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損益表

合併綜合損益表

第二季 (最新)
單季
(TWD千元)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%
營業收入
保費收入
簽單保費收入3,599,3543,139,1752,849,9312,786,8462,578,7752,366,2112,568,8092,327,7972,115,3592,009,6361,879,4481,742,5921,668,061
再保費收入111,036108,080106,774110,506110,818102,19597,150130,183118,797175,02682,07370,99782,347
保費收入合計3,710,3903,247,2552,956,7052,897,3522,689,5932,468,4062,665,9592,457,9802,234,1562,184,6621,961,5211,813,5891,750,408
再保費支出1,287,263982,946850,627794,832838,872752,211859,935743,850836,191808,874706,031710,874788,247
未滿期保費準備淨變動
未滿期保費準備淨變動125,60629,166102,001150,355122,807(65,944)94,644
自留滿期保費收入2,297,5212,235,1432,004,0771,952,1651,727,9141,782,1391,711,3801,546,8901,291,4811,313,0341,199,1821,008,433906,050
再保佣金收入173,903122,845111,34695,444166,519150,518154,222149,567171,702184,254166,029147,139179,592
淨投資損益
利息收入38,39433,43420,05917,57619,84622,91417,33616,71513,87115,81013,27111,82214,712
透過損益按公允價值衡量之金融資產及負債損益177,073169,350(333,962)109,955209,273(8,117)148,63714,0183,5202,43011,301(12,756)(20,608)
透過其他綜合損益按公允價值衡量之金融資產已實現損益7,17335,69227,36208,42711,400
兌換損益-投資(476)1,0496(4)2006053,8551,2031,047(9,596)(8,647)1,1952,089
投資性不動產損益10,8607,7027,4335,69315,92011,47812,04112,01710,1224,99711,4858,9047,453
投資之預期信用減損損失及迴轉利益(106)(30)(206)127(47)(37)(79)
淨投資損益232,918247,197(279,308)133,347245,19235,270193,19057,86132,728(13,464)129,04613,8045,224
其他營業收入
其他營業收入合計3,8332,86812,4224,1683,3934,67912,19201,1970
營業收入合計2,708,1752,608,0531,848,5372,185,1242,143,0181,972,6062,070,9841,754,3181,495,9111,483,8241,494,2571,170,5731,090,866
營業成本
保險賠款與給付
保險賠款與給付合計1,515,4651,575,5471,558,7031,779,9221,326,6261,864,4821,220,1581,482,1201,154,6781,085,7461,088,8661,072,3691,068,021
攤回再保賠款與給付322,918334,390401,629625,793424,739759,750378,998645,789508,343419,683490,929455,180513,188
自留保險賠款與給付1,192,5471,241,1571,157,0741,154,129901,8871,104,732841,160836,331646,335666,063597,937617,189554,833
其他保險負債淨變動
賠款準備淨變動128,774(105,218)767,845(50,481)(31,656)(155,875)87,570(60,595)102,94115,83413,651(134,666)(16,579)
特別準備淨變動(41,631)22,268(282,306)4,470(1,263)(44,328)8,6282,519(5,811)(30,260)(512)10,763(38,515)
保費不足準備淨變動1,470(168,897)0(1,620)449(480)894,4882,4216,118(7,686)
其他保險負債淨變動合計88,613(251,847)485,539(46,011)(32,919)(201,823)96,647
佣金費用
佣金費用合計517,905487,366448,551430,961397,190383,918396,819368,029345,698360,144300,156272,336286,329
財務成本2,0231,0321,2821,2062983386381041338255
其他營業成本
其他營業成本合計5,9327,80711,45011,15012,06410,23510,9162,8255,8693,3073,8693,484(1,250)
營業成本合計1,807,0201,485,5152,103,8961,551,4351,278,5201,297,4001,346,1801,148,7331,095,1341,019,614917,777775,224777,132
營業費用
業務費用465,153441,267424,919412,471403,379393,940392,253362,591326,520313,815296,488261,200230,968
管理費用106,16495,40588,049103,087106,659105,02096,41088,53578,27581,15780,94764,79461,432
員工訓練費用405346457547260270279402403519437357470
非投資之預期信用減損損失及迴轉利益(342)16,0593,586(255)3,4926772,574
