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華航-現金流量表

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重要指標每月營收損益表資產負債表現金流量表股利資訊財報電子書
現金流量表

合併現金流量表

第一季 (最新)
單季
(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%
營業活動之現金流量-間接法
繼續營業單位稅前淨利(淨損)5,795,8284,251,2091,728,8123,552,352(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)
本期稅前淨利(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)
調整項目
收益費損項目
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
預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數5809,6189,3701728,38212,32512,64810,7855,54029752433
透過損益按公允價值衡量金融資產及負債之淨損失(利益)(798)(590)(339)(686)(149)(3,296)(11,140)(2,866)36,57225,3746,885(23,076)(110,536)(21,100)
利息費用775,532641,766700,663565,657657,383820,672875,8310000000
利息收入(550,186)(461,934)(359,319)(36,197)(41,153)(88,300)(96,955)(59,616)
採用權益法認列之關聯企業及合資損失(利益)之份額(199,832)(159,835)(70,278)50,96581,67424,494(69,904)(81,772)(119,280)(123,610)(116,316)(122,927)(101,222)(85,393)
處分及報廢不動產、廠房及設備損失(利益)(14,270)(372,581)(9,911)(2,715)36,476(5,121)(1,349)278,321
非金融資產減損損失371,068451,289251,718282,340386,381220,263307,608454,188328,377156,50712,787117,36497,05684,411
未實現外幣兌換損失(利益)607,8159,450(634,309)(133,352)(452,373)11,05362,929(146,230)
其他項目1,521,2981,171,1151,472,0821,369,8581,369,4781,459,8961,061,1291,177,0461,141,691941,690914,902821,454787,492876,256
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
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(21,831)18,832(721)13,40117,007(59,282)(29,084)
應收帳款(增加)減少(518,397)19,591250,8713,093,322345,3921,413,470859,879(359,757)(202,798)(314,199)(133,376)(77,591)74,519474,626
應收帳款-關係人(增加)減少825(177,331)(184,707)371(20,911)709,392(107,342)24,890101,82267,282162,905(34,560)68,464(223,720)
其他應收款(增加)減少23,460(86,049)245,125(191,504)111,51142,34588,887(20,693)316,56826,228183,69224,012(103,501)102,278
存貨(增加)減少(683,496)(373,676)(117,243)(978,275)504,149848,941(240,529)(340,853)(510,614)111,18431,030(160,706)(35,193)(211,684)
其他流動資產(增加)減少(314,520)(175,539)36,215(169,945)(258,198)833,409906,515(175,325)
與營業活動相關之資產之淨變動合計(1,513,959)(774,172)229,5401,767,370698,9503,788,2754,093,936(1,563,459)225,280(475,627)535,338(310,294)(1,406,406)(429,563)
與營業活動相關之負債之淨變動
合約負債增加(減少)(234,768)859,9636,042,242414,285(372,673)(9,899,054)(809,885)202,672
應付帳款增加(減少)(109,365)336,152(94,402)(202,207)(10,756)496,061(556,339)456,971(238,172)(207,305)659,412(563,513)(59,355)(41,320)
應付帳款-關係人增加(減少)10,936265,296357,2999,816(21,963)(881,463)46,360(94,607)167,343(254,060)(141,439)107,303(85,346)(103,657)
其他應付款增加(減少)(5,719,258)(3,258,596)(3,184,480)(3,665,249)(287,580)(3,678,880)(723,887)(1,763,276)(950,727)(1,742,458)(224,138)(728,247)(370,852)(1,785,167)
負債準備增加(減少)(637,969)(436,272)(417,836)(1,309,962)(313,099)(469,834)(480,795)(301,966)(164,140)(567,391)(11,918)(24,646)(90,108)(68,112)
其他流動負債增加(減少)357,059645,392628,707(150,046)40,211(1,889,113)303,824(25,683)
淨確定福利負債增加(減少)(531,888)(242,549)(71,428)(245,212)732(216,946)(155,688)(221,575)(667,504)(116,749)(56,835)(69,774)(67,867)(66,748)
