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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

第二季 (最新)
單季
(TWD千元)2025年第二季2024年第二季2023年第二季2022年第二季2021年第二季2020年第二季2019年第二季2018年第二季2017年第二季2016年第二季2015年第二季2014年第二季2013年第二季2012年第二季
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%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)5,290,99510.31%4,593,0569.14%4,209,9018.92%427,7141.16%(550,287)-1.87%2,139,9218.13%(181,813)-0.42%366,1470.89%1,844,3744.83%(12,943)-0.04%1,445,5444.06%(359,763)-0.97%(20,681)-0.06%(272,297)-0.77%
本期稅前淨利(淨損)5,290,9954,593,0564,209,901427,714(550,287)2,139,921(181,813)459,8871,844,374(12,943)1,445,544(359,763)(20,681)(272,297)
調整項目
收益費損項目
折舊費用7,289,9527,354,3647,814,5447,425,5267,561,7537,853,7848,284,0364,749,9264,514,6304,345,0164,381,4624,347,7884,333,2334,232,554
攤銷費用49,34054,25555,27355,49054,87355,65551,69143,02966,79524,69615,90213,65412,68611,235
預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數129,6199,6182,3506,00012,55912,6351,60315,039(209)4773
透過損益按公允價值衡量金融資產及負債之淨損失(利益)(880)(612)(407)(820)3741,366(11,902)(6,297)(8,297)(6,331)41,49928,368(25,125)(433,959)
利息費用752,516646,338672,387645,832621,078796,493(875,831)0000000
利息收入(452,517)(601,518)(473,254)(102,542)(33,536)(91,811)(97,475)(81,902)
採用權益法認列之關聯企業及合資損失(利益)之份額(229,688)(176,770)(104,173)33,089215,77994,728(87,895)(82,047)(136,328)(135,077)(132,569)(140,381)(110,050)(139,632)
處分及報廢不動產、廠房及設備損失(利益)(8,554)17,529135,418(1,163)953,379(1,759)(4,109)4,638
非金融資產減損損失108,001446,9181,018,64357,929356,536105,03474,18054,52720,84285,318147,647174,77791,084211,202
未實現外幣兌換損失(利益)(1,088,233)804,592146,852983,602(531,865)(263,426)413,531368,594
其他項目1,694,3311,119,9541,416,3261,329,3721,753,1011,835,2462,759,4321,177,8321,105,5361,000,476959,023789,416755,340871,658
收益費損項目合計8,100,6229,436,90810,672,11510,435,08110,961,63010,380,24310,504,9586,381,5706,374,4234,749,8204,830,6074,963,6455,054,6394,844,674
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(17,313)(21,917)(15,852)13,109(734)65,844(23,449)
應收帳款(增加)減少1,372,942(470,918)1,455,371(1,336,760)6,947(1,225,799)(664,305)22,46645,962107,536969,225(193,672)(205,510)1,564,186
應收帳款-關係人(增加)減少(127,194)(128,433)(101,127)(27,316)(72,518)47,559(85,524)9,137(33,862)(13,550)(140,499)(42,713)(156,525)67,234
其他應收款(增加)減少77,863419,750(13,960)356,465224,225103,744(335,850)(37,082)(60,634)40,673(147,357)(252,459)(23,914)(92,571)
存貨(增加)減少703,341(69,430)15,535104,294(497,407)(18,801)540,832(129,056)200,167(148,975)(496,143)214,502373,290232,292
其他流動資產(增加)減少(1,539,462)(16,148)(277,956)(230,009)79,315(151,425)(196,238)450,191
與營業活動相關之資產之淨變動合計470,177(287,096)1,062,011(1,120,217)(260,172)(1,178,878)(1,085,605)1,500,818546,180(1,045,102)(285,423)(874,002)3,550,1482,988,077
與營業活動相關之負債之淨變動
合約負債增加(減少)(280,240)1,927,3412,944,2261,407,040(433,606)(5,141,233)2,661,8501,107,182
應付帳款增加(減少)(14,160)7,026162,665642,752(223,284)(299,682)67,197(233)(6,614)(148,823)(358,797)544,89374,044122,351
應付帳款-關係人增加(減少)237,401191,861254,29711,872(44,758)(338,116)58,653162,32846,814350,816327,11884,451106,741397,694
其他應付款增加(減少)766,2591,230,5841,317,295505,958444,699(921,360)555,324744,657(203,237)1,089,7921,118,8462,678,1211,861,266(471,151)
負債準備增加(減少)(944,924)(1,953,906)(679,296)(671,226)(516,538)(142,246)(971,461)(921,188)(526,246)(197,781)(59,905)(520,571)(167,775)(46,276)
其他流動負債增加(減少)(159,258)201,6581,517,84768,22941,173(725,918)214,123174,051
