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上海商銀-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
金額%金額%金額%金額%金額%金額%金額%金額%
利息收入20,547,10221,307,68317,986,1689,032,3439,004,21012,399,44711,904,6229,268,232
利息費用10,970,82011,915,8029,129,3032,282,3662,382,5635,104,6555,015,6283,026,846
利息淨收益9,576,2829,391,8818,856,8656,749,9776,621,6477,294,7926,888,9946,241,386
利息以外淨損益
手續費淨收益2,207,0791,850,4231,482,3721,735,7201,900,6891,750,0361,511,8071,528,542
透過損益按公允價值衡量之金融資產及負債損益401,486(1,867,458)276,903(676,508)(241,095)(227,866)179,425219,660
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379,801468,068101,629354,708390,709517,89773,18040,095
除列按攤銷後成本衡量之金融資產損益58,52341,56505,5391,7480(1,659)
兌換損益200,6302,189,449320,4251,419,6731,010,465366,466423,790(37,338)
資產減損(損失)迴轉利益淨額(13,582)31459,986(46,357)(28,799)(6,441)(1,540)(7,301)
採用權益法認列之關聯企業及合資損益之份額91,75178,832102,73491,186153,20428,43869,38071,671
其他利息以外淨損益923,148188,387190,122400,098330,195218,243438,632308,026
投資性不動產損益798,013
其他什項損益125,135
利息以外淨損益4,248,8362,949,5802,534,1713,278,5203,520,9072,648,5212,694,6742,121,696
淨收益13,825,11812,341,46111,391,03610,028,49710,142,5549,943,3139,583,6688,363,082
呆帳費用、承諾及保證責任準備提存1,508,145698,679521,202440,332331,671328,783209,117160,540
營業費用
員工福利費用3,244,0532,918,5052,745,3532,444,5042,354,2812,314,3322,168,0711,853,301
折舊及攤銷費用516,455488,530447,862411,181409,325425,900396,454202,543
其他業務及管理費用1,530,5441,527,5021,182,9111,077,281995,183966,9871,045,4261,051,976
營業費用合計5,291,0524,934,5374,376,1263,932,9663,758,7893,707,2193,609,9513,107,820
繼續營業單位稅前淨利(淨損)7,025,9216,708,2456,493,7085,655,1996,052,0945,907,3115,764,6005,094,722
所得稅費用(利益)1,125,3331,438,6121,237,9221,085,5101,146,6491,158,3901,059,2971,249,951
繼續營業單位本期稅後淨利(淨損)5,900,5885,269,6335,255,7864,569,6894,905,4454,748,9214,705,3033,844,771
本期稅後淨利(淨損)5,900,5885,269,6335,255,7864,569,6894,905,4454,748,9214,705,3033,844,771
本期稅前淨利(淨損)7,025,9216,708,2456,493,7085,655,1996,052,0945,907,3115,764,6005,094,722
與本期損益組成部分相關之所得稅費用(利益)1,125,3331,438,6121,237,9221,085,5101,146,6491,158,3901,059,2971,249,951
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59303,888
透過其他綜合損益按公允價值衡量之權益工具評價損益(445,079)3,076,1531,320,105(501,344)2,147,568(3,110,319)1,691,1221,222,956
指定為透過損益按公允價值衡量之金融負債其變動金額來自信用風險(182)1,60271711,11116,207(1,369)
採用權益法認列之子公司、關聯企業及合資之其他綜合損益之份額-不重分類至損益之項目6,80545,0780
與不重分類之項目相關之所得稅28,23543,04110,8801,2031,778(24,140)15,482205,784
不重分類至損益之項目總額(稅後)(466,098)3,079,7921,343,572(491,498)2,163,086(3,087,548)1,675,5891,017,172
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2,032,3375,998,277(2,190,417)3,851,3121,450,884706,137268,170(2,415,960)
採用權益法認列之關聯企業及合資其他綜合損益之份額-可能重分類至損益之項目060,690176,070(82,461)(1,430)0
