姓名 | 職稱 | 持有股份 | 代表法人 |
---|---|---|---|
Lin,Xian-Dong | Chairman | 0.37% | |
HE XI INVESTMENT CO., LTD. | Vice Chairman | 5.92% | |
Zheng,Zheng | Managing Director | 1.13% | |
LANG HE INVESTMENT CO., LTD. | Managing Director | 5.65% | |
Liao,Xuan-Yi | Managing Director | 0.04% | |
Liao,Long-Xing | Director | 0.71% | |
Li,Bing-Huang | Director | 0.14% | |
Zheng,An-Zhe | Director | 0.26% | |
Su,Shi-Guang | Director | 10.01% | CHANG CHUN PLASTICS CO., LTD. |
Huang,Fu-Zhu | Director | 40.18% | CHANG CHUN PETROCHEMICAL CO., LTD. |
Cai,Zhi-Quan | Director | 40.18% | CHANG CHUN PETROCHEMICAL CO., LTD. |
HONG GUI INVESTMENT CO., LTD. | Director | 1.95% | |
YUAN SHI INVESTMENT CO., LTD. | Director | 7.41% | |
LI YUE LTD. | Director | 1.56% | |
YI FENG INVESTMENT CO., LTD. | Director | 0.92% | |
Zheng,Xin-Ai | Supervisor | 0.65% | |
Liao,Bai-Kai | Supervisor | 0.04% | |
Ye,Cheng-Xuan | Supervisor | 0.00% | |
QUAN HUA INVESTMENT CO., LTD. | Supervisor | 5.31% | |
NA BANG INVESTMENT CO., LTD. | Supervisor | 0.25% |
項目 | 2024 | 2023 | 2022 |
---|---|---|---|
Operating income | 23,267,766 | 47,421,548 | 103,371,419 |
Operating cost | 19,006,759 | 42,468,193 | 61,967,204 |
Profit (loss) of initial recognition of biological asset and agricultural products | - | - | - |
Profit (loss) on changes in fair value less costs to sell of biological asset for current period | - | - | - |
Operating gross profit (loss) | 4,261,007 | 4,953,355 | 41,404,215 |
Unrealized profit (loss) on sales of goods | - | - | - |
Realized profit (loss) on sales of goods | - | - | - |
Operating gross profit (loss), net | 4,261,007 | 4,953,355 | 41,404,215 |
Operating expenses | 1,980,781 | 3,834,046 | 5,464,200 |
Other gain (loss), net | - | - | - |
Operating profit (loss) | 2,280,226 | 1,119,309 | 35,940,015 |
Non-operating income and expenses | 716,645 | 489,635 | 2,910,741 |
Net profit (loss) before tax | 2,996,871 | 1,608,944 | 38,850,756 |
Income tax expense (benefits) | 721,936 | 1,204,824 | 7,890,251 |
Net profit (loss) of ongoing business for the current period | 2,274,935 | 404,120 | 30,960,505 |
Profit (loss) of closed units | - | - | - |
Profit (loss) of non-jointly controlled equity before merger | - | - | - |
Net profit (loss) for the current period | 2,274,935 | 404,120 | 30,960,505 |
Other comprehensive profit (loss), net | 896,756 | -193,523 | 1,532,743 |
Comprehensive net profit and loss of non-jointly controlled equity before merger | - | - | - |
Total comprehensive profit and loss for the current period | 3,171,691 | 210,597 | 32,493,248 |
Net profit (loss) attributable to owners of parent company | 2,296,054 | 2,129,962 | 27,084,921 |
Net profit (loss) form equity attributable to former owner of business combination under common control | - | - | - |
Net profit (loss) attributable to non-controlling interests | -21,119 | -1,725,842 | 3,875,584 |
Comprehensive profit (loss) attributable to owners of parent company | 2,829,975 | 1,965,124 | 27,824,847 |
Comprehensive profit (loss) form equity attributable to former owner of business combination under common control | - | - | - |
Comprehensive profit (loss) attributable to non-controlling interests | 341,716 | -1,754,527 | 4,668,401 |
Basic earnings per share (yuan) | 4 | 4 | 54 |
項目 | 2024 | 2023 | 2022 |
---|---|---|---|
Net cash inflow (outflow) from operating activities | -975,891 | 8,977,241 | 51,189,871 |
Net cash inflows (outflows) from investing activities | -523,320 | -1,054,844 | -963,049 |
Net cash inflow (outflow) from financing activities | -4,718,380 | -21,503,251 | -27,826,810 |
Effect of Exchange Rate Changes on Cash and Cash Equivalents | 658,525 | -194,968 | 1,103,778 |
Increase (decrease) in cash and cash equivalents in the current period | -5,559,066 | -13,775,822 | 23,503,790 |
Beginning balance of cash and cash equivalents | 51,191,457 | 64,967,279 | 41,177,387 |
Ending balance of cash and cash equivalents | 45,632,391 | 51,191,457 | 64,681,177 |
項目 | 2024 | 2023 | 2022 |
---|---|---|---|
Current asset | 60,351,951 | 64,416,766 | 83,515,787 |
Non-current asset | 15,839,740 | 15,845,505 | 19,822,629 |
Total asset | 76,191,691 | 80,262,271 | 103,338,416 |
Current liability | 11,727,194 | 13,518,264 | 16,088,321 |
Non-current liability | 1,733,722 | 2,249,350 | 2,836,695 |
Total liability | 13,460,916 | 15,767,614 | 18,925,016 |
share capital | 4,935,574 | 4,935,574 | 4,935,574 |
Equity - secruity token | - | - | - |
capital reserve | - | - | 0 |
retained earning | 49,226,361 | 51,865,880 | 67,990,611 |
Other equity | 591,864 | 57,943 | 229,710 |
Treasury stock | - | - | - |
Total equity attributable to owners of parent company | 54,753,799 | 56,859,397 | 73,155,895 |
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 | 7,976,976 | 7,635,260 | 11,257,505 |
Total Equity | 62,730,775 | 64,494,657 | 84,413,400 |
Share capital awaiting retirement (unit: share) | - | - | - |
Issued shares of advance equity (unit: shares) | 0 | 0 | 0 |
Treasury shares of the parent company held by the parent company and its subsidiaries (unit: share) | 0 | 0 | 0 |
Net asset value per share | 110 | 115 | 148 |
日期 | 違反法規法條 | 罰鍰金額 |
---|---|---|
2022/12/07 | Paragraph 1, Article 6 of the Occupational Safety and Health Act | |
2022/04/28 | Paragraph 1, Article 6 of the Occupational Safety and Health Act | |
2022/01/10 | Paragraph 1, Article 27 of the Occupational Safety and Health Act | |
2021/10/06 | Paragraph 1, Article 6 of the Occupational Safety and Health Act | |
2020/12/08 | Paragraph 1, Article 6 of the Occupational Safety and Health Act | |
2020/04/08 | Paragraph 1, Article 6 of the Occupational Safety and Health Act | |
2019/09/10 | Paragraph 1, Article 27 of the Occupational Safety and Health Act | |
2015/12/15 | Paragraph 1, Article 6 of the Occupational Safety and Health Act |