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中文|English
5868 臺灣金融控股股份有限公司
2025年第2季合併財務報告
5868 Taiwan Financial Holding Co., Ltd.
2025Q2 Consolidated Financial Report
單位:新臺幣仟元Unit: NT$ thousands
資產負債表Balance Sheet
代號Code 會計項目Accounting Title 2025年6月30日2025/6/30 2024年12月31日2024/12/31 2024年6月30日2024/6/30
資產Assets
11000  現金及約當現金 Cash and cash equivalents
103,974,863 
117,312,132 
116,575,531 
11500  存放央行及拆借金融同業 Due from the central bank and call loans to banks
542,047,567 
581,439,426 
655,655,070 
12000  透過損益按公允價值衡量之金融資產 Financial assets at fair value through profit or loss
487,450,405 
477,532,458 
488,822,189 
12150  透過其他綜合損益按公允價值衡量之金融資產 Financial assets at fair value through other comprehensive income
1,742,722,084 
1,510,934,205 
1,630,789,897 
12200  按攤銷後成本衡量之債務工具投資 Investments in debt instruments at amortised cost
583,056,228 
659,810,087 
665,277,315 
12500  附賣回票券及債券投資 Securities purchased under resell agreements
278,981 
177,855 
327,168 
13000  應收款項-淨額 Receivables, net
72,112,238 
72,449,147 
75,985,276 
13200  本期所得稅資產 Current tax assets
1,117,459 
2,896,092 
4,133,378 
13500  貼現及放款-淨額 Loans discounted, net
3,389,948,417 
3,339,967,597 
3,090,685,262 
13700  再保險合約資產-淨額 Reinsurance contract assets, net
39,312 
22,891 
30,632 
15000  採用權益法之投資-淨額 Investments accounted for using equity method, net
54,585,880 
56,090,708 
53,114,531 
15500  其他金融資產-淨額 Other financial assets, net
24,442,345 
36,262,558 
25,760,259 
18000  投資性不動產-淨額 Investment property, net
24,481,638 
24,385,784 
24,426,916 
18500  不動產及設備-淨額 Property and equipment, net
141,391,735 
141,489,592 
141,472,150 
18600  使用權資產-淨額 Right-of-use assets, net
1,447,917 
1,780,475 
1,578,681 
19000  無形資產-淨額 Intangible assets, net
1,354,419 
1,427,406 
1,397,942 
19300  遞延所得稅資產 Deferred income tax assets
6,627,957 
4,143,990 
2,879,641 
19500  其他資產-淨額 Other assets, net
35,811,287 
28,991,397 
37,035,658 
19999  資產總計 Total assets
7,212,890,732 
7,057,113,800 
7,015,947,496 
負債及權益Liabilities and equity
 負債 Liabilities
21000   央行及金融同業存款  Deposits from the central bank and banks
318,204,588 
307,523,344 
311,359,729 
21500   央行及同業融資  Due to the central bank and banks
2,766,400 
3,278,500 
3,419,850 
22000   透過損益按公允價值衡量之金融負債  Financial liabilities at fair value through profit or loss
50,151,530 
25,756,630 
21,859,377 
22500   附買回票券及債券負債  Securities sold under repurchase agreements
9,321,028 
21,924,530 
5,801,350 
22600   應付商業本票-淨額  Commercial papers issued, net
0 
1,049,162 
1,128,975 
23000   應付款項  Payables
66,823,778 
71,123,430 
72,983,891 
23200   本期所得稅負債  Current tax liabilities
4,669,686 
3,993,288 
5,140,823 
23500   存款及匯款  Deposits
5,181,915,895 
5,018,606,514 
5,028,883,603 
24000   應付債券  Bonds payable
2,999,613 
2,999,496 
2,999,435 
24600   負債準備  Provisions
1,032,384,165 
1,060,561,002 
1,042,625,927 
25500   其他金融負債  Other financial liabilities
17,372,079 
15,867,093 
15,693,805 
26000   租賃負債  Lease liabilities
1,390,482 
1,702,577 
1,538,738 
29300   遞延所得稅負債  Deferred tax liabilities
19,826,807 
20,944,412 
21,479,443 
29500   其他負債  Other liabilities
7,075,117 
8,241,172 
7,670,869 
29999   負債總計  Total liabilities
6,714,901,168 
6,563,571,150 
6,542,585,815 
 權益 Stockholders' equity
  歸屬於母公司業主之權益  Equity attributable to owners of parent
   股本   Share Capital
31101     普通股股本    Common stock
103,125,000 
103,125,000 
103,125,000 
31100     股本合計    Total Share Capital
103,125,000 
103,125,000 
103,125,000 
31500    資本公積   Capital surplus
140,262,195 
140,262,195 
140,260,933 
   保留盈餘   Retained earnings
32001     法定盈餘公積    Legal reserve
17,677,327 
14,536,195 
14,536,195 
32003     特別盈餘公積    Special reserve
107,188,028 
88,341,237 
88,341,237 
32011     未分配盈餘(或待彌補虧損)    Unappropriated earnings
31,983,977 
52,896,057 
41,216,745 
32000     保留盈餘合計    Total retained earnings
156,849,332 
155,773,489 
144,094,177 
   其他權益   Other equity interest
32500     其他權益合計    Total other equity interest
97,753,037 
94,381,966 
85,881,571 
32600    庫藏股   Treasury shares
(0)
(0)
(0)
31000    歸屬於母公司業主之權益合計   Total equity attributable to owners of parent
497,989,564 
493,542,650 
473,361,681 
36000   共同控制下前手權益  Equity attributable to former owner of business combination under common control
0 
0 
0 
39500   非控制權益  Non-controlling interests
0 
0 
0 
39999   權益總額  Total equity
497,989,564 
493,542,650 
473,361,681 
3X2XX  負債及權益總計 Total liabilities and equity
7,212,890,732 
7,057,113,800 
7,015,947,496 
39996  待註銷股本股數 Number of share capital awaiting retirement
0 
0 
0 
39997  預收股款(股東權益項下)之約當發行股數(單位:股) Equivalent issued shares of advance receipts for common stock (unit: share)
