資產負債表僅顯示部份重要科目, 完整財報可參考這裡    玩股撇步(動畫小學堂)  

  • 現金是否充足, 是否沒有債務壓力. 現金和短期借款和一年內到期長期負債都很高的話要小心, 滿手現金卻不還債, 可能有問題
  • 應收帳款或存貨是否突然大幅增加, 留意應收帳款超過營收
  • 營收和獲利增加的速度要大於存貨和應收帳款的速度; 營收衰退, 應收帳款正常也要跟著減少
  • 營業活動負債: 因營業活動而產生, 如應付帳款, 應付票據, 合約負債等, 通常不需要支付利息. 此類型負債上升, 通常代表業績增加, 議價能力變好
  • 最容易被操弄的資產是應收帳款, 存貨和長期投資
  • 如果有資金貸予他人要注意
  • 非控制權益佔比: 非控制權益 / 股東權益總額, 如果這個值過大時要看個體報表, 不能只看合併報表
  • 圖表中的值是加一取對數, 目的是為了看趨勢
  • 還款急迫性 - 公司債 > 應付票據 > 銀行借款 > 應付員工 > 應付帳款/費用 > 其它
  • 如果未分配盈餘為負, 就算當年有獲利也沒法配息
  • 如果配息能力(未分配盈餘+其它權益)為負, 有可能會無法配息
資產負債表-近10年
現金及約當現金 YoY短期借款 YoY一年內到期長期負債 YoY資金貸予他人 YoY營收 YoY淨利 YoY應收帳款及票據 YoY應收帳款佔營收比(%) YoY存貨 YoY長期投資 YoY長期負債 YoY商譽及無形資產 YoY股本 YoY法定盈餘公積 YoY特別盈餘公積 YoY未分配盈餘 YoY保留盈餘 YoY其它權益 YoY配息能力 YoY非控制權益佔比 YoY
2023 (10)123.9940.558.1857.013.78-11.8900347.937.1337.4546.086.2420.4324.7912.4159.43-8.9916.197.0814.5-4.986.91-0.7260.991.0628.989.692.0-82.7987.3533.38118.3314.28-2.63084.7233.440.097.38
2022 (9)88.2252.55.213621.434.2950.000324.767.9525.65-39.9971.61-4.122.05-11.1665.3-14.0115.1210.9315.26-15.836.966.5860.350.9726.4219.4411.6270.3865.49-7.19103.544.06-2.0063.497.720.09-0.2
2021 (8)57.851.380.14-96.562.8658.8900300.848.0742.7465.8574.67-0.824.82-8.275.9439.5213.63-8.3418.13-6.166.53-4.9559.771.4422.1213.326.82-8.0970.5638.9899.528.04-11.62058.9434.110.09-10.23
2020 (7)57.063.94.07-27.061.8-19.2800278.383.2825.7721.0475.2718.3527.0414.5954.435.8714.87-2.4319.324.436.87-6.7858.921.0619.5212.187.4279.6650.779.1477.7114.2-6.82043.9512.40.10-4.5
2019 (6)54.926.05.58402.72.23-27.1200269.539.1521.29-3.7563.619.5723.609.5551.416.7915.24-7.4118.51.657.371.3858.30.6617.414.624.1329.8746.521.5768.056.06-7.42039.1-6.620.105.82
2018 (5)51.8116.691.11-69.673.062.000246.9411.2522.1215.8153.19-5.0521.54-14.6548.1414.416.467.4418.212.147.27495.957.921.3315.1814.393.181490.045.85.5564.1612.84-3.93041.873.610.100.23
2017 (4)44.4-21.043.66-55.093.0194.1200221.978.7719.1-8.1756.024.3425.24-4.0742.0826.7115.32-9.0816.231.691.2217.3157.160.5113.2718.590.20.043.39-0.1656.863.66-2.98040.41-9.70.105.87
2016 (3)56.230.328.15-21.561.0222.8900204.0711.320.863.2753.6912.9826.311.5133.2123.9616.8525.6515.96467.971.045.0556.87-2.5411.1912.80.20.043.4618.7454.8517.431.29-82.2844.751.980.094.65
2015 (2)56.050.3910.39-53.740.83-42.3600183.3512.5412.7444.7747.52-4.2125.92-14.8926.79-4.913.413.152.81-60.480.99-5.7158.350.269.929.730.20.036.612.7946.7112.047.28-14.0543.887.230.0931.42
2014 (1)55.8330.7522.4619.281.44-35.1400162.927.068.8118.9149.6120.4730.4512.5328.178.113.013.047.11-9.541.056.0658.20.09.044.630.2-90.8732.4515.3241.696.988.47139.9440.9229.210.07-2.72
