姓名 | 職稱 | 持有股份 | 代表法人 |
---|---|---|---|
Gong,Shao-Xing | Chairman | 100.00% | YUAN DA SECURITIES CO., LTD. |
Lin,Tian-Fu | Vice Chairman | 100.00% | YUAN DA SECURITIES CO., LTD. |
Yang,Sheng-Hui | Director | 100.00% | YUAN DA SECURITIES CO., LTD. |
Liu,Ming-Lang | Director | 100.00% | YUAN DA SECURITIES CO., LTD. |
Guo,Mei-Ling | Director | 100.00% | YUAN DA SECURITIES CO., LTD. |
Mai,Xu-Shu | Supervisor | 100.00% | YUAN DA SECURITIES CO., LTD. |
Qian,Wei-Jing | Supervisor | 100.00% | YUAN DA SECURITIES CO., LTD. |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
net interest income | 276,710 | 992,007 | 720,684 |
Net profit (loss) other than interest | -54,430 | 8,732 | 260,081 |
Bad debt expenses, commitments and guarantee liability prepared for withdrawal | 986 | 26,232 | -5,485 |
Operating expenses | 65,308 | 245,486 | 230,517 |
Pre-tax net profit (net loss) of ongoing business | 155,986 | 729,021 | 755,733 |
Income tax expense (benefits) | 30,371 | 87,778 | 65,380 |
Net profit (loss) after tax of ongoing business for the current period | 125,615 | 641,243 | 690,353 |
Profit (loss) of closed units | - | - | - |
Profit (loss) of non-jointly controlled equity before merger | - | - | - |
Net profit after tax (net loss) for the current period | 125,615 | 641,243 | 690,353 |
Other comprehensive profit and loss (after tax) | -157,833 | 1,373,710 | -16,128 |
Comprehensive net profit and loss of non-jointly controlled equity before merger | - | - | - |
Comprehensive profit (loss) for the current period (after tax) | -32,218 | 2,014,953 | 674,225 |
Net profit (loss) attributable to owners of parent company | - | - | - |
Net profit (loss) form equity attributable to former owner of business combination under common control | - | - | - |
Net profit (loss) attributable to non-controlling interests | - | - | - |
Comprehensive profit (loss) attributable to owners of parent company | - | - | - |
Comprehensive profit (loss) form equity attributable to former owner of business combination under common control | - | - | - |
Comprehensive profit (loss) attributable to non-controlling interests | - | - | - |
Basic earnings per share (yuan) | 0 | 1 | 1 |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
Net cash inflow (outflow) from operating activities | -3,414,880 | - | - |
Net cash inflows (outflows) from investing activities | 113,641 | - | - |
Net cash inflow (outflow) from financing activities | 1,147,723 | - | - |
Effect of Exchange Rate Changes on Cash and Cash Equivalents | - | - | - |
Increase (decrease) in cash and cash equivalents in the current period | -2,153,516 | - | - |
Beginning balance of cash and cash equivalents | 2,363,117 | - | - |
Ending balance of cash and cash equivalents | 209,601 | - | - |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
cash and cash equivalents | 209,601 | 2,363,117 | 1,472,378 |
Deposit in central bank and interbank | 6,623,000 | 6,173,000 | 2,000,000 |
Financial asset at fair value through profit or loss | 77,563 | 55,964 | 50,150 |
Financial asset at fair value through other comprehensive profit or loss | 10,608,233 | 10,223,960 | 8,906,493 |
Bond investment at amortised cost | 205,388 | 205,873 | 207,858 |
Hedging derivative financial asset - net | - | - | - |
Reverse repurchase bond investment - net | - | - | - |
Accounts receivable - net | 2,198,765 | 1,330,781 | 676,684 |
Current tax asset | - | - | - |
asset for sale - net | - | - | - |
asset to be distributed to owners - net | - | - | - |
Loans and discounts - net | 66,907,017 | 66,086,057 | 45,441,679 |
Equity accounted investments - net | - | - | - |
Restricted asset - Net | - | - | - |
Other financial asset - net | - | - | - |
Property and Equipment - Net | 296,020 | 296,435 | 267,235 |
Right-of-use asset - net | 5,246 | 7,494 | 16,486 |
Real estate investment - net | 194,219 | 194,891 | 197,578 |
Intangible asset - net | 4,115 | 3,799 | 4,733 |
Deferred tax asset | 20,246 | 20,166 | 21,588 |
Other asset - net | 370,135 | 468,485 | 339,733 |
total asset | 81,096,548 | 81,257,022 | 57,602,595 |
Central Bank and Interbank Financing | - | - | - |
Financial liability at fair value through profit or loss | - | - | - |
Hedging derivative financial liability - net | - | - | - |
Reverse repurchase bond liability | - | - | - |
Account Payable | 1,579,305 | 2,795,123 | 2,876,383 |
Current tax liability | 84,702 | 54,441 | 27,376 |
liability related to asset for sale | - | - | - |
Deposit and Remittance | - | - | - |
Bank debenture payable | - | - | - |
Corporate bond payable | 7,995,276 | 7,994,821 | 4,997,668 |
Preferred stock liability | - | - | - |
Other financial liability | 46,511,924 | 45,902,750 | 30,819,757 |
Liability reserve | - | - | - |
lease liability | 5,349 | 7,626 | 16,641 |
Deferred tax liability | 5,399 | 5,399 | 5,399 |
other liability | 18,486 | 18,537 | 20,244 |
total liability | 62,823,441 | 62,951,697 | 40,763,468 |
share capital | 4,000,000 | 4,000,000 | 4,000,000 |
Equity - secruity token | - | - | - |
capital reserve | 28,299 | 28,299 | 28,299 |
retained earning | 4,557,380 | 4,429,535 | 4,280,804 |
Other equity | 9,687,428 | 9,847,491 | 8,530,024 |
Treasury stock | - | - | - |
Total equity attributable to owners of parent company | - | - | - |
Equity attributable to former owner of business combination under common control | - | - | - |
Equity attributable to non-controlling interest before business merger under common control | - | - | - |
Non-controlling interests | - | - | - |
Total equity | 18,273,107 | 18,305,325 | 16,839,127 |
Share capital awaiting retirement (unit: share) | 0 | 0 | 0 |
Treasury shares of the parent company held by the parent company and its subsidiaries (unit: share) | 0 | 0 | 0 |
Issued shares of advance equity (unit: shares) | 0 | 0 | 0 |
Net asset value per share | 45 | 45 | 42 |