0 
0 
0 
39998  母公司暨子公司所持有之母公司庫藏股股數(單位:股) Number of treasury share acquired by the company and subsidiaries (unit: share)
0 
0 
0 

單位:新臺幣仟元 每股盈餘單位:新台幣元Unit: NT$ thousands EPS Unit: NT$
綜合損益表Statement of Comprehensive Income
代號Code 會計項目Accounting Title 2025年1月1日至6月30日2025/1/1To6/30 2024年1月1日至6月30日2024/1/1To6/30
41000 利息收入Interest income
73,737,085 
71,175,663 
51000 利息費用Interest expenses
48,316,276 
46,782,870 
49600 利息淨收益Net interest revenue (expense)
25,420,809 
24,392,793 
利息以外淨收益Net revenue other than interest
49800  手續費及佣金淨收益 Net service fee revenue and commissions
1,940,200 
2,262,541 
49810  保險業務淨收益 Net insurance revenue
(9,908,739)
(11,781,321)
49820  透過損益按公允價值衡量之金融資產及負債損益 Gain (loss) on financial assets (liabilities) at fair value through profit or loss
7,273,875 
92,680,622 
49825  投資性不動產損益 Gain (loss) on investment property
107,431 
90,746 
49835  透過其他綜合損益按公允價值衡量之金融資產已實現損益 Realized gain (loss) on financial assets at fair value through other comprehensive income
954,736 
596,871 
49850  除列按攤銷後成本衡量之金融資產損益 Gain (loss) arising from derecognition of financial assets measured at amortised cost
2,805 
0 
49870  兌換損益 Foreign exchange gains (losses)
(40,893,288)
22,641,612 
49880  資產減損(損失)迴轉利益 (Impairment loss on assets) reversal of impairment loss on assets
81,576 
(82,785)
49890  採用權益法認列關聯企業及合資損益之份額 Share of profit (loss) of associates and joint ventures accounted for using equity method
2,750,946 
2,781,806 
49898  採用覆蓋法重分類之損益 Gain (loss) on reclassification under the overlay approach
3,400,877 
(3,009,208)
49900  其他利息以外淨損益 Net other revenue other than interest income
2,813,465 
2,464,393 
49700  利息以外淨收益 Net revenue other than interest
(31,476,116)
108,645,277 
4XXXX 淨收益Net revenue
(6,055,307)
133,038,070 
58100 呆帳費用、承諾及保證責任準備提存Bad debts expense, commitment and guarantee liability provision
131,111 
(570,754)
58300 保險負債準備淨變動Net change in provisions for insurance liabilities
(23,353,445)
99,279,362 
營業費用Operating expenses
58501  員工福利費用 Employee benefits expenses
7,942,928 
7,699,434 
58503  折舊及攤銷費用 Depreciation and amortization expense
1,144,424 
1,122,585 
58599  其他業務及管理費用 Other general and administrative expenses
4,577,370 
4,352,901 
58500  營業費用合計 Total operating expenses
13,664,722 
13,174,920 
61000 繼續營業單位稅前淨利(淨損)Profit (loss) from continuing operations before tax
3,502,305 
21,154,542 
61003 所得稅費用(利益)Income tax expense (benefit)
(104,453)
1,788,493 
61005 繼續營業單位本期淨利(淨損)Profit (loss) from continuing operations
3,606,758 
19,366,049 
69000 本期淨利(淨損)Profit (loss)
3,606,758 
19,366,049 
其他綜合損益Other comprehensive income
 不重分類至損益之項目(稅後) Components of other comprehensive income that will not be reclassified to profit or loss, net of tax
69567   透過其他綜合損益按公允價值衡量之權益工具評價損益  Revaluation gains (losses) on investments in equity instruments measured at fair value through other comprehensive income
3,303,858 
22,468,107 
69565   指定為透過損益按公允價值衡量之金融負債其變動金額來自信用風險  Change in fair value of financial liability attributable to change in credit risk of liability
(9,486)
27,003 
69563   採用權益法認列之關聯企業及合資其他綜合損益之份額-不重分類至損益之項目  Share of other comprehensive income of associates and joint ventures accounted for using equity method, components of other comprehensive income that will not be reclassified to profit or loss
366,903 
1,262,051 
69569   與不重分類之項目相關之所得稅  Income tax related to components of other comprehensive income that will not be reclassified to profit or loss
0 
0 
69560   不重分類至損益之項目總額(稅後)  Components of other comprehensive income that will not be reclassified to profit or loss, net of tax
3,661,275 
23,757,161 
 後續可能重分類至損益之項目(稅後) Components of other comprehensive income that will be reclassified to profit or loss, net of tax
69571   國外營運機構財務報表換算之兌換差額  Exchange differences on translation
(2,338,097)
1,107,361 
69583   透過其他綜合損益按公允價值衡量之債務工具損益  Gains (losses) from investments in debt instruments measured at fair value through other comprehensive income
5,337,967 
(4,080,846)
69575   採用權益法認列之關聯企業及合資其他綜合損益之份額-可能重分類至損益之項目  Share of other comprehensive income of associates and joint ventures accounted for using equity method, components of other comprehensive income that will be reclassified to profit or loss
(294,283)
71,772 
69590   採用覆蓋法重分類之其他綜合損益  Other comprehensive income on reclassification under the overlay approach
(3,400,877)
3,009,208 
69579   與可能重分類之項目相關之所得稅  Income tax related to components of other comprehensive income that will be reclassified to profit or loss
(24,171)
53,264 
