2012年8月31日 星期五

2012年半年報-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100年及101年06月30日
單位:新台幣仟元
會計科目101年06月30日100年06月30日
 金額金額
        資產    
        流動資產    
          現金及約當現金5,599.000.03167,088.000.89
          公平價值變動列入損益之金融資產-流動37,256.000.2044,651.000.24
          無活絡市場之債券投資-流動10,000.000.0510,000.000.05
          應收票據淨額348,019.001.88306,493.001.63
          應收票據–關係人淨額0.000.0010,432.000.06
          應收帳款淨額893,138.004.84788,787.004.20
          應收帳款–關係人淨額34,782.000.1947,235.000.25
          其他應收款20,718.000.1111,045.000.06
          其他應收款–關係人17,013.000.094,549.000.02
          存 貨1,741,145.009.431,828,497.009.74
          預付款項326,886.001.77351,113.001.87
          其他流動資產123,659.000.67325,555.001.73
            流動資產3,558,215.0019.263,895,445.0020.75
        基金及投資    
          備供出售金融資產-非流動40,334.000.2264,493.000.34
          以成本衡量之金融資產-非流動3,777,848.0020.453,873,643.0020.64
            採權益法之長期股權投資1,023,467.005.54940,126.005.01
          投資1,023,467.005.54940,126.005.01
            基金及投資4,841,649.0026.214,878,262.0025.99
        固定資產    
        成本    
          土 地989,875.005.36989,875.005.27
          房屋及建築1,399,028.007.571,399,028.007.45
          機器設備3,663,725.0019.833,651,873.0019.45
          運輸設備71,620.000.3972,366.000.39
          辦公設備181,626.000.98171,241.000.91
          其他設備545,496.002.95550,459.002.93
          重估增值2,120,052.0011.481,920,104.0010.23
          成本及重估增值合計8,971,422.0048.578,754,946.0046.64
          累積折舊-5,380,666.00-29.13-5,353,691.00-28.52
          未完工程及預付設備款71,251.000.3970,771.000.38
            固定資產淨額3,662,007.0019.823,472,026.0018.50
        無形資產    
          遞延退休金成本3,694.000.0256,538.000.30
            無形資產合計3,694.000.0256,538.000.30
        其他資產    
            出租資產1,797,496.009.731,787,097.009.52
          閒置資產66,650.000.3665,719.000.35
          存出保證金474,818.002.57419,278.002.23
          遞延費用5,539.000.038,406.000.04
          長期應收票據及款項32,281.000.1742,281.000.23
          長期應收票據及款項–關係人4,029,549.0021.814,145,935.0022.09
            其他資產合計6,406,333.0034.686,468,716.0034.46
            資產總計18,471,898.00100.0018,770,987.00100.00
        負債及股東權益    
        負債    
        流動負債    
          短期借款6,611,112.0035.797,835,615.0041.74
          應付短期票券215,983.001.17219,231.001.17
          公平價值變動列入損益之金融負債-流動8,818.000.050.000.00
          應付票據114,001.000.6298,777.000.53
          應付票據–關係人17,908.000.1029,038.000.15
          應付帳款264,356.001.43193,208.001.03
          應付帳款–關係人0.000.005,625.000.03
          應付費用907,246.004.911,080,698.005.76
          其他應付款項–關係人45,593.000.2564,568.000.34
          其他應付款項270.000.00270.000.00
          預收款項108,961.000.59185,524.000.99
          一年或一營業週期內到期長期負債64,804.000.3580,493.000.43
          其他流動負債20,081.000.118,961.000.05
            流動負債8,379,133.0045.369,802,008.0052.22
        長期負債    
          長期借款6,153,667.0033.315,013,080.0026.71
            長期負債6,153,667.0033.315,013,080.0026.71
        各項準備    
          土地增值稅準備914,695.004.95871,110.004.64
            各項準備合計914,695.004.95871,110.004.64
        其他負債    
          退休金準備/應計退休金負債823,316.004.46799,802.004.26
          存入保證金54,563.000.3035,041.000.19
          採權益法長期股權投資貸餘1,115,755.006.041,107,934.005.90
          其他負債–其他156,564.000.85156,912.000.84
            其他負債合計2,150,198.0011.642,099,689.0011.19
            負債總計17,597,693.0095.2717,785,887.0094.75
        股東權益    
        股本    
          普通股股本6,690,000.0036.226,690,000.0035.64
        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158,933.000.86158,267.000.84
            資本公積合計158,943.000.86158,277.000.84
        保留盈餘    
          未提撥保留盈餘-7,191,230.00-38.93-6,696,047.00-35.67
            保留盈餘合計-7,191,230.00-38.93-6,696,047.00-35.67
        股東權益其他調整項目合計    
          累積換算調整數363,692.001.97198,739.001.06
          未認列為退休金成本之淨損失-466,181.00-2.52-447,401.00-2.38
          金融商品之未實現損益72,545.000.392,282.000.01
          未實現重估增值1,250,145.006.771,082,959.005.77
          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1,216,492.006.59832,870.004.44
          股東權益總計874,205.004.73985,100.005.25
          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