6491
314
TWD+3.00 (0.96%)
2025.11.26收盤
晶碩-現金流量表
合併現金流量表
第三季 (最新)
單季
| (TWD千元) | 2025年第三季 | 2024年第三季 | 2023年第三季 | 2022年第三季 | 2021年第三季 | 2020年第三季 | 2019年第三季 | 2018年第三季 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 營業活動之現金流量-間接法 | ||||||||||||||||
| 繼續營業單位稅前淨利(淨損) | 505,236 | 26.75% | 518,447 | 31.25% | 457,506 | 27.28% | 487,474 | 29.69% | 420,100 | 27.76% | 235,994 | 23.4% | 134,508 | 15.71% | 242,198 | 27.94% |
| 本期稅前淨利(淨損) | 505,236 | 518,447 | 457,506 | 487,474 | 420,100 | 235,994 | 134,508 | 242,198 | ||||||||
| 調整項目 | ||||||||||||||||
| 收益費損項目 | ||||||||||||||||
| 折舊費用 | 186,419 | 167,487 | 229,199 | 238,486 | 172,815 | 149,731 | 171,622 | 139,689 | ||||||||
| 攤銷費用 | 6,014 | 4,969 | 3,378 | 2,303 | 1,179 | 729 | 483 | 270 | ||||||||
| 預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數 | 1,995 | 288 | 21,476 | (1,986) | 1,902 | 2,298 | 392 | (59) | ||||||||
| 透過損益按公允價值衡量金融資產及負債之淨損失(利益) | (3,359) | (7,592) | (3,791) | (197) | (38) | (191) | 0 | 0 | ||||||||
| 利息費用 | 14,430 | 14,901 | 12,038 | 7,431 | 1,172 | 831 | 6,166 | 3,093 | ||||||||
| 利息收入 | (10,643) | (5,976) | (5,882) | (1,615) | (848) | (1,197) | (531) | (1,798) | ||||||||
| 採用權益法認列之關聯企業及合資損失(利益)之份額 | 58 | 44 | ||||||||||||||
| 處分及報廢不動產、廠房及設備損失(利益) | 4,395 | 0 | 0 | (51) | 0 | (134) | 1,563 | 0 | ||||||||
| 非金融資產減損損失 | 0 | 0 | 0 | 17,322 | 7,753 | 5,395 | 0 | 6,891 | ||||||||
| 其他項目 | (63) | (78) | (76) | (173) | (68) | 28 | ||||||||||
| 收益費損項目合計 | 199,246 | 174,043 | 315,840 | 263,311 | 183,867 | 157,490 | 179,695 | 148,072 | ||||||||
| 與營業活動相關之資產/負債變動數 | ||||||||||||||||
| 與營業活動相關之資產之淨變動 | ||||||||||||||||
| 強制透過損益按公允價值衡量之金融資產(增加)減少 | 119,746 | 1,139,062 | 420,299 | 43,106 | 280,088 | 32,000 | 0 | 14 | ||||||||
| 應收帳款(增加)減少 | (236,271) | 2,723 | (42,251) | (138,084) | (163,313) | (161,530) | (65,097) | (5,341) | ||||||||
| 其他應收款(增加)減少 | (23,714) | (17,109) | (17,523) | (9,915) | (26,458) | (10,114) | (738) | (5,538) | ||||||||
| 存貨(增加)減少 | 7,973 | 1,893 | (64,628) | 20,616 | (90,468) | (10,106) | 58,994 | (139,306) | ||||||||
| 預付款項(增加)減少 | (2,852) | 26,285 | (48,411) | (4,675) | 30,584 | (28,203) | 4,982 | 7,811 | ||||||||
| 其他流動資產(增加)減少 | (2,984) | 19,609 | (12,466) | (4,938) | 11,757 | 1,225 | 3,060 | 1,396 | ||||||||
| 與營業活動相關之資產之淨變動合計 | (138,102) | 1,172,463 | 235,020 | (93,890) | 42,190 | (176,728) | 1,201 | (140,964) | ||||||||
| 與營業活動相關之負債之淨變動 | ||||||||||||||||
| 合約負債增加(減少) | (3,719) | 127 | 39,073 | 12,595 | (1,327) | 17,931 | (6,444) | 56,179 | ||||||||
| 應付票據增加(減少) | (715) | 2,808 | (294) | (207) | (344) | 6 | 1,001 | (1) | ||||||||
| 應付帳款增加(減少) | 31,467 | (43,556) | 38,389 | 15,057 | 23,382 | 37,821 | 18,122 | 16,303 | ||||||||
