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)3.17-52.0400000011.64-53.72-3.2604.01-18.034.4577.186.12-17.190.04-42.86000.01-75.06.76-0.591.470.00.010.0-0.4301.05-77.42-0.030-0.4600.000
2022 (9)6.61-36.8700000025.15-13.48-0.6304.89-45.4219.44-36.927.3920.550.07-30.0000.04-42.866.8-0.731.472.080.0103.17-30.024.65-22.11-0.1203.05-25.060.000
2021 (8)10.47-31.3400000029.077.510.33-29.798.9671.9830.8259.976.1398.380.10000.07-22.226.852.241.443.6004.53-3.825.97-2.29-0.4604.07-13.590.000
2020 (7)15.2550.8400000027.04-4.520.47327.275.219.9219.2715.123.09-57.3200000.09-40.06.70.151.390.72004.718.786.117.01004.718.780.000
2019 (6)10.11-5.4300000028.32-46.730.11-94.024.74182.1416.74429.627.24-46.4100000.15-28.576.690.151.3815.0004.33-22.825.71-16.03004.33-22.820.000
2018 (5)10.690.8500000053.16-22.031.841.11.68-43.243.16-27.2113.51-39.0100000.21-25.06.6810.61.218.81005.6111.536.812.4005.6111.530.000
2017 (4)10.61.6300000068.1830.591.8235.822.96-30.684.34-46.9222.15-8.6200000.28-6.676.0412.91.0114.77005.0320.626.0519.8005.0320.620.000
2016 (3)10.4356.8400000052.2186.131.3427.624.27-16.448.18-55.1124.24409.2400000.3650.05.3562.120.8814.29004.1715.835.0515.56004.1715.830.000
2015 (2)6.65-30.6600000028.05-30.11.05-58.335.11-16.9118.2218.874.7657.6200000.04-42.863.331.470.7748.08003.6-16.864.37-9.9003.6-16.860.000
2014 (1)9.5979.9200000040.1302.5206.15-23.4115.3303.0220.800000.0775.02.5130.050.5273.33004.3335.744.8538.97004.3335.740.000
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
24Q1 (20)4.6346.06-23.850000000002.25-29.47-22.68-0.4166.1234.922.19-45.39-45.3919.93-42.112.125.29-13.56-38.130.03-25.0-50.00000.010.0-66.676.760.0-0.150-100.0-100.00-100.0-100.00100.0-100.00.64-39.05-82.61-0.0233.3333.33-0.0295.65-100.920.0000
23Q4 (19)3.17-42.36-52.040000000003.19-4.49-28.79-1.21-98.36-83.334.01-8.03-18.034.422.1676.966.12-12.2-17.190.04-20.0-42.860000.010.0-75.06.760.0-0.591.470.00.00.010.00.0-0.43-155.13-113.561.05-53.54-77.42-0.0325.075.0-0.46-162.16-115.080.0000
23Q3 (18)5.5-7.56-35.750000000003.3451.13-47.98-0.6124.69-654.554.3637.54-32.9233.6970.2842.766.97-13.0912.60.05-16.67-37.50000.01-66.67-80.06.76-0.15-1.171.470.00.00.010.00.00.78-44.29-79.632.26-21.25-57.44-0.0420.084.00.74-45.19-79.330.0000
23Q2 (17)5.95-2.14-21.400-100.00000002.21-24.05-67.21-0.81-28.57-800.03.17-20.95-62.0419.791.41-32.78.02-6.231.910.060.0-25.00000.030.0-40.06.770.0-1.021.470.00.00.010.00.01.4-36.36-62.372.87-22.01-44.81-0.05-66.6783.331.35-37.79-60.530.0000
23Q1 (16)6.08-8.02-33.3300-100.00000002.91-35.04-61.2-0.634.55-6400.04.01-18.0-55.3919.510.32-37.058.5515.718.590.06-14.29-33.330000.03-25.0-50.06.77-0.44-1.021.470.02.080.010.002.2-30.6-43.013.68-20.86-30.43-0.0375.092.112.17-28.85-37.640.0000
