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高雄銀-損益表

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損益表

合併綜合損益表

第四季 (最新)
單季
(TWD千元)2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年2013年全年2012年全年
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2,182,4621,816,0271,449,596968,5231,004,5691,281,2951,316,3941,135,7981,085,4451,193,6131,204,7031,082,2591,002,382
利息費用1,373,4471,193,343716,045266,050326,479591,113649,638483,044448,161568,864571,313492,776459,929
利息淨收益809,015622,684733,551702,473678,090690,182666,756652,754637,284624,749633,390589,483542,453
利息以外淨損益
手續費淨收益218,975210,977154,757197,801121,575123,005124,943124,503131,542131,939123,357103,589110,789
透過損益按公允價值衡量之金融資產及負債損益139,866(34,375)22,489(24,537)164,586(27,949)54,12568,18131,681(23,478)(85,141)(7,053)4,646
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639(21,250)9877,43342,11662,1312,802
除列按攤銷後成本衡量之金融資產損益32,781009,49318,93926,128
兌換損益(110,636)111,4714,89154,991(127,146)48,616(17,117)
資產減損(損失)迴轉利益淨額1,790(171)(545)(231)(1,890)81(1,289)00122,136(9,367)(23,220)
其他利息以外淨損益4,6643,3036,0706,4464,848(858)3,3793,4528,35223,11212,74314,31612,093
其他什項損益4,6643,3036,0706,4464,848(858)3,3793,4528,26712,476
利息以外淨損益288,079269,955188,649251,396223,028231,154166,843184,168171,968183,673297,208134,816150,622
淨收益1,097,094892,639922,200953,869901,118921,336833,599836,922809,252808,422930,598724,299693,075
呆帳費用、承諾及保證責任準備提存(39,157)2,75054,33254,00379,00659,99186,460452,89969,410110,552208,59177,232102,974
營業費用
員工福利費用453,442379,658424,194416,146404,909407,215376,855292,754367,536373,438376,151351,539353,797
折舊及攤銷費用48,27146,95948,11847,51144,05548,87026,66125,62121,50020,29519,84518,12617,961
其他業務及管理費用286,604204,817185,228170,115161,250159,465177,566
營業費用合計788,317631,434657,540633,772610,214615,550581,082485,275572,779577,558586,298524,881517,928
繼續營業單位稅前淨利(淨損)347,934258,455210,328266,094211,898245,795166,057(101,252)167,063120,312135,709122,18672,173
所得稅費用(利益)97,51084,80160,77152,16526,27242,93152,83422,364(11,565)(603)19,575(4,174)62,823
繼續營業單位本期稅後淨利(淨損)250,424173,654149,557213,929185,626202,864113,223(78,888)155,498119,709155,284118,012134,996
本期稅後淨利(淨損)250,424173,654149,557213,929185,626202,864113,223(78,888)155,498119,709155,284118,012134,996
本期稅前淨利(淨損)347,934258,455210,328266,094211,898245,795166,057(101,252)167,063120,312135,709122,18672,173
與本期損益組成部分相關之所得稅費用(利益)97,51084,80160,77152,16526,27242,93152,83422,364(11,565)(603)19,575(4,174)62,823
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21,365(13,391)2,106
不重分類至損益之避險工具損益00
透過其他綜合損益按公允價值衡量之權益工具評價損益17,564410,684125,953180,311133,07028,541(121,182)
與不重分類之項目相關之所得稅4,273(2,678)421(4,917)(4,986)(1,076)(6,467)
不重分類至損益之項目總額(稅後)34,656399,971127,638160,641113,12624,237(147,051)
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(460)1,160319(399)(82)(555)155(375)352(148)19,5853,876(2,440)
透過其他綜合損益按公允價值衡量之債務工具損益(136,739)692,164190,586(252,598)2,959(92,778)
透過其他綜合損益按公允價值衡量之債務工具評價損益(135,877)691,915190,703(253,195)1,508(92,229)(11,152)
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)(862)249(117)5971,451(549)1,064
與可能重分類之項目相關之所得稅(92)23264(79)(16)(111)31
後續可能重分類至損益之項目總額(稅後)(137,107)693,092190,841(252,918)2,893(93,222)(9,964)
本期其他綜合損益(102,451)1,093,063318,479(92,277)116,019(68,985)(157,015)88,210(173,980)(22,863)42,582(21,905)(22,042)
本期綜合損益總額(稅後)147,9731,266,717468,036121,652301,645133,879(43,792)9,322(18,482)96,846197,86696,107112,954
本期綜合損益總額(稅前)249,6641,349,072529,292168,821322,915175,6232,606(18,714)(11,955)90,933177,17795,88047,026
與本期綜合損益組成部分相關之所得稅101,69182,35561,25647,16921,27041,74446,39828,036(6,527)5,91320,68922765,928
基本每股盈餘
繼續營業單位淨利(淨損)0.140.140.120.18
基本每股盈餘合計0.140.140.120.180.150.190.11(0.09)0.190.150.210.160.19
稀釋每股盈餘
繼續營業單位淨利(淨損)0.140.140.120.18
稀釋每股盈餘合計0.140.140.120.180.14
今年初累積至今
(TWD千元)2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年2013年全年2012年全年
