首頁>台灣股市>第一保>財務分析 - 損益表
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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%
營業收入
保費收入
簽單保費收入2,056,7742,069,2711,918,6791,898,3591,761,4891,641,0791,735,0381,753,9031,725,5581,634,9201,555,0151,502,8351,473,889
再保費收入107,136103,059101,717100,84796,88493,12390,76685,87381,28782,33959,07553,91550,492
保費收入合計2,163,9102,172,3302,020,3961,999,2061,858,3731,734,2021,825,8041,839,7761,806,8451,717,2591,614,0901,556,7501,524,381
再保費支出411,607493,959455,069426,230407,840433,789525,284530,705538,503467,041430,786393,264478,841
未滿期保費準備淨變動
未滿期保費準備淨變動(25,545)(43,854)(35,289)50,47441,529(48,357)(45,462)
自留滿期保費收入1,777,8481,722,2251,600,6161,522,5021,409,0041,348,7701,345,9821,298,7891,270,9081,219,8291,159,8571,104,6221,039,034
再保佣金收入60,97379,49176,34275,52073,48967,07774,38578,22682,99156,47953,45454,00859,844
手續費收入
手續費收入合計6,5946,1014,9315,0295,0144,9175,0225,2305,0455,0095,0725,3495,085
淨投資損益
利息收入46,50240,36427,95617,52517,89921,12118,92422,62422,97022,39527,39025,74121,253
透過損益按公允價值衡量之金融資產及負債損益52224,832(31,675)28,03814,401123,896(113,256)80,54973,77675,8789,7803,5597,907
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000253000
兌換損益-投資13,786(14,575)(22,114)(4,063)(12,776)(18,906)3,341(7,653)11,050(4,391)11,7843,7280
投資性不動產損益14,99813,76913,21613,41913,94513,79414,18313,72712,88513,74212,21112,55912,240
投資之預期信用減損損失及迴轉利益1,1893,953(338)(756)131,974
淨投資損益76,99768,343(12,955)54,41633,470139,908(74,834)101,419120,681107,62461,16545,58643,649
其他營業收入
兌換利益-非投資3,9151,5772,1820(212)(100)
其他營業收入-其他6074441,6133,0531,0223951,41331,9902,6523,312
其他營業收入合計4,5222,0213,7953,0531,022(2,380)1,41331,9902,4403,2123,0176,570
營業收入合計1,926,9341,878,1811,672,7291,660,5201,521,9991,558,2921,351,9681,483,6671,481,6151,391,3811,282,7601,212,5821,154,182
營業成本
保險賠款與給付
保險賠款與給付合計1,373,5341,319,0971,022,9931,021,144988,2571,138,8421,202,7641,300,5451,039,200993,236906,6201,065,758945,121
攤回再保賠款與給付440,151403,818217,382245,246228,987321,878369,297406,404299,478279,431236,622384,891279,680
自留保險賠款與給付933,383915,279805,611775,898759,270816,964833,467894,141739,722713,805669,998680,867665,441
其他保險負債淨變動
賠款準備淨變動84,15853,76263,81438,971120,057(17,952)(16,293)(1,253)47,82313,7463,278(94,637)46,838
特別準備淨變動(12,190)3,03955,95037,5035,799(4,178)(38,476)(59,426)(85,205)14,737(29,937)(11,121)(215,580)
保費不足準備淨變動9,123(378)(417)(6,623)(18,146)(9,724)(3,977)(714)6,097290
其他保險負債淨變動合計81,09156,423119,34769,851107,710(31,854)(58,746)
佣金費用
佣金費用290,368314,619289,535268,479273,750236,644228,181233,594202,291251,808238,493202,665193,013
手續費支出33,09336,17637,52834,69339,35635,53438,36934,55191,78515,87814,21011,5139,540
佣金費用合計323,461350,795327,063303,172313,106272,178266,550268,145294,076267,686252,703214,178202,553
其他營業成本
安定基金支出3,7494,1463,8443,4663,5293,2853,4743,5123,1483,2743,1153,0112,954
利息支出8120111918