淨確定福利負債增加(減少)(227,857)(47,566)(60,349)(1,072)(47,810)68,07015,160(13,670)(171,144)(625,733)(88,170)(15,510)(4,667)10,258
其他營業負債增加(減少)685(23)46,129(24)(23)(6,996)(4,737)27,10411,17851,627(21,110)(866,415)4,91114,189
與營業活動相關之負債之淨變動合計(622,094)1,556,9755,502,8141,963,529(780,147)(7,507,481)2,596,1091,280,231640,2511,972,3741,879,1583,046,7652,475,2071,731,851
與營業活動相關之資產及負債之淨變動合計(151,917)1,269,8796,564,825843,312(1,040,319)(8,686,359)1,510,5042,781,0491,186,431927,2721,593,7352,172,7636,025,3554,719,928
調整項目合計7,948,70510,706,78717,236,94011,278,3939,921,3111,693,88412,015,4629,162,6197,560,8545,677,0926,424,3427,136,40811,079,9949,564,602
營運產生之現金流入(流出)13,239,70015,299,84321,446,84111,706,1079,371,0243,833,80511,833,6499,622,5069,405,2285,664,1497,869,8866,776,64511,059,3139,292,305
收取之利息590,045545,684374,384102,87930,25081,14480,26965,62048,01557,974116,257114,99488,43778,949
支付之利息(755,313)(607,740)(651,220)(634,020)(625,147)(836,574)(825,308)(356,134)(332,428)(283,919)(551,106)(394,616)(557,141)(862,148)
退還(支付)之所得稅(2,081,646)(260,805)(547,685)(3,032,315)(167,997)(126,258)(230,049)(76,101)(77,056)(85,485)(108,901)(13,408)(56,660)(48,534)
營業活動之淨現金流入(流出)11,006,43314,986,89320,629,2938,143,5048,608,1302,998,12911,516,9699,284,6989,064,8685,358,4647,612,9786,522,85310,584,2108,742,102
投資活動之現金流量
取得按攤銷後成本衡量之金融資產(704,984)(2,866,403)(6,393,444)(1,762,860)30,430(1,441,142)
處分按攤銷後成本衡量之金融資產340,4694,932,0433,139,3857,926,25228,2661,081,736
取得避險之金融資產(2,526,508)(7,980,456)(1,538,461)(2,575,290)
處分避險之金融資產2,739,06410,975,9673,957,0471,397,8442,641,927
取得不動產、廠房及設備(2,098,243)(915,539)365,348(307,599)(448,363)(220,443)(2,007,270)(697,330)(3,161,796)(1,959,521)(1,109,312)(1,705,609)(2,008,001)(1,253,707)
處分不動產、廠房及設備14,4831,566,7691,3932,886189,8695,36427,5771,690
存出保證金增加(46,969)(27,816)(58,609)(95,487)(64,481)105,630(90,721)(7,911)(58,283)(27,679)(406,394)(173,208)(7,267)(75,662)
存出保證金減少172,341109,54340,22289,08221,10021,04492,84925,93440,456(3,344)252,135160,480(2,811)166,812
取得無形資產00000000000000
取得使用權資產00000000000000
長期應收租賃款減少74,60275,993
預付設備款增加(17,014,051)(6,918,582)(8,137,511)(4,881,999)(3,290,748)(609,969)(2,525,981)(3,704,356)(2,410,752)(1,858,039)(3,143,306)(5,481,298)(2,994,232)(906,819)
其他投資活動(60,586)55,141(82,460)(5,438)(67,620)(2,303)(59,236)(50,122)
投資活動之淨現金流入(流出)(19,110,382)(993,340)(8,704,567)(212,609)(956,141)(1,060,083)(4,562,782)(4,278,248)(5,392,580)(1,343,004)694,452(7,273,646)(5,042,879)(2,263,012)
籌資活動之現金流量
短期借款增加0(165,000)200,000(5,635,000)(4,200,000)350,000(1,600,000)20,0002,240,0006,815,1773,715,0003,050,000
舉借長期借款4,359,5007,579,0134,550,0121,068,721454,13017,006,9751,037,8704,977,85014,317,0003,029,0003,001,3652,801,391860,0005,572,564
償還長期借款(2,170,001)(5,437,558)(8,956,903)(7,615,976)(5,438,952)(11,306,897)(2,839,905)(7,310,853)(10,017,119)(7,315,504)(4,183,408)(4,222,832)(4,651,876)(8,322,820)
存入保證金增加48,35250,69632,36490,87366,94428,21840,69237,05342,88626,95058,61243,39361,92238,988
存入保證金減少(30,959)(54,238)(99,962)(21,723)(64,479)(53,010)(31,628)(3,593)(29,060)(19,448)(65,364)(71,379)(32,115)(41,544)
租賃本金償還(3,089,630)(3,392,710)(3,130,963)(2,625,311)(2,431,056)(2,564,150)(3,084,170)
發放現金股利0(2,325)(253,800)(202,650)(114,800)(375,036)(416,438)(171,019)(38,654)(201,437)(157,063)(102,414)1,1070
籌資活動之淨現金流入(流出)(1,507,738)(3,367,122)(8,933,589)(9,706,057)(1,846,145)(7,138,343)(6,813,579)(2,070,600)3,090,064(2,180,439)(4,504,955)491,564(2,268,107)(10,827,678)
