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日盛台駿-資產負債表

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資產負債表

合併資產負債表

(TWD千元)截至2025/03/31截至2024/12/31截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/06/30截至2021/12/31
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
資產
流動資產
現金及約當現金4,992,4095.46%2,971,3323.24%3,452,9813.69%2,687,4542.89%2,969,9913.32%2,163,3932.49%2,112,8252.5%2,330,0592.94%2,406,8153.17%2,871,6893.77%1,487,0853.04%1,143,2162.49%
透過損益按公允價值衡量之金融資產-流動1,7300%1,9100%00%14,4310.02%6,3790.01%6290%3,7640%2,2280%5,2610.01%6,1540.01%5790%00%
透過其他綜合損益按公允價值衡量之金融資產-流動322,1630.35%146,2380.16%161,2790.17%176,8410.19%172,4260.19%177,3970.2%182,7190.22%193,3710.24%198,7140.26%196,3990.26%3,8160.01%4,7420.01%
按攤銷後成本衡量之金融資產-流動783,0000.86%653,0000.71%303,0000.32%3,0000%22,9600.03%22,9600.03%3,0000%3,0000%3,0000%3,0000%3,0000.01%6,2810.01%
應收票據淨額55,747,93360.97%59,188,66264.56%60,230,83164.44%61,294,85365.82%59,283,96966.2%57,581,28966.34%58,990,83469.76%54,074,99668.17%48,997,03664.45%52,055,34268.33%31,348,75464.09%28,506,66862.13%
其他應收款588,1910.64%282,7890.31%312,5380.33%323,5790.35%303,3770.34%257,7650.3%376,6380.45%301,6850.38%224,8200.3%217,1190.28%251,8910.52%224,3880.49%
本期所得稅資產85,7470.09%78,9630.09%92,4810.1%90,5830.1%55,6360.06%51,9910.06%48,4300.06%25,0210.03%22,0010.03%18,9710.02%15,6810.03%11,3910.02%
存貨0000000000%000%00%
預付款項0000000000%000%00%
其他流動資產1,929,5592.11%1,721,3461.88%2,405,5572.57%2,131,5142.29%1,942,5832.17%2,155,2692.48%2,054,6922.43%2,330,5692.94%1,963,2262.58%1,973,8732.59%1,190,5822.43%1,402,1913.06%
其他金融資產-流動1,495,7191.64%1,322,4351.44%1,836,6831.97%1,577,7441.69%1,407,0291.57%1,610,8431.86%1,608,3571.9%1,916,6412.42%1,575,5742.07%1,582,5412.08%847,8861.73%804,4821.75%
其他流動資產-其他433,8400.47%398,9110.44%568,8740.61%553,7700.59%535,5540.6%544,4260.63%446,3350.53%413,9280.52%387,6520.51%391,3320.51%342,6960.7%597,7091.3%
流動資產合計64,450,73270.49%65,044,24070.95%66,958,66771.64%66,722,25571.65%64,757,32172.31%62,410,69371.9%63,772,90275.41%59,260,92974.71%53,820,87370.79%57,342,54775.27%34,301,38870.13%31,298,87768.22%
非流動資產
透過損益按公允價值衡量之金融資產-非流動55,8600.06%55,2970.06%26,8350.03%26,3730.03%26,1530.03%25,6730.03%26,1950.03%25,4060.03%26,2900.03%26,1530.03%00%00%
透過其他綜合損益按公允價值衡量之金融資產-非流動00%201,1220.22%185,2320.2%185,2320.2%177,0600.2%177,0600.2%151,6360.18%151,6360.19%144,3720.19%144,3720.19%157,0840.32%192,4960.42%
採用權益法之投資489,8470.54%168,3090.18%202,3240.22%199,2860.21%200,1610.22%00%
