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上詮-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2026/03/31截至2025/03/31截至2024/03/31截至2023/03/31截至2022/03/31截至2021/03/31截至2020/03/31截至2019/03/31截至2018/03/31截至2017/03/31截至2016/03/31截至2015/03/31截至2014/03/31截至2013/03/31截至2012/03/31
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%
資產
流動資產
現金及約當現金4,371,36869.33%1,404,67945.86%921,99139.05%539,87824.96%377,87116.69%347,66216.08%406,50120.14%584,63924.65%238,52714.29%176,78710.31%187,70110.7%387,91222.38%517,27230.73%369,11427.53%286,58020.65%
透過損益按公允價值衡量之金融資產-流動22,6000.36%44,6501.46%208,8008.84%211,6009.78%216,0179.54%246,62111.41%87,5274.34%235,7169.94%119,7707.18%128,4657.49%83,7494.77%00%00%2000.01%00%
透過其他綜合損益按公允價值衡量之金融資產-流動00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
按攤銷後成本衡量之金融資產-流動00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
應收票據淨額4270.01%4140.01%00%920%8010.04%6610.03%370%6030.03%5,1910.31%10,2920.6%1,1620.07%
應收帳款淨額399,3856.33%308,55510.07%227,4629.63%329,40815.23%407,96818.02%374,52117.32%372,83218.47%423,40217.85%413,54424.78%466,15027.19%459,76726.21%281,56916.24%269,42016.01%238,44817.78%398,74828.73%
其他應收款11,5990.18%13,2870.43%6,1470.26%11,3310.52%32,1021.42%20,2690.94%19,5640.97%27,7281.17%11,5830.69%36,4002.12%120,0736.85%
本期所得稅資產4,8710.08%00%3040.01%8,0370.37%00%
存貨409,8416.5%381,37112.45%241,54210.23%296,61613.72%418,52118.48%273,73712.66%174,8458.66%226,2709.54%180,13210.79%177,58510.36%208,68911.9%183,45710.58%168,1959.99%149,97811.19%188,65313.59%
預付款項00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
其他流動資產42,3150.67%39,5611.29%18,1290.77%3,2530.15%7,5950.34%28,0181.3%35,6251.76%28,7011.21%21,1581.27%52,9743.09%49,4782.82%51,8452.99%36,8242.19%27,5882.06%27,1491.96%
流動資產合計5,262,40683.46%2,192,51771.58%1,625,66968.86%1,392,84164.41%1,522,17067.22%1,299,52660.1%1,096,93154.34%1,527,05964.39%989,90559.32%1,048,65361.17%1,188,08967.73%1,197,99869.1%1,167,73969.38%856,48263.88%901,69964.97%
非流動資產
透過其他綜合損益按公允價值衡量之金融資產-非流動37,6170.6%75,8842.48%140,3025.94%190,6858.82%117,6475.2%127,0465.88%134,5996.67%32,0121.35%39,4632.36%
按攤銷後成本衡量之金融資產-非流動2,9390.05%2,9390.1%2,9390.12%2,9390.14%3,0180.13%2,9970.14%2,9700.15%2,9430.12%2,9170.17%
不動產、廠房及設備730,35811.58%563,32218.39%373,67815.83%373,44817.27%410,78718.14%514,54323.8%579,80328.72%537,77222.68%547,28632.8%466,31327.2%348,00219.84%338,85319.55%322,12319.14%328,75924.52%325,57323.46%
使用權資產116,3511.85%89,3762.92%89,4873.79%92,0454.26%110,1084.86%131,8496.1%132,6476.57%127,5805.38%00%00%00%00%00%00%00%
投資性不動產淨額1,9040.03%39,2581.28%50,9852.16%53,1072.46%64,9042.87%49,0192.27%26,6411.32%41,6201.75%34,9072.09%29,3371.71%108,2456.17%110,3996.37%113,1906.73%116,2798.67%119,4948.61%
無形資產32,1070.51%29,1140.95%27,9461.18%3,0580.14%1,1970.05%6410.03%1710.01%3410.01%00%00%00%00%00%00%00%
遞延所得稅資產81,2261.29%59,1851.93%34,1231.45%10,8090.5%6,8900.3%11,8790.55%6,5980.33%6,3360.27%8,9040.53%13,6610.8%12,3870.71%38,2442.21%13,4880.8%13,4941.01%10,3440.75%
其他非流動資產40,3800.64%11,6140.38%10,7000.45%29,7811.38%8,9760.4%24,6741.14%38,3541.9%40,9441.73%31,9841.92%69,9834.08%51,1812.92%30,1331.74%64,0853.81%23,3041.74%22,2281.6%