其他營業負債增加(減少)1,9638,28553,2868,6245,602(20,271)5,797(13,170)17,170(55,220)(36,627)401,1336,635(15,675)
與營業活動相關之負債之淨變動合計(6,863,290)(1,822,329)3,313,388(5,139,951)(959,526)(16,559,500)(2,370,613)(1,760,634)(1,516,507)(3,665,525)(13,083)(48,816)(806,205)(3,025,896)
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)
調整項目合計1,362,7035,939,24612,751,0366,140,0929,722,215(2,113,892)12,118,8482,909,2357,296,3761,690,7465,872,5354,857,3463,012,305393,917
營運產生之現金流入(流出)7,158,53110,190,45514,479,8489,692,4448,390,367(5,920,374)12,161,2093,076,0033,779,4863,557,1088,188,8872,345,4211,961,963(1,112,928)
收取之利息584,281433,981384,58128,99543,63794,316104,34641,84444,72991,260102,268132,07162,95354,741
支付之利息(780,009)(640,017)(685,466)(555,744)(612,422)(893,895)(910,199)(395,770)(428,354)(439,257)(616,664)(616,041)(466,751)(509,473)
退還(支付)之所得稅(62,051)(44,402)(61,937)(18,445)(22,876)(18,968)(35,387)(23,971)(15,408)(15,513)(16,975)(4,730)(3,085)(9,896)
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)
投資活動之現金流量
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
取得避險之金融資產(2,950,820)(10,394,502)(3,963,415)(1,329,640)(2,537)
處分避險之金融資產2,967,98410,473,2233,924,2203,573,0274,604,205
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
存出保證金增加(186,495)(89,185)(45,110)(2,130)(19,011)(167,653)(51,233)(9,090)(54,190)(122,105)(173,806)(978)(35,366)(50,605)
存出保證金減少18,31298,1073,43641,09916,11413,38238,62031,42997,44787,305223,18141,853312,351209,275
取得無形資產00000000000000
取得使用權資產00000000000000
長期應收租賃款減少76,98473,387
預付設備款增加(4,542,360)(3,414,981)(2,410,610)(6,147,227)(6,529,185)(1,976,671)(1,568,331)(5,610,010)(3,475,613)(3,038,066)(4,333,369)(1,925,753)(266,007)(135,154)
其他投資活動(28,776)27,391(10,147)(153,654)(85,819)(52,940)(28,630)(58,915)
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)
籌資活動之現金流量
短期借款增加0200,0001,300,00007,405,0004,200,00050,0001,710,00020,0009,030,025103,735310,000150,000
應付短期票券減少0(20,000)
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)
存入保證金增加57,146134,19129,03123,97861,30213,80940,09449,60050,11730,16512,26161,13457,29526,360
存入保證金減少(27,636)(27,481)(111,617)(22,088)(63,533)(54,935)(42,815)(27,511)(33,758)(15,322)(14,203)(64,122)(38,474)(86,181)
租賃本金償還(3,467,770)(3,099,786)(3,507,611)(2,869,152)(2,743,077)(2,870,281)(2,725,995)
發放現金股利00000000(1,274)(462)0(1,522)(1,107)0
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
匯率變動對現金及約當現金之影響34,460792,469492,212387,183202,67832,63849,749(33,727)(140,119)(460,312)(304,996)(228,724)202,485(78,567)
本期現金及約當現金增加(減少)數(5,186,169)2,627,304568,199(5,333,292)(3,099,908)11,141,432(1,585,144)(734,084)(483,326)(745,979)284,576205,0271,771,9945,070,554
期初現金及約當現金餘額66,648,64030,391,56434,980,46945,269,86627,125,93728,459,52824,937,53722,585,33224,267,19723,491,08520,468,15119,007,64910,831,13111,113,772
期末現金及約當現金餘額61,462,47133,018,86835,548,66839,936,57424,026,02939,600,96023,352,39321,851,24823,783,87122,745,10620,752,72719,212,67612,603,12516,184,326
