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日月光投控-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
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87,811,2469.17%77,100,2889.96%75,105,13011.02%62,056,1309.19%84,425,83412.13%73,782,76712.17%73,828,55012.91%59,316,57611.29%43,146,01212.09%
透過損益按公允價值衡量之金融資產-流動24,282,0382.54%14,972,6361.93%6,476,0680.95%5,336,0050.79%4,543,1150.65%4,894,3790.81%4,829,8570.84%7,821,5321.49%6,319,3931.77%
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%
按攤銷後成本衡量之金融資產-流動00%00%00%00%00%00%00%00%00%
合約資產-流動8,929,1570.93%6,181,4230.8%4,368,6360.64%4,669,1830.69%6,121,9280.88%5,257,0640.87%6,185,3011.08%4,114,2760.78%2,093,5290.59%
應收帳款淨額126,007,41213.16%109,717,29614.17%97,263,62114.27%91,513,61313.55%106,559,91615.31%81,726,14313.48%73,572,51312.87%63,390,71612.07%44,245,61312.4%
其他應收款4,820,1970.5%2,591,3540.33%18,048,4582.65%15,675,9252.32%13,800,2971.98%3,705,3790.61%1,400,3430.24%1,496,3770.28%837,2100.23%
本期所得稅資產638,3960.07%764,5490.1%1,163,1090.17%970,6130.14%567,6130.08%892,9260.15%621,5970.11%480,8610.09%305,4400.09%
存貨76,043,0307.94%59,857,4487.73%63,259,2569.28%85,666,91212.68%86,201,14812.38%66,949,63311.04%50,027,3128.75%45,368,7708.64%34,190,0879.58%
存貨-製造業72,215,4527.54%55,923,2377.22%59,428,9688.72%80,153,56611.87%80,646,90411.58%53,430,6108.81%38,615,3206.75%34,967,3616.66%24,169,2236.77%
存貨(建設業適用)3,827,5780.4%3,934,2110.51%3,830,2880.56%5,513,3460.82%5,554,2440.8%13,519,0232.23%11,411,9922%10,401,4091.98%10,020,8642.81%
預付款項00%00%00%00%00%00%00%00%00%
其他流動資產9,167,0520.96%7,466,9380.96%7,317,6741.07%5,382,5640.8%4,819,9520.69%4,993,0760.82%6,149,1881.08%6,843,7131.3%6,864,4991.92%
其他金融資產-流動1,858,7000.19%1,462,4620.19%1,934,2360.28%980,9640.15%154,8890.02%219,2680.04%780,9960.14%3,277,8520.62%4,231,1581.19%
其他流動資產-其他7,308,3520.76%6,004,4760.78%5,383,4380.79%4,401,6000.65%4,665,0630.67%4,773,8080.79%5,368,1920.94%3,565,8610.68%2,633,3410.74%
流動資產合計337,698,52835.27%278,651,93235.99%273,001,95240.06%271,270,94540.16%307,039,80344.11%242,201,36739.95%216,614,66137.89%188,832,82135.95%138,001,78338.67%
非流動資產
透過損益按公允價值衡量之金融資產-非流動2,504,2750.26%2,502,1890.32%2,548,0110.37%1,996,6530.3%2,890,8870.42%1,908,9090.31%1,281,2590.22%899,1820.17%194,0910.05%
透過其他綜合損益按公允價值衡量之金融資產-非流動13,818,6561.44%14,428,8751.86%1,639,0950.24%1,583,7410.23%1,947,1610.28%1,813,6960.3%1,807,1870.32%1,783,7890.34%1,801,1040.5%
採用權益法之投資30,276,7413.16%19,792,3842.56%20,959,1953.08%15,725,0362.33%16,933,6792.43%14,524,0812.4%11,090,3311.94%9,575,9041.82%48,680,27613.64%