資產負債表-近20季
現金及約當現金 QoQ YoY短期借款 QoQ YoY一年內到期長期負債 QoQ YoY資金貸予他人 QoQ YoY營收 QoQ YoY淨利 QoQ YoY應收帳款及票據 QoQ YoY應收帳款佔營收比(%) QoQ YoY存貨 QoQ YoY長期投資 QoQ YoY長期負債 QoQ YoY商譽及無形資產 QoQ YoY股本 QoQ YoY法定盈餘公積 QoQ YoY特別盈餘公積 QoQ YoY未分配盈餘 QoQ YoY保留盈餘 QoQ YoY其它權益 QoQ YoY配息能力 QoQ YoY非控制權益佔比 QoQ YoY
23Q4 (20)123.9915.4340.558.18-1.3357.013.78-4.55-11.8900089.74-0.696.948.57-22.16-19.086.240.6920.4324.79-1.012.4159.432.61-8.9916.190.127.0814.50.9-4.986.91-3.49-0.7260.990.111.0628.980.09.692.00.0-82.7987.3510.8833.38118.337.8114.28-2.63-158.44-31.584.721.7333.440.091.497.38
23Q3 (19)107.4226.8850.628.290.4813.563.962.862.5900090.364.73-0.0411.017.9451.2485.654.39-2.9425.044.4-9.857.925.79-9.316.1710.319.4214.37-3.04-9.577.162.58-0.8360.920.151.2828.980.09.692.00.0-82.7978.7816.4443.76109.7611.2718.214.5251.01107.3783.2828.7646.180.09-1.974.01
23Q2 (18)84.66-11.574.858.2516.03-3.963.85-12.98.7600086.285.815.2610.233.16289.3182.0516.531.5123.9812.64-10.3654.75-4.83-22.9314.66-3.4323.0914.823.28-11.156.981.91.960.830.31.228.989.699.692.0-82.79-82.7967.6634.342.8398.6411.5615.49-2.98-0.6841.2264.6836.452.910.09-0.391.17
23Q1 (17)95.668.4368.097.1136.474978.574.423.0335.1700081.55-2.827.917.66-27.648.1670.41-1.68-10.2521.29-3.45-17.5157.53-11.9-22.1815.180.423.9214.35-5.96-18.056.85-1.582.2460.650.51.0726.420.019.4411.620.070.3850.38-23.07-7.0388.42-14.66.36-2.96-48.054.2547.42-25.31-0.630.098.350.47
22Q4 (16)88.2223.752.55.21-28.633621.434.2911.1450.000083.92-7.178.8710.5845.3347.5671.61-18.85-4.122.05-20.56-11.1665.32.25-14.0115.1211.6710.9315.26-3.96-15.836.96-3.66.5860.350.330.9726.420.019.4411.620.070.3865.4919.51-7.19103.5411.514.06-2.0-192.1782.7963.4911.447.720.09-1.7-0.2
22Q3 (15)71.3247.2914.57.3-15.02-6.413.869.0460.8300090.420.7621.117.28177.8616.2988.249.1715.3527.763.769.3263.86-10.11-7.9713.5413.6911.9915.89-4.74-13.177.225.49.7360.150.071.0126.420.019.4411.620.070.3854.815.69-13.2492.858.710.82.17142.8115.0156.9734.6816.980.09-4.65-2.44
22Q2 (14)48.42-14.92-20.018.596035.7156.183.548.26100.000074.86-0.94-2.392.62-49.32-89.280.833.039.3626.753.667.6971.04-3.919.5111.91-2.78-1.1616.68-4.74-12.036.852.243.6360.110.171.3126.4219.4435.3511.6270.3856.647.37-12.59-19.5585.412.74-0.48-5.0721.6463.4242.3-11.36-6.040.09-1.07-1.64
22Q1 (13)56.91-1.62-11.040.140.0-98.133.2714.34179.4900075.57-1.964.345.17-27.892.5878.455.062.7525.813.98-0.3473.93-2.6524.0412.25-10.12-18.3317.51-3.42-11.036.72.6-1.7660.010.41.3522.120.013.326.820.0-8.0954.19-23.256.6283.13-16.4535.08-6.4744.327.9747.72-19.0473.090.097.63-10.97