其他營業成本合計3,7574,1583,8445,8436,7865,32027,3828,9593,1653,2743,1153,0113,736
營業成本合計1,341,6921,326,6551,255,8651,154,7641,186,8721,062,6081,068,6531,109,8521,005,6781,013,538897,124770,757709,193
營業費用
業務費用392,295365,554349,424378,300343,384326,197325,882301,034293,782264,762253,171257,443245,183
管理費用34,39727,61025,76324,57425,58927,13417,92926,71424,83819,30720,21720,77120,138
員工訓練費用6519016569099349781,017737637(278)140143107
非投資之預期信用減損損失及迴轉利益0
營業費用合計427,343394,065375,843403,783369,907354,309344,828328,485319,257283,791273,528278,357265,428
營業利益(損失)157,899157,46141,021101,973(34,780)141,375(61,513)45,330156,68094,052112,108163,468179,561
營業外收入及支出
收回呆帳及過期帳018308120
其他營業外收入及支出
雜項收入556405230029
其他營業外支出245438343300(11)
其他營業外收入及支出淨額3110(38)18(30)(29)0018(198)(434)
營業外收入及支出合計(858)(580)(150)(835)(2,728)(505)(647)(437)(1,402)(218)(629)(975)(370)
繼續營業單位稅前淨利(淨損)157,041156,88140,871101,138(37,508)140,870(62,160)44,893155,27893,834111,479162,493179,191
所得稅費用(利益)
所得稅費用(利益)淨額32,00326,05615,11815,954(2,579)3,89710,422(4,284)21,4424,91318,66027,41729,143
繼續營業單位本期純益(純損)125,038130,82525,75385,184(34,929)136,973(72,582)49,177133,83688,92192,819135,076150,048
本期淨利(淨損)125,038130,82525,75385,184(34,929)136,973(72,582)49,177133,83688,92192,819135,076150,048
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(154,173)116,136117,12125,329157,426164,595(47,119)
不重分類至損益之項目總額(122,433)118,714164,83421,217158,456163,156(40,499)
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(13,507)1,97132,801(33,792)6,0695,083(655)
後續可能重分類至損益之項目總額(13,507)1,97132,801(33,792)6,0695,083(655)
其他綜合損益(稅後淨額)合計(135,940)120,685197,635(12,575)164,525168,239(41,154)16,455(41,839)(5,545)(22,719)36,143(36,050)
本期綜合損益總額(10,902)251,510223,38872,609129,596305,212(113,736)65,63291,99783,37670,100171,219113,998
基本每股盈餘
基本每股盈餘合計0.420.430.090.29(0.11)0.46(0.24)0.160.440.30.310.440.49
稀釋每股盈餘
稀釋每股盈餘合計0.420.430.080.29(0.11)0.46(0.24)0.170.440.30.310.450.49
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%
營業收入
保費收入
簽單保費收入8,941,3298,635,2627,904,9507,458,4007,062,8846,875,0547,014,7336,999,785119.02%6,636,726118.23%6,214,130122.56%5,912,244120.17%5,830,150117.67%5,498,031116.19%
再保費收入437,849424,951429,483410,919403,665404,585383,845380,4266.47%365,7886.52%343,9556.78%255,9015.2%233,5844.71%255,6395.4%
保費收入合計9,379,1789,060,2138,334,4337,869,3197,466,5497,279,6397,398,5787,380,211125.49%7,002,514124.74%6,558,085129.34%6,168,145125.37%6,063,734122.39%5,753,670121.59%
再保費支出2,249,3672,194,8191,949,2191,795,1111,776,3131,925,6182,006,6422,009,15434.16%1,942,18934.6%1,777,92235.07%1,557,58131.66%1,700,30034.32%1,564,23533.06%
未滿期保費準備淨變動
未滿期保費準備淨變動123,742214,921107,584178,244239,1298,615(60,368)
自留滿期保費收入7,006,0696,650,4736,277,6305,895,9645,451,1075,345,4065,452,3045,243,57889.16%5,008,95689.23%4,711,49892.92%4,525,34991.98%4,256,37085.91%4,140,30387.5%