69570   後續可能重分類至損益之項目總額(稅後)  Components of other comprehensive income that will be reclassified to profit or loss, net of tax
(671,119)
54,231 
69500  本期其他綜合損益 Other comprehensive income
2,990,156 
23,811,392 
69700 本期綜合損益總額Total comprehensive income
6,596,914 
43,177,441 
淨利(淨損)歸屬Profit (loss), attributable to
69901  母公司業主 Profit (loss), attributable to owners of parent
3,606,758 
19,366,049 
綜合損益總額歸屬Comprehensive income attributable to
69951  母公司業主 Comprehensive income, attributable to owners of parent
6,596,914 
43,177,441 
基本每股盈餘Basic earnings per share
70001  繼續營業單位稅後淨利(淨損) Basic earnings (loss) per share from continuing operations, net of income tax
0.35 
1.88 
70000  基本每股盈餘合計 Total basic earnings per share
0.35 
1.88 

單位:新臺幣仟元Unit: NT$ thousands
現金流量表Statements of Cash Flows
代號Code 會計項目Accounting Title 2025年1月1日至6月30日2025/1/1To6/30 2024年1月1日至6月30日2024/1/1To6/30
營業活動之現金流量-間接法Cash flows from (used in) operating activities, indirect method
A00010  繼續營業單位稅前淨利(淨損) Profit (loss) from continuing operations before tax
3,502,305 
21,154,542 
A10000  本期稅前淨利(淨損) Profit (loss) before tax
3,502,305 
21,154,542 
 調整項目 Adjustments
  收益費損項目  Adjustments to reconcile profit (loss)
A20100    折舊費用   Depreciation expense
961,015 
933,449 
A20200    攤銷費用   Amortization expense
266,443 
266,478 
A20300    呆帳費用提列(轉列收入)數   Provision (reversal of provision) for bad debt expense
160,273 
(553,406)
A20400    透過損益按公允價值衡量金融資產及負債之淨損失(利益)   Net loss (gain) on financial assets or liabilities at fair value through profit or loss
3,436,676 
(83,742,460)
A20900    利息費用   Interest expense
48,316,276 
46,782,870 
A21000    除列按攤銷後成本衡量金融資產淨損失(利益)   Net (loss) gain arising from derecognition of financial assets measured at amortised cost
(2,805)
0 
A21200    利息收入   Interest income
(73,737,085)
(71,175,663)
A21300    股利收入   Dividend income
(3,917,718)
(2,985,248)
A21400    各項保險負債淨變動   Net change in insurance liabilities
(27,437,939)
41,224 
A21700    保證責任準備淨變動   Net change in provisions for guarantee liabilities
(17,306)
(58,572)
A21800    其他各項負債準備淨變動   Net change in other provisions
(11,856)
101,471,082 
A22300    採用權益法認列之關聯企業及合資損失(利益)之份額   Share of loss (profit) of associates and joint ventures accounted for using equity method
(2,750,946)
(2,781,806)
A22450    採用覆蓋法重分類之損失(利益)    Loss (profit) reclassified by applying overlay approach
(3,400,877)
3,009,208 
A22500    處分及報廢不動產及設備損失(利益)   Loss (gain) on disposal of property and equipment
11,815 
10,691 
A23500    金融資產減損損失   Impairment loss on financial assets
7,144 
17,365 
A23700    非金融資產減損損失   Impairment loss on non-financial assets
(88,720)
65,420 
A29900    其他項目   Other adjustments to reconcile profit (loss)
17 
21 
A20010    收益費損項目合計   Total adjustments to reconcile profit (loss)
(58,205,593)
(8,699,347)
  與營業活動相關之資產/負債變動數  Changes in operating assets and liabilities
   與營業活動相關之資產之淨變動   Changes in operating assets
A71110     存放央行及拆借金融同業(增加)減少    Adjustments for decrease (increase) in loans and advances to banks
86,342,172 
(7,800,377)
A71120     透過損益按公允價值衡量之金融資產(增加)減少    Decrease (increase) in financial assets at fair value through profit or loss
11,046,259 
(7,222,624)
A71121     透過其他綜合損益按公允價值衡量之金融資產(增加)減少    Decrease (increase) in financial assets at fair value through other comprehensive income
(10,869,477)
(212,454,111)
A71123     按攤銷後成本衡量之債務工具投資(增加)減少    Decrease (increase) in investments in debt instruments measured at amortised cost
77,927,227 
6,213,235 
A71140     避險之金融資產(增加)減少    Decrease (increase) in financial assets for hedging
0 
1,419 
A71160     應收款項(增加)減少    Decrease (increase) in receivables
(291,591)
(3,545,838)
A71170     貼現及放款(增加)減少    Adjustments for decrease (increase) in loans and advances to customers
(50,024,693)
11,559,737 
A71200     其他金融資產(增加)減少    Decrease (increase) in other financial assets
11,811,514 
10,500,262 
A71990     其他資產(增加)減少    Adjustments for decrease (increase) in other assets
1,519,758 
9,343,581 
A71000     與營業活動相關之資產之淨變動合計    Total changes in operating assets
127,461,169 
(193,404,716)
   與營業活動相關之負債之淨變動   Changes in operating liabilities
A72110     央行及銀行同業存款增加(減少)    Adjustments for increase (decrease) in deposits from banks
10,681,244 
(26,467,385)
A72120     透過損益按公允價值衡量之金融負債增加(減少)    Increase (decrease) in financial liabilities at fair value through profit or loss
24,394,900 
(10,032,838)
A72140     附買回票券及債券負債增加(減少)    Increase (decrease) in notes and bonds issued under repurchase agreement
(12,603,502)
(15,484,079)
A72160     應付款項增加(減少)    Increase (decrease) in payable
(818,189)
9,299,929 
A72170     存款及匯款增加(減少)    Adjustments for increase (decrease) in deposits from customers