匯率變動對現金及約當現金之影響(2,488,755)(132,507)264,95079,562(199,267)(182,922)(144,097)75,320145,617379,423228,10785,635(35,500)75,445
本期現金及約當現金增加(減少)數(12,100,442)10,493,9243,256,087(1,695,600)5,606,577(5,383,219)(3,489)3,011,1706,907,9692,214,4444,030,582(173,594)3,237,724(4,273,143)
期初現金及約當現金餘額000000022,585,33224,267,19723,491,08520,468,15119,007,64910,831,13111,113,772
期末現金及約當現金餘額(12,100,442)10,493,9243,256,087(1,695,600)5,606,577(5,383,219)(3,489)24,862,41830,691,84024,959,55024,783,30919,039,08215,840,84911,911,183
資產負債表帳列之現金及約當現金49,362,02915.04%43,512,79214.19%38,804,75513.05%38,240,97413.44%29,632,60611.06%34,217,74112.02%23,348,9047.97%24,862,41810.83%30,691,84013.53%24,959,55011.41%24,783,30910.88%19,039,0828.56%15,840,8497.2%11,911,1835.27%
今年初累積至今
(TWD千元)2025年前6個月2024年前6個月2023年前6個月2022年前6個月2021年前6個月2020年前6個月2019年前6個月2018年前6個月2017年前6個月2016年前6個月2015年前6個月2014年前6個月2013年前6個月2012年前6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%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)11,086,82310.65%8,844,2658.94%5,938,7136.61%3,980,0665.37%(1,882,135)-3.29%(1,666,561)-2.83%(139,452)-0.17%626,6550.77%(1,672,516)-2.26%1,853,4192.69%3,761,8965.17%(2,871,688)-3.98%(1,071,023)-1.59%(1,779,142)-2.57%
本期稅前淨利(淨損)11,086,82361.91%8,844,26535.48%5,938,71317.09%3,980,06623.02%(1,882,135)-11.47%(1,666,561)44.55%(139,452)-0.61%626,6555.23%(1,672,516)-13.38%1,853,41921.67%3,761,89624.64%(2,871,688)-34.26%(1,071,023)-8.82%(1,779,142)-24.82%
調整項目
收益費損項目
折舊費用14,471,31480.81%14,555,83358.39%15,587,93444.86%14,776,08985.46%15,443,12994.13%16,021,382-428.29%16,490,38272.21%9,538,25379.6%9,154,59373.25%8,612,943100.71%8,815,72257.73%8,667,215103.39%8,625,14771.05%8,444,428117.83%
攤銷費用97,2450.54%109,8530.44%110,4020.32%112,1120.65%109,2010.67%105,557-2.82%101,5330.44%92,4840.77%128,4581.03%48,0080.56%31,3700.21%26,6180.32%25,4240.21%22,2680.31%
預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數590%00%20%19,2370.11%18,9880.12%2,522-0.07%14,3820.06%24,8840.21%25,2830.2%12,3880.14%20,5790.13%880%990%5060.01%
透過損益按公允價值衡量金融資產及負債之淨損失(利益)(1,678)-0.01%(1,202)0%(746)0%(1,506)-0.01%2250%(1,930)0.05%(23,042)-0.1%(9,163)-0.08%28,2750.23%19,0430.22%48,3840.32%5,2920.06%(135,661)-1.12%(455,059)-6.35%
利息費用1,528,0488.53%1,288,1045.17%1,373,0503.95%1,211,4897.01%1,278,4617.79%1,617,165-43.23%00000000
利息收入(1,002,703)-5.6%(1,063,452)-4.27%(832,573)-2.4%(138,739)-0.8%(74,689)-0.46%(180,111)4.81%(194,430)-0.85%(141,518)-1.18%
股利收入(13,647)-0.08%(9,911)-0.04%(6,973)-0.02%(853)0%00%(7,417)0.2%(6,700)-0.03%(7,705)-0.06%
採用權益法認列之關聯企業及合資損失(利益)之份額(429,520)-2.4%(336,605)-1.35%(174,451)-0.5%84,0540.49%297,4531.81%119,222-3.19%(157,799)-0.69%(163,819)-1.37%(255,608)-2.05%(258,687)-3.02%(248,885)-1.63%(263,308)-3.14%(211,272)-1.74%(225,025)-3.14%
處分及報廢不動產、廠房及設備損失(利益)(22,824)-0.13%(355,052)-1.42%125,5070.36%(3,878)-0.02%989,8556.03%(6,880)0.18%(5,458)-0.02%282,9592.36%
非金融資產減損損失479,0692.68%898,2073.6%1,270,3613.66%340,2691.97%742,9174.53%325,297-8.7%381,7881.67%508,7154.25%349,2192.79%241,8252.83%160,4341.05%292,1413.48%188,1401.55%295,6134.12%
未實現外幣兌換損失(利益)(480,418)-2.68%814,0423.27%(487,457)-1.4%850,2504.92%(984,238)-6%(252,373)6.75%476,4602.09%222,3641.86%
其他項目3,215,62917.96%2,291,0699.19%2,888,4088.31%2,699,23015.61%3,122,57919.03%3,295,142-88.09%3,820,56116.73%2,354,87819.65%2,247,22717.98%1,942,16622.71%1,873,92512.27%1,610,87019.22%1,542,83212.71%1,747,91424.39%