再保佣金收入279,325331,565301,006293,692287,853287,665299,240288,9584.91%285,3205.08%250,6674.94%200,4024.07%219,1924.42%200,4714.24%
手續費收入
手續費收入合計27,27027,39124,20024,56624,56124,47724,46624,4780.42%23,7970.42%23,4750.46%23,8620.49%24,0300.49%23,5410.5%
淨投資損益
利息收入188,923158,58488,90271,95787,42895,210107,383108,4701.84%105,3771.88%107,6022.12%112,3392.28%111,2322.25%97,2982.06%
透過損益按公允價值衡量之金融資產及負債損益108,484(2,426)(22,794)99,207(122,296)168,034148,054186,2703.17%128,7052.29%(119,396)-2.35%(33,246)-0.68%94,4691.91%168,1363.55%
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90,341165,535124,802120,440100,80792,35716,486
兌換損益-投資18,8251,04574,048(18,833)(30,059)(16,063)18,852(34,410)-0.59%(10,919)-0.19%6,1200.12%18,9380.38%7,3090.15%00%
投資性不動產損益58,12255,28453,25652,14453,24555,98056,00054,6190.93%53,4110.95%51,9951.03%50,1461.02%52,1101.05%48,6111.03%
投資之預期信用減損損失及迴轉利益7,7751,757(3,910)(2,373)954(4,835)5,126
淨投資損益472,470379,779314,304322,54290,079390,683351,901323,7825.51%293,0895.22%78,2011.54%166,3943.38%450,3069.09%360,8097.63%
其他營業收入
兌換利益-非投資11,3244,91814,11300%1,3850.03%5480.01%1,9020.04%00%
其他營業收入-其他2,5934771,6283,1541,0729661,4785470.01%2,4130.04%5,1280.1%3,3520.07%2,7110.05%6,7710.14%
其他營業收入合計13,9175,39515,7413,1541,0729661,4785470.01%2,4130.04%6,5130.13%3,9000.08%4,6130.09%6,7710.14%
營業收入合計7,799,0517,394,6036,932,8816,539,9185,854,6726,049,1976,129,3895,881,343100%5,613,575100%5,070,354100%4,919,907100%4,954,511100%4,731,895100%
營業成本
保險賠款與給付
保險賠款與給付合計4,930,0844,682,3104,009,0533,994,4043,930,2944,387,7784,274,8244,556,08477.47%4,005,27571.35%3,538,19669.78%3,440,53869.93%3,462,01869.88%3,349,51270.79%
攤回再保賠款與給付1,366,8491,164,374820,578933,702957,8991,319,0051,227,0241,390,62723.64%1,142,71820.36%987,35319.47%979,48319.91%944,93119.07%825,06717.44%
自留保險賠款與給付3,563,2353,517,9363,188,4753,060,7022,972,3953,068,7733,047,8003,165,45753.82%2,862,55750.99%2,550,84350.31%2,461,05550.02%2,517,08750.8%2,524,44553.35%
其他保險負債淨變動
賠款準備淨變動338,632212,243244,033108,378112,637(113,104)156,514(72,004)-1.22%224,9704.01%190,1233.75%217,0334.41%(125,565)-2.53%100,1762.12%
特別準備淨變動(143,930)33,57376,21353,99127,094(6,035)(74,902)(28,562)-0.49%(280,224)-4.99%(19,639)-0.39%(243,826)-4.96%(104,502)-2.11%(390,458)-8.25%
保費不足準備淨變動9,831(1,017)430(6,125)(10,017)(5,756)7,237(316)-0.01%5,3120.09%3,3310.07%(2,033)-0.04%(21,541)-0.43%6,2050.13%
其他保險負債淨變動合計204,533244,799320,676156,244129,714(124,895)88,849
佣金費用
佣金費用1,202,7001,190,4201,099,2671,046,478982,117946,137929,630898,51415.28%881,48015.7%897,64317.7%857,47217.43%784,70715.84%738,47715.61%
手續費支出122,843134,931129,912133,317139,699139,269145,802134,1992.28%132,0722.35%54,0191.07%46,6420.95%38,0720.77%31,0690.66%
佣金費用合計1,325,5431,325,3511,229,1791,179,7951,121,8161,085,4061,075,4321,032,71317.56%1,013,55218.06%951,66218.77%904,11418.38%822,77916.61%769,54616.26%
其他營業成本