透過其他綜合損益按公允價值衡量之債務工具損益1,880,678(142,215)3,180,862(8,483,766)(1,938,571)(2,158,888)2,434,670
透過其他綜合損益按公允價值衡量之債務工具評價損益1,874,099(143,409)3,242,937(8,531,199)(1,968,645)(2,163,479)2,432,954
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)6,5791,194(62,075)47,43330,0744,5911,716
與可能重分類之項目相關之所得稅426,147716,680116,652(773,693)(50,558)(769,586)616,736(859,143)
後續可能重分類至損益之項目總額(稅後)3,486,8685,200,0721,049,863(3,941,222)(438,559)(687,672)2,115,527(2,638,074)
本期其他綜合損益3,020,7708,279,8642,393,435(4,432,720)1,724,527(3,775,220)3,791,116(1,620,902)
綜合損益總額8,921,35813,549,4977,649,221136,9696,629,972973,7018,496,4192,223,869
本期綜合損益總額(稅前)10,501,07315,747,8309,014,675449,9897,727,8411,338,36510,187,9342,820,461
與本期綜合損益組成部分相關之所得稅1,579,7152,198,3331,365,454313,0201,097,869364,6641,691,515(596,592)
本期稅後淨利(淨損)歸屬
本期稅後淨利(損)歸屬於母公司業主4,667,0704,334,5294,260,1893,640,8003,721,8653,599,6643,585,8722,938,774
本期稅後淨利(損)歸屬於非控制權益1,233,518935,104995,597928,8891,183,5801,149,2571,119,431905,997
本期稅後綜合損益歸屬
本期稅後綜合損益總額歸屬於母公司業主5,873,6199,420,2206,271,160(117,241)4,505,099458,5156,221,9731,643,703
本期稅後綜合損益總額歸屬於非控制權益3,047,7394,129,2771,378,061254,2102,124,873515,1862,274,446580,166
基本每股盈餘
基本每股盈餘合計0.960.890.880.810.830.810.880.72
稀釋每股盈餘
稀釋每股盈餘合計0.960.890.880.810.830.810.880.72
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
金額%金額%金額%金額%金額%金額%金額%金額%金額%
利息收入20,547,10221,307,68317,986,1689,032,3439,004,21012,399,44711,904,6229,268,232
利息費用10,970,82011,915,8029,129,3032,282,3662,382,5635,104,6555,015,6283,026,846
利息淨收益9,576,2829,391,8818,856,8656,749,9776,621,6477,294,7926,888,9946,241,3865,836,474
利息以外淨損益
手續費淨收益2,207,0791,850,4231,482,3721,735,7201,900,6891,750,0361,511,8071,528,5421,269,939
透過損益按公允價值衡量之金融資產及負債損益401,486(1,867,458)276,903(676,508)(241,095)(227,866)179,425219,660459,806
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379,801468,068101,629354,708390,709517,89773,18040,095
除列按攤銷後成本衡量之金融資產損益58,52341,56505,5391,7480(1,659)
兌換損益200,6302,189,449320,4251,419,6731,010,465366,466423,790(37,338)
資產減損(損失)迴轉利益淨額(13,582)31459,986(46,357)(28,799)(6,441)(1,540)(7,301)0
採用權益法認列之關聯企業及合資損益之份額91,75178,832102,73491,186153,20428,43869,38071,671
其他利息以外淨損益923,148188,387190,122400,098330,195218,243438,632308,026352,637
投資性不動產損益798,013
其他什項損益125,135
利息以外淨損益4,248,8362,949,5802,534,1713,278,5203,520,9072,648,5212,694,6742,121,6962,329,835
淨收益13,825,11812,341,46111,391,03610,028,49710,142,5549,943,3139,583,6688,363,0828,166,309
呆帳費用、承諾及保證責任準備提存1,508,145698,679521,202440,332331,671328,783209,117160,540228,240
營業費用
員工福利費用3,244,0532,918,5052,745,3532,444,5042,354,2812,314,3322,168,0711,853,301
折舊及攤銷費用516,455488,530447,862411,181409,325425,900396,454202,543