| 其他應付款增加(減少) | 93,437 | 69,179 | (98,451) | (61,923) | 145,488 | 111,652 | (50,293) | 80,303 | ||||||||
| 負債準備增加(減少) | 1,200 | |||||||||||||||
| 其他流動負債增加(減少) | 89,565 | 43,212 | 5,651 | 47,442 | 21,076 | 18,571 | 7,602 | 8,793 | ||||||||
| 與營業活動相關之負債之淨變動合計 | 211,235 | 71,770 | (15,632) | 12,964 | 188,275 | 185,981 | (30,012) | 161,577 | ||||||||
| 與營業活動相關之資產及負債之淨變動合計 | 73,133 | 1,244,233 | 219,388 | (80,926) | 230,465 | 9,253 | (28,811) | 20,613 | ||||||||
| 調整項目合計 | 272,379 | 1,418,276 | 535,228 | 182,385 | 414,332 | 166,743 | 150,884 | 168,685 | ||||||||
| 營運產生之現金流入(流出) | 777,615 | 1,936,723 | 992,734 | 669,859 | 834,432 | 402,737 | 285,392 | 410,883 | ||||||||
| 收取之利息 | 11,102 | 3,437 | 3,765 | 1,704 | 1,089 | 879 | 491 | 1,272 | ||||||||
| 支付之利息 | (13,038) | (14,202) | (10,726) | (6,128) | (707) | (496) | (5,354) | (2,707) | ||||||||
| 退還(支付)之所得稅 | (30,822) | (208,478) | (205,125) | (163,769) | (84,089) | (63,302) | (93,090) | (28,058) | ||||||||
| 營業活動之淨現金流入(流出) | 744,857 | 1,717,480 | 780,648 | 501,666 | 750,725 | 339,818 | 187,439 | 381,390 | ||||||||
| 投資活動之現金流量 | ||||||||||||||||
| 取得透過其他綜合損益按公允價值衡量之金融資產 | 0 | |||||||||||||||
| 取得按攤銷後成本衡量之金融資產 | 397,858 | (343,811) | (1,443,412) | 0 | 0 | 0 | (31,024) | |||||||||
| 取得不動產、廠房及設備 | (323,733) | (263,142) | (173,405) | (171,768) | (657,856) | (101,772) | (101,841) | (644,055) | ||||||||
| 處分不動產、廠房及設備 | 19 | 0 | 0 | 51 | 0 | 134 | 0 | 0 | ||||||||
| 存出保證金減少 | (1,656) | 170 | (898) | (226) | 162 | (1,286) | ||||||||||
| 取得無形資產 | (4,816) | (2,331) | 0 | (9,873) | (5,542) | (1,526) | (2,086) | (2,403) | ||||||||
| 取得使用權資產 | 0 | (1,916) | (82,574) | 0 | 0 | 0 | 0 | 0 | ||||||||
| 投資活動之淨現金流入(流出) | 67,672 | (611,030) | (1,720,289) | (181,816) | (663,236) | (104,450) | (103,911) | (678,122) | ||||||||
| 籌資活動之現金流量 | ||||||||||||||||
| 短期借款增加 | 238,812 | 191,216 | (169,711) | (196,297) | 110,839 | 79,710 | 272,209 | 217,000 | ||||||||
| 舉借長期借款 | 0 | 89,520 | 0 | 0 | 83,580 | 0 | 100,000 | 0 | ||||||||
| 償還長期借款 | (36,994) | (44,189) | (2,322) | 0 | (225,000) | (14,750) | ||||||||||
| 存入保證金增加 | 50 | (100) | 17 | 31 | 0 | 0 | 180 | |||||||||
| 租賃本金償還 | (9,991) | (10,005) | (34,592) | (37,890) | (12,587) | (30,129) | (34,359) | |||||||||
| 發放現金股利 | (858,000) | (787,342) | 0 | (595,000) | (350,000) | (175,000) | (90,000) | 0 | ||||||||
| 籌資活動之淨現金流入(流出) | (675,123) | (560,900) | 2,273,392 | (806,656) | (145,668) | (125,419) | 251,030 | 203,877 | ||||||||
| 匯率變動對現金及約當現金之影響 | 7,784 | 10,070 | 6,550 | 8,264 | (1,565) | 2,250 | (1,239) | (2,437) | ||||||||
| 本期現金及約當現金增加(減少)數 | 145,190 | 555,620 | 1,340,301 | (478,542) | (59,744) | 112,199 | 333,319 | (95,292) | ||||||||
