股息配發率   玩股撇步(動畫小學堂)

  • 現金殖利率: N/A、總殖利率: 0、5年平均現金配發率: 186.29%
  • 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)2.44171.110.0000.0000.0000.0000.000
2022 (9)0.90-63.270.0000.0000.0000.0000.000
2021 (8)2.45-19.670.0000.0000.0000.0000.000
2020 (7)3.0563.980.0000.0000.0000.0000.000
2019 (6)1.863620.00.0000.0000.0000.0000.000
2018 (5)0.05-97.950.250.00.000500.004780.00.000500.002340.0
2017 (4)2.44238.890.25-28.570.25010.25-78.9210.25020.49-57.85
2016 (3)0.7260.00.3566.670.00048.614.170.00048.614.17
每股盈餘-近20季
EPS QoQ YoY本業EPS QoQ YoY累計EPS QoQ YoY
24Q3 (20)0.91111.6385.710.70233.3384.212.6253.22116.53
24Q2 (19)0.43-66.41-42.670.21-82.35950.01.7133.59140.85
24Q1 (18)1.283.233300.01.19460.61561.111.28-47.543300.0
23Q4 (17)1.24153.06726.67-0.33-186.84-312.52.44101.65168.13
23Q3 (16)0.49-34.678.890.381800.015.151.2170.4261.33
23Q2 (15)0.751975.0400.00.02-88.89300.00.711875.0136.67
23Q1 (14)-0.04-126.67-126.670.18325.0125.0-0.04-104.4-126.67
22Q4 (13)0.15-66.6715.38-0.08-124.24-260.00.9121.33-62.86
22Q3 (12)0.45200.0175.00.333400.073.680.75150.0-67.67
22Q2 (11)0.150.0-91.89-0.01-112.5-109.090.30100.0-89.73
22Q1 (10)0.1515.38-86.240.0860.0-52.940.15-93.88-86.24
21Q4 (9)0.13121.67-96.480.05-73.68-73.682.455.6-19.67
21Q3 (8)-0.60-132.4338.780.1972.73-36.672.32-20.55462.5
21Q2 (7)1.8569.72285.420.11-35.29120.02.92167.89784.85
21Q1 (6)1.09-70.46826.670.17-10.53466.671.09-64.26826.67
20Q4 (5)3.69476.53419.720.19-36.67-13.643.05576.5663.1
20Q3 (4)-0.98-304.170.00.30500.00.0-0.64-293.940.0
20Q2 (3)0.48420.00.00.0566.670.00.33320.00.0
20Q1 (2)-0.15-121.130.00.03-86.360.0-0.15-108.020.0
19Q4 (1)0.710.00.00.220.00.01.870.00.0
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)
2024/1118.07-2.5-12.42230.8947.3863.84N/A-
2024/1018.53-31.98-5.37212.8356.4567.44N/A因本年度完成土地出售交易、子公司營建收入成長及合併泰山(1218),致營收較去年增加。
2024/927.2425.7632.36194.366.8474.440.45因本年度完成土地出售交易、子公司營建收入成長及合併泰山(1218),致營收較去年增加。
2024/821.66-15.142.32167.0674.2566.280.51因本年度完成土地出售交易、子公司營建收入成長及合併泰山(1218),致營收較去年增加。
2024/725.5333.7226.29145.3994.6363.40.53因本年度完成土地出售交易、子公司瑞助工程收入成長及合併泰山(1218),致營收較去年增加。
2024/619.091.64-5.05119.86119.9855.260.81因本年土地出售交易、子公司瑞助工程收入成長及合併泰山(1218),致營收較去年增加。
2024/518.788.03113.97100.77193.1259.10.76因本月子公司瑞助工程收入成長及合併泰山(1218),致營收較去年同期增加。
2024/417.38-24.2140.0281.99220.2655.690.8因本月子公司瑞助工程收入成長及合併泰山(1218),致營收較去年同期增加。
2024/322.9449.21169.5864.6251.9164.60.71因本月完成土地出售交易、子公司瑞助工程收入成長及合併泰山(1218),致營收較去年同期增加。
2024/215.37-41.55147.0341.67323.0362.970.73因本月子公司瑞助工程收入成長及合併泰山(1218),致營收較去年同期增加。
2024/126.323.44624.8826.3624.8868.230.68因本月完成土地出售交易、子公司瑞助工程收入成長及合併泰山(1218),致營收較去年同期增加。
