光禹國際數位娛樂開發股份有限公司 Approved
最後更新時間 2025/05/02 , 01:36 AM
最後更新時間 2025/05/02 , 01:36 AM
負責人
Zi,Wei-Xin
統一編號
54320971
成立日期
2013/05/10
資本額
NT$600,000,000
實收資本額
NT$468,078,880
股票代號
6595
電話
02-2748-8066 #203
地址
6F, No. 29, Baocing St., Songshan Dist., Taipei City, 105, Taiwan
網站
董監事
姓名 職稱 持有股份 代表法人
Zi,Wei-Xin Chairman 15.05% XIN YU INTERNATIONAL INVESTMENT LTD.
Li,Yong-Ji Director 3.00% TANG JI INTERNATIONAL INVESTMENT LTD.
Xie,Zong-Yao Director 0.00%
Liu,Jian-Liang Director 0.00%
Wang,Wei-Qi Director 0.00%
Li,Jie-Yi Director 0.00% Collins Co., Ltd.
Zhu,Fu-Chun Independent Director 0.00%
Liao,Shu-Ren Independent Director 0.00%
Li,Meng-Zhou Independent Director 0.00%
營業項目
  • Activities of Amusement Parks and Theme Parks(932100)
  • Wholesale on a Fee or Contract Basis(451099)
  • 公司歷程
  • Change Company Name to Julien's International Entertainment Group
    2024/07/26
  • Change Company Name to GUANGYU INTERNATIONAL DIGITAL ENTERTAINMENT DEVELOPMENT CO., LTD. (FORMER NAME: GUANGYU INTERNATIONAL INVESTMENT CO., LTD.)
    2022/07/26
  • Change Capital to 600,000,000
    2018/11/27
  • Change Capital to 300,000,000
    2016/01/21
  • Change Capital to 158,800,000
    2015/09/08
  • Change Company Name to Julien's International Entertainment Group
    2015/04/02
  • Change Capital to 100,000,000
    2014/07/30
  • Change Company Name to GUANG YU INTERNATIONAL INVESTMENT CO., LTD.
    2014/03/05
  • Change Company Name to GUANGYU INTERNATIONAL THEME PARK DEVELOPMENT CO., LTD.
    2013/10/23
  • 員工人數
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    財務報表
    項目 2024 2023 2022
    Operating income 89,234 25,951 37,517
    Operating cost 31,978 25,838 34,821
    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) 57,256 113 2,696
    Unrealized profit (loss) on sales of goods 9,430 - -
    Realized profit (loss) on sales of goods - - -
    Operating gross profit (loss), net 47,826 113 2,696
    Operating expenses 30,443 54,391 42,663
    Other gain (loss), net - - -
    Operating profit (loss) 17,383 -54,278 -39,967
    Non-operating income and expenses 9,393 21,272 -17,899
    Net profit (loss) before tax 26,776 -33,006 -57,866
    Income tax expense (benefits) 2,824 50 133
    Net profit (loss) of ongoing business for the current period 23,952 -33,056 -57,999
    Profit (loss) of closed units - - -
    Profit (loss) of non-jointly controlled equity before merger - - -
    Net profit (loss) for the current period 23,952 -33,056 -57,999
    Other comprehensive profit (loss), net -18 67 -102
    Comprehensive net profit and loss of non-jointly controlled equity before merger - - -
    Total comprehensive profit and loss for the current period 23,934 -32,989 -58,101
    Net profit (loss) attributable to owners of parent company 19,797 -34,258 -58,308
    Net profit (loss) form equity attributable to former owner of business combination under common control - - -
    Net profit (loss) attributable to non-controlling interests 4,155 1,202 309
    Comprehensive profit (loss) attributable to owners of parent company 19,760 -34,193 -58,385
    Comprehensive profit (loss) form equity attributable to former owner of business combination under common control - - -
    Comprehensive profit (loss) attributable to non-controlling interests 4,174 1,204 284
    Basic earnings per share (yuan) 0 0 -1
    項目 2024 2023 2022
    Net cash inflow (outflow) from operating activities 7,284 -30,349 -1,283
    Net cash inflows (outflows) from investing activities -116,174 -91,076 -26,175
    Net cash inflow (outflow) from financing activities 307,114 19,367 132,478
    Effect of Exchange Rate Changes on Cash and Cash Equivalents 148 -224 82
    Increase (decrease) in cash and cash equivalents in the current period 198,372 -102,282 105,102
    Beginning balance of cash and cash equivalents 66,444 168,726 63,624
    Ending balance of cash and cash equivalents 264,816 66,444 168,726
    項目 2024 2023 2022
    Current asset 352,948 120,839 205,433
    Non-current asset 390,155 296,935 231,751
    Total asset 743,103 417,774 437,184
    Current liability 57,266 68,926 63,641
    Non-current liability 167,552 156,049 154,741
    Total liability 224,818 224,975 218,382
    share capital 568,079 368,079 368,079
    Equity - secruity token - - -
    capital reserve 100,000 0 51,308
    retained earning -147,313 -167,110 -184,030
    Other equity -14,533 -14,496 -14,561
    Treasury stock - 0 0
    Total equity attributable to owners of parent company 506,233 186,473 220,796
    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 12,052 6,326 -1,994
    Total Equity 518,285 192,799 218,802
    Share capital awaiting retirement (unit: share) - - 0
    Issued shares of advance equity (unit: shares) 5,000,000 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 10 5 6
    動產抵押
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    案件類別 債務人名稱 債務人統編 契約啟始日期 契約終止日期 抵押權人名稱 抵押權人統編 擔保債權金額
    存款不足之退票事宜
    時間 金額
    選舉收入(政治獻金)
    收入名稱 收入金額
    總收入金額
    選舉支出(政治獻金)
    支出名稱 支出金額
    總支出金額
    標案拒往
    機關名稱 生效日期 截止日期
    進出口資料
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    年份 月份 總進口實績(美金) 總出口實績(美金)
    商標
  • 光禹浮空劇院生活廣場 HOLO PARK
  • 光禹浮空劇院生活廣場 HOLO PARK
  • 星禹
  • 光禹國際數位娛樂開發股份有限公司標章圖
  • 星禹影院公園 HOLO STAR CINEMA PARK HOLO STAR
  • 專利
    政府標案
    標案名稱 機關名稱 決標日期 決標金額 是否得標
    裁判書查詢
  • Others
    2017
  • Pay the ticket
    2022
  • Return signing fee
    2022
  • Promissory note ruling
    2022
  • 勞權違規
    日期 違反法規法條 罰鍰金額
    污染源裁處
    污染類別 裁處時間 裁處機關 裁處金額 違反事實 違反法令 裁處書字號 裁處理由及法令 公司地址
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