姓名 | 職稱 | 持有股份 | 代表法人 |
---|---|---|---|
Zhong,Jia-Cun | Chairman | 7.52% | |
Zhong,Yu-Lin | Director | 21.22% | GAO XIONG MOTOR PASSENGER TRANSPORT CO., LTD. |
Ceng,Yi-Nan | Director | 21.22% | GAO XIONG MOTOR PASSENGER TRANSPORT CO., LTD. |
Liao,Shun-Qing | Director | 21.22% | GAO XIONG MOTOR PASSENGER TRANSPORT CO., LTD. |
Xie,An-Qi | Director | 21.22% | GAO XIONG MOTOR PASSENGER TRANSPORT CO., LTD. |
Li,Zong-Xi | Director | 21.22% | GAO XIONG MOTOR PASSENGER TRANSPORT CO., LTD. |
Han,Jia-Xian | Director | 21.22% | GAO XIONG MOTOR PASSENGER TRANSPORT CO., LTD. |
DONG ZHENG INVESTMENT CONSULTANT CO., LTD. | Director | 7.44% | |
Xu,Hong-Ru | Independent Director | 0.00% | |
Zhang,Ren-Lang | Independent Director | 0.00% | |
Pan,Wei-Xin | Independent Director | 0.00% |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
Operating income | 2,590,852 | 10,415,781 | 7,697,962 |
Operating cost | 2,187,618 | 7,892,917 | 6,469,510 |
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) | 403,234 | 2,522,864 | 1,228,452 |
Unrealized profit (loss) on sales of goods | - | - | - |
Realized profit (loss) on sales of goods | - | - | - |
Operating gross profit (loss), net | 403,234 | 2,522,864 | 1,228,452 |
Operating expenses | 291,763 | 990,534 | 970,160 |
Other gain (loss), net | - | - | - |
Operating profit (loss) | 111,471 | 1,532,330 | 258,292 |
Non-operating income and expenses | -81,440 | -201,746 | -83,426 |
Net profit (loss) before tax | 30,031 | 1,330,584 | 174,866 |
Income tax expense (benefits) | 19,233 | 257,658 | 52,076 |
Net profit (loss) of ongoing business for the current period | 10,798 | 1,072,926 | 122,790 |
Profit (loss) of closed units | - | - | - |
Profit (loss) of non-jointly controlled equity before merger | - | - | - |
Net profit (loss) for the current period | 10,798 | 1,072,926 | 122,790 |
Other comprehensive profit (loss), net | 4,319 | 4,290 | -393 |
Comprehensive net profit and loss of non-jointly controlled equity before merger | - | - | - |
Total comprehensive profit and loss for the current period | 15,117 | 1,077,216 | 122,397 |
Net profit (loss) attributable to owners of parent company | 15,241 | 527,426 | 112,660 |
Net profit (loss) form equity attributable to former owner of business combination under common control | - | 0 | 7,233 |
Net profit (loss) attributable to non-controlling interests | -4,443 | 545,500 | 2,897 |
Comprehensive profit (loss) attributable to owners of parent company | 19,560 | 531,716 | 112,267 |
Comprehensive profit (loss) form equity attributable to former owner of business combination under common control | - | 0 | 7,233 |
Comprehensive profit (loss) attributable to non-controlling interests | -4,443 | 545,500 | 2,897 |
Basic earnings per share (yuan) | 0 | 1 | 0 |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
Net cash inflow (outflow) from operating activities | -563,702 | 981,034 | 6,785 |
Net cash inflows (outflows) from investing activities | -611,598 | -3,048,162 | -7,458,696 |
Net cash inflow (outflow) from financing activities | 1,304,121 | 2,057,954 | 7,360,040 |
Effect of Exchange Rate Changes on Cash and Cash Equivalents | 2,679 | -598 | - |
Increase (decrease) in cash and cash equivalents in the current period | 131,500 | -9,772 | -91,871 |
Beginning balance of cash and cash equivalents | 1,145,716 | 1,264,015 | 1,355,886 |
Ending balance of cash and cash equivalents | 1,277,216 | 1,254,243 | 1,264,015 |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
Current asset | 8,805,798 | 7,668,796 | 7,725,731 |
Non-current asset | 25,743,660 | 24,367,349 | 21,350,220 |
Total asset | 34,549,458 | 32,036,145 | 29,075,951 |
Current liability | 6,502,806 | 10,179,669 | 13,201,243 |
Non-current liability | 19,170,836 | 13,037,301 | 7,772,447 |
Total liability | 25,673,642 | 23,216,970 | 20,973,690 |
share capital | 3,693,171 | 3,693,094 | 3,264,419 |
Equity - secruity token | - | - | - |
capital reserve | 1,458,028 | 1,376,294 | 1,784,301 |
retained earning | 662,574 | 699,505 | 302,655 |
Other equity | -1,734 | 2,160 | -2,130 |
Treasury stock | - | - | - |
Total equity attributable to owners of parent company | 5,812,039 | 5,771,053 | 5,349,245 |
Equity attributable to former owner of business combination under common control | - | 0 | 0 |
Equity attributable to non-controlling interest before business merger under common control | - | - | - |
Non-controlling interests | 3,063,777 | 3,048,122 | 2,753,016 |
Total Equity | 8,875,816 | 8,819,175 | 8,102,261 |
Share capital awaiting retirement (unit: share) | 0 | 0 | - |
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 | 15 | 15 | 16 |
標案名稱 | 機關名稱 | 決標日期 | 決標金額 | 是否得標 |
---|---|---|---|---|
113年度大金門金湖鎮及金沙鎮車運超級柴油採購(百分比決標) | 金門縣採購招標所 | 113/01/02 | 10640000.0 | 是 |
電動車充電樁暨充電停車營運系統建置與營運服務案(第1次變更追加減) | 台灣中油股份有限公司油品行銷事業部 | 112/04/27 | 439110.0 | 是 |
112年度大金門金湖鎮及金沙鎮車運超級柴油採購(百分比決標) | 金門縣採購招標所 | 111/12/30 | 10600000.0 | 是 |
電動車充電樁暨充電停車營運系統建置與營運服務案 | 台灣中油股份有限公司 | 111/06/22 | 18000000.0 | 是 |
日期 | 違反法規法條 | 罰鍰金額 |
---|---|---|
2023/04/21 | Others | |
2022/07/08 | Paragraph 2, Article 32 of the Labor Standards Act | 50,000 |
2022/02/09 | Article 35 of the Labor Standards Act | 20,000 |
2021/10/15 | Article 35 of the Labor Standards Act | 20,000 |
2020/05/06 | Paragraph 1, Article 23 of the Labor Standards Act | |
2020/01/03 | Paragraph 1, Article 6 of the Occupational Safety and Health Act |