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2026.07.27收盤

LINEPAY-資產負債表

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重要指標每月營收損益表資產負債表現金流量表股利資訊財報電子書
資產負債表

合併資產負債表

(TWD千元)截至2026/03/31截至2025/12/31截至2025/09/30截至2025/06/30截至2025/03/31截至2024/12/31截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30截至2023/06/30截至2023/03/31截至2022/12/31截至2022/06/30截至2021/12/31截至2020/12/31
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%金額%金額%
資產
流動資產
現金及約當現金10,430,99943.5%9,634,64346.98%9,843,84449.89%10,614,35355.03%10,092,07455.11%9,887,87359.19%5,198,74237.81%4,220,50831.64%3,936,81030.71%3,390,54026.74%4,095,36433.33%4,380,46841.86%4,869,41747.25%4,801,45844.19%4,358,73347.33%3,097,07035.16%4,663,97156.75%
透過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%00%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%00%00%
按攤銷後成本衡量之金融資產-流動451,8611.88%457,4072.23%467,5622.37%465,0612.41%473,7582.59%470,8482.82%250,0001.82%250,0001.87%250,0001.95%250,0001.97%256,0002.08%256,0002.45%26,0000.25%20,0000.18%00%00%00%
應收帳款淨額389,4701.62%356,0161.74%317,6591.61%228,6281.19%391,3642.14%307,5671.84%223,8661.63%134,8091.01%311,1392.43%234,5111.85%190,9271.55%181,3021.73%247,3812.4%177,3661.63%271,2952.95%136,6461.55%45,2320.55%
應收帳款-關係人淨額17,8370.07%19,1050.09%23,9430.12%19,5690.1%25,2950.14%22,8260.14%27,9500.2%35,4390.27%14,8900.12%20,2590.16%13,1760.11%17,2200.16%39,1210.38%26,3450.24%11,7570.13%13,1880.15%22,3780.27%
其他應收款1,889,2247.88%1,979,2919.65%1,987,48110.07%1,920,3889.96%1,703,8839.3%1,481,6568.87%1,406,20910.23%2,701,90120.25%2,422,83418.9%2,512,29919.81%1,743,06314.19%783,8857.49%699,6936.79%1,173,36910.8%528,7205.74%901,02210.23%345,0844.2%
其他應收款-關係人231,5520.97%249,3341.22%326,0431.65%230,7001.2%235,6751.29%399,1092.39%472,0583.43%464,1753.48%512,2294%647,0475.1%1,155,8889.41%612,2105.85%677,0026.57%994,9589.16%733,2137.96%997,59111.32%644,0357.84%
本期所得稅資產2640%2120%850%00%00%00%00%1,1780.01%1,1780.01%10,5240.08%1,4380.01%3,7310.04%1,7660.02%1,6470.02%1,8890.02%1,6530.02%2,6000.03%
存貨00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
預付款項45,6810.19%41,0240.2%28,5570.14%23,2060.12%25,5340.14%22,3660.13%19,6040.14%12,5000.09%15,2880.12%14,1800.11%10,1910.08%7,2910.07%13,4610.13%5,2210.05%6,0900.07%11,7810.13%3,4180.04%
其他流動資產9,036,54937.68%6,248,66430.47%5,326,60427%4,407,69722.85%4,554,44424.87%3,466,19120.75%5,607,95940.79%4,962,92137.2%4,749,08337.05%5,050,47839.83%4,267,23134.73%3,938,04537.63%3,398,35032.98%3,294,44430.32%2,825,59630.68%3,145,06735.7%1,802,13721.93%
其他金融資產-流動9,022,53937.62%6,235,86730.41%5,314,59226.94%4,394,66422.79%4,542,49724.81%3,454,02120.68%5,597,53440.71%4,953,04937.13%4,739,99836.98%5,041,75939.76%4,260,09634.67%3,931,01237.56%3,391,49332.91%2,825,59630.68%
其他流動資產-其他14,0100.06%12,7970.06%12,0120.06%13,0330.07%11,9470.07%12,1700.07%10,4250.08%9,8720.07%9,0850.07%8,7190.07%7,1350.06%7,0330.07%6,8570.07%00%
流動資產合計22,493,43793.79%18,985,69692.57%18,321,77892.86%17,909,60292.86%17,502,02795.58%16,058,43696.13%13,206,38896.05%12,783,43195.83%12,213,45195.28%12,129,83895.65%11,733,27895.5%10,180,15297.28%9,972,19196.76%10,494,80896.6%8,737,29394.87%8,304,01894.27%7,528,85591.6%
非流動資產
透過損益按公允價值衡量之金融資產-非流動1910%1960%1950%1930%2040%2010%2150%2100%2130%2140%2160%2110%
按攤銷後成本衡量之金融資產-非流動33,6510.14%33,6510.16%19,6510.1%19,6510.1%19,6510.11%19,6510.12%38,6510.28%38,6510.29%27,0000.21%27,0000.21%21,0000.17%21,0000.2%1,0000.01%7,0000.06%27,0000.29%27,0000.31%26,0000.32%
不動產、廠房及設備393,8141.64%420,8572.05%385,9231.96%336,9241.75%337,1041.84%270,7391.62%156,1261.14%160,6481.2%169,8581.33%178,7531.41%187,3861.53%180,4551.72%201,2821.95%194,5271.79%207,1252.25%184,8742.1%204,4722.49%
使用權資產788,5243.29%821,3774.01%789,4274%826,9754.29%255,9061.4%167,5501%159,7371.16%174,7821.31%195,4671.52%214,3701.69%215,6901.76%44,7230.43%53,0460.51%61,2780.56%78,1060.85%92,1021.05%97,7451.19%