2023/1221.33.2770.5177.9793.3961.510.89本公司因合併泰山(1218),致營收較去年同期增加。
2023/1120.635.34184.12156.6696.9960.790.9本公司因合併泰山(1218),致營收較去年同期增加。
2023/1019.58-4.86209.91136.0488.2461.340.89本公司因合併泰山(1218),致營收較去年同期增加。
2023/920.58-2.77135.85116.4576.5861.970.83本公司因合併泰山(1218),致營收較去年同期增加。
2023/821.174.7297.4395.8767.5461.490.84本公司因合併泰山(1218),致營收較去年同期增加。
2023/720.210.52198.074.760.6549.11.05本公司因合併泰山(1218),致營收較去年同期增加。
2023/620.11129.09250.8854.4937.1936.131.45本公司對泰山(1218)綜合持股已達50%,並透過子公司保勝取得泰山4席董事席次,故新增泰山及其子公司等營收。
2023/58.7821.1837.0134.381.1524.532.13-
2023/47.24-14.86-5.8125.6-7.1721.972.38-
2023/38.5136.738.6518.36-7.6918.362.17-
2023/26.2271.5-16.649.85-18.3122.351.79-
2023/13.63-70.96-21.023.63-21.0223.381.71-
2022/1212.572.1-21.2392.02-19.5626.071.52-
2022/117.2614.9-22.5579.53-19.2922.311.78-
2022/106.32-27.6-29.6972.27-18.9425.771.54-
2022/98.73-18.6-4.3465.95-17.7426.231.47-
2022/810.7258.074.5257.22-19.4623.241.66-
2022/76.7818.36-4.0846.5-23.5118.922.04-
2022/65.73-10.54-58.5439.72-26.0719.832.06係因子公司本期按完工比例認列之工程收入較去年同期減少。
2022/56.41-16.69-35.1433.98-14.8221.931.86-
2022/47.69-1.7914.6227.58-8.1422.981.77-
2022/37.834.9-23.4719.89-14.6919.892.07-
2022/27.4662.4718.7412.06-7.8227.921.48-
2022/14.59-71.04-32.394.59-32.3929.831.38-
2021/1215.8669.21-4.93114.46.7634.231.13-
2021/119.384.32-10.4998.548.9127.491.4-
2021/108.99-1.516.7589.1611.4628.371.36-
2021/99.12-11.05-10.3180.1810.8926.451.49-
2021/810.2645.0415.1571.0514.3731.151.26-
2021/77.07-48.83-19.8360.7914.2430.771.28-
2021/613.8239.9446.753.7221.0130.411.3-
2021/59.8847.23-6.6139.914.0926.821.47-
2021/46.71-34.43-18.3630.0223.0723.231.7-
2021/310.2362.7730.523.3144.1223.311.68-
2021/26.29-7.4940.5813.0856.9329.771.32營造收入較去年累計增加約425,656(仟元)
2021/16.8-59.2775.856.875.8533.961.15營造收入較去年同期增加約267,004(仟元)
2020/1216.6959.31-22.46107.1614.9734.861.12-
2020/1110.4736.08-1.1190.4726.2128.341.37-
2020/107.7-24.331.4279.9930.9526.781.46-
2020/910.1714.19-6.1972.335.1427.91.33-
2020/88.910.9613.8362.1245.6627.151.37-
2020/78.82-6.3525.8453.2252.8128.821.29重要子公司-瑞助較去年累計營收增加約1,711,685(仟元)
2020/69.42-10.9211.7744.3959.6128.221.37重要子公司-瑞助較去年累計營收增加約1,518,175(仟元)
2020/510.5828.742.3434.9780.4126.641.45自108年03月起併入瑞助營造(服)及其子公司
2020/48.224.8130.8924.39104.0920.531.88自108年03月起併入瑞助營造(股)及其子公司
2020/37.8475.3542.7616.18185.0916.182.29自108年03月起併入瑞助營造(股)及其子公司
2020/24.4715.75693.278.344476.9329.861.24自108年03月起併入瑞助營造(股)及其子公司
2020/13.86-82.043582.353.863582.350.0N/A自108年03月起併入瑞助營造(股)及其子公司
2019/1221.52103.1722581.693.28228.390.0N/A本公司自108年03月起合併瑞助營造(股)公司營收

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