姓名 | 職稱 | 持有股份 | 代表法人 |
---|---|---|---|
Chen,Fen-Lan | Chairman | 1.70% | MINISTRY OF FINANCE |
Lin,Ming-Cheng | Vice Chairman | 1.77% | LIN XIONGZHENG XUETIAN FOUNDATION |
Li,Yao-Qing | Director | 1.70% | MINISTRY OF FINANCE |
Zheng,Shi-Qing | Director | 21.23% | Bank of Taiwan |
Li,Jian-Hong | Director | 21.23% | Bank of Taiwan |
Wang,Zhao-Wen | Director | 21.23% | Bank of Taiwan |
Wu,You-Hui | Director | 21.23% | Bank of Taiwan |
Li,Zhen-Fang | Director | 21.23% | Bank of Taiwan |
Du,Zhen-Yuan | Director | 0.00% | |
Lin,Zhi-Yang | Director | 0.00% | |
Lin,Zhi-You | Director | 1.77% | LIN XIONGZHENG XUETIAN FOUNDATION |
Lin,Zhi-Yan | Director | 1.77% | LIN XIONGZHENG XUETIAN FOUNDATION |
Xu Chen,An-Lan | Director | 0.03% | HE QUAN INVESTMENT CO., LTD. |
Li Xu,Yuan-Ling | Director | 0.03% | HE QUAN INVESTMENT CO., LTD. |
Shen,Jia-Ying | Director | 0.53% | CHINA MAN-MADE FIBER CORPORATION |
Lin,Rui-Jia | Independent Director | 0.00% | |
Lin,Guo-Quan | Independent Director | 0.00% | |
Yang,Min-Xian | Independent Director | 0.00% | |
Chen,Song-Dong | Independent Director | 0.00% |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
net interest income | 6,941,955 | 26,228,121 | 27,867,948 |
Net income other than interest | 9,746,534 | 40,550,670 | 31,599,499 |
Net income | 16,688,489 | 66,778,791 | 59,467,447 |
Bad debt expenses, commitments and guarantee liability prepared for withdrawal | 825,242 | 3,656,196 | 2,294,134 |
Net change in provision for insurance liability | 633,408 | 535,597 | 187,812 |
Operating expenses | 8,515,471 | 33,431,223 | 30,790,196 |
Profit (loss) before tax of ongoing business | 6,714,368 | 29,155,775 | 26,195,305 |
Income Tax (Expense) Benefit | 1,376,719 | 6,023,000 | 4,576,885 |
Net profit (loss) of ongoing business for the current period | 5,337,649 | 23,132,775 | 21,618,420 |
Profit (loss) of closed units | - | - | - |
Net profit after tax (net loss) for the current period | 5,337,649 | 23,132,775 | 21,618,420 |
Other comprehensive profit (loss) for the period (after tax) | 4,942,191 | 5,774,127 | 9,413,303 |
Total comprehensive profit and loss for the current period | 10,279,840 | 28,906,902 | 31,031,723 |
Net profit (loss) attributable to owners of parent company | 5,337,621 | 23,132,593 | 21,618,294 |
Net profit (loss) form equity attributable to former owner of business combination under common control | - | - | - |
Net profit (loss) attributable to non-controlling interests | 28 | 182 | 126 |
Comprehensive profit (loss) attributable to owners of parent company | 10,279,792 | 28,906,645 | 31,031,554 |
Comprehensive profit (loss) form equity attributable to former owner of business combination under common control | - | - | - |
Comprehensive profit (loss) attributable to non-controlling interests | 48 | 257 | 169 |
Basic earnings per share (yuan) | 0 | 1 | 1 |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
Net cash inflow (outflow) from operating activities | -42,994,060 | 40,875,539 | -21,346,630 |
Net cash inflows (outflows) from investing activities | -467,588 | -1,379,104 | -2,560,931 |
Net cash inflow (outflow) from financing activities | 3,782,050 | -12,300,486 | 3,224,356 |
Effect of Exchange Rate Changes on Cash and Cash Equivalents | 505,507 | 2,662,349 | -304,953 |
Increase (decrease) in cash and cash equivalents in the current period | -39,174,091 | 29,858,298 | -20,988,158 |
Beginning balance of cash and cash equivalents | 195,692,197 | 165,833,899 | 186,822,057 |
