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群創 (3481) 財務報表-負債和股東權益
股東權益

流動負債:一年內到期的負債。其典型的組成有:短期銀行借款,例如銀行透支,應付商業本票,應付票據,應付帳款,應付費用,長期借款於一年到期的部分,付給債權人的款項。

長期負債:到期日在一年以上的各種融資借款,如期間在一年以上的銀行借款,應付公司債等。一般而言,除了還款期長之外、長期負債還有金額較大、利息較高等特性。

總負債:企業承擔並需要償還的全部債務。包括流動負債和長期負債、遞延稅項等,即為企業資產負債表的負債合計項。

總資產:總負債+淨值的總和,指企業擁有或控制的全部資產。包括流動資產、長期投資、固定資產、無形及遞延資產、其他長期資產、遞延稅項等,即為企業資產負債表的資產總計項。

群創 (3481) 負債與季收盤價比較圖

群創 (3481) 歷年負債和股東權益

年度/季別流動負債長期負債其餘負債總負債淨值總資產
2025Q391,663,22210,801,5880102,464,810219,686,992322,151,802
2025Q292,441,93510,044,6050102,486,540214,964,055317,450,595
2025Q199,203,47610,220,1750109,423,651235,896,960345,320,611
2024Q497,282,92127,264,5260124,547,447233,540,559358,088,006
2024Q394,327,57029,700,2880124,027,858222,988,100347,015,958
2024Q289,034,85736,787,8300125,822,687234,275,591360,098,278
2024Q184,365,46937,635,5080122,000,977228,984,087350,985,064
2023Q487,558,75041,086,4310128,645,181228,885,261357,530,442
2023Q3120,833,01140,550,9330161,383,944234,561,004395,944,948
2023Q2118,646,50344,441,3270163,087,830237,926,514401,014,344
2023Q191,158,74970,685,4320161,844,181246,755,142408,599,323
2022Q492,723,01338,023,7630130,746,776252,994,720383,741,496
2022Q3112,414,50243,505,7120155,920,214266,402,276422,322,490
2022Q2126,466,16541,344,6300167,810,795287,792,843455,603,638
2022Q1114,329,88045,532,1650159,862,045306,862,727466,724,772
2021Q4116,553,50746,169,1520162,722,659304,796,931467,519,590
2021Q3112,866,94550,471,0050163,337,950298,004,255461,342,205
2021Q2109,812,55251,367,6660161,180,218280,651,216441,831,434
2021Q1109,600,70135,701,6100145,302,311258,534,186403,836,497
2020Q4109,170,64832,822,1430141,992,791237,567,046379,559,837
2020Q3105,269,11037,599,5810142,868,691222,956,417365,825,108
2020Q2109,423,92528,773,7800138,197,705219,303,765357,501,470
2020Q196,913,01834,225,9960131,139,014225,493,333356,632,347
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