不動產、廠房及設備459,469,71647.99%342,055,85344.18%265,592,06538.97%266,005,40139.38%247,541,51235.56%236,864,62939.07%234,418,75141.01%212,639,34540.48%134,637,20737.73%
使用權資產12,264,6111.28%11,753,9071.52%11,533,8971.69%10,881,8351.61%10,914,9321.57%8,952,7071.48%9,578,4351.68%10,530,7292%00%
投資性不動產淨額19,098,4421.99%20,068,7812.59%20,617,2393.03%21,567,2563.19%22,846,3983.28%12,335,9322.03%12,627,7142.21%14,496,6232.76%8,199,0992.3%
無形資產65,041,9156.79%66,955,1528.65%68,985,97110.12%72,100,71110.67%75,235,65910.81%79,942,06113.19%77,941,35813.63%79,629,68215.16%11,333,5113.18%
商譽52,879,9405.52%52,025,6446.72%51,857,1777.61%51,672,4147.65%51,491,4027.4%53,909,1958.89%49,556,3498.67%49,324,4969.39%9,900,4622.77%
其他無形資產淨額12,161,9751.27%14,929,5081.93%17,128,7942.51%20,428,2973.02%23,744,2573.41%26,032,8664.29%28,385,0094.97%30,305,1865.77%1,433,0490.4%
遞延所得稅資產8,150,9800.85%7,305,4650.94%6,652,0950.98%6,062,7750.9%5,736,1900.82%5,082,6280.84%4,618,7570.81%4,959,5030.94%4,242,8651.19%
其他非流動資產9,203,5800.96%10,662,8421.38%9,940,3541.46%8,245,5961.22%5,061,7140.73%2,602,8130.43%1,689,8960.3%1,974,3500.38%9,790,4782.74%
其他金融資產-非流動4,002,7910.42%4,704,4800.61%5,629,6430.83%5,046,1670.75%1,429,9050.21%550,3450.09%571,3590.1%1,026,5570.2%179,0280.05%
其他非流動資產-其他5,200,7890.54%5,958,3620.77%4,310,7110.63%3,199,4290.47%3,631,8090.52%2,052,4680.34%1,118,5370.2%947,7930.18%668,2710.19%
非流動資產合計619,828,91664.73%495,525,44864.01%408,467,92259.94%404,169,00459.84%389,108,13255.89%364,027,45660.05%355,053,68862.11%336,489,10764.05%218,878,63161.33%
資產總計957,527,444100%774,177,380100%681,469,874100%675,439,949100%696,147,935100%606,228,823100%571,668,349100%525,321,928100%356,880,414100%
負債及權益
負債
流動負債
短期借款40,365,1514.22%41,255,2315.33%43,031,5466.31%32,904,4234.87%43,133,1796.2%37,881,2086.25%51,620,5879.03%49,206,8409.37%17,380,5094.87%
應付短期票券00%1,249,7660.16%999,9590.15%
應付短期票券00%1,249,7660.16%999,9590.15%
透過損益按公允價值衡量之金融負債-流動502,4180.05%302,6450.04%276,0380.04%566,8470.08%477,7270.07%1,212,2240.2%558,4290.1%18,5560%958,7610.27%
避險之金融負債-流動9,359,0930.98%12,980,2571.68%12,831,7211.88%12,253,3481.81%6,857,2030.99%5,185,7880.86%3,571,1780.62%3,907,8730.74%2,250,7560.63%
應付帳款86,897,4839.08%74,381,4159.61%66,453,6929.75%63,552,2009.41%83,897,58712.05%62,059,25910.24%53,943,7019.44%43,094,5288.2%33,111,7119.28%
其他應付款114,956,11312.01%92,231,02111.91%64,263,3349.43%83,195,86712.32%77,565,37311.14%40,976,6056.76%38,630,6376.76%28,795,2205.48%20,768,8075.82%
應付股利28,956,5833.02%23,033,7822.98%22,459,6513.3%37,840,1975.6%29,991,4084.31%
