思科
CSCO
英偉達
NVDA
博通
AVGO
台積電
TSM
阿斯麥
ASML
(FY)2024/12/31 | (Q4)2024/12/31 | (Q3)2024/09/30 | (Q2)2024/06/30 | (Q1)2024/03/31 | (FY)2023/12/31 | (Q4)2023/12/31 | (Q3)2023/09/30 | (Q2)2023/06/30 | (Q1)2023/03/31 | |
---|---|---|---|---|---|---|---|---|---|---|
營業總收入 | 40.80%3.29億 | 146.04%1.08億 | -49.41%8,387.9萬 | 357.05%7,346.6萬 | 713.46%6,347.4萬 | 8,290.02%2.34億 | 54,863.75%4,397.1萬 | 176,298.94%1.66億 | 2,606.06%1,607.4萬 | 287.05%780.3萬 |
營業收入 | 40.80%3.29億 | 146.04%1.08億 | -49.41%8,387.9萬 | 357.05%7,346.6萬 | 713.46%6,347.4萬 | 8,290.02%2.34億 | 54,863.75%4,397.1萬 | 176,298.94%1.66億 | 2,606.06%1,607.4萬 | 287.05%780.3萬 |
主營業務成本 | 172.35%3,848.6萬 | 96.07%1,539.9萬 | 166.20%934.1萬 | 334.54%830.4萬 | 534.89%544.1萬 | 5,232.45%1,413.1萬 | 261,700.00%785.4萬 | 175,350.00%350.9萬 | 8,208.70%191.1萬 | 261.60%85.7萬 |
毛利 | 32.34%2.91億 | 156.90%9,278.6萬 | -54.08%7,453.8萬 | 360.09%6,516.2萬 | 735.49%5,803.3萬 | 8,611.55%2.2億 | 46,805.19%3,611.7萬 | 176,319.57%1.62億 | 2,380.39%1,416.3萬 | 290.44%694.6萬 |
營業費用 | 24.98%2.49億 | 29.29%6,283.7萬 | 30.68%6,210.4萬 | -4.23%5,634.6萬 | 53.18%6,730.3萬 | -9.93%1.99億 | -37.38%4,860.2萬 | 35.56%4,752.2萬 | 48.91%5,883.7萬 | -36.00%4,393.8萬 |
銷售和管理費用 | 25.75%1.54億 | 25.07%3,896.3萬 | 28.07%4,196.6萬 | 26.29%3,879萬 | 23.20%3,458.1萬 | 28.51%1.23億 | -35.07%3,115.3萬 | 129.89%3,276.9萬 | 143.04%3,071.5萬 | 36.19%2,806.8萬 |
-管理費用 | 25.75%1.54億 | 25.07%3,896.3萬 | 28.07%4,196.6萬 | 26.29%3,879萬 | 23.20%3,458.1萬 | 28.51%1.23億 | -35.07%3,115.3萬 | 129.89%3,276.9萬 | 143.04%3,071.5萬 | 36.19%2,806.8萬 |
研發費用 | 23.75%9,429.1萬 | 36.82%2,387.4萬 | 36.50%2,013.8萬 | -37.57%1,755.6萬 | 106.19%3,272.2萬 | -39.22%7,619.2萬 | -41.12%1,744.9萬 | -29.08%1,475.3萬 | 4.64%2,812.2萬 | -66.97%1,587萬 |
營業利潤 | 103.21%4,192.9萬 | 339.88%2,994.9萬 | -89.17%1,243.4萬 | 119.73%881.6萬 | 74.94%-927萬 | 109.45%2,063.3萬 | 83.90%-1,248.5萬 | 428.30%1.15億 | -14.72%-4,467.4萬 | 44.68%-3,699.2萬 |
淨非營業利息收入(費用) | -90.47%-2,402.8萬 | -190.46%-706.1萬 | -191.73%-1,083.2萬 | -9.65%-397.7萬 | 19.55%-228.8萬 | -23.79%-1,261.5萬 | 15.06%-243.1萬 | -125.30%-371.3萬 | -20.22%-362.7萬 | -6.76%-284.4萬 |
