連線商業銀行股份有限公司 Approved
最後更新時間 2025/04/25 , 03:07 AM
最後更新時間 2025/04/25 , 03:07 AM
負責人
Huang,Ren-Jun
統一編號
83477590
成立日期
2020/03/09
資本額
NT$15,000,000,000
實收資本額
NT$15,000,000,000
股票代號
電話
地址
3F, No. 333, Rueiguang Rd., Neihu Dist., Taipei City, 114, Taiwan
網站
營業項目
  • Banking(641211)
  • 公司歷程
  • Change Capital to 15,000,000,000
    2022/08/30
  • 員工人數
    財務報表
    項目 2024 2023 2022
    net interest income 950,145 432,459 1,032
    Net profit (loss) other than interest 221,554 156,162 -396,516
    Bad debt expenses, commitments and guarantee liability prepared for withdrawal 234,674 167,759 192,779
    Operating expenses 2,053,665 1,894,196 1,920,803
    Pre-tax net profit (net loss) of ongoing business -1,116,640 -1,473,334 -2,509,066
    Income tax expense (benefits) -224,287 -292,113 -501,817
    Net profit (loss) after tax of ongoing business for the current period -892,353 -1,181,221 -2,007,249
    Profit (loss) of closed units - - 0
    Profit (loss) of non-jointly controlled equity before merger - - 0
    Net profit after tax (net loss) for the current period -892,353 -1,181,221 -2,007,249
    Other comprehensive profit and loss (after tax) 3,748 43,695 -70,941
    Comprehensive net profit and loss of non-jointly controlled equity before merger - - 0
    Comprehensive profit (loss) for the current period (after tax) -888,605 -1,137,526 -2,078,190
    Net profit (loss) attributable to owners of parent company - - -
    Net profit (loss) form equity attributable to former owner of business combination under common control - - -
    Net profit (loss) attributable to non-controlling interests - - -
    Comprehensive profit (loss) attributable to owners of parent company - - -
    Comprehensive profit (loss) form equity attributable to former owner of business combination under common control - - -
    Comprehensive profit (loss) attributable to non-controlling interests - - -
    Basic earnings per share (yuan) 0 0 -1
    項目 2024 2023 2022
    Net cash inflow (outflow) from operating activities - - -
    Net cash inflows (outflows) from investing activities - - -
    Net cash inflow (outflow) from financing activities - - -
    Effect of Exchange Rate Changes on Cash and Cash Equivalents - - -
    Increase (decrease) in cash and cash equivalents in the current period - - -
    Beginning balance of cash and cash equivalents - - -
    Ending balance of cash and cash equivalents - - -
    項目 2024 2023 2022
    cash and cash equivalents 82,670 27,231 133,456
    Deposit in central bank and interbank 680,671 629,942 0
    Financial asset at fair value through profit or loss - - 0
    Financial asset at fair value through other comprehensive profit or loss 12,454,297 15,625,564 15,634,005
    Bond investment at amortised cost 4,980,000 10,285,000 11,065,000
    Hedging derivative financial asset - net - - 0
    Reverse repurchase bond investment - net - - 0
    Accounts receivable - net 235,233 225,277 155,300
    Current tax asset 68,383 37,043 11,403
    asset for sale - net - - 0
    asset to be distributed to owners - net - - 0
    Loans and discounts - net 53,430,464 36,941,297 21,223,902
    Equity accounted investments - net - - 0
    Restricted asset - Net - - 0
    Other financial asset - net - - 0
    Property and Equipment - Net 648,720 751,692 670,740
    Right-of-use asset - net 30,531 42,708 64,601
    Real estate investment - net - - 0
    Intangible asset - net 2,096,453 2,259,099 2,373,563
    Deferred tax asset 1,535,377 1,310,268 1,018,155
    Other asset - net 262,228 278,292 262,455
    total asset 81,448,045 72,616,830 55,492,762
    Central Bank and Interbank Financing - - 0
    Financial liability at fair value through profit or loss - - 0
    Hedging derivative financial liability - net - - 0
    Reverse repurchase bond liability - - 0
    Account Payable 487,227 438,969 311,148
    Current tax liability - - 0
    liability related to asset for sale - - 0
    Deposit and Remittance 68,907,876 59,221,540 41,749,776
    Bank debenture payable - - 0
    Corporate bond payable - - 0
    Preferred stock liability - - 0
    Other financial liability - - 0
    Liability reserve - - 0
    lease liability 30,649 49,913 76,424
    Deferred tax liability 822 - 0
    other liability 20,800 67,861 9,283
    total liability 70,128,045 60,408,225 42,146,631
    share capital 15,000,000 15,000,000 15,000,000
    Equity - secruity token - - 0
    capital reserve - - 0
    retained earning -3,652,721 -2,760,368 -1,579,147
    Other equity -27,279 -31,027 -74,722
    Treasury stock - - 0
    Total equity attributable to owners of parent company - - -
    Equity attributable to former owner of business combination under common control - - 0
    Equity attributable to non-controlling interest before business merger under common control - - 0
    Non-controlling interests - - -
    Total equity 11,320,000 12,208,605 13,346,131
    Share capital awaiting retirement (unit: share) - - 0
    Treasury shares of the parent company held by the parent company and its subsidiaries (unit: share) 0 0 0
    Issued shares of advance equity (unit: shares) 0 0 0
    Net asset value per share 7 8 8
    動產抵押
    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
    年份 月份 總進口實績(美金) 總出口實績(美金)
    2024 - - -
    2023 - - -
    2022 - - -
    2021 - - -
    2020 - - -
    商標
    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
  • Litigation aid
    2023
  • Debt settlement mediation
    2023
  • Pay off debt
    2024
  • Pay off loan
    2022, 2023, 2024
  • Payment order
    2022, 2023, 2024
  • Loan repayment
    2023, 2024
  • Installment event
    2023, 2024
  • Petition for installment
    2024
  • Negotiate endorsement events
    2022, 2023, 2024
  • Negotiation and approval before debt settlement
    2022, 2023, 2024
  • 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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