非流動資產合計1,042,88216.54%870,69228.42%735,31431.14%769,72235.59%742,12532.78%862,64839.9%921,78345.66%844,54835.61%678,84740.68%665,55438.83%565,96832.27%535,66330.9%515,37030.62%484,32036.12%486,12335.03%
資產總計6,305,288100%3,063,209100%2,360,983100%2,162,563100%2,264,295100%2,162,174100%2,018,714100%2,371,607100%1,668,752100%1,714,207100%1,754,057100%1,733,661100%1,683,109100%1,340,802100%1,387,822100%
負債及權益
負債
流動負債
短期借款81,2931.29%00%00%180,0008.32%20,0000.88%60,0002.77%50,0002.48%30,0001.26%127,1807.62%50,0002.92%00%00%00%45,1833.37%44,1413.18%
合約負債-流動15,7340.25%10,9220.36%3,5470.15%8700.04%1,3120.06%4,1870.19%2,9230.14%4,5660.19%7,4630.45%
應付票據2,2800.04%1,9050.06%1,8730.08%1,5590.07%1,6510.07%1,9030.09%1,6360.08%4,2060.18%00%390%
應付帳款191,6343.04%309,85210.12%121,0275.13%119,3045.52%207,8909.18%189,8618.78%133,8946.63%186,5857.87%197,90811.86%287,43016.77%287,49616.39%148,7558.58%165,5409.84%164,85412.3%276,85919.95%
其他應付款152,4662.42%94,0843.07%71,0753.01%92,5754.28%235,28810.39%171,6097.94%164,6308.16%80,8133.41%66,8324%74,3874.34%80,6414.6%68,4343.95%68,7234.08%49,6663.7%60,7894.38%
本期所得稅負債710%5,3000.17%1,1540.05%12,3140.57%38,8611.72%2,4180.11%5,0460.25%17,8270.75%28,3731.7%10,0470.59%6,0680.35%4,7190.27%3,6470.22%23,5371.76%13,4830.97%
負債準備-流動8,9260.14%11,0110.36%
租賃負債-流動19,5440.31%16,3010.53%11,6770.49%15,8490.73%21,0070.93%15,0920.7%14,7140.73%15,5090.65%
其他流動負債3,4270.05%3,1690.1%2,7350.12%8,5970.4%9,0520.4%37,5131.73%48,1042.38%1,8750.08%4890.03%2,3690.14%10,0040.57%178,44810.29%
一年或一營業週期內到期長期負債00%00%00%00%00%00%00%00%00%00%00%12,7080.73%00%00%00%
流動負債合計475,3757.54%452,54414.77%213,0889.03%431,80019.97%535,06123.63%482,58322.32%421,22320.87%341,38114.39%428,24525.66%424,23324.75%384,24821.91%400,51623.1%242,78014.42%296,72122.13%408,52029.44%
非流動負債
應付公司債00%00%00%00%00%00%00%116,8594.93%00%00%00%00%175,69510.44%00%00%
長期借款00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
遞延所得稅負債7730.01%10,7000.35%5,8190.25%1,8120.08%18,1050.8%3,6940.17%00%00%
租賃負債-非流動95,0441.51%75,8022.47%80,0213.39%78,5393.63%91,8664.06%100,7074.66%101,1075.01%92,7413.91%00%00%00%00%00%00%00%
其他非流動負債00%1,3260.04%1,7140.07%1,7140.08%2,0860.09%3,5910.17%2,9700.15%2,4220.1%2,1440.13%1,1310.07%2,0960.12%4,5470.26%4,5640.27%9,2010.69%8,9360.64%
非流動負債合計95,8171.52%87,8282.87%87,5543.71%82,0653.79%112,0574.95%107,9924.99%104,0775.16%212,0228.94%2,1440.13%1,1310.07%2,0960.12%4,5470.26%180,25910.71%9,2010.69%8,9360.64%
負債總計571,1929.06%540,37217.64%300,64212.73%513,86523.76%647,11828.58%590,57527.31%525,30026.02%553,40323.33%430,38925.79%425,36424.81%386,34422.03%405,06323.36%423,03925.13%305,92222.82%417,45630.08%
權益
歸屬於母公司業主之權益
股本
普通股股本1,136,40618.02%1,036,40633.83%986,40641.78%883,36640.85%883,14639%870,73940.27%905,95844.88%876,42136.95%774,74146.43%774,94145.21%765,99143.67%760,05543.84%701,42141.67%604,04145.05%601,39143.33%
特別股股本00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
股本合計1,136,40618.02%1,036,40633.83%986,40641.78%883,36640.85%883,14639%870,73940.27%905,95844.88%876,42136.95%774,74146.43%774,94145.21%765,99143.67%760,05543.84%701,42141.67%605,39145.15%601,39143.33%
資本公積
