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第一保-損益表

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損益表

合併綜合損益表

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%
營業收入
保費收入
簽單保費收入2,400,8162,371,1942,156,2601,987,3801,863,3091,798,1731,898,4811,939,4131,866,9161,699,3791,513,3901,461,0831,403,0041,348,107
再保費收入118,471115,877116,141117,423105,343107,753103,03593,41896,67487,02380,25962,09556,70152,274
保費收入合計2,519,2872,487,0712,272,4012,104,8031,968,6521,905,9262,001,5162,032,8311,963,5901,786,4021,593,6491,523,1781,459,7051,400,381
再保費支出663,873598,892533,041473,075446,945459,673571,427557,041544,287529,672450,089370,107376,592340,147
未滿期保費準備淨變動
未滿期保費準備淨變動138,129174,430170,407125,701102,345132,367105,978110,960
自留滿期保費收入1,717,2851,713,7491,568,9531,506,0271,419,3621,313,8861,324,1111,364,8301,280,9731,199,9561,149,0321,107,3541,035,4741,004,941
再保佣金收入76,66181,31288,00583,63578,84374,62482,69182,66681,09876,82459,02659,61362,52160,253
手續費收入
手續費收入合計7,2236,4888,5646,2206,4455,8436,3835,9685,9485,7795,7786,1945,8395,880
淨投資損益
利息收入47,18145,03840,54820,25318,97123,31320,81422,08022,39421,52421,41421,26720,31520,038
透過損益按公允價值衡量之金融資產及負債損益(3,748)33,3389,35013,82814,392(267,372)302,395115,1495,746(36,117)(17,915)(65,727)30,71716,854
兌換損益-投資5,02111,352(5,363)22,5861,5274,6163,208(12,586)(28,239)(5,068)(3,176)7,0955,0700
投資性不動產損益12,08514,41613,42713,31613,86713,53314,02913,93113,58412,82412,56012,85513,97812,226
投資之預期信用減損損失及迴轉利益(1)1,049(85)9278038(2,620)3,000
淨投資損益60,538105,19357,87770,91048,837(225,872)337,826141,57413,485(6,837)12,883(24,510)228,90631,972
其他營業收入
兌換利益-非投資1,1444,37502,924035258304101,446
其他營業收入-其他2791,861221580024162410296014
其他營業收入合計1,4236,236222,9398035282462410439601,46056128
營業收入合計1,863,1301,912,9781,723,4211,669,7311,553,5671,168,8331,751,8351,595,6621,381,5141,275,7651,227,6791,150,1111,332,7961,103,174
營業成本
保險賠款與給付
保險賠款與給付合計1,133,8641,012,2671,074,9681,033,015958,7481,001,3161,044,4781,008,5661,099,630802,276933,801913,006838,292822,635
攤回再保賠款與給付220,535182,965262,885220,041222,429263,559334,462256,524377,087190,453313,660327,499184,533187,574
自留保險賠款與給付913,329829,302812,083812,974736,319737,757710,016752,042722,543611,823620,141585,507653,759635,061
其他保險負債淨變動
賠款準備淨變動(60,216)44,160115,26733,86387,274(14,739)25,375112,235(83,423)183,424(10,016)170,131(131,291)(33,328)
特別準備淨變動8,1108,05210,335(10,952)(3,488)(15,678)(1,862)(34,667)9,553(169,213)(10,874)(222,663)(14,897)(55,256)
保費不足準備淨變動1,013
其他保險負債淨變動合計(51,093)52,212125,60222,91183,786(30,417)23,51377,568
佣金費用
佣金費用284,479294,221275,660273,181256,130240,918255,679256,809215,088202,515194,518198,110192,092172,667
手續費支出26,31428,75132,19630,84333,97532,96138,50536,22131,11011,81710,8919,4557,8206,390
