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台積電-損益表

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損益表

合併綜合損益表

第四季 (最新)
單季
(TWD千元)2025年全年2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年2013年全年2012年全年
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%
營業收入
營業收入合計1,046,090,421100%868,461,178100%625,528,856100%625,531,868100%438,189,306100%361,533,057100%317,237,065100%289,770,193100%277,570,284100%262,227,252100%203,518,563100%222,521,075100%145,805,847100%131,444,819100%
營業成本
營業成本合計394,103,58537.67%356,083,02741%293,760,93146.96%236,346,93937.78%207,510,07847.36%166,344,23146.01%157,996,08049.8%151,727,79352.36%138,854,91950.03%125,116,86547.71%104,608,03751.4%111,973,19950.32%80,965,11055.53%69,449,23952.84%
營業毛利(毛損)651,986,83662.33%512,378,15159%331,767,92553.04%389,184,92962.22%230,679,22852.64%195,188,82653.99%159,240,98550.2%138,042,40047.64%138,715,36549.97%137,110,38752.29%98,910,52648.6%110,547,87649.68%64,840,73744.47%61,995,58047.16%
營業毛利(毛損)淨額651,986,83662.33%512,378,15159%331,767,92553.04%389,184,92962.22%230,754,82352.66%195,236,32554%159,201,84550.18%138,119,14047.67%138,747,96449.99%137,109,49552.29%98,924,91748.61%110,562,99049.69%64,862,70044.49%62,100,12047.24%
營業費用
推銷費用4,916,0480.47%3,680,4540.42%2,975,5470.48%2,991,0760.48%1,990,4380.45%1,993,4550.55%1,808,8200.57%1,476,2360.51%1,606,2040.58%1,517,3820.58%1,417,1380.7%1,376,4080.62%1,157,1520.79%1,055,8280.8%
管理費用18,416,9351.76%25,427,0092.93%18,235,3802.92%16,957,2752.71%13,648,9373.11%6,387,5721.77%7,498,1702.36%5,686,8511.96%6,018,2762.17%5,698,6462.17%4,130,9362.03%4,256,6801.91%3,809,1782.61%4,131,2353.14%
研究發展費用64,857,8076.2%57,231,3576.59%50,410,0948.06%44,587,0317.13%32,238,3877.36%29,940,4128.28%25,635,6318.08%23,689,2238.18%21,217,1757.64%19,960,8807.61%15,664,5387.7%15,942,0267.16%12,168,2348.35%10,500,0987.99%
營業費用合計88,190,7908.43%86,338,8209.94%71,621,02111.45%64,535,38210.32%47,877,76210.93%38,321,43910.6%34,942,62111.01%30,852,31010.65%28,841,65510.39%27,176,90810.36%21,212,61210.42%21,575,1149.7%17,134,56411.75%15,687,16111.93%
其他收益及費損淨額
其他收益及費損淨額1,106,3670.11%(326,418)-0.04%57,5990.01%391,2230.06%(105,107)-0.02%205,2880.06%(15,502)0%(143,579)-0.05%(1,011,310)-0.36%(25,246)-0.01%251,3650.12%(765,846)-0.34%26,0820.02%(23,470)-0.02%
營業利益(損失)564,902,41354%425,712,91349.02%260,204,50341.6%325,040,77051.96%182,771,95441.71%157,120,17443.46%124,243,72239.16%107,123,25136.97%108,894,99939.23%109,907,34141.91%77,963,67038.31%88,222,03039.65%47,754,21832.75%46,389,48935.29%
營業外收入及支出
利息收入
銀行存款利息23,335,6612.23%19,969,9372.3%14,022,7302.24%8,870,8561.42%808,5300.18%797,6710.22%
按攤銷後成本衡量之金融資產利息收入2,710,3990.26%2,370,2800.27%2,106,6620.34%947,0720.15%146,8880.03%176,7940.05%
透過其他綜合損益按公允價值衡量之金融資產利息收入1,849,5340.18%1,933,1230.22%1,279,3960.2%769,4130.12%507,2180.12%678,6700.19%