收益費損項目合計17,840,57499.63%17,972,65572.1%19,880,22357.22%19,947,754115.37%20,944,421127.66%21,037,576-562.38%20,900,48391.52%12,614,898105.28%14,962,026119.71%10,581,718123.73%10,180,88766.67%10,180,101121.44%10,279,55584.68%8,694,050121.31%
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(39,144)-0.22%(3,085)-0.01%(16,573)-0.05%26,5100.15%16,2730.1%6,562-0.18%(52,533)-0.23%493,4414.12%
應收帳款(增加)減少854,5454.77%(451,327)-1.81%1,706,2424.91%1,756,56210.16%352,3392.15%187,671-5.02%195,5740.86%(337,291)-2.81%(156,836)-1.25%(206,663)-2.42%835,8495.47%(271,263)-3.24%(130,991)-1.08%2,038,81228.45%
應收帳款-關係人(增加)減少(126,369)-0.71%(305,764)-1.23%(285,834)-0.82%(26,945)-0.16%(93,429)-0.57%756,951-20.24%(192,866)-0.84%34,0270.28%67,9600.54%53,7320.63%22,4060.15%(77,273)-0.92%(88,061)-0.73%(156,486)-2.18%
其他應收款(增加)減少101,3230.57%333,7011.34%231,1650.67%164,9610.95%335,7362.05%146,089-3.91%(246,963)-1.08%(57,775)-0.48%255,9342.05%66,9010.78%36,3350.24%(228,447)-2.73%(127,415)-1.05%9,7070.14%
存貨(增加)減少19,8450.11%(443,106)-1.78%(101,708)-0.29%(873,981)-5.05%6,7420.04%830,140-22.19%300,3031.31%(469,909)-3.92%(310,447)-2.48%(37,791)-0.44%(465,113)-3.05%53,7960.64%338,0972.79%20,6080.29%
其他流動資產(增加)減少(1,853,982)-10.35%(191,687)-0.77%(241,741)-0.7%(399,954)-2.31%(178,883)-1.09%681,984-18.23%710,2773.11%274,8662.29%
與營業活動相關之資產之淨變動合計(1,043,782)-5.83%(1,061,268)-4.26%1,291,5513.72%647,1533.74%438,7782.67%2,609,397-69.76%3,008,33113.17%(62,641)-0.52%771,4606.17%(1,520,729)-17.78%249,9151.64%(1,184,296)-14.13%2,143,74217.66%2,558,51435.7%
與營業活動相關之負債之淨變動
合約負債增加(減少)(515,008)-2.88%2,787,30411.18%8,986,46825.86%1,821,32510.53%(806,279)-4.91%(15,040,287)402.06%1,851,9658.11%1,309,85410.93%
應付帳款增加(減少)(123,525)-0.69%343,1781.38%68,2630.2%440,5452.55%(234,040)-1.43%196,379-5.25%(489,142)-2.14%456,7383.81%(244,786)-1.96%(356,128)-4.16%300,6151.97%(18,620)-0.22%14,6890.12%81,0311.13%
應付帳款-關係人增加(減少)248,3371.39%457,1571.83%611,5961.76%21,6880.13%(66,721)-0.41%(1,219,579)32.6%105,0130.46%67,7210.57%214,1571.71%96,7561.13%185,6791.22%191,7542.29%21,3950.18%294,0374.1%
其他應付款增加(減少)(4,952,999)-27.66%(2,028,012)-8.14%(1,867,185)-5.37%(3,159,291)-18.27%157,1190.96%(4,600,240)122.98%(168,563)-0.74%(1,018,619)-8.5%(1,153,964)-9.23%(652,666)-7.63%894,7085.86%1,949,87423.26%1,490,41412.28%(2,256,318)-31.48%
負債準備增加(減少)(1,582,893)-8.84%(2,390,178)-9.59%(1,097,132)-3.16%(1,981,188)-11.46%(829,637)-5.06%(612,080)16.36%(1,452,256)-6.36%(1,223,154)-10.21%(690,386)-5.52%(765,172)-8.95%(71,823)-0.47%(545,217)-6.5%(257,883)-2.12%(114,388)-1.6%
其他流動負債增加(減少)197,8011.1%847,0503.4%2,146,5546.18%(81,817)-0.47%81,3840.5%(2,615,031)69.91%517,9472.27%148,3681.24%
淨確定福利負債增加(減少)(759,745)-4.24%(290,115)-1.16%(131,777)-0.38%(246,284)-1.42%(47,078)-0.29%(148,876)3.98%(140,528)-0.62%(235,245)-1.96%(838,648)-6.71%(742,482)-8.68%(145,005)-0.95%(85,284)-1.02%(72,534)-0.6%(56,490)-0.79%
其他營業負債增加(減少)2,6480.01%8,2620.03%99,4150.29%8,6000.05%5,5790.03%(27,267)0.73%1,0600%13,9340.12%28,3480.23%(3,593)-0.04%(57,737)-0.38%(465,282)-5.55%11,5460.1%(1,486)-0.02%
與營業活動相關之負債之淨變動合計(7,485,384)-41.8%(265,354)-1.06%8,816,20225.37%(3,176,422)-18.37%(1,739,673)-10.6%(24,066,981)643.37%225,4960.99%(480,403)-4.01%(876,256)-7.01%(1,693,151)-19.8%1,866,07512.22%2,997,94935.76%1,669,00213.75%(1,294,045)-18.06%
與營業活動相關之資產及負債之淨變動合計(8,529,166)-47.63%(1,326,622)-5.32%10,107,75329.09%(2,529,269)-14.63%(1,300,895)-7.93%(21,457,584)573.61%3,233,82714.16%(543,044)-4.53%(104,796)-0.84%(3,213,880)-37.58%2,115,99013.86%1,813,65321.63%3,812,74431.41%1,264,46917.64%