資產負債表帳列之現金及約當現金61,462,47118.81%33,018,86811.04%35,548,66812.08%39,936,57414.05%24,026,0298.88%39,600,96013.41%23,352,3937.9%21,851,2489.57%23,783,87110.8%22,745,10610.41%20,752,7279.05%19,212,6768.73%12,603,1255.74%16,184,3266.89%
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%
營業活動之現金流量-間接法
繼續營業單位稅前淨利(淨損)5,795,82810.98%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%
本期稅前淨利(淨損)5,795,82883.99%4,251,20942.77%1,728,81212.25%3,552,35238.84%(1,331,848)-17.08%(3,806,482)56.49%42,3610.37%166,7686.18%(3,516,890)-102.43%1,866,36258.44%2,316,35230.25%(2,511,925)-135.04%(1,050,342)-67.54%(1,506,845)95.66%
調整項目
收益費損項目
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%
預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數580%00%9,6180.11%9,3700.12%1720%8,3820.07%12,3250.46%12,6480.37%10,7850.34%5,5400.07%2970.02%520%433-0.03%
透過損益按公允價值衡量金融資產及負債之淨損失(利益)(798)-0.01%(590)-0.01%(339)0%(686)-0.01%(149)0%(3,296)0.05%(11,140)-0.1%(2,866)-0.11%36,5721.07%25,3740.79%6,8850.09%(23,076)-1.24%(110,536)-7.11%(21,100)1.34%
利息費用775,53211.24%641,7666.46%700,6634.96%565,6576.18%657,3838.43%820,672-12.18%875,8317.74%0000000
利息收入(550,186)-7.97%(461,934)-4.65%(359,319)-2.55%(36,197)-0.4%(41,153)-0.53%(88,300)1.31%(96,955)-0.86%(59,616)-2.21%
採用權益法認列之關聯企業及合資損失(利益)之份額(199,832)-2.9%(159,835)-1.61%(70,278)-0.5%50,9650.56%81,6741.05%24,494-0.36%(69,904)-0.62%(81,772)-3.03%(119,280)-3.47%(123,610)-3.87%(116,316)-1.52%(122,927)-6.61%(101,222)-6.51%(85,393)5.42%
處分及報廢不動產、廠房及設備損失(利益)(14,270)-0.21%(372,581)-3.75%(9,911)-0.07%(2,715)-0.03%36,4760.47%(5,121)0.08%(1,349)-0.01%278,32110.32%
非金融資產減損損失371,0685.38%451,2894.54%251,7181.78%282,3403.09%386,3814.95%220,263-3.27%307,6082.72%454,18816.83%328,3779.56%156,5074.9%12,7870.17%117,3646.31%97,0566.24%84,411-5.36%
未實現外幣兌換損失(利益)607,8158.81%9,4500.1%(634,309)-4.49%(133,352)-1.46%(452,373)-5.8%11,053-0.16%62,9290.56%(146,230)-5.42%
其他項目1,521,29822.05%1,171,11511.78%1,472,08210.43%1,369,85814.98%1,369,47817.56%1,459,896-21.66%1,061,1299.37%1,177,04643.62%1,141,69133.25%941,69029.49%914,90211.95%821,45444.16%787,49250.64%876,256-55.63%
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%
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(21,831)-0.32%18,8320.19%(721)-0.01%13,4010.15%17,0070.22%(59,282)0.88%(29,084)-0.26%
應收帳款(增加)減少(518,397)-7.51%19,5910.2%250,8711.78%3,093,32233.82%345,3924.43%1,413,470-20.97%859,8797.6%(359,757)-13.33%(202,798)-5.91%(314,199)-9.84%(133,376)-1.74%(77,591)-4.17%74,5194.79%474,626-30.13%
應收帳款-關係人(增加)減少8250.01%(177,331)-1.78%(184,707)-1.31%3710%(20,911)-0.27%709,392-10.53%(107,342)-0.95%24,8900.92%101,8222.97%67,2822.11%162,9052.13%(34,560)-1.86%68,4644.4%(223,720)14.2%
其他應收款(增加)減少23,4600.34%(86,049)-0.87%245,1251.74%(191,504)-2.09%111,5111.43%42,345-0.63%88,8870.79%(20,693)-0.77%316,5689.22%26,2280.82%183,6922.4%24,0121.29%(103,501)-6.66%102,278-6.49%
存貨(增加)減少(683,496)-9.9%(373,676)-3.76%(117,243)-0.83%(978,275)-10.69%504,1496.46%848,941-12.6%(240,529)-2.12%(340,853)-12.63%(510,614)-14.87%111,1843.48%31,0300.41%(160,706)-8.64%(35,193)-2.26%(211,684)13.44%