利息收入合計29,507,4262.82%24,273,3402.79%17,408,7882.78%10,587,3411.69%1,462,6360.33%1,653,0060.46%
其他收入
其他收入-其他47,9590%250,8230.03%76,2570.01%6,2320%160,0530.04%199,0490.06%3,488,4231.1%4,150,8641.43%2,750,5490.99%1,808,3120.69%1,258,2960.62%761,8000.34%553,3430.38%351,2840.27%
其他收入合計47,9590%250,8230.03%76,2570.01%6,2320%160,0530.04%199,0490.06%3,488,4231.1%4,150,8641.43%2,750,5490.99%1,808,3120.69%1,258,2960.62%761,8000.34%553,3430.38%351,2840.27%
其他利益及損失
其他利益及損失淨額(533,748)-0.05%(204,345)-0.02%2,194,9140.35%633,4450.1%947,3010.22%1,548,7860.43%826,9430.26%(427,788)-0.15%(89,188)-0.03%262,2400.1%985,8340.48%244,6820.11%1,705,0651.17%(857,107)-0.65%
財務成本
財務成本淨額3,043,4500.29%2,523,1350.29%2,918,5970.47%3,334,9690.53%2,173,6610.5%768,5820.21%643,5970.2%875,9050.3%830,5220.3%811,4810.31%820,0470.4%822,2610.37%785,1120.54%335,0040.25%
採用權益法認列之關聯企業及合資損益之份額
採用權益法認列之關聯企業及合資損益之份額淨額1,482,6010.14%1,288,4080.15%1,315,1240.21%1,737,0550.28%1,650,9280.38%1,354,9280.37%866,4820.27%1,111,6700.38%949,0620.34%881,0630.34%1,255,8760.62%910,1410.41%1,145,1310.79%735,4680.56%
營業外收入及支出合計27,460,7882.63%23,085,0912.66%18,076,4862.89%9,629,1041.54%2,047,2570.47%3,987,1871.1%4,538,2511.43%3,958,8411.37%2,779,9011%2,140,1340.82%2,679,9591.32%1,094,3620.49%2,618,4271.8%(105,359)-0.08%
繼續營業單位稅前淨利(淨損)592,363,20156.63%448,798,00451.68%278,280,98944.49%334,669,87453.5%184,819,21142.18%161,107,36144.56%128,781,97340.59%111,082,09238.33%111,674,90040.23%112,047,47542.73%80,643,62939.62%89,316,39240.14%50,372,64534.55%46,284,13035.21%
所得稅費用(利益)
所得稅費用(利益)合計86,947,8688.31%74,329,1168.56%39,974,7886.39%38,791,3926.2%18,445,6964.21%18,282,8375.06%12,703,7794%11,076,7073.82%12,368,8404.46%11,819,2284.51%7,801,5743.83%9,345,7644.2%5,585,5063.83%4,765,1743.63%
繼續營業單位本期淨利(淨損)505,415,33348.31%374,468,88843.12%238,306,20138.1%295,878,48247.3%166,373,51537.97%142,824,52439.51%116,078,19436.59%100,005,38534.51%99,306,06035.78%100,228,24738.22%72,842,05535.79%79,970,62835.94%44,787,13930.72%41,518,95631.59%
本期淨利(淨損)505,415,33348.31%374,468,88843.12%238,306,20138.1%295,878,48247.3%166,373,51537.97%142,824,52439.51%116,078,19436.59%100,005,38534.51%99,306,06035.78%100,228,24738.22%72,842,05535.79%79,970,62835.94%44,787,13930.72%41,518,95631.59%
其他綜合損益(淨額)
不重分類至損益之項目
透過其他綜合損益按公允價值衡量之權益工具投資未實現評價損益(327,964)-0.03%479,0310.06%966,6700.15%(332,359)-0.05%819,4610.19%345,3860.1%114,5430.04%(2,002,102)-0.69%
避險工具之損益-不重分類至損益00%00%00%00%00%1,1430%(34,171)-0.01%17,0880.01%
採用權益法認列之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(13,521)0%(29,371)0%(20,402)0%77,9390.01%(51,926)-0.01%(14,815)0%(4,052)0%(10,111)0%
與不重分類之項目相關之所得稅(138,654)-0.01%28,8730%(124,671)-0.02%(733,694)-0.12%29,1930.01%(422,036)-0.12%30,5780.01%(128,886)-0.04%