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8,295,5246,768,3004,713,4933,902,2204,246,0685,215,7984,961,5274,388,6874,401,6714,780,3474,613,6804,159,3393,989,935
利息費用5,367,2124,224,8031,807,6231,111,3241,640,8872,451,8222,329,8941,854,1781,879,0642,298,3562,145,7991,890,0121,883,548
利息淨收益2,928,3122,543,4972,905,8702,790,8962,605,1812,763,9762,631,6332,534,5092,522,6072,481,9912,467,8812,269,3272,106,387
利息以外淨損益
手續費淨收益901,984791,547653,258590,348432,874487,905503,670457,726571,752538,198499,218458,309426,310
透過損益按公允價值衡量之金融資產及負債損益411,048274,482(572,500)102,6334,24414,953192,684118,602116,497(71,940)(123,596)55,8545,535
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174,438127,94180,951139,527246,162184,467213,684
除列按攤銷後成本衡量之金融資產損益46,91938,607142,081367,101291,766174,486
兌換損益(129,941)4,456646,369(9,702)118,38276,628(55,742)
資產減損(損失)迴轉利益淨額(4,009)4,449(2,966)(21)(5,064)862(5,318)0(23,586)88,294(27,937)(96,301)
其他利息以外淨損益55,84535,79546,01532,96231,81016,16319,00990,648111,030113,874217,367116,29852,391
其他什項損益55,84535,79546,01532,96231,81016,16319,00936,93251,28549,23875,080
利息以外淨損益1,456,2841,277,277993,2081,222,8481,120,174955,464867,987757,847841,021832,613932,138667,938601,664
淨收益4,384,5963,820,7743,899,0784,013,7443,725,3553,719,4403,499,6203,292,3563,363,6283,314,6043,400,0192,937,2652,708,051
呆帳費用、承諾及保證責任準備提存65,713(92,090)109,435438,494351,774414,052717,977590,254364,479370,586691,079400,838260,838
營業費用
員工福利費用1,860,7601,745,4211,760,1001,721,0401,683,5921,624,3771,495,9541,434,3371,477,3551,482,6211,443,9241,388,1291,365,101
折舊及攤銷費用191,641188,365192,091182,325184,159194,572105,47298,16182,94581,50774,78975,07578,564
其他業務及管理費用951,975773,789697,065621,423619,169599,871692,085
營業費用合計3,004,3762,707,5752,649,2562,524,7882,486,9202,418,8202,293,5112,203,3662,294,1532,290,7542,197,6102,057,3082,008,917
繼續營業單位稅前淨利(淨損)1,314,5071,205,2891,140,3871,050,462886,661886,568488,132498,736704,996653,264511,330479,119438,296
所得稅費用(利益)353,122340,076205,887140,790123,346112,1128,529(46,320)(56,692)(61,933)(1,439)(60,014)19,998
繼續營業單位本期稅後淨利(淨損)961,385865,213934,500909,672763,315774,456479,603452,416648,304591,331509,891419,105458,294
本期稅後淨利(淨損)961,385865,213934,500909,672763,315774,456479,603452,416648,304591,331509,891419,105458,294
本期稅前淨利(淨損)1,314,5071,205,2891,140,3871,050,462886,661886,568488,132498,736704,996653,264511,330479,119438,296
與本期損益組成部分相關之所得稅費用(利益)353,122340,076205,887140,790123,346112,1128,529(46,320)(56,692)(61,933)(1,439)(60,014)19,998
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21,365(13,391)2,106(24,587)(24,930)(5,380)(32,336)
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345,113815,106170,165478,95957,178175,759(45,834)
與不重分類之項目相關之所得稅4,273(2,678)421(4,917)(4,986)(1,076)(11,759)
不重分類至損益之項目總額(稅後)362,205804,393171,850459,28937,234171,455(66,411)
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(869)765(106)83494(535)95(445)298(23,874)21,5929,475(7,280)
透過其他綜合損益按公允價值衡量之債務工具損益325,536838,119(2,213,255)(569,582)145,535153,543(192,248)
透過其他綜合損益按公允價值衡量之債務工具評價損益323,441841,355(2,214,738)(570,948)142,960154,486(195,904)
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)2,095(3,236)1,4831,3662,575(943)3,656
與可能重分類之項目相關之所得稅(174)153(21)1799(107)12
後續可能重分類至損益之項目總額(稅後)324,841838,731(2,213,340)(569,516)145,930153,115(192,165)
本期其他綜合損益687,0461,643,124(2,041,490)(110,227)183,164324,570(258,576)71,658(95,906)(21,146)81,131(211,736)141,728
本期綜合損益總額(稅後)1,648,4312,508,337(1,106,990)799,445946,4791,099,026221,027524,074552,398570,185591,022207,369600,022
本期綜合損益總額(稅前)2,005,6522,845,888(900,703)935,3351,064,9381,209,955217,809564,710604,043621,569591,688264,220576,919
與本期綜合損益組成部分相關之所得稅357,221337,551206,287135,890118,459110,929(3,218)(40,636)(51,645)(51,384)(666)(56,851)23,103
基本每股盈餘
繼續營業單位淨利(淨損)0.550.70.750.78
基本每股盈餘合計0.550.70.750.780.680.720.460.470.790.760.690.580.64
稀釋每股盈餘
繼續營業單位淨利(淨損)0.550.70.750.78
稀釋每股盈餘合計0.550.70.750.780.670.710.460.470.78
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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