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台耀

(4746)
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台耀 (4746) 財務報表-資產表
資產表

流動資產:企業可在一年或一個營業周期內變現或者運用的資產。

長期投資:企業長期持有的投資,即不在一年或一個經營周期內轉變現的投資。

固定資產:企業在經營期間內所使用到的實體資產。

台耀 (4746) 資產與季收盤價比較圖

台耀 (4746) 歷年資產表

年度/季別流動資產長期投資固定資產其餘資產總資產
2024Q35,585,5041,682,8636,104,255566,25813,938,880
2024Q25,086,4711,709,1866,015,328596,42213,407,407
2024Q15,297,9761,640,0435,968,262490,76613,397,047
2023Q45,243,6661,828,5746,025,139538,81213,636,191
2023Q35,040,2201,775,0066,025,868459,34413,300,438
2023Q25,095,6242,021,2775,974,742466,21913,557,862
2023Q14,061,4902,099,8215,907,427475,81212,544,550
2022Q44,151,0602,192,9765,875,256531,42112,750,713
2022Q33,926,9061,917,2185,900,877523,38112,268,382
2022Q23,359,0271,598,3305,894,593533,33611,385,286
2022Q13,309,9931,626,1035,901,434554,13311,391,663
2021Q43,619,4901,968,4965,849,731579,25012,016,967
2021Q33,457,0152,333,7675,753,921626,44512,171,148
2021Q23,600,3042,690,5765,740,090641,41412,672,384
2021Q13,911,6661,768,6835,769,500609,38412,059,233
2020Q43,148,251787,3665,751,713598,44110,285,771
2020Q33,106,133956,7915,650,924762,60210,476,450
2020Q23,236,707895,5705,652,293744,13010,528,700
2020Q12,923,746693,8165,531,825687,2979,836,684
2019Q42,748,693765,7065,416,663640,6639,571,725
2019Q32,838,923884,0634,678,408868,1149,269,508
2019Q22,924,605820,8204,484,089845,3119,074,825
2019Q13,051,638922,1764,265,967828,6939,068,474
 
台耀子公司台新藥明年中轉上市 拚兩年後損平Anue鉅亨-2023/11/20
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