不重分類至損益之項目總額(896,102)-0.09%565,1520.07%447,5830.07%(343,786)-0.05%980,4210.22%(2,762,999)-0.76%299,6370.09%(2,727,401)-0.94%8,581,0123.86%1,333,0740.91%(695,097)-0.53%
後續可能重分類至損益之項目
國外營運機構財務報表換算之兌換差額71,036,2636.79%40,502,8864.66%(43,059,021)-6.88%(17,239,320)-2.76%(2,544,908)-0.58%(12,683,833)-3.51%(16,910,375)-5.33%4,186,5001.44%(7,487,153)-2.7%7,691,0082.93%(992,872)-0.49%
透過其他綜合損益按公允價值衡量之債務工具投資未實現評價損益646,0450.06%(3,238,694)-0.37%5,578,2260.89%1,160,5280.19%(1,221,828)-0.28%(133,964)-0.04%(10,088)0%169,4360.06%
避險工具之損益(20,493)0%(20,491)0%(19,408)0%(18,342)0%
採用權益法認列之關聯企業及合資之其他綜合損益之份額-可能重分類至損益之項目310,7850.03%94,5240.01%(173,580)-0.03%(41,036)-0.01%(19,454)0%(70,036)-0.02%(119,867)-0.04%19,9770.01%(42,427)-0.02%19,0440.01%(322,686)-0.16%(107,867)-0.05%(40,816)-0.03%(14,713)-0.01%
後續可能重分類至損益之項目總額71,972,6006.88%37,338,2254.3%(37,673,783)-6.02%(16,138,170)-2.58%(3,658,025)-0.83%(12,887,833)-3.56%(17,040,330)-5.37%4,375,9131.51%(7,730,660)-2.79%6,882,2652.62%(1,362,610)-0.67%
其他綜合損益(淨額)71,076,4986.79%37,903,3774.36%(37,226,200)-5.95%(16,481,956)-2.63%(2,677,604)-0.61%(15,650,832)-4.33%(16,740,693)-5.28%1,648,5120.57%(7,975,632)-2.87%5,931,9512.26%(2,093,533)-1.03%9,138,3134.11%(1,198,501)-0.82%6,406,4874.87%
本期綜合損益總額576,491,83155.11%412,372,26547.48%201,080,00132.15%279,396,52644.67%163,695,91137.36%127,173,69235.18%99,337,50131.31%101,653,89735.08%91,330,42832.9%106,160,19840.48%70,748,52234.76%89,108,94140.05%43,588,63829.89%47,925,44336.46%
淨利(損)歸屬於:
母公司業主(淨利/損)505,743,99048.35%374,679,72743.14%238,712,14338.16%295,904,17747.3%166,232,29137.94%142,766,43439.49%116,035,08136.58%99,984,09534.5%99,286,12235.77%100,200,31038.21%72,837,18835.79%79,990,52835.95%44,810,24630.73%41,603,68031.65%
非控制權益(淨利/損)(328,657)-0.03%(210,839)-0.02%(405,942)-0.06%(25,695)0%141,2240.03%58,0900.02%43,1130.01%21,2900.01%19,9380.01%27,9370.01%4,8670%(19,900)-0.01%(23,107)-0.02%(84,724)-0.06%
綜合損益總額歸屬於:
母公司業主(綜合損益)576,665,93155.13%414,072,30147.68%201,202,30432.17%278,903,37744.59%163,553,24737.32%127,116,06135.16%99,294,82531.3%101,632,73235.07%91,310,56632.9%106,132,88140.47%70,742,20834.76%89,113,69040.05%43,612,08529.91%47,984,51836.51%
非控制權益(綜合損益)(174,100)-0.02%(1,700,036)-0.2%(122,303)-0.02%493,1490.08%142,6640.03%57,6310.02%42,6760.01%21,1650.01%19,8620.01%27,3170.01%6,3140%(4,749)0%(23,447)-0.02%(59,075)-0.04%
基本每股盈餘
基本每股盈餘合計19.5114.459.2111.416.425.54.483.853.833.862.813.091.731.61
稀釋每股盈餘
稀釋每股盈餘合計19.514.459.2111.416.425.53.853.833.862.813.091.731.6
今年初累積至今
(TWD千元)2025年全年2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年2013年全年2012年全年
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%
營業收入
營業收入合計3,809,054,272100%2,894,307,699100%2,161,735,841100%2,263,891,292100%1,587,415,037100%1,339,254,811100%1,069,985,448100%1,031,473,557100%977,447,241100%947,938,344100%843,497,368100%762,806,465100%597,024,197100%506,745,234100%