不動產、廠房及設備11,623,57312.71%11,376,41912.41%11,243,97212.03%11,182,15912.01%10,595,57111.83%10,579,52112.19%10,302,83812.18%10,156,33112.8%9,725,01712.79%9,690,96412.72%9,355,53219.13%9,327,27220.33%
使用權資產134,2730.15%140,9980.15%151,1640.16%156,9700.17%171,0890.19%172,9350.2%161,6820.19%166,8440.21%140,6190.18%153,7340.2%78,9580.16%76,8310.17%
投資性不動產淨額562,4920.62%562,9960.61%563,4990.6%564,0030.61%6,0170.01%6,0580.01%6,0990.01%6,1410.01%6,1820.01%00%17,6700.04%509,6351.11%
無形資產3,677,7944.02%3,662,9434%3,664,1563.92%3,662,7343.93%3,664,5714.09%3,660,4244.22%3,638,0334.3%3,638,9504.59%3,639,5834.79%3,639,9754.78%6,3910.01%7080%
商譽3,215,1433.52%3,199,7943.49%3,199,7943.42%3,199,7943.44%3,199,7943.57%3,199,7943.69%3,199,7943.78%3,199,7944.03%3,199,7944.21%3,199,7944.2%00%00%
其他無形資產淨額462,6510.51%463,1490.51%464,3620.5%462,9400.5%464,7770.52%460,6300.53%438,2390.52%439,1560.55%439,7890.58%440,1810.58%6,3910.01%7080%
遞延所得稅資產747,9060.82%656,7320.72%638,9540.68%604,0360.65%568,6400.64%507,3100.58%424,2130.5%359,4900.45%310,6160.41%290,2590.38%79,6920.16%94,9730.21%
其他非流動資產9,688,54510.6%9,811,83210.7%9,826,80010.51%9,816,09410.54%9,382,94610.48%9,260,62710.67%6,082,0197.19%5,556,4007%8,211,22910.8%4,895,5026.43%4,913,47910.05%4,380,4809.55%
長期應收票據及款項9,490,46810.38%9,605,26910.48%9,668,24310.34%9,661,38910.38%9,240,05310.32%9,115,43410.5%5,938,1377.02%5,394,6006.8%8,089,30610.64%4,818,3306.32%4,850,3219.92%4,303,6669.38%
其他非流動資產-其他198,0770.22%206,5630.23%158,5570.17%154,7050.17%142,8930.16%145,1930.17%143,8820.17%161,8000.2%121,9230.16%77,1720.1%63,1580.13%76,8140.17%
非流動資產合計26,980,29029.51%26,636,64829.05%26,502,93628.36%26,396,88728.35%24,792,20827.69%24,389,60828.1%20,792,71524.59%20,061,19825.29%22,203,90829.21%18,840,95924.73%14,608,80629.87%14,582,39531.78%
資產總計91,431,022100%91,680,888100%93,461,603100%93,119,142100%89,549,529100%86,800,301100%84,565,617100%79,322,127100%76,024,781100%76,183,506100%48,910,194100%45,881,272100%
負債及權益
負債
流動負債
短期借款16,213,57517.73%14,436,38515.75%13,789,83014.75%13,008,21713.97%12,467,84513.92%11,443,32113.18%10,995,69913%12,873,09916.23%13,634,65817.93%15,557,94720.42%8,707,67917.8%9,048,42019.72%
應付短期票券9,635,74710.54%9,442,02310.3%10,272,88410.99%8,388,7629.01%7,841,2658.76%9,503,67810.95%9,233,39310.92%5,586,7897.04%5,070,6116.67%3,637,7324.77%5,599,08011.45%5,545,04112.09%
透過損益按公允價值衡量之金融負債-流動4,8210.01%3,8710%00%00%00%00%23,1310.03%19,4750.03%20,2530.04%19,4770.04%
應付票據306,7330.34%353,9560.39%536,1740.57%797,3710.86%713,0400.8%482,2040.56%758,3030.9%804,0051.01%549,8030.72%536,3860.7%310,5780.63%413,9950.9%
其他應付款877,1430.96%737,6430.8%470,4320.5%810,7940.87%455,1670.51%549,8090.63%466,0260.55%418,9410.53%1,221,2751.61%643,7310.84%690,2321.41%345,9790.75%
