2011年9月1日 星期四

太電100年上半年資產負債表




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本資料由 太電 公司提供

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99年及100年06月30日
單位:新台幣仟元
會計科目100年06月30日99年06月30日
 金額金額
        資產    
        流動資產    
          現金及約當現金167,088.000.8933,014.000.19
          公平價值變動列入損益之金融資產-流動44,651.000.24127,038.000.71
          無活絡市場之債券投資-流動10,000.000.0510,000.000.06
          應收票據淨額306,493.001.63318,644.001.79
          應收票據–關係人淨額10,432.000.066,115.000.03
          應收帳款淨額788,787.004.20671,405.003.77
          應收帳款–關係人淨額47,235.000.251,087.000.01
          其他應收款11,045.000.062,823.000.02
          其他應收款–關係人4,549.000.0217,211.000.10
          存 貨1,828,497.009.741,386,566.007.78
          預付款項351,113.001.87388,934.002.18
          其他流動資產325,555.001.73237,237.001.33
            流動資產3,895,445.0020.753,200,074.0017.95
        基金及投資    
          備供出售金融資產-非流動64,493.000.3467,085.000.38
          以成本衡量之金融資產-非流動3,873,643.0020.643,867,000.0021.69
            採權益法之長期股權投資940,126.005.01964,040.005.41
          投資940,126.005.01964,040.005.41
            基金及投資4,878,262.0025.994,898,125.0027.47
        固定資產    
        成本    
          土 地989,875.005.27989,875.005.55
          房屋及建築1,399,028.007.451,399,028.007.85
          機器設備3,651,873.0019.453,624,475.0020.33
          運輸設備72,366.000.3974,372.000.42
          辦公設備171,241.000.91169,499.000.95
          其他設備550,459.002.93548,940.003.08
          重估增值1,920,104.0010.231,925,302.0010.80
          成本及重估增值合計8,754,946.0046.648,731,491.0048.97
          累積折舊-5,353,691.00-28.52-5,317,945.00-29.82
          未完工程及預付設備款70,771.000.3854,714.000.31
            固定資產淨額3,472,026.0018.503,468,260.0019.45
        無形資產    
          遞延退休金成本56,538.000.30109,382.000.61
            無形資產合計56,538.000.30109,382.000.61
        其他資產    
            出租資產1,787,097.009.521,794,959.0010.07
          閒置資產65,719.000.3563,338.000.36
          存出保證金419,278.002.23289,208.001.62
          遞延費用8,406.000.048,352.000.05
          長期應收票據及款項42,281.000.2347,281.000.27
          長期應收票據及款項–關係人4,145,935.0022.093,952,170.0022.16
            其他資產合計6,468,716.0034.466,155,308.0034.52
            資產總計18,770,987.00100.0017,831,149.00100.00
        負債及股東權益    
        負債    
        流動負債    
          短期借款7,835,615.0041.747,375,815.0041.36
          應付短期票券219,231.001.17222,032.001.25
          應付票據98,777.000.53110,781.000.62
          應付票據–關係人29,038.000.1542,990.000.24
          應付帳款193,208.001.03201,207.001.13
          應付帳款–關係人5,625.000.032,598.000.01
          應付費用1,080,698.005.761,123,636.006.30
          其他應付款項–關係人64,568.000.3486,938.000.49
          其他應付款項270.000.00270.000.00
          預收款項185,524.000.99158,065.000.89
          一年或一營業週期內到期長期負債80,493.000.4383,684.000.47
          其他流動負債8,961.000.0515,809.000.09
            流動負債9,802,008.0052.229,423,825.0052.85
        長期負債    
          長期借款5,013,080.0026.715,291,390.0029.68
            長期負債5,013,080.0026.715,291,390.0029.68
        各項準備    
          土地增值稅準備871,110.004.64871,110.004.89
            各項準備合計871,110.004.64871,110.004.89
        其他負債    
          退休金準備/應計退休金負債799,802.004.26759,766.004.26
          存入保證金35,041.000.1930,833.000.17
          採權益法長期股權投資貸餘1,107,934.005.901,021,999.005.73
          其他負債–其他156,912.000.84154,378.000.87
            其他負債合計2,099,689.0011.191,966,976.0011.03
            負債總計17,785,887.0094.7517,553,301.0098.44
        股東權益    
        股本    
          普通股股本6,690,000.0035.646,690,000.0037.52
        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158,267.000.84157,176.000.88
            資本公積合計158,277.000.84157,186.000.88
        保留盈餘    
          未提撥保留盈餘-6,696,047.00-35.67-7,576,964.00-42.49
            保留盈餘合計-6,696,047.00-35.67-7,576,964.00-42.49
        股東權益其他調整項目合計    
          累積換算調整數198,739.001.06333,829.001.87
          未認列為退休金成本之淨損失-447,401.00-2.38-412,272.00-2.31
          金融商品之未實現損益2,282.000.01282.000.00
          未實現重估增值1,082,959.005.771,089,496.006.11
          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832,870.004.441,007,626.005.65
          股東權益總計985,100.005.25277,848.001.56
          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