營業成本
營業成本合計1,527,760,29340.11%1,269,954,13543.88%986,625,21345.64%915,536,48640.44%767,877,77148.37%628,108,30946.9%577,286,94753.95%533,487,51651.72%482,616,28649.38%473,077,17349.91%433,117,60151.35%385,100,64650.48%316,057,82052.94%262,583,09851.82%
營業毛利(毛損)2,281,293,97959.89%1,624,353,56456.12%1,175,110,62854.36%1,348,354,80659.56%819,537,26651.63%711,146,50253.1%492,698,50146.05%497,986,04148.28%494,830,95550.62%474,861,17150.09%410,379,76748.65%377,705,81949.52%280,966,37747.06%244,162,13648.18%
營業毛利(毛損)淨額2,281,293,97959.89%1,624,353,56456.12%1,175,110,62854.36%1,348,354,80659.56%819,537,26651.63%711,130,12053.1%492,701,89646.05%497,874,25348.27%494,826,40250.62%474,832,09850.09%410,394,89348.65%377,734,37549.52%280,945,50747.06%244,137,10748.18%
營業費用
推銷費用16,918,0760.44%13,143,5240.45%10,590,7050.49%9,920,4460.44%7,558,5910.48%7,112,8670.53%6,348,6260.59%5,987,8280.58%5,972,4880.61%5,900,8370.62%5,664,6840.67%5,087,1120.67%4,516,5250.76%4,495,9860.89%
管理費用82,304,2902.16%83,744,9682.89%60,872,8412.82%53,524,8982.36%36,929,5882.33%28,457,5932.12%21,737,2102.03%20,265,8831.96%21,196,7172.17%19,795,5932.09%17,257,2372.05%18,932,1002.48%18,928,5443.17%17,631,6943.48%
研究發展費用246,427,2646.47%204,181,8237.05%182,370,1708.44%163,262,2087.21%124,734,7557.86%109,486,0898.18%91,418,7468.54%85,895,5698.33%80,732,4638.26%71,207,7037.51%65,544,5797.77%56,823,7327.45%48,118,1658.06%40,383,1957.97%
營業費用合計345,649,6309.07%301,070,31510.4%253,833,71611.74%226,707,55210.01%169,222,93410.66%145,056,54910.83%119,504,58211.17%112,149,28010.87%107,901,66811.04%96,904,13310.22%88,466,50010.49%80,842,94410.6%71,563,23411.99%62,510,87512.34%
其他收益及費損淨額
其他收益及費損淨額447,3280.01%(1,230,199)-0.04%188,6940.01%(368,403)-0.02%(333,435)-0.02%710,1270.05%(496,224)-0.05%(2,101,449)-0.2%(1,365,511)-0.14%29,8130%(1,880,618)-0.22%(1,001,138)-0.13%47,0900.01%(449,364)-0.09%
營業利益(損失)1,936,091,67750.83%1,322,053,05045.68%921,465,60642.63%1,121,278,85149.53%649,980,89740.95%566,783,69842.32%372,701,09034.83%383,623,52437.19%385,559,22339.45%377,957,77839.87%320,047,77537.94%295,890,29338.79%209,429,36335.08%181,176,86835.75%
營業外收入及支出
利息收入
銀行存款利息86,642,9642.27%72,126,2472.49%49,740,0062.3%17,831,2570.79%2,834,8380.18%5,139,1490.38%
按攤銷後成本衡量之金融資產利息收入10,182,7660.27%8,458,1560.29%6,363,6840.29%2,008,6110.09%681,4570.04%754,8730.06%
其他利息收入1,611,8320.04%00%2,5220%
透過其他綜合損益按公允價值衡量之金融資產利息收入7,301,5190.19%6,628,9960.23%4,190,2110.19%2,582,3410.11%2,192,4700.14%3,121,8560.23%
利息收入合計105,739,0812.78%87,213,3993.01%60,293,9012.79%22,422,2090.99%5,708,7650.36%9,018,4000.67%
其他收入
其他收入-其他591,7290.02%566,8790.02%479,9840.02%947,6970.04%973,1410.06%660,6070.05%16,606,6691.55%14,852,8141.44%9,610,2940.98%6,454,9010.68%4,750,8290.56%3,380,4070.44%2,342,1230.39%1,716,0930.34%