本期所得稅負債198,8880.22%193,6070.21%155,0050.17%121,1450.13%175,4110.2%106,4230.12%96,5240.11%60,0170.08%151,7560.2%194,7110.26%68,4050.14%42,2510.09%
負債準備-流動1,7180%1,1440%
租賃負債-流動66,3960.07%75,1680.08%77,8290.08%75,6940.08%79,9790.09%76,3340.09%71,2060.08%70,3730.09%65,7170.09%92,2220.12%64,5100.13%58,8500.13%
其他流動負債41,236,07445.1%42,980,97546.88%42,996,42546%45,684,00749.06%40,457,21045.18%42,530,35849%41,743,33049.36%35,570,17344.84%31,082,62140.88%29,896,92739.24%20,847,34742.62%20,107,41643.82%
一年或一營業週期內到期長期負債34,997,19938.28%36,564,14939.88%36,438,73738.99%39,192,74842.09%34,023,73137.99%36,217,29441.72%35,371,87141.83%29,340,36136.99%25,183,98333.13%23,974,93231.47%16,896,84934.55%16,481,99735.92%
其他流動負債-其他6,238,8756.82%6,416,8267%6,557,6887.02%6,491,2596.97%6,433,4797.18%6,313,0647.27%6,371,4597.53%6,229,8127.85%5,898,6387.76%5,921,9957.77%3,950,4988.08%3,625,4197.9%
流動負債合計68,541,09574.96%68,224,77274.42%68,298,57973.08%68,885,99073.98%62,189,91769.45%64,692,12774.53%63,364,48174.93%55,383,39769.82%51,799,57268.14%50,579,13166.39%36,308,08474.23%35,581,42977.55%
非流動負債
應付公司債0000000000%000%00%
長期借款8,697,4289.51%9,321,23110.17%10,777,96011.53%10,893,92111.7%14,136,55215.79%9,074,08910.45%8,311,5609.83%11,528,28714.53%12,121,11015.94%13,247,45917.39%7,016,26114.35%4,785,30010.43%
負債準備-非流動17,8430.02%5,9060.01%
遞延所得稅負債1,282,2951.4%1,259,7011.37%1,322,4211.41%1,275,7731.37%1,207,7901.35%1,145,1281.32%1,089,0091.29%1,018,2091.28%936,0371.23%856,0391.12%696,8501.42%638,7851.39%
租賃負債-非流動71,3850.08%71,4450.08%78,2010.08%86,1170.09%99,8220.11%105,6990.12%99,3410.12%106,3020.13%82,6960.11%69,9600.09%15,4130.03%19,5840.04%
其他非流動負債2,384,1292.61%2,382,2562.6%2,487,6982.66%2,457,7562.64%2,437,4792.72%2,499,0262.88%2,355,4202.79%2,208,8672.78%2,042,6292.69%1,892,9602.48%1,790,6263.66%1,757,6173.83%
淨確定福利負債-非流動14,6720.02%14,7440.02%15,4160.02%15,4960.02%15,5760.02%16,2420.02%9,6230.01%9,7130.01%9,7610.01%9,9390.01%14,3070.03%14,5010.03%
存入保證金2,369,4572.59%2,367,5122.58%2,472,2822.65%2,442,2602.62%2,421,9032.7%2,482,7842.86%2,345,7972.77%2,199,1542.77%2,032,8682.67%1,883,0212.47%1,776,3193.63%1,743,1163.8%
非流動負債合計12,453,08013.62%13,040,53914.22%14,666,28015.69%14,713,56715.8%17,881,64319.97%12,823,94214.77%11,855,33014.02%14,861,66518.74%15,182,47219.97%16,066,41821.09%9,519,15019.46%7,201,28615.7%
負債總計80,994,17588.59%81,265,31188.64%82,964,85988.77%83,599,55789.78%80,071,56089.42%77,516,06989.3%75,219,81188.95%70,245,06288.56%66,982,04488.11%66,645,54987.48%45,827,23493.7%42,782,71593.25%
