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高雄銀-損益表

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損益表

合併綜合損益表

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%
利息收入2,173,8882,074,5321,679,0401,089,637980,8501,062,8491,328,5821,213,6991,078,8761,092,8751,202,2011,138,3381,042,304996,540
利息費用1,286,6611,372,9801,031,723341,346272,723420,536625,623558,021446,894470,237580,069529,499467,821473,570
利息淨收益887,227701,552647,317748,291708,127642,313702,959655,678631,982622,638622,132608,839574,483522,970
利息以外淨損益
手續費淨收益234,011226,353206,719190,290134,04399,280124,730129,53297,507140,990134,893125,847113,129119,050
透過損益按公允價值衡量之金融資產及負債損益(384,932)121,720144,21932,53288,924(103,738)1,05440,54812,746(5,317)23,86450,68614,571(16,131)
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136,52297,39689,15971,08756,663121,83967,23394,239
除列按攤銷後成本衡量之金融資產損益5,1143,30821,05407,22123,76370,169
兌換損益384,806(42,761)(71,200)(20,600)(45,307)109,42317,785(13,280)
資產減損(損失)迴轉利益淨額1,0779223,776(89)(1,513)(747)973(805)0(7,710)(16,153)0(43,013)
其他利息以外淨損益4,89628,0166,31110,0188,0297,8905,7895,67660,16471,23761,528134,92792,33435,293
其他什項損益4,89628,0166,31110,0185,7895,676
利息以外淨損益381,494434,954400,038283,238248,060257,710287,733255,910198,938256,573229,668268,112212,513137,824
淨收益1,268,7211,136,5061,047,3551,031,529956,187900,023990,692911,588830,920879,211851,800876,951786,996660,794
呆帳費用、承諾及保證責任準備提存104,04818,715(34,570)21,51052,75357,436175,49095,42341,311124,485115,302261,929172,89036,613
營業費用
員工福利費用467,792477,637506,168459,155445,039434,725412,806391,041387,525375,947376,841355,391345,336341,230
折舊及攤銷費用46,90847,69747,40548,14344,90345,83048,36826,39623,82620,40220,45218,35619,21619,352
其他業務及管理費用259,819217,934187,952166,969151,466151,832143,810169,579
營業費用合計774,519743,268741,525674,267641,408632,387604,984587,016576,929578,444572,078523,831512,504504,527
繼續營業單位稅前淨利(淨損)390,154374,523340,400335,752262,026210,200210,218229,149212,680176,282164,42091,191101,602119,654
所得稅費用(利益)60,03480,60381,79142,49330,80631,43220,99826,472(36,453)(20,459)(19,532)(14,490)(19,146)(22,904)
繼續營業單位本期稅後淨利(淨損)330,120293,920258,609293,259231,220178,768189,220202,677176,227155,823144,88876,70182,45696,750
本期稅後淨利(淨損)330,120293,920258,609293,259231,220178,768189,220202,677176,227155,823144,88876,70182,45696,750
本期稅前淨利(淨損)390,154374,523340,400335,752262,026210,200210,218229,149212,680176,282164,42091,191
與本期損益組成部分相關之所得稅費用(利益)60,03480,60381,79142,49330,80631,43220,99826,472(36,453)(20,459)(19,532)(14,490)(19,146)(22,904)
其他綜合損益(稅後)
不重分類至損益之項目(稅後)
確定福利計畫之再衡量數0000
不重分類至損益之避險工具損益000
透過其他綜合損益按公允價值衡量之權益工具評價損益(96,653)88,552150,756(431,498)139,663278,20555,782(29,715)
與不重分類之項目相關之所得稅00000000
不重分類至損益之項目總額(稅後)(96,653)88,552150,756(431,498)139,663278,20555,782(29,715)
後續可能重分類至損益之項目(稅後)
國外營運機構財務報表換算之兌換差額(24)611(780)(341)(968)390(385)538541364116(4,096)9,1311,862
透過其他綜合損益按公允價值衡量之債務工具損益328,117(75,540)(215,382)(812,013)93,256248,26181,396(16,494)
透過其他綜合損益按公允價值衡量之債務工具評價損益329,292(74,740)(212,611)(812,148)91,923247,91581,741
透過其他綜合損益按公允價值衡量之債務工具減損損失及(迴轉利益)(1,175)(800)(2,771)1351,333346(345)
與可能重分類之項目相關之所得稅(5)122(156)(68)(194)78(77)108
後續可能重分類至損益之項目總額(稅後)328,098(75,051)(216,006)(812,286)92,482248,57381,088(30,650)
本期其他綜合損益231,44513,501(65,250)(1,243,784)232,145526,778136,870(60,365)(3,175)30,359(5,938)24,408(168,904)11,142
本期綜合損益總額(稅後)561,565307,421193,359(950,525)463,365705,546326,090142,312173,052186,182138,950101,109(86,448)107,892
本期綜合損益總額(稅前)621,594388,146274,994(908,100)493,977737,056347,011168,892209,597206,703158,501114,902(65,749)130,796
與本期綜合損益組成部分相關之所得稅60,02980,72581,63542,42530,61231,51020,92126,580(36,545)(20,521)(19,551)(13,793)(20,699)(22,904)
基本每股盈餘
繼續營業單位淨利(淨損)0.160.150.210.220.20.170.180.20.190.20.19
基本每股盈餘合計0.160.150.210.220.20.170.180.20.190.20.190.10.110.14
稀釋每股盈餘
繼續營業單位淨利(淨損)0.160.150.210.220.20.170.180.20.190.20.19
稀釋每股盈餘合計0.160.150.210.220.20.170.180.20.190.20.19
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%