無形資產51,8390.22%36,9100.18%40,8080.21%44,7050.23%48,7650.27%48,4800.29%52,3970.38%53,4830.4%57,0900.45%60,7270.48%64,3610.52%7410.01%8080.01%5760.01%6810.01%3390%4450.01%
遞延所得稅資產193,3790.81%183,9680.9%142,1820.72%120,1570.62%115,4860.63%105,3590.63%105,6000.77%97,5390.73%123,7070.97%38,9680.31%35,2400.29%26,2770.25%55,7740.54%94,9790.87%148,4041.61%189,8832.16%160,9051.96%
其他非流動資產26,7770.11%25,9980.13%29,6810.15%28,7750.15%32,4230.18%35,1290.21%30,8600.22%31,4770.24%31,8750.25%31,5240.25%29,5310.24%11,6970.11%21,5090.21%11,2400.1%10,8760.12%10,6890.12%6,9560.08%
淨確定福利資產-非流動8570%1,0390.01%
其他非流動資產-其他25,9200.11%24,9590.12%
非流動資產合計1,488,1756.21%1,522,9577.43%1,407,8677.14%1,377,3807.14%809,5394.42%647,1093.87%543,5863.95%556,7904.17%605,2104.72%551,5564.35%553,4244.5%284,8932.72%333,6303.24%369,6003.4%472,1925.13%504,8875.73%690,1608.4%
資產總計23,981,612100%20,508,653100%19,729,645100%19,286,982100%18,311,566100%16,705,545100%13,749,974100%13,340,221100%12,818,661100%12,681,394100%12,286,702100%10,465,045100%10,305,821100%10,864,408100%9,209,485100%8,808,905100%8,219,015100%
負債及權益
負債
流動負債
短期借款00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
合約負債-流動307,0441.28%293,7281.43%407,2302.06%489,8772.54%360,8891.97%372,7222.23%397,3962.89%413,2963.1%261,2252.04%210,8291.66%207,5861.69%205,3481.96%86,6690.84%106,5790.98%14,7500.16%25,9470.29%11,8640.14%
應付帳款15,5210.06%21,9070.11%2,7390.01%2,7770.01%2,6710.01%2,6810.02%2,5900.02%2,8670.02%6,9010.05%3,3900.03%1,9950.02%3,3950.03%1,6670.02%3,6370.03%3,3240.04%6,2900.07%3,6450.04%
應付帳款-關係人58,2540.24%51,2060.25%42,2940.21%35,1960.18%38,7810.21%37,8430.23%33,8030.25%29,7350.22%60,1690.47%47,1520.37%31,0590.25%118,5931.13%106,8321.04%97,5320.9%81,8560.89%69,3970.79%69,9560.85%
其他應付款359,1121.5%389,5211.9%272,4571.38%371,5011.93%289,7791.58%423,4932.54%219,2971.59%219,6671.65%221,8121.73%258,4632.04%179,2421.46%121,2701.16%148,1581.44%134,2881.24%72,7530.79%79,8400.91%58,8060.72%
其他應付款項-關係人50,1970.21%19,0100.09%31,5410.16%7,4190.04%39,6080.22%10,7750.06%6,9500.05%7,1520.05%29,4240.23%21,5770.17%10,8310.09%32,0100.31%37,1910.36%32,3780.3%29,5490.32%19,0450.22%13,2440.16%
本期所得稅負債193,8080.81%164,9690.8%93,5990.47%108,8410.56%214,4951.17%168,0161.01%124,9750.91%136,4991.02%128,4991%55,7370.44%25,5130.21%00%
負債準備-流動11,8340.05%10,7420.05%18,9130.1%18,3720.1%18,4890.1%17,9200.11%19,3080.14%18,4550.14%17,9730.14%18,0020.14%5,9070.05%4,9080.05%00%00%
租賃負債-流動112,6480.47%112,4850.55%108,8000.55%99,7020.52%78,5930.43%65,3550.39%39,2970.29%46,5430.35%55,0490.43%69,5550.55%65,4970.53%34,7350.33%34,6350.34%34,5360.32%34,3380.37%32,3030.37%26,0540.32%
其他流動負債10,845,62145.22%7,445,62536.3%6,901,73934.98%6,486,67533.63%6,134,61333.5%4,758,88728.49%6,394,68546.51%6,112,36645.82%5,848,78945.63%6,098,63048.09%5,987,72648.73%4,651,35044.45%4,540,90644.06%5,532,65550.92%4,246,31746.11%4,070,57946.21%3,671,98444.68%
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%00%00%00%00%00%00%
其他流動負債-其他10,845,62145.22%7,445,62536.3%6,901,73934.98%6,486,67533.63%6,134,61333.5%4,758,88728.49%6,394,68546.51%6,112,36645.82%5,848,78945.63%6,098,63048.09%5,987,72648.73%4,651,35044.45%4,540,90644.06%5,532,65550.92%4,246,31746.11%4,070,57946.21%3,671,98444.68%
流動負債合計11,954,03949.85%8,509,19341.49%7,879,31239.94%7,620,36039.51%7,177,91839.2%5,857,69235.06%7,238,30152.64%6,986,58052.37%6,629,84151.72%6,783,33553.49%6,515,35653.03%5,166,70149.37%4,960,96648.14%5,941,60554.69%4,482,88748.68%4,303,40148.85%3,855,55346.91%
非流動負債
應付公司債00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
長期借款00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
負債準備-非流動76,1300.32%75,9230.37%11,1750.06%10,9670.06%12,2770.07%12,0070.07%11,3380.08%10,9950.08%11,0520.09%10,6280.08%23,7580.19%8,2760.08%9,4810.09%8,2310.08%8,1860.09%5,4680.06%5,3980.07%