營業費用合計571,380553,077517,011515,850513,790499,907491,516451,528405,198395,491377,872326,351292,870
營業利益(損失)329,775569,461(772,370)117,839350,708175,299233,288154,057(4,421)68,719198,60868,99820,864
營業外收入及支出
處分不動產及設備損益
處分不動產及設備損益淨額7,45502
其他營業外收入及支出
其他營業外收入及支出淨額3,9031,9401,8463,5982,7983,23438,8723,53610,7257,6075,50031,1473,706
營業外收入及支出合計11,3581,9401,8463,5982,7983,23438,8743,53610,7247,6075,50031,1473,706
繼續營業單位稅前淨利(淨損)341,133571,401(770,524)121,437353,506178,533272,162157,5936,30376,326204,108100,14536,304
所得稅費用(利益)
所得稅費用(利益)淨額45,4655,557(16,999)27,245(3,659)(12,548)18,746443799813(24,209)0485
繼續營業單位本期純益(純損)295,668565,844(753,525)94,192357,165191,081253,416157,1505,50475,513228,317100,14524,085
本期淨利(淨損)295,668565,844(753,525)94,192357,165191,081253,416157,1505,50475,513228,317100,14524,085
其他綜合損益(稅後淨額)
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損益43,103(25,127)(52,912)15,445151,08618,46588,499
不重分類至損益之項目總額43,103(25,127)(52,912)15,445151,08618,46588,499
後續可能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債務工具損益(1,183)
後續可能重分類至損益之項目總額(1,183)02,744(1,006)
其他綜合損益(稅後淨額)合計41,920(25,127)(52,912)15,445151,08621,20987,493(10,998)(15,536)(45)9,686155,486(41,242)
本期綜合損益總額337,588540,717(806,437)109,637508,251212,290340,909146,152(10,032)75,468238,003255,631(17,157)
基本每股盈餘
基本每股盈餘合計1.322.53(3.37)0.421.680.91.20.740.030.351.140.50.12
稀釋每股盈餘
稀釋每股盈餘合計1.32(3.37)0.421.670.91.20.740.030.35
今年初累積至今
(TWD千元)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%
營業收入
保費收入
簽單保費收入7,105,5876,277,7525,671,3565,636,1545,310,0935,161,7285,349,4284,834,9144,399,1984,256,8654,004,9273,744,0273,614,612
再保費收入236,376251,057226,003213,877220,179202,058197,143258,640268,306265,853143,435127,971138,633
保費收入合計7,341,9636,528,8095,897,3595,850,0315,530,2725,363,7865,546,5715,093,5544,667,5044,522,7184,148,3623,871,9983,753,245
再保費支出2,222,4421,820,6631,551,7941,734,9391,814,2431,772,7561,865,1931,637,0191,799,1061,878,9171,694,4901,683,6701,881,180
未滿期保費準備淨變動
未滿期保費準備淨變動515,100394,050321,928338,604269,45398,206380,450
自留滿期保費收入4,604,4214,314,0964,023,6373,776,4883,446,5763,492,8243,300,9283,007,3092,577,3782,569,5182,292,1791,915,9511,744,796
再保佣金收入340,694282,358226,531250,283369,914360,821347,929341,548376,346399,084372,215383,910436,296
淨投資損益
利息收入69,76062,70937,56635,15040,44045,41734,36031,57428,29629,47926,25423,79228,728
透過損益按公允價值衡量之金融資產及負債損益426,711264,439(470,057)340,729(47,177)53,765211,29675,1664,94335,15547,745(4,360)20,234
透過其他綜合損益按公允價值衡量之金融資產已實現損益7,17335,69227,36208,42711,400
兌換損益-投資1,03354212(49)675771(1,062)(7,587)(8,005)(31,991)(5,472)1,849(609)
投資性不動產損益22,14215,46614,90811,16927,10522,86324,16323,47621,02115,72219,95117,70717,784
投資之預期信用減損損失及迴轉利益(341)(4,484)(196)21841(290)77
淨投資損益526,478374,364(390,405)387,21759,939130,953280,234137,03949,8249,810195,54844,92682,975
其他營業收入
其他營業收入合計7,7655,84317,5796,1285,6365,92615,82108,8240