其他收入合計591,7290.02%566,8790.02%479,9840.02%947,6970.04%973,1410.06%660,6070.05%16,606,6691.55%14,852,8141.44%9,610,2940.98%6,454,9010.68%4,750,8290.56%3,380,4070.44%2,342,1230.39%1,716,0930.34%
其他利益及損失
其他利益及損失淨額6,114,1460.16%1,621,2600.06%4,276,0950.2%3,493,5860.15%6,274,6450.4%6,803,1120.51%944,2020.09%(972,633)-0.09%1,307,8850.13%1,357,2540.14%24,688,5102.93%2,113,5170.28%2,390,3810.4%(2,269,812)-0.45%
財務成本
財務成本淨額12,370,3870.32%10,495,3200.36%11,999,3600.56%11,749,9840.52%5,414,2180.34%2,081,4550.16%3,250,8470.3%3,051,2230.3%3,330,3130.34%3,306,1530.35%3,190,3310.38%3,236,3450.42%2,646,7760.44%1,020,4220.2%
採用權益法認列之關聯企業及合資損益之份額
採用權益法認列之關聯企業及合資損益之份額淨額5,496,5940.14%4,879,3670.17%4,655,0980.22%7,798,3590.34%5,603,0840.35%3,592,8180.27%2,844,2220.27%3,057,7810.3%2,985,9410.31%3,495,6000.37%4,132,1280.49%3,949,6740.52%3,972,0310.67%2,073,7290.41%
營業外收入及支出合計105,571,1632.77%83,785,5852.89%57,705,7182.67%22,911,8671.01%13,145,4170.83%17,993,4821.34%17,144,2461.6%13,886,7391.35%10,573,8071.08%8,001,6020.84%30,381,1363.6%6,207,2530.81%6,057,7591.01%499,5880.1%
繼續營業單位稅前淨利(淨損)2,041,662,84053.6%1,405,838,63548.57%979,171,32445.3%1,144,190,71850.54%663,126,31441.77%584,777,18043.66%389,845,33636.43%397,510,26338.54%396,133,03040.53%385,959,38040.72%350,428,91141.54%302,097,54639.6%215,487,12236.09%181,676,45635.85%
所得稅費用(利益)
所得稅費用(利益)合計326,266,0608.57%233,406,8768.06%141,403,8076.54%127,290,2035.62%66,053,1804.16%66,619,0984.97%44,501,5274.16%46,325,8574.49%52,986,1825.42%51,621,1445.45%43,872,7445.2%38,316,6775.02%27,468,1854.6%15,552,6543.07%
繼續營業單位本期淨利(淨損)1,715,396,78045.03%1,172,431,75940.51%837,767,51738.75%1,016,900,51544.92%597,073,13437.61%518,158,08238.69%345,343,80932.28%351,184,40634.05%343,146,84835.11%334,338,23635.27%306,556,16736.34%263,780,86934.58%188,018,93731.49%166,123,80232.78%
本期淨利(淨損)1,715,396,78045.03%1,172,431,75940.51%837,767,51738.75%1,016,900,51544.92%597,073,13437.61%518,158,08238.69%345,343,80932.28%351,184,40634.05%343,146,84835.11%334,338,23635.27%306,556,16736.34%263,780,86934.58%188,018,93731.49%166,123,80232.78%
其他綜合損益(淨額)
不重分類至損益之項目
確定福利計畫之再衡量數(693,271)-0.02%144,3650%(623,356)-0.03%(823,060)-0.04%242,0790.02%(3,516,749)-0.26%253,8950.02%(861,162)-0.08%(254,681)-0.03%(1,057,220)-0.11%(827,703)-0.1%
透過其他綜合損益按公允價值衡量之權益工具投資未實現評價損益745,2720.02%5,091,9160.18%1,954,5630.09%(263,749)-0.01%1,900,7970.12%423,6970.03%334,3270.03%(3,309,089)-0.32%
避險工具之損益-不重分類至損益(31,030)0%5,0410%39,8980%00%(41,416)0%24,0850%(109,592)-0.01%40,9750%
採用權益法認列之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(113,192)0%(69,435)0%42,5540%154,4570.01%(30,194)0%(11,604)0%(18,271)0%(14,217)0%(20,853)0%(19,961)0%(2,546)0%
與不重分類之項目相關之所得稅(138,654)0%38,8690%(124,646)-0.01%(733,956)-0.03%85,2690.01%(422,663)-0.03%20,9920%(195,729)-0.02%(30,562)0%(126,867)-0.01%(99,326)-0.01%