遞延所得稅負債31,6570.13%26,7450.13%25,2650.13%23,0120.12%21,7020.12%25,0590.15%21,8530.16%25,3400.19%44,4030.35%2,6450.02%1,5220.01%1,4330.01%1,3710.01%00%1,5610.02%1510%00%
租賃負債-非流動656,0472.74%686,1023.35%714,5343.62%741,9013.85%178,8710.98%102,5520.61%119,6320.87%126,1970.95%136,9471.07%140,0061.1%145,4901.18%11,6670.11%20,3880.2%29,0850.27%46,4020.5%63,6200.72%74,9710.91%
其他非流動負債425,5871.77%411,1232%458,5142.32%442,9492.3%447,4192.44%412,1682.47%440,2593.2%403,9933.03%383,3692.99%356,9872.82%345,5972.81%3,7790.04%274,1022.66%1,4380.01%00%00%00%
淨確定福利負債-非流動415,9561.73%409,7712%431,9562.19%416,4172.16%422,6392.31%395,3132.37%411,8613%384,7742.88%365,1002.85%343,2472.71%326,1942.65%264,6282.57%
其他非流動負債-其他9,6310.04%1,3520.01%26,5580.13%26,5320.14%24,7800.14%16,8550.1%28,3980.21%19,2190.14%18,2690.14%13,7400.11%19,4030.16%9,4740.09%00%00%
非流動負債合計1,189,4214.96%1,199,8935.85%1,209,4886.13%1,218,8296.32%660,2693.61%551,7863.3%593,0824.31%566,5254.25%575,7714.49%510,2664.02%516,3674.2%25,1550.24%305,3422.96%38,7540.36%56,1490.61%69,2390.79%80,3690.98%
負債總計13,143,46054.81%9,709,08647.34%9,088,80046.07%8,839,18945.83%7,838,18742.8%6,409,47838.37%7,831,38356.96%7,553,10556.62%7,205,61256.21%7,293,60157.51%7,031,72357.23%5,191,85649.61%5,266,30851.1%5,980,35955.05%4,539,03649.29%4,372,64049.64%3,935,92247.89%
權益
歸屬於母公司業主之權益
股本
普通股股本680,0002.84%680,0003.32%680,0003.45%680,0003.53%680,0003.71%680,0004.07%600,0004.36%600,0004.5%600,0004.68%600,0004.73%600,0004.88%560,3825.35%547,0655.31%547,0655.04%547,0655.94%547,0656.21%547,0656.66%
特別股股本00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
股本合計680,0002.84%680,0003.32%680,0003.45%680,0003.53%680,0003.71%680,0004.07%600,0004.36%600,0004.5%600,0004.68%600,0004.73%600,0004.88%560,3825.35%547,0655.31%547,0655.04%547,0655.94%547,0656.21%547,0656.66%
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%00%00%00%00%00%00%00%00%
資本公積合計8,535,74835.59%8,524,70741.57%8,512,79643.15%8,500,56844.07%8,489,69546.36%8,475,66150.74%4,357,27931.69%4,338,96432.53%4,323,37033.73%4,305,97233.96%4,288,54834.9%4,480,12842.81%4,597,97544.62%4,593,41142.28%4,588,82249.83%4,585,57352.06%4,579,11255.71%
保留盈餘
法定盈餘公積114,4600.48%114,4600.56%114,4600.58%114,4600.59%48,1610.26%48,1610.29%48,1610.35%48,1610.36%00%
特別盈餘公積4,1930.02%4,1930.02%4,1930.02%4,1930.02%
未分配盈餘(或待彌補虧損)1,514,8036.32%1,482,6137.23%1,335,7946.77%1,155,4755.99%1,258,6366.87%1,096,4386.56%912,5726.64%800,5166%689,4705.38%481,6083.8%366,0532.98%232,6792.22%(128,908)-1.25%(256,427)-2.36%(465,438)-5.05%(696,373)-7.91%(843,084)-10.26%
保留盈餘合計1,633,4566.81%1,601,2667.81%1,454,4477.37%1,274,1286.61%1,306,7977.14%1,144,5996.85%960,7336.99%848,6776.36%689,4705.38%481,6083.8%366,0532.98%232,6792.22%(128,908)-1.25%(256,427)-2.36%(465,438)-5.05%(696,373)-7.91%(843,084)-10.26%
其他權益
其他權益合計(11,052)-0.05%(6,406)-0.03%(6,398)-0.03%(6,903)-0.04%(3,113)-0.02%(4,193)-0.03%5790%(525)0%2090%2130%3780%00%
歸屬於母公司業主之權益合計10,838,15245.19%10,799,56752.66%10,640,84553.93%10,447,79354.17%10,473,37957.2%10,296,06761.63%5,918,59143.04%5,787,11643.38%5,613,04943.79%5,387,79342.49%5,254,97942.77%5,016,13248.67%
非控制權益00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%00%
權益總計10,838,15245.19%10,799,56752.66%10,640,84553.93%10,447,79354.17%10,473,37957.2%10,296,06761.63%5,918,59143.04%5,787,11643.38%5,613,04943.79%5,387,79342.49%5,254,97942.77%5,273,18950.39%5,039,51348.9%4,884,04944.95%4,670,44950.71%4,436,26550.36%4,283,09352.11%
負債及權益總計23,981,612100%20,508,653100%19,729,645100%19,286,982100%18,311,566100%16,705,545100%13,749,974100%13,340,221100%12,818,661100%12,681,394100%12,286,702100%10,465,045100%10,305,821100%10,864,408100%9,209,485100%8,808,905100%8,219,015100%
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%00%00%00%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%00%00%00%00%00%00%00%00%00%00%00%
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

