大聯大 2026Q3 法人說明會
3702上市
法人說明會
大聯大 2026Q3 法說會簡報重點與營運摘要

大聯大控股 (3702.TT/3702.TW) 2026Q2 法說會簡報

Company Overview

  • 公司名稱: 大聯大控股股份有限公司 (WPG Holdings)
  • 股票代號: 3702.TT / 3702.TW
  • 活動: 2026年第二季法人說明會
  • 日期: 2026年8月18日

Financial Highlights

2026年第二季營運成果 (單位:新台幣百萬元)

項目2Q262Q26 財測1Q262Q25與前期比較與去年比較Ytd26Ytd25與去年比較
營業收入456,211345~365B316,500250,45244.182.2772,711499,28654.8
毛利率4.43%4.25%~4.45%4.49%3.82%-6 bp+61 bp4.45%3.77%+68 bp
營業費用(8,243)(5,733)(4,654)43.877.1(13,975)(9,623)45.2
營業淨利11,9548,663~9,6438,4714,90641.1143.720,4259,190122.2
營業利益率2.62%2.51%~2.64%2.68%1.96%-6 bp+66 bp2.64%1.84%+80 bp
稅後純益8,6206,147 ~ 6,8245,5492,18655.4294.414,1694,084246.9
基本每股盈餘 (新台幣元)(1)5.123.65~4.063.301.058.422.18
每股淨值 (新台幣元)(1)57.2753.6140.27
資產總計617,874479,508372,208617,874372,208
負債總計518,934386,867302,754518,934302,754
股東權益總計98,94092,64169,45398,94069,453
淨營運資產297,380222,488171,932297,380171,932
淨營運現金流量(59,187)(39,712)23,192(98,899)18,398
關鍵指標(2)
營運資產報酬率16.1%15.2%11.4%+85 bp+466 bp13.7%10.7%+305 bp
營運資產佔營收比率0.160.180.170.190.17
股東權益報酬率38.5%25.7%11.6%+1,281 bp+2,690 bp31.6%10.8%+2,080 bp
財務槓桿比例2.151.721.902.151.90
(1).加權平均流通在外普通股股數1,6851,6791,6791,6821,679
(2).年化

綜合損益表 (單位:新台幣百萬元)

項目2Q261Q26與前期比較2Q25與去年比較Ytd26Ytd25與去年比較
營業收入456,211316,50044.1250,45282.2772,711499,28654.8
營業成本(436,014)(302,297)44.2(240,892)81.0(738,311)(480,473)53.7
營業毛利20,19714,20342.29,560111.334,40018,81382.9
毛利率4.43%4.49%3.82%4.45%3.77%
營業費用(8,243)(5,733)43.8(4,654)77.1(13,975)(9,623)45.2
營業淨利11,9548,47141.14,906143.720,4259,190122.2
營業利益率2.62%2.68%1.96%2.64%1.84%
非營業項目(658)(1,265)(48.0)(1,795)(63.3)(1,923)(3,483)(44.8)
淨利息收入(支出)(2,861)(2,160)32.5(2,213)29.3(5,021)(4,479)12.1
兌換利益(損失)99172(42.4)(89)(211.9)27117555.0
投資收益(損失)2,003590239.4448347.42,593701269.9
其他101133(24.3)5970.623412095.1
稅前損益11,2967,20656.83,111263.118,5025,707224.2
所得稅費用(2,520)(1,455)73.2(833)202.6(3,975)(1,450)174.1
少數股權(156)(202)(22.9)(93)67.6(358)(173)107.2
稅後純益8,6205,54955.42,186294.414,1694,084246.9
純益率1.89%1.75%0.87%1.83%0.82%
基本每股盈餘 (新台幣元)(1)5.123.301.058.422.18
所得稅率 %22%20%27%21%25%
(1).加權平均流通在外股數1,6851,6791,6791,6821,679

資產負債表 (單位:新台幣百萬元)

項目2Q26%1Q26%2Q25%
現金及約當現金28,770525,043521,0386
應收帳款及應收票據淨額294,80348214,79445158,59443
存貨淨額215,01935170,89136132,44836
流動資產571,59693434,75691329,94389
其他46,278744,752942,26511
資產總計617,874100479,508100372,208100
短期借款及一年內到期借款204,90633152,97932124,07033
應付帳款及應付票據淨額212,44234163,19634119,11032
其他59,8291035,565724,1056
流動負債477,17677351,74073267,28572
長期借款36,983631,067631,9789
其他4,77514,06113,4921
負債總計518,93484386,86781302,75481
股東權益總計98,9401692,6411969,45319
關鍵指標(1)
淨營運資產 (新台幣百萬元)297,380222,488171,932
平均收現天數515561
平均銷貨天數404755
平均付現天數394349
淨營運現金週期天數525967
流動比率120%124%123%
財務槓桿比例2.151.721.90
(1).年化

現金流量表 (單位:新台幣百萬元)

項目2Q261Q262Q25Ytd26Ytd25
-稅前純益11,2967,2063,11118,5025,707
-淨營運資產(75,104)(34,099)20,814(109,203)12,522
-其他4,621(12,819)(733)(8,198)168
營業活動之淨現金流入(流出)(59,187)(39,712)23,192(98,899)18,398
-其他金融資產212,675(1,970)2,696(202)
-資本支出(71)(43)(89)(114)(143)
-對子公司之收購--(580)-(580)
-公允價值之金融資產3221,5291061,851374
-其他74(77)779(3)(191)
投資活動之淨現金流入(流出)3464,084(1,753)4,430(742)
-借款63,15233,510(15,568)96,662(8,575)
-發行公司債-3,025-3,025-
-其他(99)(102)(327)(201)(187)
籌資活動之淨現金流入(流出)63,05336,433(15,895)99,486(8,762)
匯率影響數(464)1,842(11,673)1,378(10,550)
本期現金及約當現金增加(減少)3,7482,648(6,130)6,396(1,656)
期末現金及約當現金餘額28,75225,00421,03228,75221,032