其他業務及管理費用1,530,5441,527,5021,182,9111,077,281995,183966,9871,045,4261,051,976
營業費用合計5,291,0524,934,5374,376,1263,932,9663,758,7893,707,2193,609,9513,107,820
繼續營業單位稅前淨利(淨損)7,025,9216,708,2456,493,7085,655,1996,052,0945,907,3115,764,6005,094,722
所得稅費用(利益)1,125,3331,438,6121,237,9221,085,5101,146,6491,158,3901,059,2971,249,951
繼續營業單位本期稅後淨利(淨損)5,900,5885,269,6335,255,7864,569,6894,905,4454,748,9214,705,3033,844,771
本期稅後淨利(淨損)5,900,5885,269,6335,255,7864,569,6894,905,4454,748,9214,705,3033,844,771
本期稅前淨利(淨損)7,025,9216,708,2456,493,7085,655,1996,052,0945,907,3115,764,6005,094,7224,847,343
與本期損益組成部分相關之所得稅費用(利益)1,125,3331,438,6121,237,9221,085,5101,146,6491,158,3901,059,2971,249,9511,112,558
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59303,888
透過其他綜合損益按公允價值衡量之權益工具評價損益(445,079)3,076,1531,320,105(501,344)2,147,568(3,110,319)1,691,1221,222,956
指定為透過損益按公允價值衡量之金融負債其變動金額來自信用風險(182)1,60271711,11116,207(1,369)
採用權益法認列之子公司、關聯企業及合資之其他綜合損益之份額-不重分類至損益之項目6,80545,0780
與不重分類之項目相關之所得稅28,23543,04110,8801,2031,778(24,140)15,482205,784
不重分類至損益之項目總額(稅後)(466,098)3,079,7921,343,572(491,498)2,163,086(3,087,548)1,675,5891,017,172
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2,032,3375,998,277(2,190,417)3,851,3121,450,884706,137268,170(2,415,960)
採用權益法認列之關聯企業及合資其他綜合損益之份額-可能重分類至損益之項目060,690176,070(82,461)(1,430)0
透過其他綜合損益按公允價值衡量之債務工具損益1,880,678(142,215)3,180,862(8,483,766)(1,938,571)(2,158,888)2,434,670
透過其他綜合損益按公允價值衡量之債務工具評價損益1,874,099(143,409)3,242,937(8,531,199)(1,968,645)(2,163,479)2,432,954
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)6,5791,194(62,075)47,43330,0744,5911,716
與可能重分類之項目相關之所得稅426,147716,680116,652(773,693)(50,558)(769,586)616,736(859,143)
後續可能重分類至損益之項目總額(稅後)3,486,8685,200,0721,049,863(3,941,222)(438,559)(687,672)2,115,527(2,638,074)
本期其他綜合損益3,020,7708,279,8642,393,435(4,432,720)1,724,527(3,775,220)3,791,116(1,620,902)
綜合損益總額8,921,35813,549,4977,649,221136,9696,629,972973,7018,496,4192,223,869
本期綜合損益總額(稅前)10,501,07315,747,8309,014,675449,9897,727,8411,338,36510,187,9342,820,461(198,843)
與本期綜合損益組成部分相關之所得稅1,579,7152,198,3331,365,454313,0201,097,869364,6641,691,515(596,592)(62,847)
本期稅後淨利(淨損)歸屬
本期稅後淨利(損)歸屬於母公司業主4,667,0704,334,5294,260,1893,640,8003,721,8653,599,6643,585,8722,938,774
本期稅後淨利(損)歸屬於非控制權益1,233,518935,104995,597928,8891,183,5801,149,2571,119,431905,997
本期稅後綜合損益歸屬
本期稅後綜合損益總額歸屬於母公司業主5,873,6199,420,2206,271,160(117,241)4,505,099458,5156,221,9731,643,703
本期稅後綜合損益總額歸屬於非控制權益3,047,7394,129,2771,378,061254,2102,124,873515,1862,274,446580,166
基本每股盈餘
基本每股盈餘合計0.960.890.880.810.830.810.880.72
稀釋每股盈餘
稀釋每股盈餘合計0.960.890.880.810.830.810.880.72
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