利息費用 | 90.47%2,402.8萬 | 190.46%706.1萬 | 191.73%1,083.2萬 | 9.65%397.7萬 | -19.55%228.8萬 | 23.79%1,261.5萬 | -15.06%243.1萬 | 125.30%371.3萬 | 20.22%362.7萬 | 6.76%284.4萬 |
其他淨收入(費用) | 52.52%769.3萬 | 188.20%256.5萬 | -6.75%266.6萬 | 147.76%171.2萬 | 45.70%88萬 | 7.43%504.4萬 | -53.89%89萬 | 260.53%285.9萬 | -52.28%69.1萬 | 15.49%60.4萬 |
其他非經營收入(費用) | 52.52%769.3萬 | 188.20%256.5萬 | -6.75%266.6萬 | 147.76%171.2萬 | 45.70%88萬 | 7.43%504.4萬 | -53.89%89萬 | 260.53%285.9萬 | -52.28%69.1萬 | 15.49%60.4萬 |
稅前利潤 | 95.94%2,559.4萬 | 281.47%2,545.3萬 | -96.25%426.8萬 | 113.76%655.1萬 | 72.78%-1,067.8萬 | 105.84%1,306.2萬 | 82.13%-1,402.6萬 | 418.08%1.14億 | -17.53%-4,761萬 | 43.15%-3,923.2萬 |
所得稅 | 466.92%221.1萬 | 444.10%212.2萬 | 38.8萬 | -32.8萬 | 2.9萬 | 39萬 | 39萬 | 0 | 0 | 0 |
除稅後利潤 | 84.52%2,338.3萬 | 261.84%2,333.1萬 | -96.59%388萬 | 114.45%687.9萬 | 72.71%-1,070.7萬 | 105.66%1,267.2萬 | 81.63%-1,441.6萬 | 418.08%1.14億 | -17.53%-4,761萬 | 43.15%-3,923.2萬 |
持續經營利潤 | 84.52%2,338.3萬 | 261.84%2,333.1萬 | -96.59%388萬 | 114.45%687.9萬 | 72.71%-1,070.7萬 | 105.66%1,267.2萬 | 81.63%-1,441.6萬 | 418.08%1.14億 | -17.53%-4,761萬 | 43.15%-3,923.2萬 |
歸屬於少數股東的淨利潤 | ||||||||||
歸屬於母公司的淨利潤 | 84.52%2,338.3萬 | 261.84%2,333.1萬 | -96.59%388萬 | 114.45%687.9萬 | 72.71%-1,070.7萬 | 105.66%1,267.2萬 | 81.63%-1,441.6萬 | 418.08%1.14億 | -17.53%-4,761萬 | 43.15%-3,923.2萬 |
優先股派息 | ||||||||||
其他優先股派息 | ||||||||||
歸屬於普通股股東的淨利潤 | 84.52%2,338.3萬 | 261.84%2,333.1萬 | -96.59%388萬 | 114.45%687.9萬 | 72.71%-1,070.7萬 | 105.66%1,267.2萬 | 81.63%-1,441.6萬 | 418.08%1.14億 | -17.53%-4,761萬 | 43.15%-3,923.2萬 |
基本每股收益 | 77.78%0.16 | 260.00%0.16 | -96.25%0.03 | 114.71%0.05 | 75.00%-0.07 | 105.45%0.09 | 74.36%-0.1 | 407.69%0.8 | -13.33%-0.34 | 45.10%-0.28 |
稀釋每股收益 | 66.67%0.15 | 250.00%0.15 | -97.26%0.02 | 111.76%0.04 | 75.00%-0.07 | 105.45%0.09 | 74.36%-0.1 | 380.77%0.73 | -13.33%-0.34 | 45.10%-0.28 |
每股派息 | ||||||||||
貨幣單位 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 | 美元 |
會計準則 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
審計意見 | 無保留意見 | -- | -- | -- | -- | -- | -- | -- | -- | -- |