| 期初現金及約當現金餘額 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||||||||
| 期末現金及約當現金餘額 | 145,190 | 555,620 | 1,340,301 | (478,542) | (59,744) | 112,199 | 333,319 | |||||||||
| 資產負債表帳列之現金及約當現金 | 1,654,282 | 10.38% | 1,610,163 | 11.1% | 2,365,289 | 19.02% | 1,473,032 | 16.21% | 1,635,906 | 19.7% | 1,140,176 | 19.32% | 723,467 | 13.96% | 664,676 | 15.23% |
今年初累積至今
| (TWD千元) | 2025年前9個月 | 2024年前9個月 | 2023年前9個月 | 2022年前9個月 | 2021年前9個月 | 2020年前9個月 | 2019年前9個月 | 2018年前9個月 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 營業活動之現金流量-間接法 | ||||||||||||||||
| 繼續營業單位稅前淨利(淨損) | 1,470,865 | 28.79% | 1,650,029 | 32.85% | 1,299,705 | 27.35% | 1,315,836 | 28.95% | 1,012,441 | 25.06% | 511,312 | 19.93% | 371,337 | 15.76% | 547,068 | 23.97% |
| 本期稅前淨利(淨損) | 1,470,865 | 72.01% | 1,650,029 | 53.94% | 1,299,705 | 90.97% | 1,315,836 | 92.72% | 1,012,441 | 51.9% | 511,312 | 55.1% | 371,337 | 73.79% | 547,068 | 67.24% |
| 調整項目 | ||||||||||||||||
| 收益費損項目 | ||||||||||||||||
| 折舊費用 | 539,030 | 26.39% | 542,756 | 17.74% | 704,327 | 49.3% | 684,494 | 48.23% | 446,422 | 22.89% | 469,201 | 50.57% | 514,225 | 102.18% | 371,469 | 45.65% |
| 攤銷費用 | 17,246 | 0.84% | 13,116 | 0.43% | 10,240 | 0.72% | 6,020 | 0.42% | 2,739 | 0.14% | 2,111 | 0.23% | 1,212 | 0.24% | 924 | 0.11% |
| 預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數 | 1,845 | 0.09% | (41,568) | -1.36% | 29,608 | 2.07% | 279 | 0.02% | 1,208 | 0.06% | 2,469 | 0.27% | (1,261) | -0.25% | 1,915 | 0.24% |
| 透過損益按公允價值衡量金融資產及負債之淨損失(利益) | (11,994) | -0.59% | (24,372) | -0.8% | (11,057) | -0.77% | (296) | -0.02% | (321) | -0.02% | (716) | -0.08% | 0 | 0% | 8 | 0% |
| 利息費用 | 39,902 | 1.95% | 44,291 | 1.45% | 31,673 | 2.22% | 13,719 | 0.97% | 3,010 | 0.15% | 3,047 | 0.33% | 19,429 | 3.86% | 6,594 | 0.81% |
| 利息收入 | (33,682) | -1.65% | (16,485) | -0.54% | (15,867) | -1.11% | (4,670) | -0.33% | (3,234) | -0.17% | (3,433) | -0.37% | (2,389) | -0.47% | (5,439) | -0.67% |
| 採用權益法認列之關聯企業及合資損失(利益)之份額 | 220 | 0.01% | 40 | 0% | 14 | 0% | ||||||||||
| 處分及報廢不動產、廠房及設備損失(利益) | 5,771 | 0.28% | 192 | 0.01% | (23) | 0% | (180) | -0.01% | (178) | -0.01% | (634) | -0.07% | 1,547 | 0.31% | (290) | -0.04% |
| 非金融資產減損損失 | 0 | 0% | 19,242 | 0.63% | 11,893 | 0.83% | 34,953 | 2.46% | 13,861 | 0.71% | 5,395 | 0.58% | 12,149 | 2.41% | 23,782 | 2.92% |
| 其他項目 | (786) | -0.04% | (1,874) | -0.06% | 13 | 0% | (313) | -0.02% | (830) | -0.04% | (32) | 0% | ||||
| 收益費損項目合計 | 557,552 | 27.3% | 535,338 | 17.5% | 820,305 | 57.41% | 735,797 | 51.85% | 462,677 | 23.72% | 477,408 | 51.45% | 544,912 | 108.28% | 398,847 | 49.02% |
| 與營業活動相關之資產/負債變動數 | ||||||||||||||||
| 與營業活動相關之資產之淨變動 | ||||||||||||||||