163,309,381 
309,974,914 
A72180     員工福利負債準備增加(減少)    Increase (decrease) in provisions for employee benefits
(710,047)
(664,162)
A72990     其他負債增加(減少)    Adjustments for increase (decrease) in other liabilities
(431,725)
(1,513,329)
A72000     與營業活動相關之負債之淨變動合計    Total changes in operating liabilities
183,822,062 
265,113,050 
A70000    與營業活動相關之資產及負債之淨變動合計   Total changes in operating assets and liabilities
311,283,231 
71,708,334 
A20000   調整項目合計  Total adjustments
253,077,638 
63,008,987 
A33000  營運產生之現金流入(流出) Cash inflow (outflow) generated from operations
256,579,943 
84,163,529 
A33100  收取之利息 Interest received
76,123,895 
73,799,913 
A33200  收取之股利 Dividends received
2,058,210 
2,432,060 
A33300  支付之利息 Interest paid
(51,796,901)
(44,399,666)
A33500  退還(支付)之所得稅 Income taxes refund (paid)
(1,042,088)
(687,328)
AAAA 營業活動之淨現金流入(流出)Net cash flows from (used in) operating activities
281,923,059 
115,308,508 
投資活動之現金流量Cash flows from (used in) investing activities
B02700  取得不動產及設備 Acquisition of property and equipment
(527,490)
(596,984)
B02800  處分不動產及設備 Proceeds from disposal of property and equipment
0 
19 
B03700  存出保證金增加 Increase in refundable deposits
(9,877,622)
(9,355,668)
B04500  取得無形資產 Acquisition of intangible assets
(193,473)
(234,227)
BBBB  投資活動之淨現金流入(流出) Net cash flows from (used in) investing activities
(10,598,585)
(10,186,860)
籌資活動之現金流量Cash flows from (used in) financing activities
C00400  央行及同業融資減少 Decrease in due to the central bank and banks
(512,100)
(111,225)
C00700  應付商業本票增加 Increase in commercial papers payable
(1,050,000)
780,000 
C03000  存入保證金增加 Increase in guarantee deposits received
(734,330)
430,961 
C04020  租賃本金償還 Payments of lease liabilities
(304,358)
(350,752)
C04100  其他金融負債增加 Increase in other financial liabilities
1,504,986 
1,899,451 
C04500  發放現金股利 Cash dividends paid
(595,000)
(537,500)
CCCC  籌資活動之淨現金流入(流出) Net cash flows from (used in) financing activities
(1,690,802)
2,110,935 
DDDD 匯率變動對現金及約當現金之影響Effect of exchange rate changes on cash and cash equivalents
(3,743,962)
1,658,169 
EEEE 本期現金及約當現金增加(減少)數Net increase (decrease) in cash and cash equivalents
265,889,710 
108,890,752 
E00100 期初現金及約當現金餘額Cash and cash equivalents at beginning of period
880,079,929 
1,065,219,868 
E00200 期末現金及約當現金餘額Cash and cash equivalents at end of period
1,145,969,639 
1,174,110,620 
E00210  資產負債表帳列之現金及約當現金 Cash and cash equivalents reported in the statement of financial position
103,974,863 
116,575,531 
E00220  符合國際會計準則第七號現金及約當現金定義之存放央行及拆借銀行同業 Due from the central bank and call loans to banks qualifying for cash and cash equivalents under the definition of IAS 7
332,457,411 
368,172,797 
E00230  符合國際會計準則第七號現金及約當現金定義之附賣回票券及債券投資 Securities purchased under resell agreements qualifying for cash and cash equivalents under the definition of IAS 7
278,981 
327,168 
E00240  其他符合國際會計準則第七號現金及約當現金定義之項目 Other items qualifying for cash and cash equivalents under the definition of IAS 7
709,258,384 
689,035,124 

單位:新臺幣仟元Unit: NT$ thousands
當期權益變動表Statements of Change in Equity
3110 3120 3130 3140 3150 3190 3100 3199 3200 3310 3320 3350 3300 3410 3420 3425 3430 3435 3440 3445 3450 3460 3470 3480 3485 3490 3400 3500 31XX 35XX 36XX 3XXX
普通股股本      Ordinary share 特別股股本      Preference share 債券換股權利證書      Certificate of entitlement to new shares from convertible bond 預收股本      Advance receipts for share capital 待分配股票股利      Stock dividend to be distributed 其他      Other 股本合計     Total share capital 具證券性質之虛擬通貨     Security Token Offer 資本公積     Capital surplus 法定盈餘公積      Legal reserve 特別盈餘公積      Special reserve 未分配盈餘(或待彌補虧損)      Unappropriated retained earnings (accumulated deficit) 保留盈餘合計     Total retained earnings 國外營運機構財務報表換算之兌換差額      Exchange differences on translation of foreign financial statements 透過其他綜合損益按公允價值衡量之金融資產未實現評價(損)益      Unrealised gains (losses) on financial assets measured at fair value through other comprehensive income 備供出售金融資產未實現利益(損失)      Unrealized gains (losses) on available-for-sale financial assets 現金流量避險中屬有效避險部分之避險工具利益(損失)      Gains (losses) on effective portion of cash flow hedges 國外營運機構淨投資避險中屬有效避險部分之避險工具利益(損失)      Gains (losses) on effective portion of hedges of net investments in foreign operations 指定按公允價值衡量之金融負債信用風險變動影響數      Change in fair value of financial liability attributable to change in credit risk of liability 確定福利計畫再衡量數      Gains (losses) on remeasurements of defined benefit 避險工具之利益(損失)      Gains (losses) on hedging instruments 不動產重估增值      Revaluation surplus 與待出售非流動資產(或處分群組)直接相關之權益      Equity related to non-current assets (or disposal groups) classified as held for sale 與待分配予業主之非流動資產(或處分群組)直接相關之權益      Equity related to non-current assets (or disposal groups) classified as held for distribution to owners 採用覆蓋法重分類之其他綜合損益      Reserve of overlay approach 其他      Others 其他權益項目合計     Total other equity interest 庫藏股票     Treasury shares 歸屬於母公司業主之權益總計    Total equity attributable to owners of parent 共同控制下前手權益    Equity attributable to former owner of business combination under common control 非控制權益    Non-controlling interests 權益總額   Total equity