資本公積-發行溢價4,618,29473.24%1,437,82446.94%965,82440.91%553,07425.57%552,76924.41%534,29424.71%536,35426.57%489,06820.62%321,25519.25%321,25518.74%321,25518.31%274,82216.33%185,17813.81%184,96613.33%
資本公積-特別股股票溢價00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
資本公積-認列對子公司所有權權益變動數1,7750.03%1,7750.06%1,7750.08%1,7750.08%1,7750.08%1,7750.08%1,7750.09%1,7750.07%1,7750.11%1,7750.1%
資本公積-採用權益法認列關聯企業及合資股權淨值之變動數00%00%00%00%00%1,7750.1%
資本公積-認股權32,5700.52%00%4740.02%5090.02%2,5630.12%3,3880.17%8,7140.37%
資本公積-其他2580%6100.02%2580.01%2580.01%2580.01%2580.01%2580.01%2580.01%2580.02%2580.02%2580.01%
資本公積合計4,652,89773.79%1,440,20947.02%967,85740.99%555,58125.69%555,31124.52%538,89024.92%578,84128.67%536,88122.64%348,24720.87%339,17419.79%323,28818.43%354,44720.45%275,08016.34%185,43613.83%185,22413.35%
保留盈餘
法定盈餘公積136,3412.16%136,3414.45%135,1355.72%130,4336.03%115,1075.08%108,1035%99,2334.92%82,0303.46%76,1994.57%58,8643.43%58,8643.36%58,8643.4%51,0713.03%39,6622.96%28,4172.05%
特別盈餘公積221,1873.51%221,1877.22%168,2277.13%170,5867.89%132,2775.84%81,3013.76%41,4092.05%19,0140.8%11,5610.69%00%00%1,2950.08%00%7,3450.53%
未分配盈餘(或待彌補虧損)(191,076)-3.03%(93,546)-3.05%25,8931.1%78,5873.63%92,2504.07%103,5434.79%122,2956.06%462,25119.49%281,37916.86%296,27217.28%202,34111.54%125,4617.24%260,64815.49%242,99718.12%192,43713.87%
保留盈餘合計166,4522.64%263,9828.62%329,25513.95%379,60617.55%339,63415%292,94713.55%262,93713.02%563,29523.75%369,13922.12%355,13620.72%261,20514.89%184,32510.63%313,01418.6%282,65921.08%228,19916.44%
其他權益
國外營運機構財務報表換算之兌換差額2,2460.04%(19,959)-0.65%(34,424)-1.46%(31,484)-1.46%(19,508)-0.86%(38,881)-1.8%(48,641)-2.41%(16,369)-0.69%(12,429)-0.74%(31,568)-1.84%10,5890.6%21,2451.23%7,1100.42%9860.07%(5,042)-0.36%
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(223,905)-3.55%(197,801)-6.46%(188,753)-7.99%(138,371)-6.4%(141,406)-6.25%(92,096)-4.26%(79,334)-3.93%(15,415)-0.65%(13,761)-0.82%
其他權益合計(221,659)-3.52%(217,760)-7.11%(223,177)-9.45%(169,855)-7.85%(160,914)-7.11%(130,977)-6.06%(127,975)-6.34%(32,046)-1.35%(30,001)-1.8%(43,124)-2.52%8,2340.47%25,7761.49%9,8470.59%8000.06%(5,042)-0.36%
歸屬於母公司業主之權益合計5,734,09690.94%2,522,83782.36%2,060,34187.27%1,648,69876.24%1,617,17771.42%1,571,59972.69%1,493,41473.98%1,818,20476.67%1,238,36374.21%1,288,84375.19%1,358,71877.46%1,324,60376.4%1,259,95674.86%1,034,88077.18%970,36669.92%
非控制權益00%00%00%00%00%00%00%00%00%00%8,9950.51%3,9950.23%1140.01%00%00%
權益總計5,734,09690.94%2,522,83782.36%2,060,34187.27%1,648,69876.24%1,617,17771.42%1,571,59972.69%1,493,41473.98%1,818,20476.67%1,238,36374.21%1,288,84375.19%1,367,71377.97%1,328,59876.64%1,260,07074.87%1,034,88077.18%970,36669.92%
負債及權益總計6,305,288100%3,063,209100%2,360,983100%2,162,563100%2,264,295100%2,162,174100%2,018,714100%2,371,607100%1,668,752100%1,714,207100%1,754,057100%1,733,661100%
待註銷股本股數00%00%00%00%00%00%00%00%00%00%00%00%
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%00%1250.01%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%4,000,0000.2%4,000,0000.17%7,503,0000.45%5,000,0000.29%00%00%1,630,0000.1%1,630,0000.12%1,630,0000.12%
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