LINEPAY(7722) 截至2024年第3季「資產總額」總計約為NT$137億元,相較上一季增加約NT$4.1億元、相較去年年末增加約NT$10.69億元
LINEPAY(7722) 2024年第3季財報顯示公司「資產總額」約NT$137億元;負債總額約NT$78.31億元、為資產總額的56.96%;權益總額約NT$59.19億元、為資產總額的43.04%。
對比上一季
上一季的(2024年第2季)「資產總額」則為NT$133億元;負債總額約NT$75.53億元、為資產總額的56.62%;權益總額約NT$57.87億元、為資產總額的43.38%。 今年第3季相較上一季「資產總額」增加約NT$4.1億元。
對比去年年末
去年年末的「資產總額」則為NT$127億元;負債總額約NT$72.94億元、為資產總額的57.51%;權益總額約NT$53.88億元、為資產總額的42.49%。 今年第3季相較去年年末「資產總額」增加約NT$10.69億元。
TWD千元截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30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
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%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13,749,974100%13,340,221100%12,818,661100%12,681,394100%10,465,045100%10,864,408100%8,808,905100%
負債總額7,831,38356.96%7,553,10556.62%7,205,61256.21%7,293,60157.51%5,191,85649.61%5,980,35955.05%4,372,64049.64%
權益總額5,918,59143.04%5,787,11643.38%5,613,04943.79%5,387,79342.49%5,273,18950.39%4,884,04944.95%4,436,26550.36%