| 強制透過損益按公允價值衡量之金融資產(增加)減少 | 210,807 | 10.32% | 1,081,733 | 35.36% | (107,675) | -7.54% | (72,820) | -5.13% | 532,088 | 27.28% | 56,298 | 6.07% | 0 | 0% | 132,016 | 16.23% |
| 應收帳款(增加)減少 | (262,433) | -12.85% | 84,959 | 2.78% | (187,642) | -13.13% | (278,829) | -19.65% | (138,866) | -7.12% | (158,013) | -17.03% | (66,228) | -13.16% | (108,852) | -13.38% |
| 其他應收款(增加)減少 | (14,321) | -0.7% | (366) | -0.01% | (15,647) | -1.1% | (10,760) | -0.76% | (28,140) | -1.44% | (12,065) | -1.3% | 174 | 0.03% | (5,909) | -0.73% |
| 存貨(增加)減少 | (119,182) | -5.84% | (197,706) | -6.46% | (43,160) | -3.02% | (83,937) | -5.91% | (115,753) | -5.93% | 18,717 | 2.02% | 115,265 | 22.9% | (355,142) | -43.65% |
| 預付款項(增加)減少 | (4,918) | -0.24% | (10,543) | -0.34% | (74,013) | -5.18% | (9,506) | -0.67% | (15,590) | -0.8% | (41,899) | -4.52% | (8,696) | -1.73% | 3,198 | 0.39% |
| 其他流動資產(增加)減少 | (37,435) | -1.83% | (13,359) | -0.44% | (23,898) | -1.67% | (9,751) | -0.69% | (9,092) | -0.47% | (3,568) | -0.38% | 8,211 | 1.63% | (1,046) | -0.13% |
| 與營業活動相關之資產之淨變動合計 | (227,482) | -11.14% | 944,718 | 30.89% | (452,035) | -31.64% | (465,603) | -32.81% | 224,647 | 11.52% | (140,530) | -15.14% | 48,726 | 9.68% | (335,735) | -41.26% |
| 與營業活動相關之負債之淨變動 | ||||||||||||||||
| 合約負債增加(減少) | 13,386 | 0.66% | 19,312 | 0.63% | 48,996 | 3.43% | 31,335 | 2.21% | 4,476 | 0.23% | 28,396 | 3.06% | (76,251) | -15.15% | (10,019) | -1.23% |
| 應付票據增加(減少) | (657) | -0.03% | 3,199 | 0.1% | (3,144) | -0.22% | (1,171) | -0.08% | 583 | 0.03% | (3,203) | -0.35% | 357 | 0.07% | (2,539) | -0.31% |
| 應付帳款增加(減少) | 93,352 | 4.57% | (36,442) | -1.19% | 35,563 | 2.49% | (597) | -0.04% | 67,778 | 3.47% | 38,061 | 4.1% | (23,476) | -4.66% | 37,339 | 4.59% |
| 其他應付款增加(減少) | 229,815 | 11.25% | 224,642 | 7.34% | 14,684 | 1.03% | 47,088 | 3.32% | 347,228 | 17.8% | 74,417 | 8.02% | (105,274) | -20.92% | 182,275 | 22.4% |
| 負債準備增加(減少) | 3,600 | 0.18% | ||||||||||||||
| 其他流動負債增加(減少) | 39,932 | 1.96% | 36,453 | 1.19% | (21,101) | -1.48% | 42,818 | 3.02% | (18,346) | -0.94% | 16,013 | 1.73% | 21,602 | 4.29% | 56,677 | 6.97% |
| 與營業活動相關之負債之淨變動合計 | 379,428 | 18.58% | 247,164 | 8.08% | 74,998 | 5.25% | 119,473 | 8.42% | 401,719 | 20.59% | 153,684 | 16.56% | (183,042) | -36.37% | 263,733 | 32.41% |
| 與營業活動相關之資產及負債之淨變動合計 | 151,946 | 7.44% | 1,191,882 | 38.97% | (377,037) | -26.39% | (346,130) | -24.39% | 626,366 | 32.11% | 13,154 | 1.42% | (134,316) | -26.69% | (72,002) | -8.85% |
| 調整項目合計 | 709,498 | 34.74% | 1,727,220 | 56.47% | 443,268 | 31.03% | 389,667 | 27.46% | 1,089,043 | 55.83% | 490,562 | 52.87% | 410,596 | 81.59% | 326,845 | 40.17% |