Ending balance of cash and cash equivalents | 156,518,106 | 195,692,197 | 165,833,899 |
項目 | 2025 | 2024 | 2023 |
---|---|---|---|
cash and cash equivalents | 37,534,314 | 75,858,073 | 39,596,420 |
Deposits in central banks and inter-bank lending | 232,642,712 | 242,231,622 | 245,757,463 |
Financial asset at fair value through profit or loss | 168,656,262 | 160,653,672 | 118,793,903 |
Financial asset at fair value through other comprehensive profit or loss | 395,828,756 | 374,241,188 | 379,784,939 |
Bond investment at amortised cost | 760,475,175 | 835,917,351 | 686,891,136 |
Hedging Derivative Financial asset | - | - | - |
Reverse repurchase bond investment | 2,249,287 | 2,219,241 | 2,481,443 |
Accounts receivable - net | 87,766,923 | 84,024,820 | 67,252,591 |
Current tax asset | 341,096 | 334,871 | 398,393 |
asset for sale - net | - | - | - |
UNNAMED: 12 | - | - | - |
Loans and discounts - net | 2,366,592,960 | 2,391,862,041 | 2,243,451,690 |
Reinsurance contract asset - net | 6,465,317 | 5,887,139 | 6,917,297 |
Equity accounted investments - net | 266,307 | 276,595 | 351,351 |
Restricted asset - Net | - | - | - |
Other financial asset - net | 15,683,537 | 14,240,547 | 19,050,712 |
Investment property - net | 13,478,570 | 13,347,574 | 14,863,175 |
Property and Equipment - Net | 33,651,603 | 33,690,460 | 31,978,737 |
Right-of-use asset - net | 2,113,285 | 2,185,115 | 2,268,659 |
Intangible asset - net | 999,772 | 960,683 | 919,111 |
Deferred tax asset | 3,835,682 | 3,837,916 | 3,850,295 |
Other asset - net | 4,499,538 | 4,492,988 | 4,594,464 |
total asset | 4,133,081,096 | 4,246,261,896 | 3,869,201,779 |
Central Bank and Interbank Deposits | 276,715,763 | 271,436,406 | 190,550,622 |
Central Bank and Interbank Financing | - | - | - |
Financial liability at fair value through profit or loss | 4,287,239 | 5,183,051 | 8,651,418 |
Hedging derivative financial liability | - | - | - |
Reverse repurchase bond liability | 87,241,171 | 50,983,741 | 109,103,919 |
Commercial Promissory Notes Payable - Net | 54,672,310 | 50,860,924 | 36,316,177 |
Account Payable | 50,160,754 | 46,256,761 | 48,200,920 |
Current tax liability | 4,092,085 | 3,085,600 | 3,640,732 |
liability related to asset for sale | - | - | - |
Deposit and Remittance | 3,220,573,757 | 3,398,731,515 | 3,065,364,627 |
Bonds payable | 71,389,794 | 71,389,216 | 80,586,915 |
Other loans | 2,998,858 | 2,822,000 | 3,412,328 |
Preferred stock liability | - | - | - |
Liability reserve | 25,333,324 | 24,195,446 | 23,659,550 |
Other financial liability | 87,761,209 | 83,865,306 | 76,978,878 |
lease liability | 2,154,653 | 2,247,642 | 2,325,107 |
Deferred tax liability | 6,204,299 | 6,201,476 | 6,139,717 |
other liability | 8,863,151 | 8,649,923 | 6,458,533 |
total liability | 3,902,448,367 | 4,025,909,007 | 3,661,389,443 |
share capital | 137,791,734 | 137,791,734 | 136,427,459 |
capital reserve | 17,766,839 | 17,766,839 | 17,761,804 |
retained earning | 78,129,634 | 72,744,449 | 63,895,129 |
Other equity | -3,057,948 | -7,952,555 | -10,274,310 |
Treasury stock | - | - | - |
Equity attributable to former owner of business combination under common control | - | - | - |
Equity attributable to owners of parent company | 230,630,259 | 220,350,467 | 207,810,082 |
Non-controlling interests | 2,470 | 2,422 | 2,254 |
Total equity | 230,632,729 | 220,352,889 | 207,812,336 |
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 | 16 | 15 | 15 |