營業收入合計5,479,3584,976,6613,877,3424,420,1163,882,0653,990,5243,944,9123,485,8963,003,5482,978,4122,859,9422,353,6112,264,067
營業成本
保險賠款與給付
保險賠款與給付合計2,862,4633,184,2162,926,2153,134,5902,855,5873,036,5522,529,5372,675,9442,236,5132,099,1192,679,6072,009,9172,092,799
攤回再保賠款與給付628,699723,068793,1141,048,508993,2231,117,583807,0551,101,887960,232838,8691,517,947880,920969,913
自留保險賠款與給付2,233,7642,461,1482,133,1012,086,0821,862,3641,918,9691,722,4821,574,0571,276,2811,260,2501,161,6601,128,9971,122,886
其他保險負債淨變動
賠款準備淨變動258,83135,879849,13753,414(90,236)(106,924)83,575(52,197)188,5538,376310,841(159,502)(9,011)
特別準備淨變動(49,541)23,612(254,535)3,221(2,512)(20,455)(12,442)39,681(23,265)(65,337)(313,566)(17,290)(81,770)
保費不足準備淨變動2,167(391,556)0(1,278)449(1,288)4,2176,029(981)24,752(9,229)
其他保險負債淨變動合計211,457(332,065)594,60256,635(92,748)(128,657)71,582
佣金費用
佣金費用合計1,075,455983,310908,983868,068812,759786,552794,409744,888688,515676,647599,698548,948568,699
財務成本4,6312,6513,2872,4691,1297641,2705681357255
其他營業成本
其他營業成本合計11,87414,02520,96518,00718,33616,80524,98030,42010,1475,4458,1377,48510,965
營業成本合計3,537,1813,129,0693,660,9383,031,2612,601,8402,594,4332,614,7232,336,1292,144,4611,891,4671,766,0441,533,3901,602,540
營業費用
業務費用921,541868,737848,098820,398798,969814,401779,964717,234656,694619,371559,200498,274442,180
管理費用222,487192,233174,280213,785211,297189,253186,414180,392159,623161,024147,747124,391118,068
員工訓練費用561569610720415376796531641701648609623
非投資之預期信用減損損失及迴轉利益14,11519,1975,8137104,0032,4085,307
營業費用合計1,158,7041,080,7361,028,8011,035,6131,014,6841,006,438972,481898,157816,958781,096707,595623,274560,871
營業利益(損失)783,473766,856(812,397)353,242265,541389,653357,708251,61042,129305,849386,303196,947100,656
營業外收入及支出
處分不動產及設備損益
處分不動產及設備損益淨額7,45502
其他營業外收入及支出
其他營業外收入及支出淨額6,7463,6214,1006,77920,0146,84044,8529,87818,24113,00210,68833,7968,947
營業外收入及支出合計14,2013,6214,1006,77920,0146,84044,8549,87818,28412,99510,68833,7968,947
繼續營業單位稅前淨利(淨損)797,674770,477(808,297)360,021285,555396,493402,562261,48860,413318,844396,991230,743109,603
所得稅費用(利益)
所得稅費用(利益)淨額97,4245,5577,27653,821(3,659)(11,600)18,746443657813(24,209)230485
繼續營業單位本期純益(純損)700,250764,920(815,573)306,200289,214408,093383,816261,04559,756318,031421,200230,513109,118
本期淨利(淨損)700,250764,920(815,573)306,200289,214408,093383,816261,04559,756318,031421,200230,513109,118
其他綜合損益(稅後淨額)
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損益64,75774,935(45,757)37,0539,36649,64480,023
不重分類至損益之項目總額64,75774,935(45,757)37,0539,36649,64480,023
後續可能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債務工具損益(1,183)
後續可能重分類至損益之項目總額(1,183)04,105493
其他綜合損益(稅後淨額)合計63,57474,935(45,757)37,0539,36653,74980,5164,184(15,223)7,993(26,224)154,599(10,218)
本期綜合損益總額763,824839,855(861,330)343,253298,580461,842464,332265,22944,533326,024394,976385,11298,900
基本每股盈餘
基本每股盈餘合計3.133.42(3.65)1.371.361.921.811.230.291.492.11.150.55
稀釋每股盈餘
稀釋每股盈餘合計3.13(3.64)1.361.351.921.811.230.291.49
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