| 營運產生之現金流入(流出) | 2,180,363 | 106.75% | 3,377,249 | 110.41% | 1,742,973 | 121.99% | 1,705,503 | 120.18% | 2,101,484 | 107.74% | 1,001,874 | 107.97% | 781,933 | 155.37% | 873,913 | 107.41% |
| 收取之利息 | 32,016 | 1.57% | 21,379 | 0.7% | 10,972 | 0.77% | 4,721 | 0.33% | 3,350 | 0.17% | 3,257 | 0.35% | 3,855 | 0.77% | 3,945 | 0.48% |
| 支付之利息 | (36,865) | -1.8% | (44,715) | -1.46% | (26,064) | -1.82% | (9,925) | -0.7% | (1,878) | -0.1% | (1,720) | -0.19% | (16,863) | -3.35% | (5,590) | -0.69% |
| 退還(支付)之所得稅 | (132,997) | -6.51% | (295,119) | -9.65% | (299,147) | -20.94% | (281,172) | -19.81% | (152,388) | -7.81% | (75,503) | -8.14% | (265,668) | -52.79% | (58,620) | -7.2% |
| 營業活動之淨現金流入(流出) | 2,042,517 | 100% | 3,058,794 | 100% | 1,428,734 | 100% | 1,419,127 | 100% | 1,950,568 | 100% | 927,908 | 100% | 503,257 | 100% | 813,648 | 100% |
| 投資活動之現金流量 | ||||||||||||||||
| 取得透過其他綜合損益按公允價值衡量之金融資產 | (50,880) | 2.7% | ||||||||||||||
| 取得按攤銷後成本衡量之金融資產 | (691,469) | 36.76% | 1,093,300 | -54.07% | (2,077,412) | 78.39% | 0 | 0% | (200,000) | 43.91% | 75,281 | -6.52% | (117,864) | 7.05% | ||
| 取得不動產、廠房及設備 | (1,109,035) | 58.96% | (3,002,775) | 148.51% | (471,535) | 17.79% | (1,267,226) | 98.91% | (1,333,911) | 99.69% | (249,958) | 54.87% | (1,230,644) | 106.63% | (1,552,304) | 92.89% |
| 處分不動產、廠房及設備 | 76 | 0% | 30 | 0% | 23 | 0% | 180 | -0.01% | 178 | -0.01% | 634 | -0.14% | 16 | 0% | 290 | -0.02% |
| 存出保證金減少 | (980) | 0.05% | 13,365 | -0.66% | 5,415 | -0.2% | 1,270 | -0.1% | 4,736 | -0.35% | (3,780) | 0.83% | 4,779 | -0.41% | 1,241 | -0.07% |
| 取得無形資產 | (28,810) | 1.53% | (13,314) | 0.66% | (4,043) | 0.15% | (15,478) | 1.21% | (9,083) | 0.68% | (2,422) | 0.53% | (3,596) | 0.31% | (2,403) | 0.14% |
| 取得使用權資產 | 0 | 0% | (112,584) | 5.57% | (82,574) | 3.12% | 0 | 0 | 0 | 0 | 0 | |||||
| 投資活動之淨現金流入(流出) | (1,881,098) | 100% | (2,021,978) | 100% | (2,650,126) | 100% | (1,281,254) | 100% | (1,338,080) | 100% | (455,526) | 100% | (1,154,164) | 100% | (1,671,040) | 100% |
| 籌資活動之現金流量 | ||||||||||||||||
| 短期借款增加 | 528,926 | -112.72% | (240,076) | 25.53% | 186,974 | 10.71% | (90,256) | 17.22% | 26,830 | -12.54% | 132,248 | -91.58% | 335,091 | 35.45% | 281,161 | 29.96% |
| 舉借長期借款 | 0 | 0% | 193,700 | -20.6% | 0 | 0% | 219,000 | -41.79% | 123,580 | -57.74% | 5,000 | -3.46% | 1,100,000 | 116.38% | 700,000 | 74.6% |
| 償還長期借款 | (102,188) | 21.78% | (53,023) | 5.64% | (108,228) | -6.2% | 0 | 0% | (525,000) | -55.54% | (44,250) | -4.72% | ||||
| 存入保證金增加 | 31 | -0.01% | 2,396 | -0.25% | 24 | 0% | 475 | -0.09% | (80) | 0.04% | (132) | 0.09% | (1,297) | -0.14% | 1,477 | 0.16% |
| 租賃本金償還 | (29,009) | 6.18% | (55,869) | 5.94% | (105,774) | -6.06% | (80,759) | 15.41% | (36,840) | 17.21% | (106,524) | 73.77% | (101,601) | -10.75% | ||
