台新金融控股股份有限公司 Approved
最後更新時間 2025/05/18 , 02:43 AM
最後更新時間 2025/05/18 , 02:43 AM
負責人
Wu,Dong-Liang
統一編號
80328055
成立日期
2002/02/18
資本額
NT$350,000,000,000
實收資本額
NT$140,761,443,120
股票代號
2887
電話
地址
12,13,15,16,21,22,23F, No. 118, Sec. 4, Ren'ai Rd., Da’an Dist., Taipei City, 106, Taiwan
董監事
姓名 職稱 持有股份 代表法人
Wu,Dong-Liang Chairman 0.19% JIA HAO Co., Ltd.
Wu,Cheng-Qing Director 3.66% TASCO CHEMICAL CORPORATION
Guo,Rui-Song Director 0.09% XIANG ZHAO Co., Ltd.
Wang,Zi-Zhan Director 0.05% SANTO ARDEN CO., LTD.
Wang,Mei-Hua Independent Director 0.00%
Guan,Guo-Lin Independent Director 0.00%
Zhang,Min-Yu Independent Director 0.00%
營業項目
  • Activities of Financial Services Holding Companies(642100)
  • 公司歷程
  • Change Capital to 200,000,000,000
    2017/08/29
  • Change Capital to 120,000,000,000
    2011/08/17
  • 員工人數
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    財務報表
    項目 2025 2024 2023
    net interest income 9,331,132 34,926,704 30,327,889
    Net income other than interest 15,432,102 51,681,546 39,590,161
    Net income 24,763,234 86,608,250 69,918,050
    Bad debt expenses, commitments and guarantee liability prepared for withdrawal 769,433 1,194,596 1,768,802
    Net change in provision for insurance liability 8,914,215 24,814,519 17,526,812
    Operating expenses 9,337,846 36,943,010 32,899,517
    Profit (loss) before tax of ongoing business 5,741,740 23,656,125 17,722,919
    Income Tax (Expense) Benefit 1,009,317 3,591,125 3,119,042
    Net profit (loss) of ongoing business for the current period 4,732,423 20,065,000 14,603,877
    Profit (loss) of closed units - - -
    Net profit after tax (net loss) for the current period 4,732,423 20,065,000 14,603,877
    Other comprehensive profit (loss) for the period (after tax) -3,808,650 1,787,431 7,018,231
    Total comprehensive profit and loss for the current period 923,773 21,852,431 21,622,108
    Net profit (loss) attributable to owners of parent company 4,732,707 20,064,396 14,601,692
    Net profit (loss) form equity attributable to former owner of business combination under common control - - -
    Net profit (loss) attributable to non-controlling interests -284 604 2,185
    Comprehensive profit (loss) attributable to owners of parent company 924,057 21,851,775 21,619,933
    Comprehensive profit (loss) form equity attributable to former owner of business combination under common control - - -
    Comprehensive profit (loss) attributable to non-controlling interests -284 656 2,175
    Basic earnings per share (yuan) 0 1 1
    項目 2025 2024 2023
    Net cash inflow (outflow) from operating activities -385,677 -28,540,199 -9,365,368
    Net cash inflows (outflows) from investing activities -360,999 -8,417,435 -2,055,740
    Net cash inflow (outflow) from financing activities 6,955,409 990,815 4,995,997
    Effect of Exchange Rate Changes on Cash and Cash Equivalents -3,295 6,495 -32,222
    Increase (decrease) in cash and cash equivalents in the current period 6,205,438 -35,960,324 -6,457,333
    Beginning balance of cash and cash equivalents 38,180,562 74,140,886 80,598,219
    Ending balance of cash and cash equivalents 44,386,000 38,180,562 74,140,886
    項目 2025 2024 2023
    cash and cash equivalents 29,934,763 33,110,688 29,232,521
    Deposits in central banks and inter-bank lending 106,660,283 108,262,582 109,924,871
    Financial asset at fair value through profit or loss 201,101,488 185,958,931 200,978,801
    Financial asset at fair value through other comprehensive profit or loss 172,828,625 169,292,719 147,149,191
    Bond investment at amortised cost 810,170,856 812,983,362 734,631,003
    Hedging Derivative Financial asset - - -