上詮(3363) 截至2023年第2季「資產總額」總計約為NT$21.37億元,相較上一季減少約NT$-2,512萬元、相較去年年末減少約NT$-4,049萬元
上詮(3363) 2023年第2季財報顯示公司「資產總額」約NT$21.37億元;負債總額約NT$5.29億元、為資產總額的24.76%;權益總額約NT$16.08億元、為資產總額的75.24%。
對比上一季
上一季的(2023年第1季)「資產總額」則為NT$21.63億元;負債總額約NT$5.14億元、為資產總額的23.76%;權益總額約NT$16.49億元、為資產總額的76.24%。 今年第2季相較上一季「資產總額」增加約NT$-2,512萬元。
對比去年年末
去年年末的「資產總額」則為NT$21.78億元;負債總額約NT$5.17億元、為資產總額的23.76%;權益總額約NT$16.61億元、為資產總額的76.24%。 今年第2季相較去年年末「資產總額」增加約NT$-4,049萬元。
TWD千元截至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截至2014/06/30截至2014/03/31截至2013/12/31截至2013/09/30
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2,137,443100%2,162,563100%2,177,929100%2,181,164100%2,214,573100%2,264,295100%2,327,508100%2,284,437100%2,249,225100%2,162,174100%2,192,744100%2,217,256100%2,271,199100%2,018,714100%2,195,245100%2,196,655100%2,439,336100%2,371,607100%2,084,173100%2,002,469100%1,642,334100%1,668,752100%1,634,249100%1,745,439100%1,732,415100%1,714,207100%1,684,574100%1,700,790100%1,723,976100%1,754,057100%1,675,237100%1,757,300100%1,763,040100%1,733,661100%1,747,369100%1,563,534100%1,693,409100%1,683,109100%1,637,275100%1,655,970100%
負債總額529,16724.76%513,86523.76%517,42623.76%549,17025.18%607,45527.43%647,11828.58%576,54124.77%567,27024.83%654,97229.12%590,57527.31%537,31724.50%514,75323.22%634,40927.93%525,30026.02%500,97522.82%443,28620.18%672,88727.58%553,40323.33%745,09535.75%754,20637.66%451,76227.51%430,38925.79%413,57725.31%383,29121.96%449,32325.94%425,36424.81%406,21324.11%326,88919.22%367,44521.31%386,34422.03%416,90424.89%434,63524.73%471,20126.73%405,06323.36%411,24023.53%225,46614.42%379,03322.38%423,03925.13%549,04333.53%640,74838.69%
權益總額1,608,27675.24%1,648,69876.24%1,660,50376.24%1,631,99474.82%1,607,11872.57%1,617,17771.42%1,750,96775.23%1,717,16775.17%1,594,25370.88%1,571,59972.69%1,655,42775.50%1,702,50376.78%1,636,79072.07%1,493,41473.98%1,694,27077.18%1,753,36979.82%1,766,44972.42%1,818,20476.67%1,339,07864.25%1,248,26362.34%1,190,57272.49%1,238,36374.21%1,220,67274.69%1,362,14878.04%1,283,09274.06%1,288,84375.19%1,278,36175.89%1,373,90180.78%1,356,53178.69%1,367,71377.97%1,258,33375.11%1,322,66575.27%1,291,83973.27%1,328,59876.64%1,336,12976.47%1,338,06885.58%1,314,37677.62%1,260,07074.87%1,088,23266.47%1,015,22261.31%