21Q4 (12)57.85-7.131.380.14-98.21-96.562.8619.1758.8900077.083.27-0.587.1714.54-6.1574.67-2.39-0.824.82-2.25-8.275.949.4439.5213.6312.74-8.3418.13-0.93-6.166.53-0.76-4.9559.770.371.4422.120.013.326.820.0-8.0970.5611.7238.9899.58.0228.04-11.6219.64-70.3858.9421.0334.110.09-3.9-10.23
21Q3 (11)62.292.9126.537.841.8210.952.435.5963.2700074.64-2.675.326.26-74.2-4.5776.53.516.4925.392.214.8369.396.9743.8712.090.33-17.0218.3-3.48-9.366.58-0.45-6.859.550.371.5922.1213.3213.326.82-8.09-8.0963.167.2746.4192.117.3331.44-14.46-4.33-78.7448.78.1738.940.09-3.87-10.36
21Q2 (10)60.53-5.3843.165.5-26.47-50.01.7751.2820.4100076.695.883.6424.26381.35175.0673.91-3.213.0324.84-4.073.4664.878.8417.3312.05-19.67-11.7218.96-3.66-8.896.61-3.08-7.8159.330.21.5219.520.00.07.420.00.058.8870.1761.8985.8239.4535.58-13.86-97.16-38.8845.0263.2970.590.09-10.46-10.5
21Q1 (9)63.9712.11-2.437.4883.78-31.061.17-35.0-40.3100072.43-6.5829.365.04-34.0382.6176.351.4346.6625.90-4.2233.6459.69.514.7515.00.8716.7319.681.861.976.82-0.73-7.2159.210.491.3919.520.012.187.420.079.6634.6-31.855.0161.54-20.8112.98-7.03-3.0817.4927.57-37.2712.850.118.53-3.27
20Q4 (8)57.0615.93.94.07-42.11-27.061.822.45-19.2800077.539.410.337.6416.468.9975.2714.6218.3527.0411.6314.5854.4312.865.8714.872.06-2.4319.32-4.314.436.87-2.69-6.7858.920.511.0619.520.012.187.420.079.6650.7717.699.1477.7110.8914.2-6.8215.78.0943.9525.3912.40.10-4.04-4.5
20Q3 (7)49.2316.44-0.187.03-36.0966.981.470.0-26.1300070.87-4.23-1.676.56-25.6211.1965.670.434.2724.220.87048.23-12.773.1714.576.74-6.7820.19-2.989.917.06-1.53-5.8758.620.310.6919.520.012.187.420.079.6643.1418.619.0870.0810.7114.73-8.0918.94-75.4935.0532.820.310.10-4.02-1.3
20Q2 (6)42.28-35.51-26.0811.01.38450.01.47-25.0-28.9900074.032.175.28.82219.5774.6565.3925.612.3824.0123.92055.296.4520.0413.656.23-19.0420.817.8214.287.17-2.45-4.7858.440.070.8519.5212.1812.187.4279.6679.6636.3710.388.0863.316.2114.74-9.98-17.14-428.0426.398.02-16.910.11-3.222.65
20Q1 (5)65.5619.3738.610.8594.44459.281.96-12.11-23.1400055.99-20.32-1.52.76-60.63-17.1252.06-18.144.4319.38-17.89051.941.0312.412.85-15.68-31.3219.34.328.797.35-0.27-2.5258.40.170.7817.40.014.624.130.029.8732.95-29.17-32.9254.47-19.96-19.29-8.52-14.82-703.7724.43-37.52-49.170.117.1513.37
19Q4 (4)54.9211.350.05.5832.540.02.2312.060.0000.070.27-2.50.07.0118.810.063.60.980.023.6000.051.419.970.015.24-2.50.018.50.710.07.37-1.730.058.30.140.017.40.00.04.130.00.046.5217.620.068.0511.410.0-7.42-60.950.039.111.910.00.10-0.830.0

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