CAJFF - Canon Inc.

Other OTC - Other OTC 延遲價格。貨幣為 USD。
年度

損益表

所有數字以千元為單位
細節
過去 12 個月
31/12/2022
31/12/2021
31/12/2020
31/12/2019
總收益
4,031,414,000
4,031,414,000
3,513,357,000
3,160,243,000
3,593,299,000
收益成本
2,203,612,000
2,203,612,000
1,885,565,000
1,784,375,000
1,983,266,000
毛利
1,827,802,000
1,827,802,000
1,627,792,000
1,375,868,000
1,610,033,000
營運成本
研究發展
306,730,000
306,730,000
287,338,000
272,312,000
298,503,000
銷售、總務及行政
1,167,673,000
1,167,673,000
1,058,536,000
993,009,000
1,136,863,000
營運總成本
1,474,403,000
1,474,403,000
1,345,874,000
1,265,321,000
1,435,366,000
經營收入或虧損
353,399,000
353,399,000
281,918,000
110,547,000
174,667,000
利息支出
1,046,000
1,046,000
647,000
854,000
1,038,000
其他收益總數/支出淨額
-5,090,000
-5,090,000
19,203,000
17,664,000
16,585,000
稅前收益
352,440,000
352,440,000
302,706,000
130,280,000
195,740,000
所得稅費用
92,356,000
92,356,000
71,866,000
34,337,000
56,223,000
連續營業收益
260,084,000
260,084,000
230,840,000
95,943,000
139,517,000
淨收益
243,961,000
243,961,000
214,718,000
83,318,000
125,105,000
可分配給普通股股東的淨收入
243,961,000
243,961,000
214,718,000
83,318,000
125,105,000
基本每股盈利
-
236.71
205.35
79.37
116.93
攤薄每股盈利
-
236.63
205.29
79.35
116.91
基本平均股份
-
1,030,644
1,045,633
1,049,802
1,069,957
攤薄後平均股份
-
1,030,979
1,045,910
1,050,032
1,070,115
除利息、稅項、折舊及攤銷前盈利
-
579,978,000
524,599,000
358,959,000
434,105,000