佣金費用合計310,793322,972307,856304,024290,105273,879294,184293,030246,198214,332205,409207,565199,912179,057
其他營業成本
安定基金支出4,3614,7474,3183,6223,7323,5993,7993,8813,4013,4023,0312,9272,8112,702
利息支出425194104
其他營業成本-其他16004161140122824
其他營業成本合計4,3814,7724,5473,6305,8683,7173,7995,8978,6003,4263,3932,9272,9603,253
營業成本合計1,177,4101,209,2581,250,0881,143,5391,116,078984,9361,031,5121,128,537903,471843,792808,053743,467710,443728,787
營業費用
業務費用333,940361,422356,305360,888324,291313,414298,390297,712270,478258,362243,244231,120232,837214,455
管理費用33,51929,92525,86423,97120,48218,82226,72525,02524,51321,43321,07222,47719,36717,884
員工訓練費用6354191663215106318567323562868710873132
非投資之預期信用減損損失及迴轉利益02,147
營業費用合計368,094393,913382,335385,180345,283332,867325,971323,469295,347280,081264,403253,705252,277232,471
營業利益(損失)317,626309,80790,998141,01292,206(148,970)394,352143,656182,696151,892155,223152,939370,076141,916
營業外收入及支出
收回呆帳及過期帳0826
其他營業外收入及支出
雜項收入87390411062
其他營業外支出252643333528(4)
其他營業外收入及支出淨額6213(43)(33)(35)3830(4)62
營業外收入及支出合計6221(17)(33)(35)383(18)0(17)(4)62
繼續營業單位稅前淨利(淨損)317,688309,82890,981140,97992,171(148,587)394,334143,656182,679151,888155,285152,939370,076141,916
所得稅費用(利益)
所得稅費用(利益)淨額64,28755,08816,34325,50722,14723,75919,1211,72730,38535,10629,44439,05731,45724,175
繼續營業單位本期純益(純損)253,401254,74074,638115,47270,024(172,346)375,213141,929152,294116,782125,841113,882338,619117,741
本期淨利(淨損)253,401254,74074,638115,47270,024(172,346)375,213141,929152,294116,782125,841113,88200
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62,64735,134246,928156,535106,134(488,967)120,520(39,401)
不重分類至損益之項目總額62,64735,134246,928156,535106,134(488,967)120,520(37,520)
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2,235(11,054)5,299(17,911)(30,129)22,6746,273(1,735)
後續可能重分類至損益之項目總額2,235(11,054)5,299(17,911)(30,129)22,6746,273(1,735)
其他綜合損益(稅後淨額)合計64,88224,080252,227138,62476,005(466,293)126,793(39,255)29,9111,092(886)(22,506)(87,235)130,608
本期綜合損益總額318,283278,820326,865254,096146,029(638,639)502,006102,674182,205117,874124,95591,376(87,235)130,608
基本每股盈餘
基本每股盈餘合計0.840.850.250.380.23(0.57)1.250.470.510.390.420.381.120.39
稀釋每股盈餘
稀釋每股盈餘合計0.840.840.250.380.23(0.57)1.240.470.50.390.420.381.120
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%
營業收入
保費收入
簽單保費收入2,400,8162,371,1942,156,2601,987,3801,863,3091,798,1731,898,4811,939,4131,866,916135.14%1,699,379133.2%1,513,390123.27%1,461,083127.04%1,403,004105.27%1,348,107122.2%
再保費收入118,471115,877116,141117,423105,343107,753103,03593,41896,6747%87,0236.82%80,2596.54%62,0955.4%56,7014.25%52,2744.74%
保費收入合計2,519,2872,487,0712,272,4012,104,8031,968,6521,905,9262,001,5162,032,8311,963,590142.13%1,786,402140.03%1,593,649129.81%1,523,178132.44%1,459,705109.52%1,400,381126.94%