權益
歸屬於母公司業主之權益
股本
普通股股本3,734,1614.08%3,734,1614.07%3,734,1614%3,511,9313.77%3,511,9313.92%3,511,9314.05%3,511,9314.15%3,511,9314.43%3,511,9314.62%3,511,9314.61%1,950,0003.99%1,950,0004.25%
特別股股本0000000000%000%00%
股本合計3,734,1614.08%3,734,1614.07%3,734,1614%3,511,9313.77%3,511,9313.92%3,511,9314.05%3,511,9314.15%3,511,9314.43%3,511,9314.62%3,511,9314.61%1,950,0003.99%1,950,0004.25%
資本公積
資本公積-發行溢價5,219,3275.71%5,215,7535.69%5,215,0395.58%4,734,6645.08%4,731,5635.28%4,726,9315.45%4,723,8065.59%4,719,5875.95%4,715,3696.2%4,714,9156.19%78,2270.16%78,2270.17%
資本公積-特別股股票溢價0000000000%000%00%
資本公積合計5,219,3275.71%5,215,7535.69%5,215,0395.58%4,734,6645.08%4,731,5635.28%4,726,9315.45%4,723,8065.59%4,719,5875.95%4,715,3696.2%4,714,9156.19%78,2270.16%78,2270.17%
保留盈餘
法定盈餘公積409,9250.45%409,9250.45%409,9250.44%409,9250.44%359,1180.4%359,1180.41%359,1180.42%359,1180.45%359,1180.47%297,7780.39%297,7780.61%261,8420.57%
特別盈餘公積5,5240.01%5,5240.01%5,5240.01%5,5240.01%
未分配盈餘(或待彌補虧損)573,8800.63%690,7800.75%714,2420.76%566,3070.61%799,3060.89%691,7760.8%681,0210.81%551,1220.69%365,3260.48%947,4401.24%701,0631.43%759,9741.66%
保留盈餘合計989,3291.08%1,106,2291.21%1,129,6911.21%981,7561.05%1,158,4241.29%1,050,8941.21%1,040,1391.23%910,2401.15%724,4440.95%1,245,2181.63%998,8412.04%1,021,8162.23%
其他權益
國外營運機構財務報表換算之兌換差額236,0230.26%115,5170.13%174,9600.19%66,8030.07%23,5650.03%(62,981)-0.07%33,7300.04%(109,996)-0.14%47,6110.06%24,8260.03%2,6600.01%(41,056)-0.09%
透過其他綜合損益按公允價值衡量之金融資產未實現評價損益85,5130.09%78,9370.09%69,0360.07%65,0730.07%52,4860.06%57,4570.07%36,2000.04%45,3030.06%43,3820.06%41,0670.05%53,2320.11%89,5700.2%
其他權益合計321,5360.35%194,4540.21%243,9960.26%131,8760.14%76,0510.08%(5,524)-0.01%69,9300.08%(64,693)-0.08%90,9930.12%65,8930.09%55,8920.11%48,5140.11%
歸屬於母公司業主之權益合計10,264,35311.23%10,250,59711.18%10,322,88711.05%9,360,22710.05%9,477,96910.58%9,284,23210.7%9,345,80611.05%9,077,06511.44%9,042,73711.89%9,537,95712.52%3,082,9606.3%3,098,5576.75%
非控制權益172,4940.19%164,9800.18%173,8570.19%159,3580.17%000000%00%00%00%
權益總額10,436,84711.41%10,415,57711.36%10,496,74411.23%9,519,58510.22%9,477,96910.58%9,284,23210.7%9,345,80611.05%9,077,06511.44%9,042,73711.89%9,537,95712.52%3,082,9606.3%3,098,5576.75%
負債及權益總計91,431,022100%91,680,888100%93,461,603100%93,119,142100%89,549,529100%86,800,301100%84,565,617100%79,322,127100%76,024,781100%76,183,506100%48,910,194100%45,881,272100%
預收股款(權益項下)之約當發行股數00%00%00%00%00%00%00%00%00%00%00%00%
母公司暨子公司所持有之母公司庫藏股股數(單位:股)00%00%00%00%00%00%00%00%00%00%00%00%
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。