流動資產

上詮(3363) 截至2023年第2季「流動資產」總計約為NT$13.87億元,相較上一季減少約NT$-548萬元、相較去年年末減少約NT$-2,910萬元
上詮(3363) 2023年第2季財報顯示公司「流動資產」總計約NT$13.87億元、約佔整體資產的64.91%。
對比上一季
上一季流動資產總計約NT$13.93億元、約佔整體資產的64.41%。今年第2季相較上一季減少約NT$-548萬元。
對比去年年末
去年年末流動資產則為NT$14.16億元、約佔整體資產的65.04%。今年第2季相較去年年末減少約NT$-2,910萬元。
TWD千元截至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截至2014/06/30截至2014/03/31截至2013/12/31截至2013/09/30
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1,387,36164.91%1,392,84164.41%1,416,45965.04%1,411,45964.71%1,433,45064.73%1,522,17067.22%1,500,55364.47%1,419,83862.15%1,409,19962.65%1,299,52660.10%1,329,61260.64%1,300,87158.67%1,353,53859.60%1,096,93154.34%1,236,16656.31%1,212,33055.19%1,516,21162.16%1,527,05964.39%1,412,92267.79%1,336,61466.75%987,14060.11%989,90559.32%969,41059.32%1,062,49460.87%1,064,39061.44%1,048,65361.17%1,048,55362.24%1,122,79566.02%1,149,66866.69%1,188,08967.73%1,092,41265.21%1,196,98268.11%1,231,30969.84%1,197,99869.10%1,220,35669.84%1,072,85768.62%1,164,86568.79%1,167,73969.38%1,133,09969.21%1,156,61669.85%

非流動資產

上詮(3363) 截至2023年第2季「非流動資產」總計約為NT$7.5億元,相較上一季減少約NT$-1,964萬元、相較去年年末減少約NT$-1,139萬元
上詮(3363) 2023年第2季財報顯示公司「非流動資產」總計約NT$7.5億元、約佔整體資產的35.09%。
對比上一季
上一季非流動資產總計約NT$7.7億元、約佔整體資產的35.59%。今年第2季相較上一季減少約NT$-1,964萬元。
對比去年年末
去年年末非流動資產則為NT$7.61億元、約佔整體資產的34.96%。今年第2季相較去年年末減少約NT$-1,139萬元。
TWD千元截至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截至2014/06/30截至2014/03/31截至2013/12/31截至2013/09/30
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750,08235.09%769,72235.59%761,47034.96%769,70535.29%781,12335.27%742,12532.78%826,95535.53%864,59937.85%840,02637.35%862,64839.90%863,13239.36%916,38541.33%917,66140.40%921,78345.66%959,07943.69%984,32544.81%923,12537.84%844,54835.61%671,25132.21%665,85533.25%655,19439.89%678,84740.68%664,83940.68%682,94539.13%668,02538.56%665,55438.83%636,02137.76%577,99533.98%574,30833.31%565,96832.27%582,82534.79%560,31831.89%531,73130.16%535,66330.90%527,01330.16%490,67731.38%528,54431.21%515,37030.62%504,17630.79%499,35430.15%