| 發放現金股利 | (858,000) | 182.85% | (787,342) | 83.74% | (707,500) | -40.53% | (595,000) | 113.54% | (350,000) | 163.54% | (175,000) | 121.18% | (90,000) | -9.52% | 0 | 0% |
| 非控制權益變動 | (9,000) | 1.92% | 0 | 0% | 22,500 | -4.29% | 22,500 | -10.51% | ||||||||
| 籌資活動之淨現金流入(流出) | (469,240) | 100% | (940,214) | 100% | 1,745,496 | 100% | (524,040) | 100% | (214,010) | 100% | (144,408) | 100% | 945,193 | 100% | 938,388 | 100% |
| 匯率變動對現金及約當現金之影響 | (40,073) | 13,059 | (4,935) | 10,234 | (8,573) | (605) | (818) | (1,588) | ||||||||
| 本期現金及約當現金增加(減少)數 | (347,894) | 109,661 | 519,169 | (375,933) | 389,905 | 327,369 | 293,468 | 79,408 | ||||||||
| 期初現金及約當現金餘額 | 2,002,176 | 1,500,502 | 1,846,120 | 1,848,965 | 1,246,001 | 812,807 | 429,999 | 585,268 | ||||||||
| 期末現金及約當現金餘額 | 1,654,282 | 1,610,163 | 2,365,289 | 1,473,032 | 1,635,906 | 1,140,176 | 723,467 | 664,676 | ||||||||
| 資產負債表帳列之現金及約當現金 | 1,654,282 | 1,610,163 | 2,365,289 | 1,473,032 | 1,635,906 | 1,140,176 | 723,467 | 664,676 | ||||||||
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。
營業活動之現金流
晶碩(6491) 2025年第3季「營業活動之現金流」單季為NT$7.45億元、較上一季成長154.41%;而今年初至今累積為NT$20.43億元、較去年同期衰退-33.22%。
單季
晶碩(6491) 最新公布的2025年第3季財報中,本季新增之「營業活動之現金流」為NT$7.45億元,較上一季成長154.41%,為過去11年同期中的第4高。
同時晶碩過去3年、5年與10年的「第3季營業活動之現金流年化成長率」分別為14.08%、16.99%與--。
其中稅前淨利為NT$5.05億元,收益費損相關之調整項目為NT$1.99億元,所得稅/利息等之影響數為NT$-3,276萬元
今年初累積至今
今年前9個月營業活動之現金流累積為NT$20.43億元,較去年同期衰退-33.22%,為過去11年同期中的第2高。
同時晶碩過去3年、5年與10年的「前9個月營業活動之現金流年化成長率」分別為12.91%、17.09%與--。
其中稅前淨利為NT$14.71億元,收益費損相關之調整項目為NT$5.58億元,所得稅/利息等之影響數為NT$-1.38億元
營業活動之現金流-今年初累積至今
| (TWD千元) | 2025年第三季 | 2024年第三季 | 2023年第三季 | 2022年第三季 | 2021年第三季 | 2020年第三季 | 2019年第三季 | 2018年第三季 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 繼續營業單位稅前淨利(淨損) | 505,236 | 26.75% | 518,447 | 31.25% | 457,506 | 27.28% | 487,474 | 29.69% | 420,100 | 27.76% | 235,994 | 23.4% | 134,508 | 15.71% | 242,198 | |
| 收益費損項目合計 | 199,246 | 174,043 | 315,840 | 263,311 | 183,867 | 157,490 | 179,695 | |||||||||
| 折舊費用 | 186,419 | 167,487 | 229,199 | 238,486 | 172,815 | 149,731 | 171,622 | |||||||||
| 攤銷費用 | 6,014 | 4,969 | 3,378 | 2,303 | 1,179 | 729 | 483 | |||||||||
| 與營業活動相關之資產及負債之淨變動合計 | 73,133 | 1,244,233 | 219,388 | (80,926) | 230,465 | 9,253 | (28,811) | |||||||||
| 營業活動之淨現金流入(流出) | 744,857 | 1,717,480 | 780,648 | 501,666 | 750,725 | 339,818 | 187,439 | |||||||||
營業活動之現金流-今年初累積至今
| (TWD千元) | 2025年前9個月 | 2024年前9個月 | 2023年前9個月 | 2022年前9個月 | 2021年前9個月 | 2020年前9個月 | 2019年前9個月 | 2018年前9個月 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 繼續營業單位稅前淨利(淨損) | 1,470,865 | 28.79% | 1,650,029 | 32.85% | 1,299,705 | 27.35% | 1,315,836 | 28.95% | 1,012,441 | 25.06% | 511,312 | 19.93% | 371,337 | 15.76% | 547,068 | |