再保費支出663,873598,892533,041473,075446,945459,673571,427557,041544,28739.4%529,67241.52%450,08936.66%370,10732.18%376,59228.26%340,14730.83%
未滿期保費準備淨變動
未滿期保費準備淨變動138,129174,430170,407125,701102,345132,367105,978110,960
自留滿期保費收入1,717,2851,713,7491,568,9531,506,0271,419,3621,313,8861,324,1111,364,8301,280,97392.72%1,199,95694.06%1,149,03293.59%1,107,35496.28%1,035,47477.69%1,004,94191.1%
再保佣金收入76,66181,31288,00583,63578,84374,62482,69182,66681,0985.87%76,8246.02%59,0264.81%59,6135.18%62,5214.69%60,2535.46%
手續費收入
手續費收入合計7,2236,4888,5646,2206,4455,8436,3835,9685,9480.43%5,7790.45%5,7780.47%6,1940.54%5,8390.44%5,8800.53%
淨投資損益
利息收入47,18145,03840,54820,25318,97123,31320,81422,08022,3941.62%21,5241.69%21,4141.74%21,2671.85%20,3151.52%20,0381.82%
透過損益按公允價值衡量之金融資產及負債損益(3,748)33,3389,35013,82814,392(267,372)302,395115,1495,7460.42%(36,117)-2.83%(17,915)-1.46%(65,727)-5.71%30,7172.3%16,8541.53%
兌換損益-投資5,02111,352(5,363)22,5861,5274,6163,208(12,586)(28,239)-2.04%(5,068)-0.4%(3,176)-0.26%7,0950.62%5,0700.38%00%
投資性不動產損益12,08514,41613,42713,31613,86713,53314,02913,93113,5840.98%12,8241.01%12,5601.02%12,8551.12%13,9781.05%12,2261.11%
投資之預期信用減損損失及迴轉利益(1)1,049(85)9278038(2,620)3,000
淨投資損益60,538105,19357,87770,91048,837(225,872)337,826141,57413,4850.98%(6,837)-0.54%12,8831.05%(24,510)-2.13%228,90617.17%31,9722.9%
其他營業收入
兌換利益-非投資1,1444,37502,924035258300%410%00%1,4460.13%
其他營業收入-其他2791,8612215800241624100%20%9600.08%140%
其他營業收入合計1,4236,236222,93980352824624100%430%9600.08%1,4600.13%560%1280.01%
營業收入合計1,863,1301,912,9781,723,4211,669,7311,553,5671,168,8331,751,8351,595,6621,381,514100%1,275,765100%1,227,679100%1,150,111100%1,332,796100%1,103,174100%
營業成本
保險賠款與給付
保險賠款與給付合計1,133,8641,012,2671,074,9681,033,015958,7481,001,3161,044,4781,008,5661,099,63079.6%802,27662.89%933,80176.06%913,00679.38%838,29262.9%822,63574.57%
攤回再保賠款與給付220,535182,965262,885220,041222,429263,559334,462256,524377,08727.3%190,45314.93%313,66025.55%327,49928.48%184,53313.85%187,57417%
自留保險賠款與給付913,329829,302812,083812,974736,319737,757710,016752,042722,54352.3%611,82347.96%620,14150.51%585,50750.91%653,75949.05%635,06157.57%
其他保險負債淨變動
賠款準備淨變動(60,216)44,160115,26733,86387,274(14,739)25,375112,235(83,423)-6.04%183,42414.38%(10,016)-0.82%170,13114.79%(131,291)-9.85%(33,328)-3.02%
特別準備淨變動8,1108,05210,335(10,952)(3,488)(15,678)(1,862)(34,667)9,5530.69%(169,213)-13.26%(10,874)-0.89%(222,663)-19.36%(14,897)-1.12%(55,256)-5.01%
保費不足準備淨變動1,013
其他保險負債淨變動合計(51,093)52,212125,60222,91183,786(30,417)23,51377,568
佣金費用
佣金費用284,479294,221275,660273,181256,130240,918255,679256,809215,08815.57%202,51515.87%194,51815.84%198,11017.23%192,09214.41%172,66715.65%
手續費支出26,31428,75132,19630,84333,97532,96138,50536,22131,1102.25%11,8170.93%10,8910.89%9,4550.82%7,8200.59%6,3900.58%