調整項目合計9,311,40852%16,646,03366.78%29,987,97686.31%17,418,485100.74%19,643,526119.73%(420,008)11.23%24,134,310105.68%12,071,854100.74%14,857,230118.87%7,367,83886.15%12,296,87780.53%11,993,754143.07%14,092,299116.09%9,958,519138.95%
營運產生之現金流入(流出)20,398,231113.91%25,490,298102.26%35,926,689103.4%21,398,551123.76%17,761,391108.26%(2,086,569)55.78%23,994,858105.07%12,698,509105.97%13,184,714105.49%9,221,257107.82%16,058,773105.16%9,122,066108.82%13,021,276107.27%8,179,377114.13%
收取之利息1,174,3266.56%979,6653.93%758,9652.18%131,8740.76%73,8870.45%175,460-4.69%184,6150.81%107,4640.9%92,7440.74%149,2341.75%218,5251.43%247,0652.95%151,3901.25%133,6901.87%
收取之股利13,6470.08%9,9110.04%6,9730.02%8530%00%46,012-1.23%658,4082.88%28,8070.24%74,0950.59%5,7450.07%286,8421.88%42,6560.51%50,2610.41%283,9073.96%
支付之利息(1,535,322)-8.57%(1,247,757)-5.01%(1,336,686)-3.85%(1,189,764)-6.88%(1,237,569)-7.54%(1,730,469)46.26%(1,735,507)-7.6%(751,904)-6.27%(760,782)-6.09%(723,176)-8.46%(1,167,770)-7.65%(1,010,657)-12.06%(1,023,892)-8.43%(1,371,621)-19.14%
退還(支付)之所得稅(2,143,697)-11.97%(305,207)-1.22%(609,622)-1.75%(3,050,760)-17.64%(190,873)-1.16%(145,226)3.88%(265,436)-1.16%(100,072)-0.84%(92,464)-0.74%(100,998)-1.18%(125,876)-0.82%(18,138)-0.22%(59,745)-0.49%(58,430)-0.82%
營業活動之淨現金流入(流出)17,907,185100%24,926,910100%34,746,319100%17,290,754100%16,406,836100%(3,740,792)100%22,836,938100%11,982,804100%12,498,307100%8,552,062100%15,270,494100%8,382,992100%12,139,290100%7,166,923100%
投資活動之現金流量
取得按攤銷後成本衡量之金融資產(1,175,816)4.6%(8,090,403)151.24%(14,854,879)95.31%(8,995,910)742.45%(952,994)-51.51%(1,514,154)51.04%
處分按攤銷後成本衡量之金融資產898,240-3.51%8,515,075-159.18%8,544,638-54.82%18,731,038-1545.9%6,022,948325.56%1,683,931-56.76%
取得避險之金融資產(5,477,328)21.41%(18,374,958)343.49%(5,501,876)35.3%(3,904,930)322.28%00%(13,096)0.28%
處分避險之金融資產5,707,048-22.3%21,449,190-400.96%7,881,267-50.57%4,970,871-410.25%7,246,132391.68%
取得不動產、廠房及設備(4,053,902)15.84%(1,526,591)28.54%(967,190)6.21%(865,056)71.39%(638,005)-34.49%(479,254)16.15%(2,638,353)38.95%(2,092,336)20.22%(4,624,193)46.32%(4,335,611)120.97%(1,868,779)40.48%(3,305,738)31.21%(3,337,487)52.9%(2,284,307)80.12%
處分不動產、廠房及設備51,366-0.2%2,689,212-50.27%10,349-0.07%8,081-0.67%190,63910.3%12,310-0.41%38,428-0.57%294,571-2.85%
存出保證金增加(233,464)0.91%(117,001)2.19%(103,719)0.67%(97,617)8.06%(83,492)-4.51%(62,023)2.09%(141,954)2.1%(17,001)0.16%(112,473)1.13%(149,784)4.18%(580,200)12.57%(174,186)1.64%(42,633)0.68%(126,267)4.43%
存出保證金減少190,653-0.75%207,650-3.88%43,658-0.28%130,181-10.74%37,2142.01%34,426-1.16%131,469-1.94%57,363-0.55%137,903-1.38%83,961-2.34%475,316-10.3%202,333-1.91%309,540-4.91%376,087-13.19%
取得無形資產00000000000000
取得使用權資產00000000000000
長期應收租賃款減少151,586-0.59%149,380-2.79%
預付設備款增加(21,556,411)84.25%(10,333,563)193.17%(10,548,121)67.68%(11,029,226)910.26%(9,819,933)-530.8%(2,586,640)87.19%(4,094,312)60.44%(9,314,366)90%(5,886,365)58.96%(4,896,105)136.6%(7,476,675)161.97%(7,407,051)69.92%(3,260,239)51.68%(1,041,973)36.54%
其他投資活動(89,362)0.35%82,532-1.54%(92,607)0.59%(159,092)13.13%(153,439)-8.29%(55,243)1.86%(87,866)1.3%(109,037)1.05%
投資活動之淨現金流入(流出)(25,587,390)100%(5,349,477)100%(15,585,957)100%(1,211,660)100%1,850,012100%(2,966,647)100%(6,774,309)100%(10,349,379)100%(9,983,082)100%(3,584,186)100%(4,616,179)100%(10,593,562)100%(6,308,640)100%(2,851,266)100%
籌資活動之現金流量
短期借款增加00%35,000-0.49%00%200,000-1.27%1,770,00014.03%00%400,00066.44%110,0002.82%40,000-1.17%11,270,025-179.97%6,918,912290.09%4,025,000-407.42%3,200,000-91.04%