資產總額

日盛台駿(6958) 截至2024年第2季「資產總額」總計約為NT$931億元,相較上一季增加約NT$35.7億元、相較去年年末增加約NT$63.19億元
日盛台駿(6958) 2024年第2季財報顯示公司「資產總額」約NT$931億元;負債總額約NT$836億元、為資產總額的89.78%;權益總額約NT$95.2億元、為資產總額的10.22%。
對比上一季
上一季的(2024年第1季)「資產總額」則為NT$895億元;負債總額約NT$801億元、為資產總額的89.42%;權益總額約NT$94.78億元、為資產總額的10.58%。 今年第2季相較上一季「資產總額」增加約NT$35.7億元。
對比去年年末
去年年末的「資產總額」則為NT$868億元;負債總額約NT$775億元、為資產總額的89.3%;權益總額約NT$92.84億元、為資產總額的10.7%。 今年第2季相較去年年末「資產總額」增加約NT$63.19億元。
TWD千元截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/09/30截至2022/06/30截至2022/03/31截至2021/12/31截至2021/09/30截至2021/06/30截至2021/03/31截至2020/12/31截至2020/09/30截至2020/06/30截至2020/03/31截至2019/12/31截至2019/09/30截至2019/06/30截至2019/03/31截至2018/12/31截至2018/09/30截至2018/06/30截至2018/03/31截至2017/12/31截至2017/09/30截至2017/06/30截至2017/03/31截至2016/12/31截至2016/09/30截至2016/06/30截至2016/03/31截至2015/12/31截至2015/09/30截至2015/06/30截至2015/03/31截至2014/12/31截至2014/09/30
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%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%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
資產總額93,119,142100%89,549,529100%86,800,301100%84,565,617100%79,322,127100%76,183,506100%
負債總額83,599,55789.78%80,071,56089.42%77,516,06989.3%75,219,81188.95%70,245,06288.56%66,645,54987.48%
權益總額9,519,58510.22%9,477,96910.58%9,284,23210.7%9,345,80611.05%9,077,06511.44%9,537,95712.52%

流動資產

日盛台駿(6958) 截至2024年第2季「流動資產」總計約為NT$667億元,相較上一季增加約NT$19.65億元、相較去年年末增加約NT$43.12億元
日盛台駿(6958) 2024年第2季財報顯示公司「流動資產」總計約NT$667億元、約佔整體資產的71.65%。
對比上一季
上一季流動資產總計約NT$648億元、約佔整體資產的72.31%。今年第2季相較上一季增加約NT$19.65億元。
對比去年年末
去年年末流動資產則為NT$624億元、約佔整體資產的71.9%。今年第2季相較去年年末增加約NT$43.12億元。
TWD千元截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/09/30截至2022/06/30截至2022/03/31截至2021/12/31截至2021/09/30截至2021/06/30截至2021/03/31截至2020/12/31截至2020/09/30截至2020/06/30截至2020/03/31截至2019/12/31截至2019/09/30截至2019/06/30截至2019/03/31截至2018/12/31截至2018/09/30截至2018/06/30截至2018/03/31截至2017/12/31截至2017/09/30截至2017/06/30截至2017/03/31截至2016/12/31截至2016/09/30截至2016/06/30截至2016/03/31截至2015/12/31截至2015/09/30截至2015/06/30截至2015/03/31截至2014/12/31截至2014/09/30
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%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%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
流動資產66,722,25571.65%64,757,32172.31%62,410,69371.9%63,772,90275.41%59,260,92974.71%57,342,54775.27%

非流動資產

日盛台駿(6958) 截至2024年第2季「非流動資產」總計約為NT$264億元,相較上一季增加約NT$16.05億元、相較去年年末增加約NT$20.07億元
日盛台駿(6958) 2024年第2季財報顯示公司「非流動資產」總計約NT$264億元、約佔整體資產的28.35%。
對比上一季
上一季非流動資產總計約NT$248億元、約佔整體資產的27.69%。今年第2季相較上一季增加約NT$16.05億元。
對比去年年末
去年年末非流動資產則為NT$244億元、約佔整體資產的28.1%。今年第2季相較去年年末增加約NT$20.07億元。
TWD千元截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/09/30截至2022/06/30截至2022/03/31截至2021/12/31截至2021/09/30截至2021/06/30截至2021/03/31截至2020/12/31截至2020/09/30截至2020/06/30截至2020/03/31截至2019/12/31截至2019/09/30截至2019/06/30截至2019/03/31截至2018/12/31截至2018/09/30截至2018/06/30截至2018/03/31截至2017/12/31截至2017/09/30截至2017/06/30截至2017/03/31截至2016/12/31截至2016/09/30截至2016/06/30截至2016/03/31截至2015/12/31截至2015/09/30截至2015/06/30截至2015/03/31截至2014/12/31截至2014/09/30
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%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%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
非流動資產26,396,88728.35%24,792,20827.69%24,389,60828.1%20,792,71524.59%20,061,19825.29%18,840,95924.73%

