股息配發率   玩股撇步(動畫小學堂)

  • 現金殖利率: 2.04%、總殖利率: 2.04%、5年平均現金配發率: 86.08%
  • 要留意資產負債表的未分配盈餘和配息能力, 如果為負值, 可能會無法發放股利
  • 股利有2個稅要支出, 分別是綜合所得稅和健保補充保費(單筆股利達2萬元以上, 課2.11%)
EPS YoY現金股利 YoY股票股利 YoY現金配發率 YoY股票配發率 YoY全部配發率 YoY
2023 (10)0.6554.760.5025.00.00076.92-19.230.00076.92-19.23
2022 (9)0.42-14.290.400.00.00095.2416.670.00095.2416.67
2021 (8)0.4948.480.4033.330.00081.63-10.20.00081.63-10.2
2020 (7)0.33-52.860.30-50.00.00090.916.060.00090.916.06
2019 (6)0.70-56.790.60-57.140.00085.71-0.820.00085.71-0.82
2018 (5)1.62-53.581.40-53.330.00086.420.530.00086.420.53
2017 (4)3.49-11.423.00-9.090.00085.962.630.00085.962.63
2016 (3)3.94672.553.30371.430.00083.76-38.980.00083.76-38.98
每股盈餘-近20季
EPS QoQ YoY本業EPS QoQ YoY累計EPS QoQ YoY
24Q3 (20)0.22540.0-18.52-0.0940.0-350.00.26550.0-43.48
24Q2 (19)-0.05-155.56-150.0-0.156.250.00.04-55.56-78.95
24Q1 (18)0.09-52.63-57.14-0.16-33.33-23.080.09-86.15-57.14
23Q4 (17)0.19-29.63-42.42-0.12-500.0-20.00.6541.354.76
23Q3 (16)0.271450.0-3.57-0.0286.670.00.46142.11475.0
23Q2 (15)-0.02-109.5291.3-0.15-15.38-1600.00.19-9.52195.0
23Q1 (14)0.21-36.36600.0-0.13-30.0-425.00.21-50.0600.0
22Q4 (13)0.3317.8613.79-0.10-400.0-900.00.42425.0-14.29
22Q3 (12)0.28221.741500.0-0.02-300.077.780.08140.0-60.0
22Q2 (11)-0.23-866.67-1250.00.01-75.00-0.20-766.67-190.91
22Q1 (10)0.03-89.66-84.210.04500.0300.00.03-93.88-84.21
21Q4 (9)0.291550.093.33-0.0188.89-150.00.49145.048.48
21Q3 (8)-0.02-200.050.0-0.0900.00.20-9.0917.65
21Q2 (7)0.02-89.47200.00.00100.0100.00.2215.794.76
21Q1 (6)0.1926.67-17.39-0.02-200.0-111.110.19-42.42-17.39
20Q4 (5)0.15475.0275.00.02122.22112.50.3394.12-52.86
20Q3 (4)-0.04-100.00.0-0.0935.710.00.17-19.050.0
20Q2 (3)-0.02-108.70.0-0.14-177.780.00.21-8.70.0
20Q1 (2)0.23475.00.00.18212.50.00.23-67.140.0
19Q4 (1)0.040.00.0-0.160.00.00.700.00.0
年/月營收月增率(%)去年同期年增率(%)累計營收累計營收年增率(%)近三月累計營收存貨銷售比自結稅前EPS自結稅前累計EPS備註(年增率變動50%需說明原因)
2024/100.13-33.7-57.632.31-20.410.6N/A本月接單狀況不理想,較去年同月減少57.64%,雖10月下旬訂單回流但不及生產。
2024/90.19-30.87-49.452.19-16.120.729.66-
2024/80.2810.43-28.421.99-10.430.6710.45-
2024/70.2582.82-2.561.72-6.630.719.77-
2024/60.14-57.53-44.711.47-7.30.679.34-
2024/50.3259.2840.961.33-0.30.847.39-
2024/40.2-35.0218.911.0-8.920.768.16-
2024/30.3128.31-14.60.8-14.040.87.31-
2024/20.240.49-24.510.49-13.670.757.82-
2024/10.24-7.10.880.240.880.837.08-