佣金費用合計310,793322,972307,856304,024290,105273,879294,184293,030246,19817.82%214,33216.8%205,40916.73%207,56518.05%199,91215%179,05716.23%
其他營業成本
安定基金支出4,3614,7474,3183,6223,7323,5993,7993,8813,4010.25%3,4020.27%3,0310.25%2,9270.25%2,8110.21%2,7020.24%
利息支出425194104
其他營業成本-其他1600416114012280%240%
其他營業成本合計4,3814,7724,5473,6305,8683,7173,7995,8978,6000.62%3,4260.27%3,3930.28%2,9270.25%2,9600.22%3,2530.29%
營業成本合計1,177,4101,209,2581,250,0881,143,5391,116,078984,9361,031,5121,128,537903,47165.4%843,79266.14%808,05365.82%743,46764.64%710,44353.3%728,78766.06%
營業費用
業務費用333,940361,422356,305360,888324,291313,414298,390297,712270,47819.58%258,36220.25%243,24419.81%231,12020.1%232,83717.47%214,45519.44%
管理費用33,51929,92525,86423,97120,48218,82226,72525,02524,5131.77%21,4331.68%21,0721.72%22,4771.95%19,3671.45%17,8841.62%
員工訓練費用6354191663215106318567323560.03%2860.02%870.01%1080.01%730.01%1320.01%
非投資之預期信用減損損失及迴轉利益02,147
營業費用合計368,094393,913382,335385,180345,283332,867325,971323,469295,34721.38%280,08121.95%264,40321.54%253,70522.06%252,27718.93%232,47121.07%
營業利益(損失)317,626309,80790,998141,01292,206(148,970)394,352143,656182,69613.22%151,89211.91%155,22312.64%152,93913.3%370,07627.77%141,91612.86%
營業外收入及支出
收回呆帳及過期帳0826
其他營業外收入及支出
雜項收入8739041100%620.01%
其他營業外支出252643333528(4)0%
其他營業外收入及支出淨額6213(43)(33)(35)3830(4)0%620.01%
營業外收入及支出合計6221(17)(33)(35)383(18)0(17)0%(4)0%620.01%
繼續營業單位稅前淨利(淨損)317,688309,82890,981140,97992,171(148,587)394,334143,656182,67913.22%151,88811.91%155,28512.65%152,93913.3%370,07627.77%141,91612.86%
所得稅費用(利益)
所得稅費用(利益)淨額64,28755,08816,34325,50722,14723,75919,1211,72730,3852.2%35,1062.75%29,4442.4%39,0573.4%31,4572.36%24,1752.19%
繼續營業單位本期純益(純損)253,401254,74074,638115,47270,024(172,346)375,213141,929152,29411.02%116,7829.15%125,84110.25%113,8829.9%338,61925.41%117,74110.67%
本期淨利(淨損)253,401254,74074,638115,47270,024(172,346)375,213141,929152,29411.02%116,7829.15%125,84110.25%113,8829.9%00%00%
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62,64735,134246,928156,535106,134(488,967)120,520(39,401)
不重分類至損益之項目總額62,64735,134246,928156,535106,134(488,967)120,520(37,520)
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2,235(11,054)5,299(17,911)(30,129)22,6746,273(1,735)
後續可能重分類至損益之項目總額2,235(11,054)5,299(17,911)(30,129)22,6746,273(1,735)
其他綜合損益(稅後淨額)合計64,88224,080252,227138,62476,005(466,293)126,793(39,255)29,9112.17%1,0920.09%(886)-0.07%(22,506)-1.96%(87,235)-6.55%130,60811.84%
本期綜合損益總額318,283278,820326,865254,096146,029(638,639)502,006102,674182,20513.19%117,8749.24%124,95510.18%91,3767.94%(87,235)-6.55%130,60811.84%
基本每股盈餘
基本每股盈餘合計0.840.850.250.380.23(0.57)1.250.470.510.390.420.381.120.39
稀釋每股盈餘
稀釋每股盈餘合計0.840.840.250.380.23(0.57)1.240.470.50.390.420.381.120
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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