流動資產

LINEPAY(7722) 截至2024年第3季「流動資產」總計約為NT$132億元,相較上一季增加約NT$4.23億元、相較去年年末增加約NT$10.77億元
LINEPAY(7722) 2024年第3季財報顯示公司「流動資產」總計約NT$132億元、約佔整體資產的96.05%。
對比上一季
上一季流動資產總計約NT$128億元、約佔整體資產的95.83%。今年第3季相較上一季增加約NT$4.23億元。
對比去年年末
去年年末流動資產則為NT$121億元、約佔整體資產的95.65%。今年第3季相較去年年末增加約NT$10.77億元。
TWD千元截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30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
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%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13,206,38896.05%12,783,43195.83%12,213,45195.28%12,129,83895.65%10,180,15297.28%10,494,80896.6%8,304,01894.27%

非流動資產

LINEPAY(7722) 截至2024年第3季「非流動資產」總計約為NT$5.44億元,相較上一季減少約NT$-1,320萬元、相較去年年末減少約NT$-797萬元
LINEPAY(7722) 2024年第3季財報顯示公司「非流動資產」總計約NT$5.44億元、約佔整體資產的3.95%。
對比上一季
上一季非流動資產總計約NT$5.57億元、約佔整體資產的4.17%。今年第3季相較上一季減少約NT$-1,320萬元。
對比去年年末
去年年末非流動資產則為NT$5.52億元、約佔整體資產的4.35%。今年第3季相較去年年末減少約NT$-797萬元。
TWD千元截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30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
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%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543,5863.95%556,7904.17%605,2104.72%551,5564.35%284,8932.72%369,6003.4%504,8875.73%

流動負債

LINEPAY(7722) 截至2024年第3季「流動負債」總計約為NT$72.38億元,相較上一季增加約NT$2.52億元、相較去年年末增加約NT$4.55億元
LINEPAY(7722) 2024年第3季財報顯示公司「流動負債」總計約NT$72.38億元、約佔整體資產的52.64%。
對比上一季
上一季流動負債總計約NT$69.87億元、約佔整體資產的52.37%。今年第3季相較上一季增加約NT$2.52億元。
對比去年年末
去年年末流動負債則為NT$67.83億元、約佔整體資產的53.49%。今年第3季相較去年年末增加約NT$4.55億元。
TWD千元截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30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
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%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7,238,30152.64%6,986,58052.37%6,629,84151.72%6,783,33553.49%5,166,70149.37%5,941,60554.69%4,303,40148.85%

非流動負債

LINEPAY(7722) 截至2024年第3季「非流動負債」總計約為NT$5.93億元,相較上一季增加約NT$2,656萬元、相較去年年末增加約NT$8,282萬元
LINEPAY(7722) 2024年第3季財報顯示公司「非流動負債」總計約NT$5.93億元、約佔整體資產的4.31%。
對比上一季
上一季非流動負債總計約NT$5.67億元、約佔整體資產的4.25%。今年第3季相較上一季增加約NT$2,656萬元。
對比去年年末
去年年末非流動負債則為NT$5.1億元、約佔整體資產的4.02%。今年第3季相較去年年末增加約NT$8,282萬元。
TWD千元截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30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
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%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593,0824.31%566,5254.25%575,7714.49%510,2664.02%25,1550.24%38,7540.36%69,2390.79%

權益

LINEPAY(7722) 截至2024年第3季「權益」總計約為NT$59.19億元,相較上一季增加約NT$1.31億元、相較去年年末增加約NT$5.31億元
LINEPAY(7722) 2024年第3季財報顯示公司「權益」總計約NT$59.19億元、約佔整體資產的43.04%。
對比上一季
上一季權益總計約NT$57.87億元、約佔整體資產的43.38%。今年第3季相較上一季增加約NT$1.31億元。
對比去年年末
去年年末權益則為NT$53.88億元、約佔整體資產的42.49%。今年第3季相較去年年末增加約NT$5.31億元。
TWD千元截至2024/09/30截至2024/06/30截至2024/03/31截至2023/12/31截至2023/09/30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
金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%金額%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5,918,59143.04%5,787,11643.38%5,613,04943.79%5,387,79342.49%5,273,18950.39%4,884,04944.95%4,436,26550.36%
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