應付短期票券增加00%160,000-2.25%60,000-0.37%(6,289,135)39.92%8,248,70265.38%350,060-1.99%289,96248.16%(900,000)-23.05%(9,995)0.29%(1,098,262)17.54%1,823,18476.44%849,720-86.01%00%
償還公司債(625,000)8.74%(2,125,000)29.86%(1,125,000)6.99%(200)0%(2,500,000)15.87%(6,450,000)-51.13%(4,445,900)25.32%(2,700,000)-448.45%(2,700,000)-69.16%(2,400,000)70.21%(8,585,000)137.09%(4,780,000)-200.41%(5,460,000)552.68%(11,000,000)312.93%
舉借長期借款7,789,080-108.91%8,339,033-117.18%4,809,991-29.89%2,175,738-9.23%685,055-4.35%30,589,678242.47%1,726,863-9.84%11,594,8501925.84%20,330,000520.76%10,400,000-304.23%14,722,951-235.11%11,789,343494.29%1,140,000-115.39%5,572,564-158.53%
償還長期借款(7,805,694)109.14%(7,133,547)100.24%(14,916,334)92.69%(19,724,205)83.67%(8,743,132)55.5%(15,673,913)-124.24%(12,117,617)69.02%(14,519,274)-2411.57%(15,082,950)-386.35%(15,865,889)464.12%(8,586,225)137.11%(10,336,437)-433.38%(12,399,252)1255.09%(13,162,514)374.45%
存入保證金增加105,498-1.48%184,887-2.6%61,395-0.38%114,851-0.49%128,246-0.81%42,0270.33%80,786-0.46%86,65314.39%93,0032.38%57,115-1.67%70,873-1.13%104,5274.38%119,217-12.07%65,348-1.86%
存入保證金減少(58,595)0.82%(81,719)1.15%(211,579)1.31%(43,811)0.19%(128,012)0.81%(107,945)-0.86%(74,443)0.42%(31,104)-5.17%(62,818)-1.61%(34,770)1.02%(79,567)1.27%(135,501)-5.68%(70,589)7.15%(127,725)3.63%
租賃本金償還(6,557,400)91.68%(6,492,496)91.24%(6,638,574)41.25%(5,494,463)23.31%(5,174,133)32.84%(5,434,431)-43.08%(5,810,165)33.09%
發放現金股利00%(2,325)0.03%(253,800)1.58%(202,650)0.86%(114,800)0.73%(375,036)-2.97%(416,438)2.37%(171,019)-28.41%(39,928)-1.02%(201,899)5.91%(157,063)2.51%(103,936)-4.36%00
籌資活動之淨現金流入(流出)(7,152,111)100%(7,116,167)100%(16,093,238)100%(23,574,731)100%(15,753,590)100%12,615,936100%(17,556,914)100%602,068100%3,903,920100%(3,418,522)100%(6,262,268)100%2,385,092100%(987,917)100%(3,515,124)100%
匯率變動對現金及約當現金之影響(2,454,295)659,962757,162466,7453,411(150,284)(94,348)41,5935,498(80,889)(76,889)(143,089)166,985(3,122)
本期現金及約當現金增加(減少)數(17,286,611)13,121,2283,824,286(7,028,892)2,506,6695,758,213(1,588,633)2,277,0866,424,6431,468,4654,315,15831,4335,009,718797,411
期初現金及約當現金餘額66,648,64030,391,56434,980,46945,269,86627,125,93728,459,52824,937,537
期末現金及約當現金餘額49,362,02943,512,79238,804,75538,240,97429,632,60634,217,74123,348,904
資產負債表帳列之現金及約當現金49,362,02943,512,79238,804,75538,240,97429,632,60634,217,74123,348,90424,862,41830,691,84024,959,55024,783,30919,039,08215,840,84911,911,183
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) 2025年第1季「營業活動之現金流」單季為NT$69.01億元、較上一季衰退-60.43%;而今年初至今累積為NT$69.01億元、較去年同期衰退-30.58%。
單季
華航(2610) 最新公布的2025年第1季財報中,本季新增之「營業活動之現金流」為NT$69.01億元,較上一季衰退-60.43%,為過去11年同期中的第7高。 同時華航過去3年、5年與10年的「第1季營業活動之現金流年化成長率」分別為-8.97%、24.77%與-1.04%。 其中稅前淨利為NT$57.96億元,收益費損相關之調整項目為NT$97.4億元,所得稅/利息等之影響數為NT$-2.58億元
今年初累積至今
今年前3個月營業活動之現金流累積為NT$69.01億元,較去年同期衰退-30.58%,為過去11年同期中的第7高。 同時華航過去3年、5年與10年的「前3個月營業活動之現金流年化成長率」分別為-8.97%、24.77%與-1.04%。 其中稅前淨利為NT$57.96億元,收益費損相關之調整項目為NT$97.4億元,所得稅/利息等之影響數為NT$-2.58億元
營業活動之現金流-今年初累積至今
(TWD千元)2025年前3個月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2013年前3個月2012年前3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%金額%
繼續營業單位稅前淨利(淨損)5,795,8284,251,2091,728,8123,552,352(1,331,848)(3,806,482)42,361166,768(3,516,890)1,866,3622,316,352(2,511,925)(1,050,342)(1,506,845)
收益費損項目合計9,739,9528,535,7479,208,1089,512,6739,982,79110,657,33310,395,5256,233,3288,587,6035,831,8985,350,2805,216,4565,224,9163,849,376