Recent Performance and Results

合併營收 (單位:新台幣十億元)

年度1Q2Q3Q4Q
2022210199190176
2023145157187183
2024182208259232
2025249250244255
2026317456
  • 2026年第二季營收年增率 (YoY): +55.7% (in USD), +54.8% (in NTD)

毛利率及營業利益率 (單位:新台幣百萬元)

季度毛利(季)營業利益(季)毛利率(季)營業利益率(季)
2Q259,5604,9063.82%1.96%
3Q259,8555,3504.03%2.19%
4Q2510,8715,4304.26%2.13%
1Q2614,2038,4714.49%2.68%
2Q2620,19711,9544.43%2.62%

營運資產報酬率及營運資產佔營收比率 (年化)

季度營運資產佔營收比率(季)營運資產報酬率(季)營運資產報酬率(年)
2Q250.1711.4%10.7%
3Q250.1911.3%10.2%
4Q250.1811.5%10.6%
1Q260.1815.2%13.7%
2Q260.1616.1%

股東權益報酬率及每股盈餘 (新台幣元, 年化)

季度每股盈餘(季)股東權益報酬率(季)股東權益報酬率(年)
2Q251.0511.6%10.8%
3Q251.8916.0%12.2%
4Q251.7013.7%12.2%
1Q263.3025.7%31.6%
2Q265.1238.5%

營運現金週期 (天數, 年化)

季度平均收現天數平均銷貨天數平均付現天數淨營運現金週期(天數)
2Q2560554867
3Q2561514468
4Q2559514268
1Q2655484459
2Q2651403952

Business Segments

2026年第二季營收比重 - 銷售區域別

季度台灣區大陸地區東南亞區其他地區
1Q2510%72%14%4%
2Q2510%70%16%4%
3Q2511%67%17%5%
4Q2511%69%15%5%
1Q2610%66%17%7%
2Q2610%63%19%8%

2026年第二季營收比重 - 客戶別

季度台商陸資外商/其他
1Q2535%53%12%
2Q2534%53%13%
3Q2535%51%14%
4Q2532%54%14%
1Q2626%55%19%
2Q2623%54%23%

Products & Technologies

2026年第二季營收比重 - 產品應用別

季度運算(含伺服器)通訊電子消費性電子工業電子車用電子其他
1Q2545%23%6%6%6%14%
2Q2546%19%7%6%6%14%
3Q2543%19%7%9%6%16%
4Q2548%17%7%8%7%13%
1Q2649%15%7%8%7%14%
2Q2645%15%9%9%8%17%

2026年第二季營收比重 - 產品別

季度核心元件類比及混合訊號元件離散及邏輯元件記憶元件被動、電磁及連接器元件光學元件其他元件
1Q2546%7%8%23%7%7%2%
2Q2540%9%8%26%7%8%2%
3Q2534%9%10%27%9%9%2%
4Q2531%8%9%34%9%7%3%
1Q2623%8%8%45%9%9%3%
2Q2618%6%6%54%9%9%3%

Outlook & Strategy

2026年第三季財務預測 (單位:新台幣百萬元)

基於目前對營運的展望及匯率的假設,本公司預期:

項目3Q26預測數 (1)2Q26 (2)
營業收入460,000 ~ 500,000456,211
營業毛利20,010 ~ 22,75020,197
毛利率4.35% ~ 4.55%4.43%
營業費用7,200 ~ 8,2008,243
營業利益12,810 ~ 14,55011,954
營業利潤率2.78% ~ 2.91%2.62%
稅前淨利11,450 ~ 12,90111,296
稅後淨利9,502 ~ 10,7188,620
每股盈餘(新台幣元)5.45 ~ 6.155.12
  • (1) 假設2026年第三季平均匯率為32.2
  • (2) 實際數
  • 大聯大依IFRS編製

Additional Data

近期重要事件摘要

  • 本公司普通股除息日定於8月27日,發放日為9月30日。(2026/08/11)
  • 本公司董事會決議發行第四次國內無擔保轉換公司債(CB4),發行總面額上限為新台幣壹佰伍拾億元整。(2026/08/11)

Safe Harbor Notice

These forward-looking statements, which may include statements regarding WPG' future results of operations, financial condition or business prospects, are subject to significant risks and uncertainties and are based on WPG' current expectations.

Actual results may differ materially from those expressed or implied in these forward-looking statements for a variety of reasons, including, among other things: the cyclical nature of our industry; our dependence on introducing new products on a timely basis; our dependence on growth in the demand for our products; our ability to compete effectively; our ability to successfully expand our capacity; our dependence on key personnel; general economic and political conditions, including those related to the IC industry; possible disruptions in commercial activities caused by natural and human-induced disasters, including terrorist activity and armed conflict; and fluctuations in foreign currency exchange rates.

Our release of financial forecasts and forward-looking statements at any particular time does not create any duty of disclosure beyond which is imposed by law, and we expressly disclaim any obligation to publicly update or revise any forecasts or forward-looking statements, whether as a result of new information, future events or otherwise.

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