利息收入4,341,5583,955,7453,197,4062,028,2561,944,6592,240,8942,631,8862,368,7962,153,4692,227,2332,375,7472,229,6492,012,3041,987,233
利息費用2,620,8392,613,9401,896,121597,157571,950954,6351,243,3181,077,321900,382977,3501,144,8201,028,080915,245952,875
利息淨收益1,720,7191,341,8051,301,2851,431,0991,372,7091,286,2591,388,5681,291,4751,253,0871,249,8831,230,9271,201,5691,097,0591,034,358
利息以外淨損益
手續費淨收益473,724458,651379,379346,082255,355208,574255,569261,983211,206294,929268,958258,511233,920220,207
透過損益按公允價值衡量之金融資產及負債損益(320,828)317,274136,593(399,993)106,427(118,913)53,389114,72842,65918,34487,19253,65714,227(3,097)
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136,052104,78988,95170,96548,857162,668101,451187,320
除列按攤銷後成本衡量之金融資產損益11,6499,67538,607142,081328,118168,860129,012
兌換損益392,575(159,091)(31,322)443,797(55,425)169,849(8,787)(55,421)
資產減損(損失)迴轉利益淨額1,497(5,972)3,945(980)(542)(1,722)562(2,108)0(15,591)(25,705)(18,570)(49,045)
其他利息以外淨損益16,81547,02429,32733,75721,49021,63212,36612,02479,64190,00076,204163,70196,12137,765
其他什項損益16,81547,02429,32733,75712,36612,024
利息以外淨損益711,484772,350645,480635,709704,280610,948543,562518,526400,239473,804462,568446,256389,937270,098
淨收益2,432,2032,114,1551,946,7652,066,8082,076,9891,897,2071,932,1301,810,0011,653,3261,723,6871,693,4951,647,8251,486,9961,304,456
呆帳費用、承諾及保證責任準備提存194,261(7,171)(84,249)89,836298,567177,631333,368517,601102,749215,087205,758355,849233,02245,968
營業費用
員工福利費用929,393945,827932,315897,928877,156862,177812,177751,000759,522743,507737,327711,424693,833676,297
折舊及攤銷費用94,83995,00495,09695,64088,50993,43997,25251,98846,84640,78040,85537,56437,84241,965
其他業務及管理費用467,572433,804369,589336,724298,909303,575288,950338,743
營業費用合計1,491,8041,474,6351,397,0001,330,2921,264,5741,259,1911,198,3791,141,7311,136,7421,155,9491,139,2071,044,7951,019,6481,000,072
繼續營業單位稅前淨利(淨損)746,138646,691634,014646,680513,848460,385400,383150,669413,835352,651348,530247,181234,326258,416
所得稅費用(利益)150,153181,281163,31373,89254,22666,13535,079(60,769)(50,516)(32,333)(37,498)(35,698)(41,161)(35,179)
繼續營業單位本期稅後淨利(淨損)595,985465,410470,701572,788459,622394,250365,304211,438363,319320,318311,032211,483193,165223,237
本期稅後淨利(淨損)595,985465,410470,701572,788459,622394,250365,304211,438363,319320,318311,032211,483193,165223,237
本期稅前淨利(淨損)746,138646,691634,014646,680513,848460,385400,383150,669413,835352,651348,530247,181
與本期損益組成部分相關之所得稅費用(利益)150,153181,281163,31373,89254,22666,13535,079(60,769)(50,516)(32,333)(37,498)(35,698)(41,161)(35,179)
其他綜合損益(稅後)
不重分類至損益之項目(稅後)
確定福利計畫之再衡量數0000
不重分類至損益之避險工具損益000
透過其他綜合損益按公允價值衡量之權益工具評價損益57,190382,867471,775(169,339)277,92221,217164,67341,149
與不重分類之項目相關之所得稅0000000(5,292)
不重分類至損益之項目總額(稅後)57,190382,867471,775(169,339)277,92221,217164,67346,441
後續可能重分類至損益之項目(稅後)
國外營運機構財務報表換算之兌換差額54(629)(538)64331731(294)645(5)(55)(23,834)(5,404)9,8631,387
透過其他綜合損益按公允價值衡量之債務工具損益561,254(138,480)272,917(1,750,767)(286,640)45,123218,891
透過其他綜合損益按公允價值衡量之債務工具評價損益562,382(141,716)276,061(1,752,225)(287,877)44,660218,953
透過其他綜合損益按公允價值衡量之債務工具減損損失及(迴轉利益)(1,128)3,236(3,144)1,4581,237463(62)
與可能重分類之項目相關之所得稅11(126)(108)1366146(59)122
後續可能重分類至損益之項目總額(稅後)561,297(138,983)272,487(1,750,716)(286,375)45,708218,656(167,435)
本期其他綜合損益618,487243,884744,262(1,920,055)(8,453)66,925383,329(120,994)(11,084)57,3404,69551,504(229,411)44,920
本期綜合損益總額(稅後)1,214,472709,2941,214,963(1,347,267)451,169461,175748,63390,444352,235377,658315,727262,987(36,246)268,157
本期綜合損益總額(稅前)1,364,636890,4491,378,168(1,273,362)505,461527,456783,65324,505402,750409,982349,173297,7666,592303,336
與本期綜合損益組成部分相關之所得稅150,164181,155163,20573,90554,29266,28135,020(65,939)(50,515)(32,324)(33,446)(34,779)(42,838)(35,179)
基本每股盈餘
繼續營業單位淨利(淨損)0.310.270.380.450.410.360.350.210.390.410.4
基本每股盈餘合計0.310.270.380.450.410.360.350.210.390.410.40.290.270.32
稀釋每股盈餘
繼續營業單位淨利(淨損)0.310.270.380.450.410.360.350.210.390.410.4
稀釋每股盈餘合計0.310.270.380.450.410.360.350.210.390.410.4
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。
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