安定基金支出17,13717,29515,09514,29814,14213,75814,03813,3530.23%12,7190.23%12,4460.25%11,8440.24%11,6810.24%11,0200.23%
利息支出196113183536419
其他營業成本-其他00450502024,5944,5510.08%240%00%230%
其他營業成本合計17,33317,40815,11721,20422,80415,81639,14825,3410.43%18,6270.33%12,4460.25%11,8670.24%11,6810.24%13,0030.27%
營業成本合計5,110,6445,105,4944,753,4474,417,9454,246,7294,045,1004,251,2294,122,62970.1%3,844,79468.49%3,688,76672.75%3,348,21068.05%3,099,93962.57%3,022,91763.88%
營業費用
業務費用1,466,4421,419,1491,396,7791,376,0931,304,1701,234,4081,218,0361,138,92019.36%1,111,86019.81%1,044,24020.6%982,17719.96%979,92819.78%908,98119.21%
管理費用134,977112,032105,34896,86993,042101,88092,911101,2561.72%89,8811.6%83,2911.64%80,6921.64%79,4651.6%75,0481.59%
員工訓練費用2,5572,8172,1352,6872,6803,6193,3982,6180.04%1,3450.02%2980.01%7800.02%7930.02%7450.02%
非投資之預期信用減損損失及迴轉利益3,933
營業費用合計1,607,9091,533,9981,504,2621,475,6491,399,8921,339,9071,314,3451,242,79421.13%1,203,08621.43%1,127,82922.24%1,063,64921.62%1,060,18621.4%984,77420.81%
營業利益(損失)1,080,498755,111675,172646,324208,051664,190563,815515,9208.77%565,69510.08%253,7595%508,04810.33%794,38616.03%724,20415.3%
營業外收入及支出
資產報廢損失8896081428612,710
收回呆帳及過期帳168846362000%
其他營業外收入及支出
雜項收入966431196970750%290%
其他營業外支出961871451431130(24)0%(49)0%
其他營業外收入及支出淨額0(123)(142)(24)584(89)0510%(20)0%2190%(102)0%(901)-0.02%(346)-0.01%
營業外收入及支出合計(873)(643)(238)(849)(2,106)(565)(647)(386)-0.01%(1,440)-0.03%2190%(102)0%(901)-0.02%(346)-0.01%
繼續營業單位稅前淨利(淨損)1,079,625754,468674,934645,475205,945663,625563,168515,5348.77%564,25510.05%253,9785.01%507,94610.32%793,48516.02%723,85815.3%
所得稅費用(利益)
所得稅費用(利益)淨額176,328118,227116,08792,33853,06382,65771,85955,2240.94%84,5001.51%58,9561.16%91,8451.87%87,4831.77%86,9831.84%
繼續營業單位本期純益(純損)903,297636,241558,847553,137152,882580,968491,309460,3107.83%479,7558.55%195,0223.85%416,1018.46%706,00214.25%636,87513.46%
本期淨利(淨損)903,297636,241558,847553,137152,882580,968491,309460,3107.83%479,7558.55%195,0223.85%416,1018.46%706,00214.25%636,87513.46%
其他綜合損益(稅後淨額)
不重分類至損益之項目
確定福利計畫之再衡量數39,6753,22359,642(5,140)1,288(1,799)8,275
透過其他綜合損益按公允價值衡量之權益工具評價損益1,050134,010106,553125,61634,436387,894(39,850)
與不重分類之項目相關之所得稅7,93564511,929(1,028)258(360)(226)
不重分類至損益之項目總額32,790136,588154,266121,50435,466386,455(31,349)
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(27,017)9,106(57,589)(59,900)51,59222,498(2,287)
後續可能重分類至損益之項目總額(27,017)9,106(57,589)(59,900)51,59222,498(2,287)
其他綜合損益(稅後淨額)合計5,773145,69496,67761,60487,058408,953(33,636)60,0621.02%(11,404)-0.2%(80,502)-1.59%(84,625)-1.72%(2,267)-0.05%186,2663.94%
本期綜合損益總額909,070781,935655,524614,741239,940989,921457,673520,3728.85%468,3518.34%114,5202.26%331,4766.74%703,73514.2%823,14117.4%
基本每股盈餘
基本每股盈餘合計32.111.861.840.511.931.631.531.590.651.382.342.11
稀釋每股盈餘
稀釋每股盈餘合計32.111.851.840.511.931.631.531.590.651.382.342.1
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