A1 期初餘額  Equity at beginning of period
103,125,000 
0 
0 
0 
0 
0 
103,125,000 
0 
140,262,195 
14,536,195 
88,341,237 
52,896,057 
155,773,489 
802,072 
93,955,106 
0 
0 
0 
(3,909)
0 
5,150 
0 
0 
0 
(376,453)
0 
94,381,966 
0 
493,542,650 
0 
0 
493,542,650 
A3 追溯適用及追溯重編之影響數  Effects of retrospective application and retrospective restatement
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
A4 追溯調整共同控制下組織重組之前手權益  Retrospective adjustment of equity attributable to former owner due to reorganization of entities under common control
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
A5 期初重編後餘額  Equity at beginning of period after adjustments
103,125,000 
0 
0 
0 
0 
0 
103,125,000 
0 
140,262,195 
14,536,195 
88,341,237 
52,896,057 
155,773,489 
802,072 
93,955,106 
0 
0 
0 
(3,909)
0 
5,150 
0 
0 
0 
(376,453)
0 
94,381,966 
0 
493,542,650 
0 
0 
493,542,650 
B1 提列法定盈餘公積   Legal reserve appropriated
0 
0 
0 
0 
0 
0 
0 
0 
0 
3,141,132 
0 
(3,141,132)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B3 提列特別盈餘公積   Special reserve appropriated
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
18,846,791 
(18,846,791)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B5 普通股現金股利   Cash dividends of ordinary share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(2,150,000)
(2,150,000)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(2,150,000)
0 
0 
(2,150,000)
B7 特別股現金股利   Cash dividends of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B8 具證券性質之虛擬通貨分潤   Profits from Security Token Offer
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B9 普通股股票股利   Stock dividends of ordinary share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B11 特別股股票股利   Stock dividends of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B13 法定盈餘公積彌補虧損   Legal reserve used to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B15 特別盈餘公積彌補虧損   Special reserve used to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B17 特別盈餘公積迴轉   Reversal of special reserve
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C1 因合併而產生者   Due to business combination
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C3 因受領贈與產生者   Due to donated assets received
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C5 因發行可轉換公司債(特別股)認列權益組成項目-認股權而產生者   Due to recognition of equity component of convertible bonds (preference share) issued
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C7 採用權益法認列之關聯企業及合資之變動數   Changes in equity of associates and joint ventures accounted for using equity method
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C11 資本公積彌補虧損   Capital surplus used to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C13 資本公積配發股票股利   Stock dividends from capital surplus
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C15 資本公積配發現金股利   Cash dividends from capital surplus
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C17 其他資本公積變動數   Other changes in capital surplus
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
D1 本期淨利(淨損)  Profit (loss)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
3,606,758 
3,606,758 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
3,606,758 
0 
0 
3,606,758 
D3 本期其他綜合損益  Other comprehensive income
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(3,790,809)
10,320,763 
0 
0 
0 
(9,479)
0 
(896)
0 
0 
0 
(3,529,423)
0 
2,990,156 
0 
2,990,156 
0 
0 
2,990,156 
D5 本期綜合損益總額  Total comprehensive income
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
3,606,758 
3,606,758 
(3,790,809)
10,320,763 
0 
0 
0 
(9,479)
0 
(896)
0 
0 
0 
(3,529,423)
0 
2,990,156 
0 
6,596,914 
0 
0 
6,596,914 
E1 現金增資  Issue of shares
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
E2 發行具證券性質之虛擬通貨  Issue Security Token Offer
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
E3 現金減資  Capital reduction
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
F1 減資彌補虧損  Capital reduction to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
F3 分割減資  Capital reduction due to spin-off