其他流動資產(增加)減少(314,520)-4.56%(175,539)-1.77%36,2150.26%(169,945)-1.86%(258,198)-3.31%833,409-12.37%906,5158.01%(175,325)-6.5%
與營業活動相關之資產之淨變動合計(1,513,959)-21.94%(774,172)-7.79%229,5401.63%1,767,37019.32%698,9508.96%3,788,275-56.21%4,093,93636.17%(1,563,459)-57.95%225,2806.56%(475,627)-14.89%535,3386.99%(310,294)-16.68%(1,406,406)-90.44%(429,563)27.27%
與營業活動相關之負債之淨變動
合約負債增加(減少)(234,768)-3.4%859,9638.65%6,042,24242.8%414,2854.53%(372,673)-4.78%(9,899,054)146.89%(809,885)-7.15%202,6727.51%
應付帳款增加(減少)(109,365)-1.58%336,1523.38%(94,402)-0.67%(202,207)-2.21%(10,756)-0.14%496,061-7.36%(556,339)-4.91%456,97116.94%(238,172)-6.94%(207,305)-6.49%659,4128.61%(563,513)-30.29%(59,355)-3.82%(41,320)2.62%
應付帳款-關係人增加(減少)10,9360.16%265,2962.67%357,2992.53%9,8160.11%(21,963)-0.28%(881,463)13.08%46,3600.41%(94,607)-3.51%167,3434.87%(254,060)-7.96%(141,439)-1.85%107,3035.77%(85,346)-5.49%(103,657)6.58%
其他應付款增加(減少)(5,719,258)-82.88%(3,258,596)-32.78%(3,184,480)-22.56%(3,665,249)-40.07%(287,580)-3.69%(3,678,880)54.59%(723,887)-6.39%(1,763,276)-65.35%(950,727)-27.69%(1,742,458)-54.56%(224,138)-2.93%(728,247)-39.15%(370,852)-23.85%(1,785,167)113.33%
負債準備增加(減少)(637,969)-9.24%(436,272)-4.39%(417,836)-2.96%(1,309,962)-14.32%(313,099)-4.01%(469,834)6.97%(480,795)-4.25%(301,966)-11.19%(164,140)-4.78%(567,391)-17.77%(11,918)-0.16%(24,646)-1.32%(90,108)-5.79%(68,112)4.32%
其他流動負債增加(減少)357,0595.17%645,3926.49%628,7074.45%(150,046)-1.64%40,2110.52%(1,889,113)28.03%303,8242.68%(25,683)-0.95%
淨確定福利負債增加(減少)(531,888)-7.71%(242,549)-2.44%(71,428)-0.51%(245,212)-2.68%7320.01%(216,946)3.22%(155,688)-1.38%(221,575)-8.21%(667,504)-19.44%(116,749)-3.66%(56,835)-0.74%(69,774)-3.75%(67,867)-4.36%(66,748)4.24%
其他營業負債增加(減少)1,9630.03%8,2850.08%53,2860.38%8,6240.09%5,6020.07%(20,271)0.3%5,7970.05%(13,170)-0.49%17,1700.5%(55,220)-1.73%(36,627)-0.48%401,13321.56%6,6350.43%(15,675)1%
與營業活動相關之負債之淨變動合計(6,863,290)-99.46%(1,822,329)-18.33%3,313,38823.47%(5,139,951)-56.19%(959,526)-12.3%(16,559,500)245.73%(2,370,613)-20.94%(1,760,634)-65.25%(1,516,507)-44.17%(3,665,525)-114.78%(13,083)-0.17%(48,816)-2.62%(806,205)-51.84%(3,025,896)192.1%
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%
調整項目合計1,362,70319.75%5,939,24659.75%12,751,03690.32%6,140,09267.13%9,722,215124.66%(2,113,892)31.37%12,118,848107.06%2,909,235107.83%7,296,376212.51%1,690,74652.94%5,872,53576.69%4,857,346261.13%3,012,305193.71%393,917-25.01%
營運產生之現金流入(流出)7,158,531103.74%10,190,455102.52%14,479,848102.57%9,692,444105.96%8,390,367107.59%(5,920,374)87.85%12,161,209107.43%3,076,003114.01%3,779,486110.08%3,557,108111.38%8,188,887106.94%2,345,421126.09%1,961,963126.16%(1,112,928)70.65%
收取之利息584,2818.47%433,9814.37%384,5812.72%28,9950.32%43,6370.56%94,316-1.4%104,3460.92%41,8441.55%44,7291.3%91,2602.86%102,2681.34%132,0717.1%62,9534.05%54,741-3.48%