其他應付款-其他85,999,5308.98%69,197,2398.94%41,803,6836.13%45,355,6706.71%47,573,9656.83%40,976,6056.76%38,630,6376.76%28,795,2205.48%20,768,8075.82%
本期所得稅負債9,585,0481%6,606,5010.85%7,906,2271.16%11,968,5961.77%12,068,6571.73%5,311,1250.88%3,632,4360.64%4,351,7870.83%3,944,2981.11%
租賃負債-流動935,4450.1%918,5970.12%1,442,8990.21%924,4220.14%848,9220.12%722,8870.12%659,0830.12%605,9300.12%00%
其他流動負債31,901,1633.33%37,816,1914.88%31,837,6114.67%28,993,7084.29%25,877,6033.72%14,500,8412.39%20,392,0253.57%23,041,3364.39%10,625,2812.98%
一年或一營業週期內到期長期負債6,091,0910.64%20,773,9332.68%14,074,8792.07%11,999,1261.78%10,824,8551.55%6,251,5311.03%13,724,9082.4%17,197,1113.27%5,683,1571.59%
一年或一營業週期內到期或執行賣回權公司債3,499,9450.37%14,999,2001.94%9,601,8521.41%7,298,5391.08%8,203,1621.18%3,698,9740.61%7,248,7241.27%
一年或一營業週期內到期長期借款2,591,1460.27%5,774,7330.75%4,473,0270.66%4,700,5870.7%2,621,6930.38%2,552,5570.42%6,476,1841.13%17,197,1113.27%5,683,1571.59%
其他流動負債-其他25,810,0722.7%17,042,2582.2%17,762,7322.61%16,994,5822.52%15,052,7482.16%8,249,3101.36%6,667,1171.17%5,844,2251.11%4,942,1241.38%
流動負債合計294,501,91430.76%267,741,62434.58%229,043,02733.61%234,359,41134.7%250,726,25136.02%167,849,93727.69%173,008,07630.26%153,022,07029.13%89,040,12324.95%
非流動負債
透過損益按公允價值衡量之金融負債-非流動432,4300.05%540,8260.07%00%10,2090%
應付公司債1,999,3510.21%21,066,3992.72%31,617,6134.64%38,836,9855.75%40,521,2695.82%48,457,5297.99%29,276,1065.12%16,987,0103.23%16,982,6564.76%
長期借款199,142,04620.8%126,708,32016.37%84,589,16812.41%86,751,87312.84%111,539,96816.02%118,602,19719.56%134,363,32623.5%112,037,75921.33%34,099,6969.55%
本期所得稅負債-非流動2,403,7700.25%
遞延所得稅負債5,367,0610.56%6,312,9050.82%7,379,7571.08%8,042,7251.19%7,461,6191.07%6,122,3401.01%5,685,7660.99%5,781,9491.1%5,680,2731.59%
租賃負債-非流動7,442,1480.78%6,684,4730.86%6,755,6390.99%6,629,4610.98%6,567,9530.94%5,491,1880.91%5,070,2580.89%5,357,7911.02%00%
其他非流動負債65,094,7706.8%10,099,5011.3%9,916,2111.46%11,093,4491.64%10,714,4381.54%7,956,7611.31%6,798,9411.19%6,238,7151.19%5,050,2951.42%
淨確定福利負債-非流動4,233,9870.44%3,309,2350.43%3,858,3700.57%4,005,3790.59%5,707,0140.82%6,317,0861.04%5,203,0190.91%5,100,8030.97%3,897,7681.09%
其他非流動負債-其他60,860,7836.36%6,790,2660.88%6,057,8410.89%7,088,0701.05%5,007,4240.72%1,639,6750.27%1,595,9220.28%1,137,9120.22%1,152,5270.32%
非流動負債合計281,881,57629.44%171,412,42422.14%140,258,38820.58%151,354,49322.41%181,661,38926.1%192,274,42631.72%181,194,39731.7%146,403,22427.87%61,812,92017.32%
負債總計576,383,49060.19%439,154,04856.73%369,301,41554.19%385,713,90457.11%432,387,64062.11%360,124,36359.4%354,202,47361.96%299,425,29457%150,853,04342.27%