不重分類至損益之項目總額46,4330%5,133,0180.18%1,538,3050.07%(198,396)-0.01%1,985,9970.13%(2,657,908)-0.2%439,3670.04%(3,947,764)-0.38%(244,972)-0.03%(950,314)-0.1%(730,923)-0.09%11,771,1291.54%3,668,5090.61%(4,322,697)-0.85%
後續可能重分類至損益之項目
國外營運機構財務報表換算之兌換差額(60,951,662)-1.6%64,299,6852.22%(14,464,353)-0.67%50,845,6142.25%(6,181,830)-0.39%(29,847,196)-2.23%(14,689,107)-1.37%14,562,3861.41%(28,259,627)-2.89%(9,379,477)-0.99%6,604,7680.78%
透過其他綜合損益按公允價值衡量之債務工具投資未實現評價損益4,688,9560.12%1,949,8650.07%4,123,2010.19%(10,102,658)-0.45%(3,431,791)-0.22%2,466,7110.18%2,566,3730.24%(870,906)-0.08%
避險工具之損益(81,229)0%(80,198)0%(74,735)0%1,329,2310.06%131,5350.01%
採用權益法認列之關聯企業及合資之其他綜合損益之份額-可能重分類至損益之項目(29,017)0%283,2760.01%63,9380%550,3380.02%(119,997)-0.01%(283,409)-0.02%(140,195)-0.01%93,2600.01%(99,347)-0.01%16,3010%(83,021)-0.01%(149,907)-0.02%(59,740)-0.01%53,7480.01%
後續可能重分類至損益之項目總額(56,372,952)-1.48%66,452,6282.3%(10,351,949)-0.48%42,628,5611.88%(9,605,453)-0.61%(27,663,894)-2.07%(12,262,929)-1.15%13,784,7401.34%(28,576,659)-2.92%(10,116,875)-1.07%(13,983,259)-1.66%290,4160.04%(662,074)-0.11%(685,978)-0.14%
其他綜合損益(淨額)(56,326,519)-1.48%71,585,6462.47%(8,813,644)-0.41%42,430,1651.87%(7,619,456)-0.48%(30,321,802)-2.26%(11,823,562)-1.11%9,836,9760.95%(28,821,631)-2.95%(11,067,189)-1.17%(14,714,182)-1.74%11,834,1641.55%16,352,2482.74%4,252,6320.84%
本期綜合損益總額1,659,070,26143.56%1,244,017,40542.98%828,953,87338.35%1,059,330,68046.79%589,453,67837.13%487,836,28036.43%333,520,24731.17%361,021,38235%314,325,21732.16%323,271,04734.1%291,841,98534.6%275,615,03336.13%204,371,18534.23%170,376,43433.62%
淨利(損)歸屬於:
母公司業主(淨利/損)1,717,882,62745.1%1,173,267,70340.54%838,497,66438.79%1,016,530,24944.9%596,540,01337.58%517,885,38738.67%345,263,66832.27%351,130,88434.04%343,111,47635.1%334,247,18035.26%306,573,83736.35%263,898,79434.6%188,146,79031.51%166,318,28632.82%
非控制權益(淨利/損)(2,485,847)-0.07%(835,944)-0.03%(730,147)-0.03%370,2660.02%533,1210.03%272,6950.02%80,1410.01%53,5220.01%35,3720%91,0560.01%(17,670)0%(117,925)-0.02%(127,853)-0.02%(194,484)-0.04%
綜合損益總額歸屬於:
母公司業主(綜合損益)1,661,253,89143.61%1,245,836,61643.04%830,509,54238.42%1,059,124,89046.78%588,918,05937.1%487,563,47836.41%333,440,46031.16%360,965,01535%314,294,99332.15%323,186,73634.09%291,867,75734.6%275,717,14136.15%204,505,78234.25%170,521,54333.65%
非控制權益(綜合損益)(2,183,630)-0.06%(1,819,211)-0.06%(1,555,669)-0.07%205,7900.01%535,6190.03%272,8020.02%79,7870.01%56,3670.01%30,2240%84,3110.01%(25,772)0%(102,108)-0.01%(134,597)-0.02%(145,109)-0.03%
基本每股盈餘
基本每股盈餘合計66.2645.2532.3439.223.0119.9713.3213.5413.2312.8911.8210.187.266.42
稀釋每股盈餘
稀釋每股盈餘合計66.2545.2532.3439.223.0119.9713.3213.5413.2312.8911.8210.187.266.41
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。