流動負債

日盛台駿(6958) 截至2024年第2季「流動負債」總計約為NT$689億元,相較上一季增加約NT$66.96億元、相較去年年末增加約NT$41.94億元
日盛台駿(6958) 2024年第2季財報顯示公司「流動負債」總計約NT$689億元、約佔整體資產的73.98%。
對比上一季
上一季流動負債總計約NT$622億元、約佔整體資產的69.45%。今年第2季相較上一季增加約NT$66.96億元。
對比去年年末
去年年末流動負債則為NT$647億元、約佔整體資產的74.53%。今年第2季相較去年年末增加約NT$41.94億元。
TWD千元截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/09/30截至2022/06/30截至2022/03/31截至2021/12/31截至2021/09/30截至2021/06/30截至2021/03/31截至2020/12/31截至2020/09/30截至2020/06/30截至2020/03/31截至2019/12/31截至2019/09/30截至2019/06/30截至2019/03/31截至2018/12/31截至2018/09/30截至2018/06/30截至2018/03/31截至2017/12/31截至2017/09/30截至2017/06/30截至2017/03/31截至2016/12/31截至2016/09/30截至2016/06/30截至2016/03/31截至2015/12/31截至2015/09/30截至2015/06/30截至2015/03/31截至2014/12/31截至2014/09/30
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%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%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
流動負債68,885,99073.98%62,189,91769.45%64,692,12774.53%63,364,48174.93%55,383,39769.82%50,579,13166.39%

非流動負債

日盛台駿(6958) 截至2024年第2季「非流動負債」總計約為NT$147億元,相較上一季減少約NT$-31.68億元、相較去年年末增加約NT$18.9億元
日盛台駿(6958) 2024年第2季財報顯示公司「非流動負債」總計約NT$147億元、約佔整體資產的15.8%。
對比上一季
上一季非流動負債總計約NT$179億元、約佔整體資產的19.97%。今年第2季相較上一季減少約NT$-31.68億元。
對比去年年末
去年年末非流動負債則為NT$128億元、約佔整體資產的14.77%。今年第2季相較去年年末增加約NT$18.9億元。
TWD千元截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/09/30截至2022/06/30截至2022/03/31截至2021/12/31截至2021/09/30截至2021/06/30截至2021/03/31截至2020/12/31截至2020/09/30截至2020/06/30截至2020/03/31截至2019/12/31截至2019/09/30截至2019/06/30截至2019/03/31截至2018/12/31截至2018/09/30截至2018/06/30截至2018/03/31截至2017/12/31截至2017/09/30截至2017/06/30截至2017/03/31截至2016/12/31截至2016/09/30截至2016/06/30截至2016/03/31截至2015/12/31截至2015/09/30截至2015/06/30截至2015/03/31截至2014/12/31截至2014/09/30
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%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%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
非流動負債14,713,56715.8%17,881,64319.97%12,823,94214.77%11,855,33014.02%14,861,66518.74%16,066,41821.09%

權益

日盛台駿(6958) 截至2024年第2季「權益」總計約為NT$95.2億元,相較上一季增加約NT$4,162萬元、相較去年年末增加約NT$2.35億元
日盛台駿(6958) 2024年第2季財報顯示公司「權益」總計約NT$95.2億元、約佔整體資產的10.22%。
對比上一季
上一季權益總計約NT$94.78億元、約佔整體資產的10.58%。今年第2季相較上一季增加約NT$4,162萬元。
對比去年年末
去年年末權益則為NT$92.84億元、約佔整體資產的10.7%。今年第2季相較去年年末增加約NT$2.35億元。
TWD千元截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/09/30截至2022/06/30截至2022/03/31截至2021/12/31截至2021/09/30截至2021/06/30截至2021/03/31截至2020/12/31截至2020/09/30截至2020/06/30截至2020/03/31截至2019/12/31截至2019/09/30截至2019/06/30截至2019/03/31截至2018/12/31截至2018/09/30截至2018/06/30截至2018/03/31截至2017/12/31截至2017/09/30截至2017/06/30截至2017/03/31截至2016/12/31截至2016/09/30截至2016/06/30截至2016/03/31截至2015/12/31截至2015/09/30截至2015/06/30截至2015/03/31截至2014/12/31截至2014/09/30
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%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%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
權益9,519,58510.22%9,477,96910.58%9,284,23210.7%9,345,80611.05%9,077,06511.44%9,537,95712.52%
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