折舊費用7,181,3627,201,4697,773,3907,350,5637,881,3768,167,5988,206,3464,788,3274,639,9634,267,9274,434,2604,319,4274,291,9144,211,874
攤銷費用47,90555,59855,12956,62254,32849,90249,84249,45561,66323,31215,46812,96412,73811,033
與營業活動相關之資產及負債之淨變動合計(8,377,249)(2,596,501)3,542,928(3,372,581)(260,576)(12,771,225)1,723,323(3,324,093)(1,291,227)(4,141,152)522,255(359,110)(2,212,611)(3,455,459)
營業活動之淨現金流入(流出)6,900,7529,940,01714,117,0269,147,2507,798,706(6,738,921)11,319,9692,698,1063,433,4393,193,5987,657,5161,860,1391,555,080(1,575,179)
營業活動之現金流-今年初累積至今
(TWD千元)2025年前3個月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2013年前3個月2012年前3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%金額%
繼續營業單位稅前淨利(淨損)5,795,82810.98%4,251,2098.74%1,728,8124.05%3,552,3529.54%(1,331,848)-4.79%(3,806,482)-11.69%42,3610.1%166,7680.42%(3,516,890)-9.82%1,866,3625.33%2,316,3526.23%(2,511,925)-7.13%(1,050,342)-3.18%(1,506,845)-4.47%
收益費損項目合計9,739,952141.14%8,535,74785.87%9,208,10865.23%9,512,673103.99%9,982,791128.01%10,657,333-158.15%10,395,52591.83%6,233,328231.03%8,587,603250.12%5,831,898182.61%5,350,28069.87%5,216,456280.43%5,224,916335.99%3,849,376-244.38%
折舊費用7,181,362104.07%7,201,46972.45%7,773,39055.06%7,350,56380.36%7,881,376101.06%8,167,598-121.2%8,206,34672.49%4,788,327177.47%4,639,963135.14%4,267,927133.64%4,434,26057.91%4,319,427232.21%4,291,914275.99%4,211,874-267.39%
攤銷費用47,9050.69%55,5980.56%55,1290.39%56,6220.62%54,3280.7%49,902-0.74%49,8420.44%49,4551.83%61,6631.8%23,3120.73%15,4680.2%12,9640.7%12,7380.82%11,033-0.7%
與營業活動相關之資產及負債之淨變動合計(8,377,249)-121.4%(2,596,501)-26.12%3,542,92825.1%(3,372,581)-36.87%(260,576)-3.34%(12,771,225)189.51%1,723,32315.22%(3,324,093)-123.2%(1,291,227)-37.61%(4,141,152)-129.67%522,2556.82%(359,110)-19.31%(2,212,611)-142.28%(3,455,459)219.37%
營業活動之淨現金流入(流出)6,900,752100%9,940,017100%14,117,026100%9,147,250100%7,798,706100%(6,738,921)100%11,319,969100%2,698,106100%3,433,439100%3,193,598100%7,657,516100%1,860,139100%1,555,080100%(1,575,179)100%

投資活動之淨現金流

華航(2610) 2025年第1季「投資活動之淨現金流」單季為NT$-64.77億元、較上一季衰退-35.84%;而今年初至今累積為NT$-64.77億元、較去年同期衰退-48.69%。
單季
華航(2610) 最新公布的2025年第1季財報中,本季新增之「投資活動之淨現金流」為NT$-64.77億元,較上一季衰退-35.84%,為過去11年同期中的第11高。
今年初累積至今
今年前3個月投資活動之淨現金流累積為NT$-64.77億元,較去年同期衰退-48.69%,為過去11年同期中的第11高。
投資活動之淨現金流-今年初累積至今
(TWD千元)2025年前3個月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2013年前3個月2012年前3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%金額%
投資活動之淨現金流入(流出)(6,477,008)(4,356,137)(6,881,390)(999,051)2,806,153(1,906,564)(2,211,527)(6,071,131)(4,590,502)(2,241,182)(5,310,631)(3,319,916)(1,265,761)(588,254)
取得不動產、廠房及設備(1,955,659)(611,052)(1,332,538)(557,457)(189,642)(258,811)(631,083)(1,395,006)(1,462,397)(2,376,090)(759,467)(1,600,129)(1,329,486)(1,030,600)
處分不動產、廠房及設備36,8831,122,4438,9565,1957706,94610,851292,881
取得無形資產00000000000000
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
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(470,832)(5,224,000)(8,461,435)(7,233,050)(983,424)(73,012)
處分按攤銷後成本衡量之金融資產557,7713,583,0325,405,25310,804,7865,994,682602,195
按攤銷後成本衡量之金融資產到期還本
投資活動之淨現金流-今年初累積至今
(TWD千元)2025年前3個月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2013年前3個月2012年前3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%金額%
投資活動之淨現金流入(流出)(6,477,008)100%(4,356,137)100%(6,881,390)100%(999,051)100%2,806,153100%(1,906,564)100%(2,211,527)100%(6,071,131)100%(4,590,502)100%(2,241,182)100%(5,310,631)100%(3,319,916)100%(1,265,761)100%(588,254)100%
