凱基金 114年第3季綜合損益表,每股盈餘0.80元
(114/11/24 14:23:10)
凱基金(2883)  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%
利息收入24,671,842245.0826,240,492107.5475,479,048204.8377,154,219148.62
利息費用5,762,64357.247,438,27530.4918,576,38050.4121,395,84241.21
利息淨收益18,909,199187.8418,802,21777.0656,902,668154.4255,758,377107.40
利息以外淨收益        
 手續費及佣金淨收益3,612,93035.892,920,67411.977,259,68619.707,536,26514.52
 保險業務淨收益-2,361,790-23.46-10,247,095-42.00-16,438,317-44.61-43,629,425-84.04
 透過損益按公允價值衡量之金融資產及負債損益22,447,859222.9919,927,58981.6751,750,247140.4420,609,11139.70
 投資性不動產損益108,8591.0870,9840.29305,2630.83268,0290.52
 透過其他綜合損益按公允價值衡量之金融資產已實現損益742,8077.381,005,6764.121,190,6463.231,586,0603.06
 除列按攤銷後成本衡量之金融資產損益-222,518-2.21-408,030-1.67-480,303-1.30-641,454-1.24
 兌換損益19,788,825196.57-21,906,670-89.78-71,364,783-193.6631,939,03861.52
 資產減損(損失)迴轉利益-14,692-0.157,3100.03-378,484-1.03-333,936-0.64
 採用權益法認列關聯企業及合資損益之份額800,9767.96433,4901.781,739,8854.72825,4601.59
 採用覆蓋法重分類之損益-26,586,479-264.1010,056,64741.224,900,39813.30-19,376,078-37.32
 其他利息以外淨損益-27,159,059-269.793,736,85315.321,462,8623.97-2,626,184-5.06
 利息以外淨收益-8,842,282-87.845,597,42822.94-20,052,900-54.42-3,843,114-7.40
淨收益10,066,917100.0024,399,645100.0036,849,768100.0051,915,263100.00
呆帳費用、承諾及保證責任準備提存76,5800.76318,2071.30446,5731.211,128,8892.17
保險負債準備淨變動-14,847,095-147.48-313,821-1.29-10,677,788-28.98-12,143,247-23.39
營業費用        
 員工福利費用6,299,88262.586,252,52025.6316,408,08344.5317,331,55233.38
 折舊及攤銷費用936,2199.30929,5743.812,859,8687.762,784,4475.36
 其他業務及管理費用2,890,50328.712,765,84011.347,747,05721.027,411,14314.28
 營業費用合計10,126,604100.599,947,93440.7727,015,00873.3127,527,14253.02
繼續營業單位稅前淨利(淨損)14,710,828146.1314,447,32559.2120,065,97554.4535,402,47968.19
所得稅費用(利益)1,131,97211.242,259,6349.261,013,7382.756,262,18512.06
繼續營業單位本期淨利(淨損)13,578,856134.8912,187,69149.9519,052,23751.7029,140,29456.13
本期淨利(淨損)13,578,856134.8912,187,69149.9519,052,23751.7029,140,29456.13
其他綜合損益        
 不重分類至損益之項目(稅後)        
  確定福利計畫之再衡量數-1950.0000.00-1950.0000.00
  透過其他綜合損益按公允價值衡量之權益工具評價損益3,269,91732.482,079,9348.524,543,72712.331,703,5643.28
  採用權益法認列之關聯企業及合資其他綜合損益之份額-不重分類至損益之項目378,6613.76609,6202.50839,2622.28640,1731.23
  與不重分類之項目相關之所得稅673,4186.69482,5471.98886,2352.40210,5480.41
  不重分類至損益之項目總額(稅後)2,974,96529.552,207,0079.054,496,55912.202,133,1894.11
 後續可能重分類至損益之項目(稅後)        
  國外營運機構財務報表換算之兌換差額1,043,20010.36-286,592-1.17-3,109,221-8.441,691,8423.26
  透過其他綜合損益按公允價值衡量之債務工具損益1,616,04116.055,047,73720.694,366,00711.851,484,5202.86
  採用權益法認列之關聯企業及合資其他綜合損益之份額-可能重分類至損益之項目160,8661.60-182,208-0.75-602,611-1.64160,8060.31
  採用覆蓋法重分類之其他綜合損益26,586,479264.10-10,056,647-41.22-4,900,398-13.3019,376,07837.32
  與可能重分類之項目相關之所得稅1,087,84510.81898,8103.68424,5151.152,009,2193.87
  後續可能重分類至損益之項目總額(稅後)28,318,741281.31-6,376,520-26.13-4,670,738-12.6820,704,02739.88
 本期其他綜合損益31,293,706310.86-4,169,513-17.09-174,179-0.4722,837,21643.99
本期綜合損益總額44,872,562445.748,018,17832.8618,878,05851.2351,977,510100.12
淨利(淨損)歸屬        
 母公司業主13,576,317134.8612,187,34949.9519,050,45651.7029,140,00556.13
 非控制權益2,5390.033420.001,7810.002890.00
綜合損益總額歸屬        
 母公司業主44,868,041445.708,016,21132.8518,881,69151.2451,972,724100.11
 非控制股權4,5210.041,9670.01-3,633-0.014,7860.01
基本每股盈餘        
 繼續營業單位稅後淨利(淨損)0.800.000.720.001.090.001.690.00
 基本每股盈餘合計0.80 0.72 1.09 1.69 
稀釋每股盈餘        
 繼續營業單位稅後淨利(淨損)0.800.000.720.001.090.001.680.00
 稀釋每股盈餘合計0.80 0.72 1.09 1.68 
資料來源:交易所公開資訊觀測站

 
 
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