1.1合并财务报表–民国一○一年至一○六年第一季
单位:新台币仟元
项目 |
101年度 |
102年度 |
103年度 |
104年度 |
105年度 |
106年度 |
|
流动资产 |
117,744,362 |
161,740,929 |
248,554,935 |
214,873,175 |
220,277,570 |
231,530,128 |
|
基金及投资 |
64,965,683 |
68,039,686 |
15,000,614 |
22,813,731 |
36,970,720 |
40,898,815 |
|
不动产、厂房及设备 | 10,732,494 |
11,312,107 |
23,294,555 |
34,390,077 |
36,857,740 |
35,754,240 |
|
无形资产 |
15,727,448 |
15,509,193 |
60,757,826 |
75,430,673 |
72,014,554 |
78,105,919 |
|
其他资产 |
1,236,531 |
2,034,947 |
3,510,741 |
3,742,000 |
4,591,188 |
4,615,626 |
|
资产总额 |
210,406,518 |
258,636,862 |
351,118,671 |
351,249,656 |
370,711,772 |
390,904,728 |
|
流动负债 |
分配前 |
32,979,368 |
61,384,592 |
101,619,838 |
101,266,471 |
119,328,266 |
129,640,234 |
分配后 |
33,654,058 |
84,949,915 |
136,194,535 |
118,553,892 |
(Note1) |
(Note2) |
|
非流动负债 |
1,969,426 |
1,898,871 |
1,893,086 |
2,896,300 |
4,720,628 |
6,301,493 |
|
负债总额 |
分配前 |
34,948,794 |
63,283,463 | 103,512,924 | 104,162,771 |
124,048,894 |
135,941,727 |
分配后 |
35,623,484 |
86,848,786 |
138,087,621 |
121,450,192 |
(Note1) |
(Note2) |
|
归属于母公司业主之权益 |
|||||||
股 本 |
13,493,804 |
13,497,140 |
15,714,922 |
15,715,837 |
15,821,122 |
15,821,119 |
|
资本公积 |
79,672,498 |
68,474,910 |
88,047,914 |
88,354,178 |
89,815,356 |
90,931,025 |
|
保留盈余 |
分配前 |
87,496,557 |
114,294,875 |
136,855,169 |
128,508,763 | 126,952,601 | 133,654,879 |
分配后 |
86,821,867 |
90,729,552 |
102,280,472 |
111,221,342 |
(Note1) |
(Note2) |
|
其他权益 |
(5,183,374) |
(895,749) |
6,606,113 |
7,904,918 |
12,245,801 |
11,804,424 |
|
库藏股票 |
(55,970) |
(55,970) |
(55,970) |
(55,970) |
(55,970) |
(55,970) |
|
归属于母公司业主之权益合计 |
分配前 |
175,423,515 | 195,315,206 | 247,168,148 |
240,427,726 |
244,778,910 |
252,155,477 |
分配后 |
174,748,825 |
171,749,883 |
212,593,451 |
223,140,305 |
(Note1) |
(Note2) |
|
非控制权益 |
34,209 |
38,193 |
437,599 |
6,659,159 |
1,883,968 |
2,807,524 |
|
权益总额 |
分配前 |
175,457,724 |
195,353,399 |
247,605,747 |
247,086,885 |
246,662,878 |
254,963,001 |
分配后 |
174,783,034 |
171,788,076 |
213,031,050 |
229,799,464 |
(Note1) |
(Note2) |
注1:俟股东会决议后定案。
注2:不适用。
1.2个体财务报表–民国一○一年至一○五年
单位:新台币仟元
项目 |
101年度 |
102年度 |
103年度 |
104年度 |
105年度 |
|
流动资产 |
48,948,759 |
70,707,646 |
149,267,002 |
94,412,808 |
90,622,975 |
|
基金及投资 |
135,159,040 |
144,972,800 |
129,656,160 |
155,319,309 |
171,773,810 |
|
不动产、厂房及设备 |
6,282,152 |
6,331,668 |
9,177,068 |
10,565,034 |
12,331,165 |
|
无形资产 |
7,039,987 |
7,242,842 |
28,740,924 |
29,881,027 |
28,504,894 |
|
其他资产 |
579,683 |
1,216,985 |
2,429,791 |
1,292,315 |
1,607,902 |
|
资产总额 |
198,009,621 |
230,471,941 |
319,270,945 |
291,470,493 |
304,840,746 |
|
流动负债 |
分配前 |
20,823,735 |
33,630,662 |
70,428,396 |
49,045,380 |
57,799,284 |
分配后 |
21,498,425 |
57,195,985 |
105,003,093 |
66,332,801 |
(Note) |
|
非流动负债 |
1,762,371 |
1,526,073 |
1,674,401 |
1,997,387 |
2,262,552 |
|
负债总额 |
分配前 |
22,586,106 |
35,156,735 |
72,102,797 |
51,042,767 |
60,061,836 |
分配后 |
23,260,796 |
58,722,058 |
106,677,494 |
68,330,188 |
(Note) |
|
股 本 |
13,493,804 |
13,497,140 |
15,714,922 |
15,715,837 |
15,821,122 |
|
资本公积 |
79,672,498 |
68,474,910 |
88,047,914 |
88,354,178 |
89,815,356 |
|
保留盈余 |
分配前 |
87,496,557 |
114,294,875 |
136,855,169 |
128,508,763 |
126,952,601 |
分配后 |
86,821,867 |
90,729,552 |
102,280,472 |
111,221,342 |
(Note) |
|
其他权益 |
(5,183,374) |
(895,749) |
6,606,113 |
7,904,918 |
12,245,801 |
|
库藏股票 |
(55,970) |
(55,970) |
(55,970) |
(55,970) |
(55,970) |
|
权益总额 |
分配前 | 175,423,515 |
195,315,206 |
247,168,148 |
240,427,726 |
244,778,910 |
分配后 |
174,748,825 |
171,749,883 |
212,593,451 |
223,140,305 |
(Note) |
注:俟股东会决议后定案。