取得不動產、廠房及設備(1,955,659)30.19%(611,052)14.03%(1,332,538)19.36%(557,457)55.8%(189,642)-6.76%(258,811)13.57%(631,083)28.54%(1,395,006)22.98%(1,462,397)31.86%(2,376,090)106.02%(759,467)14.3%(1,600,129)48.2%(1,329,486)105.03%(1,030,600)175.2%
處分不動產、廠房及設備36,883-0.57%1,122,443-25.77%8,956-0.13%5,195-0.52%7700.03%6,946-0.36%10,851-0.49%292,881-4.82%
取得無形資產00000000000000
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
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(470,832)7.27%(5,224,000)119.92%(8,461,435)122.96%(7,233,050)723.99%(983,424)-35.05%(73,012)3.83%
處分按攤銷後成本衡量之金融資產557,771-8.61%3,583,032-82.25%5,405,253-78.55%10,804,786-1081.5%5,994,682213.63%602,195-31.59%
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) 2025年第1季「籌資活動之淨現金流」單季為NT$-56.44億元、較上一季衰退-513.35%;而今年初至今累積為NT$-56.44億元、較去年同期衰退-50.55%。
單季
華航(2610) 最新公布的2025年第1季財報中,本季新增之「籌資活動之淨現金流」為NT$-56.44億元,較上一季衰退-513.35%,為過去11年同期中的第8高。
今年初累積至今
今年前3個月籌資活動之淨現金流累積為NT$-56.44億元,較去年同期衰退-50.55%,為過去11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)2025年前3個月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2013年前3個月2012年前3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%金額%
籌資活動之淨現金流入(流出)(5,644,373)(3,749,045)(7,159,649)(13,868,674)(13,907,445)19,754,279(10,743,335)2,672,668813,856(1,238,083)(1,757,313)1,893,5281,280,1907,312,554
短期借款增加0200,0001,300,00007,405,0004,200,00050,0001,710,00020,0009,030,025103,735310,000150,000
短期借款減少0(140,000)(50,000)(75,000)(10,520,000)(60,000)(1,600,104)0
發行公司債06,012,000010,900,0005,345,000
償還公司債0(200)0(2,750,000)(4,445,900)(2,700,000)(2,700,000)0(6,785,000)(1,080,000)(1,080,000)0
舉借長期借款3,429,580760,020259,9791,107,017230,92513,582,703688,9936,617,0006,013,0007,371,00011,721,5868,987,952280,0000
償還長期借款(5,635,693)(1,695,989)(5,959,431)(12,108,229)(3,304,180)(4,367,016)(9,277,712)(7,208,421)(5,065,831)(8,550,385)(4,402,817)(6,113,605)(7,747,376)(4,839,694)
發放現金股利00000000(1,274)(462)0(1,522)(1,107)0
庫藏股票買回成本
籌資活動之淨現金流-今年初累積至今
(TWD千元)2025年前3個月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2013年前3個月2012年前3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%金額%
籌資活動之淨現金流入(流出)(5,644,373)100%(3,749,045)100%(7,159,649)100%(13,868,674)100%(13,907,445)100%19,754,279100%(10,743,335)100%2,672,668100%813,856100%(1,238,083)100%(1,757,313)100%1,893,528100%1,280,190100%7,312,554100%
短期借款增加00%200,000-5.33%1,300,000-18.16%00%7,405,00037.49%4,200,000-39.09%50,0001.87%1,710,000210.11%20,000-1.62%9,030,025-513.85%103,7355.48%310,00024.22%150,0002.05%
短期借款減少00%(140,000)-5.24%(50,000)-6.14%(75,000)6.06%(10,520,000)598.64%(60,000)-3.17%(1,600,104)-124.99%00%
發行公司債00%6,012,000224.94%00%10,900,000851.44%5,345,00073.09%
償還公司債00%(200)0%00%(2,750,000)-13.92%(4,445,900)41.38%(2,700,000)-101.02%(2,700,000)-331.75%00%(6,785,000)386.1%(1,080,000)-57.04%(1,080,000)-84.36%00%
舉借長期借款3,429,580-60.76%760,020-20.27%259,979-3.63%1,107,017-7.98%230,925-1.66%13,582,70368.76%688,993-6.41%6,617,000247.58%6,013,000738.83%7,371,000-595.36%11,721,586-667.02%8,987,952474.67%280,00021.87%00%
償還長期借款(5,635,693)99.85%(1,695,989)45.24%(5,959,431)83.24%(12,108,229)87.31%(3,304,180)23.76%(4,367,016)-22.11%(9,277,712)86.36%(7,208,421)-269.71%(5,065,831)-622.45%(8,550,385)690.61%(4,402,817)250.54%(6,113,605)-322.87%(7,747,376)-605.17%(4,839,694)-66.18%
發放現金股利000000000%(1,274)-0.16%(462)0.04%00%(1,522)-0.08%(1,107)-0.09%00%
庫藏股票買回成本
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