營業收入

台積電(2330) 2025年第3季「營業收入」為NT$9,899億元、前9個月累積營業收入為NT$2.76兆元
單季
台積電(2330) 最新公布的2025年第3季財報中,單季營業收入為NT$9,899億元,較上一季成長6.01%,較去年同期成長30.31%。為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「第3季營業收入年化成長率」分別為17.31%、22.67%與16.63%。
今年初累積至今
累積部分,今年前9個月營業收入累積為NT$2.76兆元,較去年同期成長36.39%,為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「前9個月營業收入年化成長率」分別為19.03%、23.09%與15.75%。
營業收入成長率-單季
(%)2025年第3季2024年第3季2023年第3季2022年第3季2021年第3季2020年第3季2019年第3季2018年第3季2017年第3季2016年第3季2015年第3季2014年第3季
YoY30.31%38.95%-10.83%47.86%16.34%21.63%12.56%3.27%-3.19%22.54%1.65%28.59%
3年年化成長率17.31%22.36%15.33%27.9%16.78%12.23%4.01%7%6.44%17%14.52%--
5年年化成長率22.67%20.99%16%19.45%9.75%10.9%6.99%9.88%12.24%------
10年年化成長率16.63%13.77%12.89%15.79%----------------
營業收入成長率-今年初累積至今
(%)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2017年前9個月2016年前9個月2015年前9個月2014年前9個月
YoY36.39%31.87%-6.24%42.56%17.54%29.89%1.49%5.98%2.07%7.15%18.45%19.74%
3年年化成長率19.03%20.8%16.25%29.59%15.72%11.79%3.16%5.04%9.01%14.97%19.47%--
5年年化成長率23.09%21.9%15.68%18.54%10.88%8.85%6.86%10.45%13.27%------
10年年化成長率15.75%14.13%13.03%15.88%----------------

營業毛利

台積電(2330) 2025年第4季「營業毛利」為NT$6,520億元、全年累積營業毛利為NT$2.28兆元
單季
台積電(2330) 最新公布的2025年第4季財報中,單季營業毛利為NT$6,520億元,較上一季成長10.78%,較去年同期成長27.25%。為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「第4季營業毛利年化成長率」分別為18.77%、27.27%與20.75%。
今年初累積至今
累積部分,今年全年營業毛利累積為NT$2.28兆元,較去年同期成長40.44%,為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「全年營業毛利年化成長率」分別為19.16%、26.25%與18.71%。
營業毛利成長率-單季
(%)2025年第4季2024年第4季2023年第4季2022年第4季2021年第4季2020年第4季2019年第4季2018年第4季2017年第4季2016年第4季2015年第4季2014年第4季
YoY27.25%54.44%-14.75%68.66%18.19%22.63%15.26%-0.45%1.2%38.6%-10.53%70.46%
3年年化成長率18.77%30.46%19.33%34.71%18.66%12.06%5.11%11.77%7.86%28.34%16.79%--
5年年化成長率27.27%26.34%19.16%22.91%10.97%14.56%7.56%16.32%17.44%------
10年年化成長率20.75%16.57%17.73%20.15%----------------
營業毛利成長率-今年初累積至今
(%)2025年全年2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年
YoY40.44%38.23%-12.85%64.53%15.24%44.33%-1.04%0.62%4.21%15.7%8.65%34.45%
3年年化成長率19.16%25.61%18.23%39.87%18.07%12.85%1.24%6.65%9.42%19.12%18.9%--
5年年化成長率26.25%26.95%18.74%22.2%11.53%11.62%5.46%12.12%15.18%------
10年年化成長率18.71%15.7%15.38%18.64%----------------

營業利益

台積電(2330) 2025年第4季「營業利益」為NT$5,649億元、全年累積營業利益為NT$1.94兆元
單季
台積電(2330) 最新公布的2025年第4季財報中,單季營業利益為NT$5,649億元,較上一季成長12.83%,較去年同期成長32.7%。為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「第4季營業利益年化成長率」分別為20.23%、29.17%與21.9%。
今年初累積至今
累積部分,今年全年營業利益累積為NT$1.94兆元,較去年同期成長46.45%,為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「全年營業利益年化成長率」分別為19.97%、27.85%與19.72%。
營業利益成長率-單季
(%)2025年第4季2024年第4季2023年第4季2022年第4季2021年第4季2020年第4季2019年第4季2018年第4季2017年第4季2016年第4季2015年第4季2014年第4季
YoY32.7%63.61%-19.95%77.84%16.33%26.46%15.98%-1.63%-0.92%40.97%-11.63%84.74%
