嘉雨思-創 114年第3季綜合損益表,每股虧損0.02元
(114/12/23 19:17:03)
嘉雨思-創(6921)  114年 第3季 綜合損益表
民國114年第3季 
單位:新台幣仟元 
會計項目114年第3季113年第3季本期累計去年同期累計
 金額%金額%金額%金額%
營業收入        
 銷貨收入淨額        
  銷貨收入35,000100.1771,063115.84163,077108.50109,303109.86
   銷貨收入35,000100.1771,063115.84163,077108.50109,303109.86
  銷貨退回00.0000.001,0260.6800.00
  銷貨折讓610.179,71615.8411,7567.829,8129.86
  銷貨收入淨額34,939100.0061,347100.00150,295100.0099,491100.00
 營業收入合計34,939100.0061,347100.00150,295100.0099,491100.00
營業成本        
 銷貨成本        
  銷貨成本15,20743.5218,43630.0563,94242.5431,54531.71
  銷貨成本合計15,20743.5218,43630.0563,94242.5431,54531.71
 營業成本合計15,20743.5218,43630.0563,94242.5431,54531.71
營業毛利(毛損)19,73256.4842,91169.9586,35357.4667,94668.29
營業毛利(毛損)淨額19,73256.4842,91169.9586,35357.4667,94668.29
營業費用        
 推銷費用1,5454.421,2662.064,2382.824,6834.71
  薪資支出1,1283.237351.203,1202.082,8132.83
  文具用品00.0000.0000.0020.00
  旅費390.11240.04970.061720.17
  運費1270.363300.544230.286330.64
  郵電費70.02100.02230.02300.03
  保險費730.21480.082180.152130.21
  交際費740.21500.081160.08880.09
  折舊60.0260.01190.01310.03
  伙食費270.08180.03770.05760.08
  職工福利10.0020.0020.0030.00
  進出口費用190.0570.01690.05250.03
  其他費用440.13360.06740.055970.60
 管理費用8,11823.237,50912.2423,61415.7120,42720.53
  薪資支出4,75213.604,2516.9313,9349.2712,60012.66
  租金支出810.23910.152210.152710.27
  文具用品220.0650.01570.04190.02
  旅費3360.963670.607230.485180.52
  運費20.0110.0030.0010.00
  郵電費350.10360.061010.071020.10
  修繕費00.0000.00230.02190.02
  廣告費00.0000.00150.0100.00
  水電瓦斯費1690.48700.113000.201710.17
  保險費3521.013190.521,1940.791,0411.05
  交際費590.171390.233180.213410.34
  稅捐120.03130.021250.081000.10
  折舊7362.115590.912,0361.351,6781.69
  各項攤提330.09310.05850.06900.09
  伙食費810.23720.122390.162160.22
  職工福利840.24370.062240.151490.15
  訓練費120.03440.07220.01620.06
  其他費用1,3523.871,4742.403,9942.663,0493.06
 研究發展費用14,24440.7718,84530.7244,85629.8540,28640.49
  薪資支出7,86922.526,86111.1824,17216.0819,29719.40
  文具用品00.0000.0010.0010.00
  旅費470.13370.062940.202460.25
  運費00.0010.0010.0040.00
  郵電費30.0150.01100.01110.01
  保險費4141.183530.581,2600.841,0001.01
  交際費120.03100.02270.02300.03
  折舊及折耗8172.348011.312,4461.632,3512.36
  各項攤提1,0503.011,1821.933,1622.103,3543.37
  伙食費1250.361050.173710.253030.30
  職工福利50.0140.01130.01270.03
  其他費用3,90211.179,48615.4613,0998.7213,66213.73
 營業費用合計23,90768.4227,62045.0272,70848.3865,39665.73
營業利益(損失)-4,175-11.9515,29124.9313,6459.082,5502.56
營業外收入及支出        
 利息收入        
  銀行存款利息5651.621,0331.682,2311.483,4393.46
  其他利息收入00.0000.0000.0000.00
  利息收入合計5651.621,0331.682,2311.483,4393.46
 其他收入        
  其他收入-其他1320.381280.211600.112180.22
  其他收入合計1320.381280.211600.112180.22
 其他利益及損失        
  外幣兌換利益3,2319.2500.0000.003,0543.07
  外幣兌換損失00.003,5265.759,0366.0100.00
  其他利益及損失淨額3,2319.25-3,526-5.75-9,036-6.013,0543.07
 財務成本        
  利息費用2660.762670.447900.537530.76
  財務成本淨額2660.762670.447900.537530.76
 營業外收入及支出合計3,66210.48-2,632-4.29-7,435-4.955,9585.99
繼續營業單位稅前淨利(淨損)-513-1.4712,65920.646,2104.138,5088.55
所得稅費用(利益)        
 本期所得稅費用(利益)00.0000.0000.0000.00
 所得稅費用(利益)合計00.0000.0000.0000.00
繼續營業單位本期淨利(淨損)-513-1.4712,65920.646,2104.138,5088.55
本期淨利(淨損)-513-1.4712,65920.646,2104.138,5088.55
本期綜合損益總額-513-1.4712,65920.646,2104.138,5088.55
基本每股盈餘        
 繼續營業單位淨利(淨損)-0.02 0.42 0.21 0.28 
 基本每股盈餘合計-0.02 0.42 0.21 0.28 
稀釋每股盈餘        
 繼續營業單位淨利(淨損)-0.02 0.42 0.21 0.28 
 稀釋每股盈餘合計-0.02 0.42 0.21 0.28 
資料來源:交易所公開資訊觀測站

 
 
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