2011年4月29日 星期五

太電2010年個別資產負債表




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本公司採   月制會計年度(空白表歷年制)
註:各會計科目金額之百分比,係採四捨五入法計算,























































































































































































































































































































































































































































































































































































































民國98年及99年12月31日
單位:新台幣仟元
會計科目99年12月31日98年12月31日
 金額金額
        資產    
        流動資產    
          現金及約當現金34,000.000.1938,525.000.22
          公平價值變動列入損益之金融資產-流動44,277.000.24183,364.001.05
          無活絡市場之債券投資-流動10,000.000.0517,200.000.10
          應收票據淨額327,937.001.80297,064.001.70
          應收票據–關係人淨額0.000.0075.000.00
          應收帳款淨額548,386.003.01582,092.003.33
          應收帳款–關係人淨額16,359.000.0924,387.000.14
          其他應收款16,208.000.0921,027.000.12
          其他應收款–關係人6,355.000.035,815.000.03
          存 貨1,686,789.009.261,404,594.008.02
          預付款項440,901.002.42256,970.001.47
          其他流動資產380,114.002.09272,057.001.55
            流動資產3,511,326.0019.283,103,170.0017.73
        基金及投資    
          備供出售金融資產-非流動68,068.000.3774,626.000.43
          以成本衡量之金融資產-非流動3,873,643.0021.263,867,000.0022.09
            採權益法之長期股權投資937,583.005.15956,950.005.47
          投資937,583.005.15956,950.005.47
            基金及投資4,879,294.0026.794,898,576.0027.98
        固定資產    
        成本    
          土 地989,875.005.43989,875.005.65
          房屋及建築1,399,028.007.681,399,028.007.99
          機器設備3,637,878.0019.974,064,943.0023.22
          運輸設備72,682.000.4074,421.000.43
          辦公設備170,408.000.94176,933.001.01
          其他設備546,773.003.00547,849.003.13
          重估增值1,920,154.0010.541,617,936.009.24
          成本及重估增值合計8,736,798.0047.968,870,985.0050.67
          累積折舊-5,335,412.00-29.29-5,740,149.00-32.79
          未完工程及預付設備款68,952.000.3824,851.000.14
            固定資產淨額3,470,338.0019.053,155,687.0018.03
        無形資產    
          遞延退休金成本56,538.000.31109,382.000.62
            無形資產合計56,538.000.31109,382.000.62
        其他資產    
            出租資產1,791,028.009.831,798,904.0010.28
          閒置資產65,727.000.3662,685.000.36
          存出保證金293,530.001.61256,399.001.46
          遞延費用8,317.000.057,070.000.04
          長期應收票據及款項47,281.000.2657,281.000.33
          長期應收票據及款項–關係人4,093,025.0022.474,056,530.0023.17
            其他資產合計6,298,908.0034.586,238,869.0035.64
            資產總計18,216,404.00100.0017,505,684.00100.00
        負債及股東權益    
        負債    
        流動負債    
          短期借款6,720,392.0036.897,077,754.0040.43
          應付短期票券220,719.001.21224,591.001.28
          公平價值變動列入損益之金融負債-流動3,112.000.020.000.00
          應付票據105,300.000.58122,112.000.70
          應付票據–關係人29,207.000.1616,139.000.09
          應付帳款131,368.000.72112,175.000.64
          應付帳款–關係人998.000.012,248.000.01
          應付所得稅5,847.000.030.000.00
          應付費用1,221,517.006.711,333,690.007.62
          其他應付款項–關係人67,067.000.3774,299.000.42
          其他應付款項270.000.00270.000.00
          預收款項185,375.001.02110,993.000.63
          一年或一營業週期內到期長期負債94,970.000.5274,517.000.43
          其他流動負債10,220.000.0610,313.000.06
            流動負債8,796,362.0048.299,159,101.0052.32
        長期負債    
          長期借款5,663,863.0031.095,727,047.0032.72
            長期負債5,663,863.0031.095,727,047.0032.72
        各項準備    
          土地增值稅準備871,109.004.78801,955.004.58
            各項準備合計871,109.004.78801,955.004.58
        其他負債    
          退休金準備/應計退休金負債770,450.004.23719,853.004.11
          存入保證金38,575.000.2149,487.000.28
          採權益法長期股權投資貸餘1,091,688.005.991,264,083.007.22
          其他負債–其他161,488.000.89180,277.001.03
            其他負債合計2,062,201.0011.322,213,700.0012.65
            負債總計17,393,535.0095.4817,901,803.00102.26
        股東權益    
        股本    
          普通股股本6,690,000.0036.736,690,000.0038.22
        資本公積    
          資本公積–受贈資產10.000.0010.000.00
          資本公積–長期投資158,267.000.87218,117.001.25
            資本公積合計158,277.000.87218,127.001.25
        保留盈餘    
          未提撥保留盈餘-6,897,128.00-37.86-8,101,388.00-46.28
            保留盈餘合計-6,897,128.00-37.86-8,101,388.00-46.28
        股東權益其他調整項目合計    
          累積換算調整數222,097.001.22353,056.002.02
          未認列為退休金成本之淨損失-447,621.00-2.46-403,420.00-2.30
          金融商品之未實現損益17,994.000.109,938.000.06
          未實現重估增值1,082,959.005.95841,277.004.81
          庫藏股票-3,709.00-0.02-3,709.00-0.02
            股東權益其他調整項目合計871,720.004.79797,142.004.55
          股東權益總計822,869.004.52-396,119.00-2.26
          母公司暨子公司所持有之母公司庫藏股數(單位:股)0.000.000.000.00
          預收股款(股東權益項下)之約當發行股數(單位:股)0.000.000.000.00