2023/120.26-18.86-34.093.49-29.20.886.46-
2023/110.327.190.383.23-28.771.05.69-
2023/100.3-20.9-32.452.91-30.991.075.34-
2023/90.38-2.1-14.912.61-30.821.035.14-
2023/80.3950.324.362.23-32.960.95.9-
2023/70.263.73-40.561.84-37.660.747.16-
2023/60.258.27-23.731.58-37.160.657.54-
2023/50.2334.37-37.451.33-39.160.776.38-
2023/40.17-53.34-64.581.1-39.510.865.69受市場景氣影響,海外廠商持續消化庫存,新採購量減少,致使本公司訂單量下降。
2023/30.3713.43-30.490.93-30.460.934.99-
2023/20.3234.31-12.40.56-30.440.964.83-
2023/10.24-39.31-45.50.24-45.50.964.84-
2022/120.423.59-11.74.938.01.163.71-
2022/110.32-27.87-27.354.5310.151.213.55-
2022/100.44-0.36-1.44.2114.661.263.41-
2022/90.4520.0739.93.7716.911.252.97-
2022/80.37-14.3930.043.3214.381.133.28-
2022/70.4333.113.462.9512.671.133.3-
2022/60.33-11.225.82.5214.431.182.95-
2022/50.37-23.91-11.012.1912.911.382.52-
2022/40.48-8.425.921.8219.391.382.51-
2022/30.5342.9528.871.3425.141.342.43-
2022/20.37-16.4425.910.8122.831.262.58-
2022/10.44-1.6720.360.4420.361.332.44-
2021/120.451.738.954.573.381.342.25-
2021/110.44-2.1127.374.120.571.212.49-
2021/100.4541.3686.673.67-1.91.062.86去年同期因受疫情影響營業額較本年度同期減少.
2021/90.3211.61-1.213.22-8.011.032.75-
2021/80.29-31.896.052.9-8.70.972.92-
2021/70.4261.8567.872.62-10.071.092.58去年同期因受疫情影響營業額較本年度同期減少.
2021/60.26-37.1977.892.2-17.41.132.29去年同期因受疫情影響營業額較本年度同期減少.
2021/50.41-9.43120.171.94-22.921.282.02去年同期因受疫情影響營業額較本年度同期減少.
2021/40.4611.4258.911.53-34.461.162.23去年同期因受疫情影響營業額較本年度同期減少.
2021/30.4139.66-10.811.07-47.591.072.13-
2021/20.29-20.12-76.30.66-58.260.982.32109年2月子公司保強公司建案入帳,本年度則無.
2021/10.3713.56.470.376.471.042.2-
2020/120.32-6.77-25.374.42-20.780.912.22-
2020/110.3543.45-1.814.09-20.390.912.22-
2020/100.24-25.19-38.143.75-21.760.832.42-
2020/90.3219.82-17.213.5-20.310.841.92-
2020/80.277.79-65.283.18-20.610.672.43受疫情影響,致訂單減少
2020/70.2571.51-39.152.91-9.870.582.78受疫情影響,致訂單減少
2020/60.15-22.26-60.332.66-5.60.622.51受疫情影響,致訂單減少
2020/50.19-34.63-56.612.522.60.931.67受疫情影響,致訂單減少
2020/40.29-37.46-39.592.3315.291.980.79-
2020/30.46-62.89-14.192.0432.192.040.74-
2020/21.24258.96318.781.5856.82.010.75子公司保強建設餘屋售出入帳
2020/10.34-20.45-51.680.34-51.681.131.34108年子公司保強建設入帳,本月則無
2019/120.4322.668.025.57-42.860.0N/A-
2019/110.35-9.63-14.735.14-45.040.0N/A-

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