權益
歸屬於母公司業主之權益
股本
普通股股本44,470,2984.64%44,149,3055.7%43,844,1176.43%43,672,4296.47%43,530,1886.25%43,506,7557.18%43,298,8367.57%43,216,2948.23%87,373,06724.48%
特別股股本00%00%00%00%00%00%00%00%00%
預收股本143,5630.01%42,1230.01%85,1250.01%66,6250.01%46,2060.01%290,7560.05%50,4600.01%11,0340%159,3150.04%
股本合計44,613,8614.66%44,191,4285.71%43,929,2426.45%43,739,0546.48%43,576,3946.26%43,797,5117.22%43,349,2967.58%43,227,3288.23%87,532,38224.53%
資本公積
資本公積-發行溢價
資本公積-特別股股票溢價00%00%00%00%00%00%00%00%00%
資本公積合計165,184,33517.25%150,171,16619.4%145,498,13621.35%143,652,94621.27%141,969,36220.39%141,339,69023.31%139,035,88324.32%143,515,15927.32%39,905,18111.18%
保留盈餘
法定盈餘公積25,076,5642.62%21,817,3902.82%18,584,5242.73%12,582,9601.86%6,300,1980.91%3,901,3840.64%2,203,8950.39%00%16,765,0664.7%
特別盈餘公積2,791,9600.29%2,791,9600.36%2,959,5730.43%10,367,0521.53%9,569,0271.37%10,847,6971.79%6,902,7821.21%3,353,9380.64%3,353,9380.94%
未分配盈餘(或待彌補虧損)97,012,28810.13%83,470,79810.78%75,357,50211.06%65,217,6519.66%55,090,7387.91%40,715,2386.72%26,354,8164.61%24,083,0454.58%59,342,61216.63%
保留盈餘合計124,880,81213.04%108,080,14813.96%96,901,59914.22%88,167,66313.05%70,959,96310.19%55,464,3199.15%35,461,4936.2%27,436,9835.22%79,461,61622.27%
其他權益
其他權益合計17,897,4911.87%11,038,0591.43%6,625,7960.97%(2,949,207)-0.44%(6,173,186)-0.89%(8,885,022)-1.47%(12,263,204)-2.15%(4,454,385)-0.85%(6,290,857)-1.76%
庫藏股票(1,959,107)-0.2%(1,959,107)-0.25%(1,959,107)-0.29%(1,959,107)-0.29%(1,959,107)-0.28%(1,959,107)-0.32%(1,959,107)-0.34%(1,959,107)-0.37%(7,363,815)-2.06%
歸屬於母公司業主之權益合計350,617,39236.62%311,521,69440.24%290,995,66642.7%270,651,34940.07%248,373,42635.68%229,757,39137.9%203,624,36135.62%207,765,97839.55%193,244,50754.15%
非控制權益30,526,5623.19%23,501,6383.04%21,172,7933.11%19,074,6962.82%15,386,8692.21%16,347,0692.7%13,841,5152.42%18,130,6563.45%12,782,8643.58%
權益總計381,143,95439.81%335,023,33243.27%312,168,45945.81%289,726,04542.89%263,760,29537.89%246,104,46040.6%217,465,87638.04%225,896,63443%206,027,37157.73%
負債及權益總計957,527,444100%774,177,380100%681,469,874100%675,439,949100%696,147,935100%606,228,823100%571,668,349100%525,321,928100%356,880,414100%
預收股款(權益項下)之約當發行股數14,356.30%4,212.30%8,512.50%6,662.480%4,620.60%29,075.550%5,0460%1,103.350%15,931.50%
母公司暨子公司所持有之母公司庫藏股股數(單位:股)72,941,5050.01%72,941,5050.01%72,941,5050.01%72,941,5050.01%72,941,5050.01%72,941,5050.01%72,941,5050.01%72,941,5050.01%267,735,0110.08%
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