| 收益費損項目合計 | 557,552 | 27.3% | 535,338 | 17.5% | 820,305 | 57.41% | 735,797 | 51.85% | 462,677 | 23.72% | 477,408 | 51.45% | 544,912 | 108.28% | 398,847 | |
| 折舊費用 | 539,030 | 26.39% | 542,756 | 17.74% | 704,327 | 49.3% | 684,494 | 48.23% | 446,422 | 22.89% | 469,201 | 50.57% | 514,225 | 102.18% | 371,469 | |
| 攤銷費用 | 17,246 | 0.84% | 13,116 | 0.43% | 10,240 | 0.72% | 6,020 | 0.42% | 2,739 | 0.14% | 2,111 | 0.23% | 1,212 | 0.24% | 924 | |
| 與營業活動相關之資產及負債之淨變動合計 | 151,946 | 7.44% | 1,191,882 | 38.97% | (377,037) | -26.39% | (346,130) | -24.39% | 626,366 | 32.11% | 13,154 | 1.42% | (134,316) | -26.69% | (72,002) | |
| 營業活動之淨現金流入(流出) | 2,042,517 | 100% | 3,058,794 | 100% | 1,428,734 | 100% | 1,419,127 | 100% | 1,950,568 | 100% | 927,908 | 100% | 503,257 | 100% | 813,648 | |
投資活動之淨現金流
晶碩(6491) 2025年第3季「投資活動之淨現金流」單季為NT$6,767萬元、較上一季成長112.89%;而今年初至今累積為NT$-18.81億元、較去年同期成長6.97%。
單季
晶碩(6491) 最新公布的2025年第3季財報中,本季新增之「投資活動之淨現金流」為NT$6,767萬元,較上一季成長112.89%,為過去11年同期中的第1高。
今年初累積至今
今年前9個月投資活動之淨現金流累積為NT$-18.81億元,較去年同期成長6.97%,為過去11年同期中的第6高。
投資活動之淨現金流-今年初累積至今
| (TWD千元) | 2025年第三季 | 2024年第三季 | 2023年第三季 | 2022年第三季 | 2021年第三季 | 2020年第三季 | 2019年第三季 | 2018年第三季 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 投資活動之淨現金流入(流出) | 67,672 | (611,030) | (1,720,289) | (181,816) | (663,236) | (104,450) | (103,911) | |||||||||
| 取得不動產、廠房及設備 | (323,733) | (263,142) | (173,405) | (171,768) | (657,856) | (101,772) | (101,841) | |||||||||
| 處分不動產、廠房及設備 | 19 | 0 | 0 | 51 | 0 | 134 | 0 | |||||||||
| 取得無形資產 | (4,816) | (2,331) | 0 | (9,873) | (5,542) | (1,526) | (2,086) | |||||||||
| 處分無形資產 | ||||||||||||||||
| 取得透過損益按公允價值衡量之金融資產 | ||||||||||||||||
| 處分透過損益按公允價值衡量之金融資產 | ||||||||||||||||
| 取得透過其他綜合損益按公允價值衡量之金融資產 | 0 | |||||||||||||||
| 處分透過其他綜合損益按公允價值衡量之金融資產 | ||||||||||||||||
| 取得按攤銷後成本衡量之金融資產 | 397,858 | (343,811) | (1,443,412) | 0 | 0 | 0 | ||||||||||
| 處分按攤銷後成本衡量之金融資產 | ||||||||||||||||
| 按攤銷後成本衡量之金融資產到期還本 | ||||||||||||||||
投資活動之淨現金流-今年初累積至今
| (TWD千元) | 2025年前9個月 | 2024年前9個月 | 2023年前9個月 | 2022年前9個月 | 2021年前9個月 | 2020年前9個月 | 2019年前9個月 | 2018年前9個月 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 投資活動之淨現金流入(流出) | (1,881,098) | 100% | (2,021,978) | 100% | (2,650,126) | 100% | (1,281,254) | 100% | (1,338,080) | 100% | (455,526) | 100% | (1,154,164) | 100% | (1,671,040) | |
| 取得不動產、廠房及設備 | (1,109,035) | 58.96% | (3,002,775) | 148.51% | (471,535) | 17.79% | (1,267,226) | 98.91% | (1,333,911) | 99.69% | (249,958) | 54.87% | (1,230,644) | 106.63% | (1,552,304) | |
| 處分不動產、廠房及設備 | 76 | 0% | 30 | 0% | 23 | 0% | 180 | -0.01% | 178 | -0.01% | 634 | -0.14% | 16 | 0% | 290 | |