支付之利息(780,009)-11.3%(640,017)-6.44%(685,466)-4.86%(555,744)-6.08%(612,422)-7.85%(893,895)13.26%(910,199)-8.04%(395,770)-14.67%(428,354)-12.48%(439,257)-13.75%(616,664)-8.05%(616,041)-33.12%(466,751)-30.01%(509,473)32.34%
退還(支付)之所得稅(62,051)-0.9%(44,402)-0.45%(61,937)-0.44%(18,445)-0.2%(22,876)-0.29%(18,968)0.28%(35,387)-0.31%(23,971)-0.89%(15,408)-0.45%(15,513)-0.49%(16,975)-0.22%(4,730)-0.25%(3,085)-0.2%(9,896)0.63%
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%
投資活動之現金流量
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%
取得避險之金融資產(2,950,820)45.56%(10,394,502)238.62%(3,963,415)57.6%(1,329,640)133.09%(2,537)-0.09%
處分避險之金融資產2,967,984-45.82%10,473,223-240.42%3,924,220-57.03%3,573,027-357.64%4,604,205164.08%
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%
存出保證金增加(186,495)2.88%(89,185)2.05%(45,110)0.66%(2,130)0.21%(19,011)-0.68%(167,653)8.79%(51,233)2.32%(9,090)0.15%(54,190)1.18%(122,105)5.45%(173,806)3.27%(978)0.03%(35,366)2.79%(50,605)8.6%
存出保證金減少18,312-0.28%98,107-2.25%3,436-0.05%41,099-4.11%16,1140.57%13,382-0.7%38,620-1.75%31,429-0.52%97,447-2.12%87,305-3.9%223,181-4.2%41,853-1.26%312,351-24.68%209,275-35.58%
取得無形資產00000000000000
取得使用權資產00000000000000
長期應收租賃款減少76,984-1.19%73,387-1.68%
預付設備款增加(4,542,360)70.13%(3,414,981)78.39%(2,410,610)35.03%(6,147,227)615.31%(6,529,185)-232.67%(1,976,671)103.68%(1,568,331)70.92%(5,610,010)92.4%(3,475,613)75.71%(3,038,066)135.56%(4,333,369)81.6%(1,925,753)58.01%(266,007)21.02%(135,154)22.98%
其他投資活動(28,776)0.44%27,391-0.63%(10,147)0.15%(153,654)15.38%(85,819)-3.06%(52,940)2.78%(28,630)1.29%(58,915)0.97%
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%
籌資活動之現金流量
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%
應付短期票券減少00%(20,000)0.53%
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%
存入保證金增加57,146-1.01%134,191-3.58%29,031-0.41%23,978-0.17%61,302-0.44%13,8090.07%40,094-0.37%49,6001.86%50,1176.16%30,165-2.44%12,261-0.7%61,1343.23%57,2954.48%26,3600.36%
存入保證金減少(27,636)0.49%(27,481)0.73%(111,617)1.56%(22,088)0.16%(63,533)0.46%(54,935)-0.28%(42,815)0.4%(27,511)-1.03%(33,758)-4.15%(15,322)1.24%(14,203)0.81%(64,122)-3.39%(38,474)-3.01%(86,181)-1.18%
租賃本金償還(3,467,770)61.44%(3,099,786)82.68%(3,507,611)48.99%(2,869,152)20.69%(2,743,077)19.72%(2,870,281)-14.53%(2,725,995)25.37%
發放現金股利000000000%(1,274)-0.16%(462)0.04%00%(1,522)-0.08%(1,107)-0.09%00%
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%
匯率變動對現金及約當現金之影響34,460792,469492,212387,183202,67832,63849,749(33,727)(140,119)(460,312)(304,996)(228,724)202,485(78,567)
本期現金及約當現金增加(減少)數(5,186,169)2,627,304568,199(5,333,292)(3,099,908)11,141,432(1,585,144)(734,084)(483,326)(745,979)284,576205,0271,771,9945,070,554
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61,462,47133,018,86835,548,66839,936,57424,026,02939,600,96023,352,393
資產負債表帳列之現金及約當現金61,462,47133,018,86835,548,66839,936,57424,026,02939,600,96023,352,39321,851,24823,783,87122,745,10620,752,72719,212,67612,603,12516,184,326
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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