    Reverse repurchase bond investment 8,939,373 2,741,500 21,359,056
    Accounts receivable - net 188,356,758 186,735,572 165,317,191
    Current tax asset - - 0
    asset for sale - net - - -
    UNNAMED: 12 - - -
    Loans and discounts - net 1,764,054,718 1,660,513,546 1,524,822,536
    Reinsurance contract asset - net 762,379 702,364 598,394
    Equity accounted investments - net 522,937 527,999 527,714
    Restricted asset - Net - - -
    Other financial asset - net 59,961,454 55,826,062 39,997,264
    Investment property - net 10,967,226 10,856,081 4,093,509
    Property and Equipment - Net 25,112,951 25,308,787 25,700,393
    Right-of-use asset - net 2,262,748 2,218,285 2,291,375
    Intangible asset - net 3,623,768 3,669,396 3,565,321
    Deferred tax asset 7,391,984 7,694,759 7,800,552
    Other asset - net 22,681,388 24,302,711 17,961,678
    total asset 3,415,333,699 3,290,705,344 3,035,951,370
    Central Bank and Interbank Deposits 19,127,467 12,676,083 17,071,307
    Central Bank and Interbank Financing - - -
    Financial liability at fair value through profit or loss 45,934,279 56,665,194 65,303,086
    Hedging derivative financial liability - - -
    Reverse repurchase bond liability 74,629,921 64,973,243 85,658,987
    Commercial Promissory Notes Payable - Net 50,344,770 49,413,465 30,223,005
    Account Payable 48,499,258 44,764,025 39,299,694
    Current tax liability 3,430,161 2,234,377 3,907,323
    liability related to asset for sale - - -
    Deposit and Remittance 2,423,834,563 2,320,225,929 2,102,513,646
    Bonds payable 60,331,400 64,533,272 68,144,602
    Other loans 10,080,003 10,243,711 10,387,601
    Preferred stock liability - - -
    Liability reserve 282,333,127 271,768,851 241,426,541
    Other financial liability 152,776,533 148,851,012 141,856,704
    lease liability 2,338,125 2,291,981 2,405,852
    Deferred tax liability 2,064,496 2,578,856 1,383,817
    other liability 9,801,236 10,600,758 9,806,732
    total liability 3,185,525,339 3,061,820,757 2,819,388,897
    share capital 140,761,443 140,761,443 135,770,618
    capital reserve 38,197,778 38,197,778 38,197,778
    retained earning 55,253,022 50,104,233 43,361,276
    Other equity -4,341,179 -116,447 -794,452
    Treasury stock -89,298 -89,298 -
    Equity attributable to former owner of business combination under common control - - -
    Equity attributable to owners of parent company 229,781,766 228,857,709 216,535,220
    Non-controlling interests 26,594 26,878 27,253
    Total equity 229,808,360 228,884,587 216,562,473
    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) 1,927,518 1,927,518 0
    Net asset value per share 16 16 15
    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 0
    選舉支出(政治獻金)
    支出名稱 支出金額
    總支出金額 0
    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)
    2024 - - -
    2023 - - -
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    商標
    專利
  • 金融機構內部規章控管系統
  • 結合區塊鏈的憑證發行與驗證之系統及其方法
  • 基於區塊鏈智能合約的去中心化KYC系統及其方法
  • 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
    2006, 2007
  • Provisional injunction
    2008
  • Declaration of bankrupcy
    2005
  • Pay for liquidated damages
    2007
  • Others
    2015, 2016, 2017, 2019, 2020
  • Change deposit
    2008
  • Temporary status
    2015, 2016
  • Repay security deposit
    2006, 2008, 2009
  • Compensation for damage
    2008
  • Pay for liquidated damages
    2008, 2009, 2010, 2011
  • Profit-seeking Enterprise Income Tax
    2012
  • Peition for punishment of temporary status
    2015
  • 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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