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
H1 合併發行新股  Shares issued for pursuant to acquisitions
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
H3 組織重組  Reorganization
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
I1 可轉換公司債轉換  Conversion of convertible bonds
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
I3 債券換股權利證書轉換  Conversion of certificates of bonds-to-share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
J1 可轉換特別股轉換  Conversion of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
J3 特別股發行  Issue of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
J5 贖回特別股  Redemption of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
K1 普通股發行-其他  Issue of ordinary share, others
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L1 庫藏股買回  Purchase of treasury shares
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
L3 庫藏股註銷  Retirement of treasury share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L4 買回具證券性質之虛擬通貨  Repurchase Security Token Offer
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L5 子公司購入母公司之股票視為庫藏股票  Acquisition of company's share by subsidiaries recognized as treasury share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L7 子公司處分母公司股票視同庫藏股交易  Disposal of company's share by subsidiaries recognized as treasury share transactions
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M1 發放予子公司股利調整資本公積  Adjustments of capital surplus for company's cash dividends received by subsidiaries
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M3 處分採用權益法之投資/子公司  Disposal of subsidiaries or investments accounted for using equity method
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M5 實際取得或處分子公司股權價格與帳面價值差額  Difference between consideration and carrying amount of subsidiaries acquired or disposed
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M7 對子公司所有權權益變動  Changes in ownership interests in subsidiaries
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
N1 股份基礎給付  Share-based payments
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
O1 非控制權益增減  Changes in non-controlling interests
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
P1 預付特別股建設股息增減  Changes in prepaid preferred stock construction dividends
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
Q1 處分透過其他綜合損益按公允價值衡量之權益工具  Disposal of investments in equity instruments designated at fair value through other comprehensive income
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(380,915)
(380,915)
0 
380,915 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
380,915 
0 
0 
0 
0 
0 
T1 其他  Others
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
Y1 權益增加(減少)總額  Total increase (decrease) in equity
0 
0 
0 
0 
0 
0 
0 
0 
0 
3,141,132 
18,846,791 
(20,912,080)
1,075,843 
(3,790,809)
10,701,678 
0 
0 
0 
(9,479)
0 
(896)
0 
0 
0 
(3,529,423)
0 
3,371,071 
0 
4,446,914 
0 
0 
4,446,914 
Z1 期末餘額  Equity at end of period
103,125,000 
0 
0 
0 
0 
0 
103,125,000 
0 
140,262,195 
17,677,327 
107,188,028 
31,983,977 
156,849,332 
(2,988,737)
104,656,784 
0 
0 
0 
(13,388)
0 
4,254 
0 
0 
0 
(3,905,876)
0 
97,753,037 
0 
497,989,564 
0 
0 
497,989,564 

單位:新臺幣仟元Unit: NT$ thousands
去年同期權益變動表 Last year's Statements of Change in Equity
3110 3120 3130 3140 3150 3190 3100 3199 3200 3310 3320 3350 3300 3410 3420 3425 3430 3435 3440 3445 3450 3460 3470 3480 3485 3490 3400 3500 31XX 35XX 36XX 3XXX
普通股股本      Ordinary share 特別股股本      Preference share 債券換股權利證書      Certificate of entitlement to new shares from convertible bond 預收股本      Advance receipts for share capital 待分配股票股利      Stock dividend to be distributed 其他      Other 股本合計     Total share capital 具證券性質之虛擬通貨     Security Token Offer 資本公積     Capital surplus 法定盈餘公積      Legal reserve 特別盈餘公積      Special reserve 未分配盈餘(或待彌補虧損)      Unappropriated retained earnings (accumulated deficit) 保留盈餘合計     Total retained earnings 國外營運機構財務報表換算之兌換差額      Exchange differences on translation of foreign financial statements 透過其他綜合損益按公允價值衡量之金融資產未實現評價(損)益      Unrealised gains (losses) on financial assets measured at fair value through other comprehensive income 備供出售金融資產未實現利益(損失)      Unrealized gains (losses) on available-for-sale financial assets 現金流量避險中屬有效避險部分之避險工具利益(損失)      Gains (losses) on effective portion of cash flow hedges 國外營運機構淨投資避險中屬有效避險部分之避險工具利益(損失)      Gains (losses) on effective portion of hedges of net investments in foreign operations 指定按公允價值衡量之金融負債信用風險變動影響數      Change in fair value of financial liability attributable to change in credit risk of liability 確定福利計畫再衡量數      Gains (losses) on remeasurements of defined benefit 避險工具之利益(損失)      Gains (losses) on hedging instruments 不動產重估增值      Revaluation surplus 與待出售非流動資產(或處分群組)直接相關之權益      Equity related to non-current assets (or disposal groups) classified as held for sale 與待分配予業主之非流動資產(或處分群組)直接相關之權益      Equity related to non-current assets (or disposal groups) classified as held for distribution to owners 採用覆蓋法重分類之其他綜合損益      Reserve of overlay approach 其他      Others 其他權益項目合計     Total other equity interest 庫藏股票     Treasury shares 歸屬於母公司業主之權益總計    Total equity attributable to owners of parent 共同控制下前手權益    Equity attributable to former owner of business combination under common control 非控制權益    Non-controlling interests 權益總額   Total equity
A1 期初餘額  Equity at beginning of period
103,125,000 
0 
0 
0 
0 
0 
103,125,000 
0 
140,260,933 
12,127,809 
73,890,918 
40,393,444 
126,412,171 
(1,040,126)
66,271,805 
0 
0 
0 
(22,433)
0 
8,386 
0 
0 
0 
(2,781,496)
0 
62,436,136 
0 
432,234,240 
0 
0 
432,234,240 
A3 追溯適用及追溯重編之影響數  Effects of retrospective application and retrospective restatement
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
A4 追溯調整共同控制下組織重組之前手權益  Retrospective adjustment of equity attributable to former owner due to reorganization of entities under common control
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
A5 期初重編後餘額  Equity at beginning of period after adjustments
103,125,000 
0 
0 
0 
0 
0 
103,125,000 
0 
140,260,933 
12,127,809 
73,890,918 
40,393,444 
126,412,171 
(1,040,126)
66,271,805 
0 
0 
0 
(22,433)
0 
8,386 
0 
0 
0 
(2,781,496)
0 
62,436,136 
0 
432,234,240 
0 
0 
432,234,240 
B1 提列法定盈餘公積   Legal reserve appropriated
0 
0 
0 
0 
0 
0 
0 
0 
0 
2,408,386 
0 
(2,408,386)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B3 提列特別盈餘公積   Special reserve appropriated
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
14,450,319 
(14,450,319)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B5 普通股現金股利   Cash dividends of ordinary share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(2,050,000)
(2,050,000)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(2,050,000)
0 
0 
(2,050,000)
B7 特別股現金股利   Cash dividends of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B8 具證券性質之虛擬通貨分潤   Profits from Security Token Offer
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B9 普通股股票股利   Stock dividends of ordinary share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B11 特別股股票股利   Stock dividends of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B13 法定盈餘公積彌補虧損   Legal reserve used to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B15 特別盈餘公積彌補虧損   Special reserve used to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B17 特別盈餘公積迴轉   Reversal of special reserve
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C1 因合併而產生者   Due to business combination
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C3 因受領贈與產生者   Due to donated assets received
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C5 因發行可轉換公司債(特別股)認列權益組成項目-認股權而產生者   Due to recognition of equity component of convertible bonds (preference share) issued
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C7 採用權益法認列之關聯企業及合資之變動數   Changes in equity of associates and joint ventures accounted for using equity method
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C11 資本公積彌補虧損   Capital surplus used to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C13 資本公積配發股票股利   Stock dividends from capital surplus
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C15 資本公積配發現金股利   Cash dividends from capital surplus
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
C17 其他資本公積變動數   Other changes in capital surplus
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
D1 本期淨利(淨損)  Profit (loss)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
19,366,049 
19,366,049 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
19,366,049 
0 
0 
19,366,049 
D3 本期其他綜合損益  Other comprehensive income
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
1,677,845 
19,039,830 
0 
0 
0 
27,003 
0 
335 
0 
0 
0 
3,066,379 
0 
23,811,392 
0 
23,811,392 
0 
0 
23,811,392 
D5 本期綜合損益總額  Total comprehensive income
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
19,366,049 
19,366,049 
1,677,845 
19,039,830 
0 
0 
0 
27,003 
0 
335 
0 
0 
0 
3,066,379 
0 
23,811,392 
0 
43,177,441 
0 
0 
43,177,441 
E1 現金增資  Issue of shares
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
E2 發行具證券性質之虛擬通貨  Issue Security Token Offer
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
E3 現金減資  Capital reduction