22Q4 (15)6.61-22.78-36.870000000004.48-30.22-34.88-0.66-700.0-2300.04.89-24.77-45.4219.45-17.59-36.897.3919.3920.550.07-12.5-30.00000.04-20.0-42.866.8-0.58-0.731.470.02.080.010.003.17-17.23-30.024.65-12.43-22.11-0.1252.073.913.05-14.8-25.060.0000
22Q3 (14)8.5613.08-26.270-100.000000006.42-4.75-11.810.11222.22-31.256.5-22.16-26.1423.60-19.72-20.216.191.8175.850.080.0-20.00000.050.0-37.56.840.02.091.470.02.080.010.003.832.96-14.895.312.12-10.46-0.2516.67-2400.03.584.68-20.270.0000
22Q2 (13)7.57-17.0-42.351.25119.300000006.74-10.13-8.17-0.09-1000.0-152.948.35-7.1214.729.40-5.1622.176.08-15.67109.660.08-11.11-20.00000.05-16.67-28.576.840.02.091.472.085.760.01003.72-3.63-23.35.2-1.7-16.8-0.321.0503.42-1.72-29.480.0000
22Q1 (12)9.12-12.89-42.460.57000000007.59.01-0.920.01-66.67133.338.990.3359.1231.000.5860.387.2117.62125.310.09-10.000000.06-14.29-25.06.84-0.152.091.440.03.60003.86-14.79-17.525.29-11.39-12.85-0.3817.3903.48-14.5-25.640.0000
21Q4 (11)10.47-9.82-31.340000000006.88-5.49-8.990.03-81.25-81.258.961.8271.9830.824.260.036.1374.1598.380.10.000000.07-12.5-22.226.852.242.241.440.03.60004.530.67-3.825.970.67-2.29-0.46-4500.004.07-9.35-13.590.0000
21Q3 (10)11.61-11.58-17.250000000007.28-0.82-6.430.16-5.88-38.468.820.8849.1529.5822.9125.243.5221.38-11.110.10.000000.0814.29-20.06.70.00.151.443.63.60004.5-7.22-1.15.93-5.12-0.17-0.01004.49-7.42-1.320.0000
21Q2 (9)13.13-17.162.260000000007.34-3.0416.140.17666.67325.07.2828.8525.5224.0724.52.942.9-9.38-52.460.1000000.07-12.5-41.676.70.00.151.390.00.00004.853.6313.056.252.9710.040004.853.6313.050.0000
21Q1 (8)15.853.9330.560000000007.570.1340.45-0.03-118.7505.658.4541.619.330.3628.483.23.56-41.610000000.08-11.11-33.336.70.00.151.390.00.720004.68-0.648.086.07-0.656.30004.68-0.648.080.0000
20Q4 (7)15.258.750.840000000007.56-2.8337.70.16-38.46300.05.21-11.699.9219.26-18.4503.09-21.97-57.320000000.09-10.0-40.06.70.150.151.390.00.720004.713.528.786.112.867.010004.713.528.780.0000
20Q3 (6)14.039.2712.870000000007.7823.12.230.26550.005.91.7233.7923.621.0303.96-35.08-51.650000000.1-16.67-23.086.690.00.01.390.00.720004.556.063.175.944.582.590004.556.063.170.0000
20Q2 (5)12.845.778.910000000006.3217.25-21.30.040-69.235.845.3617.4123.3855.3806.111.31-33.70000000.120.0-20.06.690.00.151.390.720.720004.29-0.92-2.725.68-0.53-1.90004.29-0.92-2.720.0000
20Q1 (4)12.1420.080.0000.0000.0000.05.39-1.820.00100.00.03.99-15.820.015.0500.05.48-24.310.0000.0000.00.12-20.00.06.690.00.01.380.00.0000.04.330.00.05.710.00.0000.04.330.00.00.0000.0

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