| 取得無形資產 | (28,810) | 1.53% | (13,314) | 0.66% | (4,043) | 0.15% | (15,478) | 1.21% | (9,083) | 0.68% | (2,422) | 0.53% | (3,596) | 0.31% | (2,403) | |
| 處分無形資產 | ||||||||||||||||
| 取得透過損益按公允價值衡量之金融資產 | ||||||||||||||||
| 處分透過損益按公允價值衡量之金融資產 | ||||||||||||||||
| 取得透過其他綜合損益按公允價值衡量之金融資產 | (50,880) | 2.7% | ||||||||||||||
| 處分透過其他綜合損益按公允價值衡量之金融資產 | ||||||||||||||||
| 取得按攤銷後成本衡量之金融資產 | (691,469) | 36.76% | 1,093,300 | -54.07% | (2,077,412) | 78.39% | 0 | 0% | (200,000) | 43.91% | 75,281 | -6.52% | (117,864) | |||
| 處分按攤銷後成本衡量之金融資產 | ||||||||||||||||
| 按攤銷後成本衡量之金融資產到期還本 | ||||||||||||||||
籌資活動之淨現金流
晶碩(6491) 2025年第3季「籌資活動之淨現金流」單季為NT$-6.75億元、較上一季衰退-266.08%;而今年初至今累積為NT$-4.69億元、較去年同期成長50.09%。
單季
晶碩(6491) 最新公布的2025年第3季財報中,本季新增之「籌資活動之淨現金流」為NT$-6.75億元,較上一季衰退-266.08%,為過去11年同期中的第7高。
今年初累積至今
今年前9個月籌資活動之淨現金流累積為NT$-4.69億元,較去年同期成長50.09%,為過去11年同期中的第6高。
籌資活動之淨現金流-今年初累積至今
| (TWD千元) | 2025年第三季 | 2024年第三季 | 2023年第三季 | 2022年第三季 | 2021年第三季 | 2020年第三季 | 2019年第三季 | 2018年第三季 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 籌資活動之淨現金流入(流出) | (675,123) | (560,900) | 2,273,392 | (806,656) | (145,668) | (125,419) | 251,030 | |||||||||
| 短期借款增加 | 238,812 | 191,216 | (169,711) | (196,297) | 110,839 | 79,710 | 272,209 | |||||||||
| 短期借款減少 | ||||||||||||||||
| 發行公司債 | ||||||||||||||||
| 償還公司債 | ||||||||||||||||
| 舉借長期借款 | 0 | 89,520 | 0 | 0 | 83,580 | 0 | 100,000 | |||||||||
| 償還長期借款 | (36,994) | (44,189) | (2,322) | 0 | (225,000) | |||||||||||
| 發放現金股利 | (858,000) | (787,342) | 0 | (595,000) | (350,000) | (175,000) | (90,000) | |||||||||
| 庫藏股票買回成本 | ||||||||||||||||
籌資活動之淨現金流-今年初累積至今
| (TWD千元) | 2025年前9個月 | 2024年前9個月 | 2023年前9個月 | 2022年前9個月 | 2021年前9個月 | 2020年前9個月 | 2019年前9個月 | 2018年前9個月 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | 金額 | % | |
| 籌資活動之淨現金流入(流出) | (469,240) | 100% | (940,214) | 100% | 1,745,496 | 100% | (524,040) | 100% | (214,010) | 100% | (144,408) | 100% | 945,193 | 100% | 938,388 | |
| 短期借款增加 | 528,926 | -112.72% | (240,076) | 25.53% | 186,974 | 10.71% | (90,256) | 17.22% | 26,830 | -12.54% | 132,248 | -91.58% | 335,091 | 35.45% | 281,161 | |
| 短期借款減少 | ||||||||||||||||
| 發行公司債 | ||||||||||||||||
| 償還公司債 | ||||||||||||||||
| 舉借長期借款 | 0 | 0% | 193,700 | -20.6% | 0 | 0% | 219,000 | -41.79% | 123,580 | -57.74% | 5,000 | -3.46% | 1,100,000 | 116.38% | 700,000 | |
| 償還長期借款 | (102,188) | 21.78% | (53,023) | 5.64% | (108,228) | -6.2% | 0 | 0% | (525,000) | -55.54% | (44,250) | |||||
| 發放現金股利 | (858,000) | 182.85% | (787,342) | 83.74% | (707,500) | -40.53% | (595,000) | 113.54% | (350,000) | 163.54% | (175,000) | 121.18% | (90,000) | -9.52% | 0 | |
| 庫藏股票買回成本 | ||||||||||||||||
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