-0.86%
收益費損項目合計26,933,38273.1%30,004,78966.95%30,073,138111.2%30,807,904109.65%30,821,5961124.08%31,082,93494.08%18,773,34596.41%20,683,29192.45%15,904,093129.64%13,767,68154.07%15,484,381134.61%14,568,60683.47%13,383,91090.82%
折舊費用22,036,47759.81%23,195,84251.76%22,384,86382.77%22,528,43280.19%23,898,705871.6%24,582,49474.41%14,379,98073.85%13,707,15961.26%13,002,138105.99%13,052,78451.26%13,050,413113.45%12,935,46174.11%12,675,88386.01%
攤銷費用161,4160.44%166,2930.37%167,9590.62%165,9700.59%152,7585.57%149,1500.45%142,2260.73%195,1640.87%92,1970.75%49,7400.2%40,8000.35%38,0290.22%34,1230.23%
與營業活動相關之資產及負債之淨變動合計(2,617,842)-7.11%8,100,37618.08%(638,179)-2.36%(2,119,772)-7.54%(23,146,513)-844.17%3,729,30711.29%(750,963)-3.86%289,5691.29%(5,977,244)-48.72%4,348,49717.08%(1,680,979)-14.61%3,211,84318.4%2,880,94919.55%
營業活動之淨現金流入(流出)36,844,797100%44,814,329100%27,045,150100%28,095,471100%2,741,930100%33,037,250100%19,471,553100%22,373,593100%12,267,896100%25,461,707100%11,502,898100%17,453,257100%14,737,391100%

投資活動之淨現金流

華航(2610) 2024年第3季「投資活動之淨現金流」單季為NT$28.52億元、較上一季成長387.1%;而今年初至今累積為NT$-24.98億元、較去年同期成長85.91%。
單季
華航(2610) 最新公布的2024年第3季財報中,本季新增之「投資活動之淨現金流」為NT$28.52億元,較上一季成長387.1%,為過去10年同期中的第1高。
今年初累積至今
今年前9個月投資活動之淨現金流累積為NT$-24.98億元,較去年同期成長85.91%,為過去10年同期中的第1高。
投資活動之淨現金流-今年初累積至今
(TWD千元)2024年前9個月2023年前9個月2022年前9個月2021年前9個月2020年前9個月2019年前9個月2018年前9個月2017年前9個月2016年前9個月2015年前9個月2014年前9個月2013年前9個月2012年前9個月
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%
投資活動之淨現金流入(流出)(2,497,647)100%(17,727,543)100%(3,165,118)100%(3,036,432)100%(18,247,512)100%(15,706,591)100%(13,599,214)100%(17,303,246)100%(10,472,675)100%(8,475,171)100%(16,174,476)100%(9,857,693)100%(7,292,105)100%
取得不動產、廠房及設備(2,346,136)93.93%(1,467,388)8.28%(1,965,232)62.09%(1,635,174)53.85%(858,411)4.7%(4,075,360)25.95%(4,128,575)30.36%(6,711,221)38.79%(6,625,710)63.27%(4,292,644)50.65%(5,927,634)36.65%(4,394,614)44.58%(3,087,834)42.34%
處分不動產、廠房及設備405,145-16.22%1,519,720-8.57%23,755-0.75%394,747-13%39,076-0.21%66,784-0.43%300,162-2.21%
取得無形資產
處分無形資產
取得透過損益按公允價值衡量之金融資產
處分透過損益按公允價值衡量之金融資產
取得透過其他綜合損益按公允價值衡量之金融資產(278)0.01%
處分透過其他綜合損益按公允價值衡量之金融資產
取得按攤銷後成本衡量之金融資產(8,548,283)342.25%(15,511,765)87.5%(8,985,310)283.89%(2,505,043)82.5%(5,398,640)29.59%
處分按攤銷後成本衡量之金融資產11,052,195-442.5%14,197,510-80.09%20,545,777-649.13%7,646,697-251.83%1,694,234-9.28%
按攤銷後成本衡量之金融資產到期還本

籌資活動之淨現金流

華航(2610) 2024年第3季「籌資活動之淨現金流」單季為NT$-63.78億元、較上一季衰退-89.42%;而今年初至今累積為NT$-135億元、較去年同期成長50.85%。
單季
華航(2610) 最新公布的2024年第3季財報中,本季新增之「籌資活動之淨現金流」為NT$-63.78億元,較上一季衰退-89.42%,為過去10年同期中的第7高。
今年初累積至今
今年前9個月籌資活動之淨現金流累積為NT$-135億元,較去年同期成長50.85%,為過去10年同期中的第8高。
籌資活動之淨現金流-今年初累積至今
(TWD千元)2024年前9個月2023年前9個月2022年前9個月2021年前9個月2020年前9個月2019年前9個月2018年前9個月2017年前9個月2016年前9個月2015年前9個月2014年前9個月2013年前9個月2012年前9個月
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%
籌資活動之淨現金流入(流出)(13,494,228)100%(27,456,852)100%(33,034,177)100%(15,347,583)100%13,990,385100%(13,287,681)100%(5,129,138)100%(3,247,422)100%(2,940,205)100%(13,014,357)100%2,523,422100%(2,739,018)100%(7,866,671)100%
短期借款增加(550,000)2%00%20,000-0.13%1,552,00011.09%00%1,150,000-22.42%120,000-3.7%115,000-3.91%13,530,025-103.96%2,155,00085.4%1,275,000-46.55%900,000-11.44%
短期借款減少00%(150,000)0.45%00%(1,270,000)24.76%(225,000)6.93%(80,000)2.72%(17,759,000)136.46%(196,000)-7.77%
發行公司債00%2,650,000-9.65%00%4,500,000-29.32%00%3,500,000-26.34%6,012,000-117.21%2,350,000-72.37%9,700,000-329.91%00%10,900,000-397.95%5,345,000-67.94%
償還公司債(2,125,000)15.75%(1,125,000)4.1%(200)0%(5,000,000)32.58%(8,950,000)-63.97%(4,445,900)33.46%(2,700,000)52.64%(2,700,000)83.14%(2,400,000)81.63%(8,585,000)65.97%(4,780,000)-189.43%(5,460,000)199.34%(11,000,000)139.83%
舉借長期借款21,109,067-156.43%9,013,068-32.83%2,559,673-7.75%8,023,590-52.28%65,830,527470.54%7,532,213-56.69%12,292,996-239.67%21,247,000-654.27%19,430,500-660.86%16,123,172-123.89%26,165,1931036.89%7,925,000-289.34%8,071,188-102.6%
償還長期借款(18,293,618)135.57%(24,697,179)89.95%(21,622,115)65.45%(10,268,775)66.91%(43,944,169)-314.1%(14,629,858)110.1%(19,048,299)371.37%(23,096,592)711.23%(27,007,433)918.56%(14,184,194)108.99%(22,904,679)-907.68%(18,408,353)672.08%(17,964,770)228.37%
發放現金股利(4,322,017)32.03%(3,025,052)11.02%(5,200,925)15.74%(124,727)0.81%(375,036)-2.68%(1,552,716)11.69%(1,364,689)26.61%(39,920)1.23%(2,710,411)92.18%(157,053)1.21%(103,936)-4.12%
庫藏股票買回成本00%(257,982)5.03%
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