3年年化成長率20.23%32.56%18.31%37.79%19.49%13%4.17%11.17%7.27%32.03%18.89%--
5年年化成長率29.17%27.93%19.42%24.45%10.71%15.05%7.09%17.54%18.61%------
10年年化成長率21.9%17.05%18.48%21.49%----------------
營業利益成長率-今年初累積至今
(%)2025年全年2024年全年2023年全年2022年全年2021年全年2020年全年2019年全年2018年全年2017年全年2016年全年2015年全年2014年全年
YoY46.45%43.47%-17.82%72.51%14.68%52.07%-2.85%-0.5%2.01%18.09%8.16%41.28%
3年年化成長率19.97%26.7%17.59%44.36%19.22%13.7%-0.47%6.23%9.22%21.75%20.88%--
5年年化成長率27.85%28.82%19.16%23.8%11.45%12.11%4.72%12.87%16.3%------
10年年化成長率19.72%16.15%15.97%19.99%----------------

稅前淨利

台積電(2330) 2025年第3季「稅前淨利」為NT$5,254億元、前9個月累積稅前淨利為NT$1.45兆元
單季
台積電(2330) 最新公布的2025年第3季財報中,單季稅前淨利為NT$5,254億元,較上一季成長6.56%,較去年同期成長36.75%。為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「第3季稅前淨利年化成長率」分別為18.38%、27.63%與20.21%。
今年初累積至今
累積部分,今年前9個月稅前淨利累積為NT$1.45兆元,較去年同期成長51.44%,為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「前9個月稅前淨利年化成長率」分別為21.43%、27.89%與18.31%。
稅前淨利成長率-單季
(%)2025年第3季2024年第3季2023年第3季2022年第3季2021年第3季2020年第3季2019年第3季2018年第3季2017年第3季2016年第3季2015年第3季2014年第3季
YoY36.75%58.79%-23.6%82.16%12.07%38.09%13.59%-1.61%-7.14%29.8%-2.33%43.86%
3年年化成長率18.38%30.25%15.97%41.27%20.69%15.56%1.24%5.85%5.59%22.18%15.76%--
5年年化成長率27.63%27.88%19.59%25.8%9.94%13.22%5.64%10.75%13.33%------
10年年化成長率20.21%16.23%15.09%19.4%----------------
稅前淨利成長率-今年初累積至今
(%)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2017年前9個月2016年前9個月2015年前9個月2014年前9個月
YoY51.44%36.55%-13.42%69.25%12.9%62.29%-8.86%0.69%3.85%1.53%26.79%28.87%
3年年化成長率21.43%26.01%18.27%45.82%18.64%14.2%-1.59%2.02%10.16%18.38%25.84%--
5年年化成長率27.89%29.67%19.6%23.27%11.79%9.45%4.17%11.65%16.01%------
10年年化成長率18.31%16.23%15.55%19.58%----------------

淨利

台積電(2330) 2025年第3季「淨利」為NT$4,518億元、前9個月累積淨利為NT$1.21兆元
單季
台積電(2330) 最新公布的2025年第3季財報中,單季淨利為NT$4,518億元,較上一季成長13.65%,較去年同期成長38.97%。為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「第3季淨利年化成長率」分別為17.15%、26.88%與19.62%。
今年初累積至今
累積部分,今年前9個月淨利累積為NT$1.21兆元,較去年同期成長51.63%,為過去11年同期中的第1高。 同時台積電過去3年、5年與10年的「前9個月淨利年化成長率」分別為18.83%、26.38%與17.87%。
淨利成長率-單季
(%)2025年第3季2024年第3季2023年第3季2022年第3季2021年第3季2020年第3季2019年第3季2018年第3季2017年第3季2016年第3季2015年第3季2014年第3季
YoY38.97%54.22%-24.98%79.56%13.9%35.88%13.47%-0.95%-7.07%28.51%-1.29%46.92%
3年年化成長率17.15%27.6%15.34%40.59%20.65%15.16%1.46%5.76%5.64%23.06%15.08%--
5年年化成長率26.88%26.31%18.8%25.58%10.08%12.77%5.79%11.4%12.72%------
10年年化成長率19.62%15.6%15.04%18.98%----------------
淨利成長率-今年初累積至今
(%)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2017年前9個月2016年前9個月2015年前9個月2014年前9個月
YoY51.63%33.11%-16.86%67.41%14.75%63.71%-8.72%3.01%4.16%0.17%27.15%28.33%
3年年化成長率18.83%22.82%16.89%46.51%19.69%15.46%-0.69%2.43%9.88%17.79%23.32%--
5年年化成長率26.38%28.33%19%24.21%12.97%9.94%4.52%11.89%14.37%------
10年年化成長率17.87%15.81%15.39%19.19%----------------
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