流動負債

上詮(3363) 截至2023年第2季「流動負債」總計約為NT$4.51億元,相較上一季增加約NT$1,889萬元、相較去年年末增加約NT$2,042萬元
上詮(3363) 2023年第2季財報顯示公司「流動負債」總計約NT$4.51億元、約佔整體資產的21.09%。
對比上一季
上一季流動負債總計約NT$4.32億元、約佔整體資產的19.97%。今年第2季相較上一季增加約NT$1,889萬元。
對比去年年末
去年年末流動負債則為NT$4.3億元、約佔整體資產的19.76%。今年第2季相較去年年末增加約NT$2,042萬元。
TWD千元截至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截至2014/06/30截至2014/03/31截至2013/12/31截至2013/09/30
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450,68621.09%431,80019.97%430,26819.76%454,87120.85%511,95623.12%535,06123.63%465,87920.02%462,67320.25%555,21824.68%482,58322.32%437,60819.96%413,18618.64%533,46223.49%421,22320.87%411,50818.75%296,57313.50%487,50419.99%341,38114.39%375,57118.02%386,22319.29%449,13727.35%428,24525.66%411,43325.18%382,15921.89%448,19225.87%424,23324.75%404,26224.00%324,78419.10%366,15921.24%384,24821.91%414,82524.76%430,62824.51%467,19426.50%400,51623.10%406,69323.27%220,10714.08%341,86720.19%242,78014.42%213,63713.05%263,01915.88%

非流動負債

上詮(3363) 截至2023年第2季「非流動負債」總計約為NT$7,848萬元,相較上一季減少約NT$-358萬元、相較去年年末減少約NT$-868萬元
上詮(3363) 2023年第2季財報顯示公司「非流動負債」總計約NT$7,848萬元、約佔整體資產的3.67%。
對比上一季
上一季非流動負債總計約NT$8,206萬元、約佔整體資產的3.79%。今年第2季相較上一季減少約NT$-358萬元。
對比去年年末
去年年末非流動負債則為NT$8,716萬元、約佔整體資產的4.00%。今年第2季相較去年年末減少約NT$-868萬元。
TWD千元截至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截至2014/06/30截至2014/03/31截至2013/12/31截至2013/09/30
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78,4813.67%82,0653.79%87,1584.00%94,2994.32%95,4994.31%112,0574.95%110,6624.75%104,5974.58%99,7544.44%107,9924.99%99,7094.55%101,5674.58%100,9474.44%104,0775.16%89,4674.08%146,7136.68%185,3837.60%212,0228.94%369,52417.73%367,98318.38%2,6250.16%2,1440.13%2,1440.13%1,1320.06%1,1310.07%1,1310.07%1,9510.12%2,1050.12%1,2860.07%2,0960.12%2,0790.12%4,0070.23%4,0070.23%4,5470.26%4,5470.26%5,3590.34%37,1662.19%180,25910.71%335,40620.49%377,72922.81%

權益

上詮(3363) 截至2023年第2季「權益」總計約為NT$16.08億元,相較上一季減少約NT$-4,042萬元、相較去年年末減少約NT$-5,223萬元
上詮(3363) 2023年第2季財報顯示公司「權益」總計約NT$16.08億元、約佔整體資產的75.24%。
對比上一季
上一季權益總計約NT$16.49億元、約佔整體資產的76.24%。今年第2季相較上一季減少約NT$-4,042萬元。
對比去年年末
去年年末權益則為NT$16.61億元、約佔整體資產的76.24%。今年第2季相較去年年末減少約NT$-5,223萬元。
TWD千元截至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截至2014/06/30截至2014/03/31截至2013/12/31截至2013/09/30
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1,608,27675.24%1,648,69876.24%1,660,50376.24%1,631,99474.82%1,607,11872.57%1,617,17771.42%1,750,96775.23%1,717,16775.17%1,594,25370.88%1,571,59972.69%1,655,42775.50%1,702,50376.78%1,636,79072.07%1,493,41473.98%1,694,27077.18%1,753,36979.82%1,766,44972.42%1,818,20476.67%1,339,07864.25%1,248,26362.34%1,190,57272.49%1,238,36374.21%1,220,67274.69%1,362,14878.04%1,283,09274.06%1,288,84375.19%1,278,36175.89%1,373,90180.78%1,356,53178.69%1,367,71377.97%1,258,33375.11%1,322,66575.27%1,291,83973.27%1,328,59876.64%1,336,12976.47%1,338,06885.58%1,314,37677.62%1,260,07074.87%1,088,23266.47%1,015,22261.31%
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