日月光投控(3711) 截至2023年第2季「資產總額」總計約為NT$6,725億元,相較上一季減少約NT$-29.19億元、相較去年年末減少約NT$-345億元
日月光投控(3711) 2023年第2季財報顯示公司「資產總額」約NT$6,725億元;負債總額約NT$3,751億元、為資產總額的55.78%;權益總額約NT$2,974億元、為資產總額的44.22%。
對比上一季
上一季的(2023年第1季)「資產總額」則為NT$6,754億元;負債總額約NT$3,857億元、為資產總額的57.11%;權益總額約NT$2,897億元、為資產總額的42.89%。 今年第2季相較上一季「資產總額」增加約NT$-29.19億元。
對比去年年末
去年年末的「資產總額」則為NT$7,071億元;負債總額約NT$3,871億元、為資產總額的54.75%;權益總額約NT$3,199億元、為資產總額的45.25%。 今年第2季相較去年年末「資產總額」增加約NT$-345億元。
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672,520,913100%675,439,949100%707,068,373100%737,829,226100%713,078,639100%696,147,935100%672,934,285100%650,259,273100%611,856,837100%606,228,823100%583,091,082100%581,550,209100%558,592,307100%571,668,349100%556,654,283100%562,978,204100%534,837,872100%525,321,928100%533,371,203100%535,971,116100%544,971,409100%
負債總額375,104,21955.78%385,713,90457.11%387,143,31054.75%432,178,93358.57%434,767,95160.97%432,387,64062.11%398,301,56059.19%399,419,91661.42%357,352,11258.40%360,124,36359.40%348,834,48559.83%364,007,04162.59%344,656,80561.70%354,202,47361.96%342,307,60461.49%344,563,10961.20%317,333,16159.33%299,425,29457.00%312,700,65958.63%324,837,62060.61%333,016,35861.11%
權益總額297,416,69444.22%289,726,04542.89%319,925,06345.25%305,650,29341.43%278,310,68839.03%263,760,29537.89%274,632,72540.81%250,839,35738.58%254,504,72541.60%246,104,46040.60%234,256,59740.17%217,543,16837.41%213,935,50238.30%217,465,87638.04%214,346,67938.51%218,415,09538.80%217,504,71140.67%225,896,63443.00%220,670,54441.37%211,133,49639.39%211,955,05138.89%

