新聞專員 發達公司課長
來源:財經刊物   發佈於 2025-10-29 18:36

瑞穎 114年第3季綜合損益表,每股盈餘2.32元

瑞穎(8083)  114年 第3季 綜合損益表民國114年第3季 單位:新台幣仟元 會計項目114年第3季113年第3季本期累計去年同期累計 金額%金額%金額%金額%營業收入         銷貨收入淨額          銷貨收入333,006100.00308,685100.001,086,779100.001,174,751100.00   銷貨收入333,006100.00308,685100.001,086,779100.001,174,751100.00  銷貨收入淨額333,006100.00308,685100.001,086,779100.001,174,751100.00 營業收入合計333,006100.00308,685100.001,086,779100.001,174,751100.00營業成本         銷貨成本          銷貨成本204,21061.32177,69757.57644,19559.28660,95656.26  銷貨成本合計204,21061.32177,69757.57644,19559.28660,95656.26 營業成本合計204,21061.32177,69757.57644,19559.28660,95656.26營業毛利(毛損)128,79638.68130,98842.43442,58440.72513,79543.74營業毛利(毛損)淨額128,79638.68130,98842.43442,58440.72513,79543.74營業費用         推銷費用10,1903.0627,0898.7864,3865.92108,5859.24  薪資支出1,0940.331,1170.363,6620.343,9760.34  運費7,2792.1921,5066.9743,2613.9888,7287.55  佣金支出00.001,3120.433780.032,5390.22  進出口費用1,1040.332,6310.8514,1061.3010,5090.89  其他費用7130.215230.172,9790.272,8330.24 管理費用14,8754.4710,8133.5042,5193.9139,2703.34  薪資支出5,7501.733,1871.0314,9991.3814,0111.19  保險費7450.226440.212,2430.212,1050.18  折舊1,0980.331,0550.343,2500.303,0680.26  伙食費6040.185370.171,9500.182,0060.17  職工福利3800.114110.131,7650.161,4540.12  其他費用6,2981.894,9791.6118,3121.6816,6261.42 研究發展費用2,5740.772,7060.888,5050.788,6390.74  薪資支出1,8850.571,6020.525,8100.535,7060.49  折舊及折耗1500.051530.054660.044340.04  其他費用5390.169510.312,2290.212,4990.21 預期信用減損損失(利益)1,0000.304280.14-4,623-0.431,4100.12 營業費用合計28,6398.6041,03613.29110,78710.19157,90413.44營業利益(損失)100,15730.0889,95229.14331,79730.53355,89130.30營業外收入及支出         其他收入          其他收入-其他2,1680.656440.215,3580.491,9650.17  其他收入合計2,1680.656440.215,3580.491,9650.17 其他利益及損失          外幣兌換利益00.00-9,967-3.2300.0014,7481.26  什項支出8,7752.645690.189,7270.903,2130.27  外幣兌換損失-12,141-3.6500.0011,4551.0500.00  其他利益及損失淨額3,3661.01-10,536-3.41-21,182-1.9511,5350.98 財務成本          利息費用1,9280.581,5360.504,8040.444,6320.39  財務成本淨額1,9280.581,5360.504,8040.444,6320.39 營業外收入及支出合計3,6061.08-11,428-3.70-20,628-1.908,8680.75繼續營業單位稅前淨利(淨損)103,76331.1678,52425.44311,16928.63364,75931.05所得稅費用(利益)         本期所得稅費用(利益)22,3586.7115,7095.0963,8815.8872,9886.21 所得稅費用(利益)合計22,3586.7115,7095.0963,8815.8872,9886.21繼續營業單位本期淨利(淨損)81,40524.4562,81520.35247,28822.75291,77124.84本期淨利(淨損)81,40524.4562,81520.35247,28822.75291,77124.84本期綜合損益總額81,40524.4562,81520.35247,28822.75291,77124.84基本每股盈餘         繼續營業單位淨利(淨損)2.32 1.79 7.04 8.30  基本每股盈餘合計2.32 1.79 7.04 8.30 稀釋每股盈餘         繼續營業單位淨利(淨損)2.31 1.78 7.03 8.29  稀釋每股盈餘合計2.31 1.78 7.03 8.29 資料來源:交易所公開資訊觀測站

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