流動資產

日月光投控(3711) 截至2023年第2季「流動資產」總計約為NT$2,710億元,相較上一季減少約NT$-2.4億元、相較去年年末減少約NT$-293億元
日月光投控(3711) 2023年第2季財報顯示公司「流動資產」總計約NT$2,710億元、約佔整體資產的40.30%。
對比上一季
上一季流動資產總計約NT$2,713億元、約佔整體資產的40.16%。今年第2季相較上一季減少約NT$-2.4億元。
對比去年年末
去年年末流動資產則為NT$3,004億元、約佔整體資產的42.48%。今年第2季相較去年年末減少約NT$-293億元。
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271,030,48240.30%271,270,94540.16%300,367,22442.48%332,729,05745.10%318,762,71344.70%307,039,80344.11%292,357,72843.45%260,233,50340.02%237,360,91438.79%242,201,36739.95%224,012,86738.42%233,640,30340.18%202,513,49836.25%216,614,66137.89%202,001,11836.29%212,444,54337.74%191,663,22435.84%188,832,82135.95%201,558,87537.79%201,199,86837.54%206,686,93237.93%

非流動資產

日月光投控(3711) 截至2023年第2季「非流動資產」總計約為NT$4,015億元,相較上一季減少約NT$-26.79億元、相較去年年末減少約NT$-52.11億元
日月光投控(3711) 2023年第2季財報顯示公司「非流動資產」總計約NT$4,015億元、約佔整體資產的59.70%。
對比上一季
上一季非流動資產總計約NT$4,042億元、約佔整體資產的59.84%。今年第2季相較上一季減少約NT$-26.79億元。
對比去年年末
去年年末非流動資產則為NT$4,067億元、約佔整體資產的57.52%。今年第2季相較去年年末減少約NT$-52.11億元。
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401,490,43159.70%404,169,00459.84%406,701,14957.52%405,100,16954.90%394,315,92655.30%389,108,13255.89%380,576,55756.55%390,025,77059.98%374,495,92361.21%364,027,45660.05%359,078,21561.58%347,909,90659.82%356,078,80963.75%355,053,68862.11%354,653,16563.71%350,533,66162.26%343,174,64864.16%336,489,10764.05%331,812,32862.21%334,771,24862.46%338,284,47762.07%

流動負債

日月光投控(3711) 截至2023年第2季「流動負債」總計約為NT$2,258億元,相較上一季減少約NT$-85.94億元、相較去年年末增加約NT$35.05億元
日月光投控(3711) 2023年第2季財報顯示公司「流動負債」總計約NT$2,258億元、約佔整體資產的33.57%。
對比上一季
上一季流動負債總計約NT$2,344億元、約佔整體資產的34.70%。今年第2季相較上一季減少約NT$-85.94億元。
對比去年年末
去年年末流動負債則為NT$2,223億元、約佔整體資產的31.43%。今年第2季相較去年年末增加約NT$35.05億元。
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225,765,55633.57%234,359,41134.70%222,260,89831.43%273,746,57037.10%270,226,99937.90%250,726,25136.02%210,927,73031.34%192,626,06329.62%182,693,81429.86%167,849,93727.69%171,896,66629.48%175,474,45530.17%172,624,72430.90%173,008,07630.26%152,264,63627.35%186,427,05233.11%160,492,90830.01%153,022,07029.13%156,298,73629.30%192,748,32435.96%186,858,22034.29%

非流動負債

日月光投控(3711) 截至2023年第2季「非流動負債」總計約為NT$1,493億元,相較上一季減少約NT$-20.16億元、相較去年年末減少約NT$-155億元
日月光投控(3711) 2023年第2季財報顯示公司「非流動負債」總計約NT$1,493億元、約佔整體資產的22.21%。
對比上一季
上一季非流動負債總計約NT$1,514億元、約佔整體資產的22.41%。今年第2季相較上一季減少約NT$-20.16億元。
對比去年年末
去年年末非流動負債則為NT$1,649億元、約佔整體資產的23.32%。今年第2季相較去年年末減少約NT$-155億元。
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149,338,66322.21%151,354,49322.41%164,882,41223.32%158,432,36321.47%164,540,95223.07%181,661,38926.10%187,373,83027.84%206,793,85331.80%174,658,29828.55%192,274,42631.72%176,937,81930.34%188,532,58632.42%172,032,08130.80%181,194,39731.70%190,042,96834.14%158,136,05728.09%156,840,25329.32%146,403,22427.87%156,401,92329.32%132,089,29624.64%146,158,13826.82%

權益

日月光投控(3711) 截至2023年第2季「權益」總計約為NT$2,974億元,相較上一季增加約NT$76.91億元、相較去年年末減少約NT$-225億元
日月光投控(3711) 2023年第2季財報顯示公司「權益」總計約NT$2,974億元、約佔整體資產的44.22%。
對比上一季
上一季權益總計約NT$2,897億元、約佔整體資產的42.89%。今年第2季相較上一季增加約NT$76.91億元。
對比去年年末
去年年末權益則為NT$3,199億元、約佔整體資產的45.25%。今年第2季相較去年年末減少約NT$-225億元。
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297,416,69444.22%289,726,04542.89%319,925,06345.25%305,650,29341.43%278,310,68839.03%263,760,29537.89%274,632,72540.81%250,839,35738.58%254,504,72541.60%246,104,46040.60%234,256,59740.17%217,543,16837.41%213,935,50238.30%217,465,87638.04%214,346,67938.51%218,415,09538.80%217,504,71140.67%225,896,63443.00%220,670,54441.37%211,133,49639.39%211,955,05138.89%
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