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
F1 減資彌補虧損  Capital reduction to offset accumulated deficits
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
F3 分割減資  Capital reduction due to spin-off
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
H1 合併發行新股  Shares issued for pursuant to acquisitions
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
H3 組織重組  Reorganization
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
I1 可轉換公司債轉換  Conversion of convertible bonds
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
I3 債券換股權利證書轉換  Conversion of certificates of bonds-to-share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
J1 可轉換特別股轉換  Conversion of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
J3 特別股發行  Issue of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
J5 贖回特別股  Redemption of preference share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
K1 普通股發行-其他  Issue of ordinary share, others
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L1 庫藏股買回  Purchase of treasury shares
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
(0)
L3 庫藏股註銷  Retirement of treasury share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L4 買回具證券性質之虛擬通貨  Repurchase Security Token Offer
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L5 子公司購入母公司之股票視為庫藏股票  Acquisition of company's share by subsidiaries recognized as treasury share
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
L7 子公司處分母公司股票視同庫藏股交易  Disposal of company's share by subsidiaries recognized as treasury share transactions
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M1 發放予子公司股利調整資本公積  Adjustments of capital surplus for company's cash dividends received by subsidiaries
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M3 處分採用權益法之投資/子公司  Disposal of subsidiaries or investments accounted for using equity method
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M5 實際取得或處分子公司股權價格與帳面價值差額  Difference between consideration and carrying amount of subsidiaries acquired or disposed
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
M7 對子公司所有權權益變動  Changes in ownership interests in subsidiaries
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
N1 股份基礎給付  Share-based payments
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
O1 非控制權益增減  Changes in non-controlling interests
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
P1 預付特別股建設股息增減  Changes in prepaid preferred stock construction dividends
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
Q1 處分透過其他綜合損益按公允價值衡量之權益工具  Disposal of investments in equity instruments designated at fair value through other comprehensive income
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
365,957 
365,957 
0 
(365,957)
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(365,957)
0 
0 
0 
0 
0 
T1 其他  Others
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
Y1 權益增加(減少)總額  Total increase (decrease) in equity
0 
0 
0 
0 
0 
0 
0 
0 
0 
2,408,386 
14,450,319 
823,301 
17,682,006 
1,677,845 
18,673,873 
0 
0 
0 
27,003 
0 
335 
0 
0 
0 
3,066,379 
0 
23,445,435 
0 
41,127,441 
0 
0 
41,127,441 
Z1 期末餘額  Equity at end of period
103,125,000 
0 
0 
0 
0 
0 
103,125,000 
0 
140,260,933 
14,536,195 
88,341,237 
41,216,745 
144,094,177 
637,719 
84,945,678 
0 
0 
0 
4,570 
0 
8,721 
0 
0 
0 
284,883 
0 
85,881,571 
0 
473,361,681 
0 
0 
473,361,681 

單位:新臺幣仟元
會計師查核(核閱)報告
  會計師事務所名稱
安侯建業聯合會計師事務所
  簽證會計師名稱 1
陳富仁
  簽證會計師名稱 2
李逢暉
  核閱或查核日期
2025-08-21
  報告類型
   查核報告
Y
  核閱或查核報告類型
   無保留意見/結論(強調事項或其他事項)
Y
  報告類型細分
   其他事項-採用其他會計師查核(核閱)報告且欲區分責任
Y
  簡述強調事項內容
依審計法等相關規定,臺灣金融控股股份有限公司及其子公司之財務報表須經審計部審
定,民國一一三年度編製之財務報表業經審計部審查完竣,審定結果請詳附註十六(二)。
  簡述其他事項內容
採用其他會計師查核報告且欲區分責任。
  會計師查核(核閱)報告內容
臺灣金融控股股份有限公司董事會 公鑒:
查核意見
臺灣金融控股股份有限公司及其子公司民國一一四年六月三十日、一一三年十二月三十一
日及六月三十日之合併資產負債表,與民國一一四年及一一三年四月一日至六月三十日及一月
一日至六月三十日之合併綜合損益表、民國一一四年及一一三年一月一日至六月三十日之合併
權益變動表及合併現金流量表,以及合併財務報告附註(包括重大會計政策彙總),業經本會計
師查核竣事。
依本會計師之意見,基於本會計師之查核結果及其他會計師之查核報告(請參閱其他事項
段),上開合併財務報告在所有重大方面係依照金融控股公司財務報告編製準則及經金融監督管
理委員會認可並發布生效之國際會計準則第三十四號「期中財務報導」編製,足以允當表達臺
灣金融控股股份有限公司及其子公司民國一一四年六月三十日、一一三年十二月三十一日及六
月三十日之合併財務狀況,與民國一一四年及一一三年四月一日至六月三十日及一月一日至六
月三十日之合併財務績效暨民國一一四年及一一三年一月一日至六月三十日合併現金流量。
查核意見之基礎
本會計師係依照會計師受託查核簽證財務報表規則、金管銀法字第10802731571號令及審
計準則執行查核工作。本會計師於該等準則下之責任將於會計師查核合併財務報告之責任段進
一步說明。本會計師所隸屬事務所受獨立性規範之人員已依會計師職業道德規範,與臺灣金融
控股股份有限公司及其子公司保持超然獨立,並履行該規範之其他責任。本會計師相信已取得
足夠及適切之查核證據,以作為表示查核意見之基礎。
強調事項
依審計法等相關規定,臺灣金融控股股份有限公司及其子公司之財務報表須經審計部審
定,民國一一三年度編製之財務報表業經審計部審查完竣,審定結果請詳附註十六(二)。本會
計師未因此而修正查核意見。
其他事項
如財務報告附註六(九)所述,列入臺灣金融控股股份有限公司及其子公司採用權益法之投
資中,有關華南金融控股股份有限公司之財務報告未經本會計師查核,而係由其他會計師查
核。因此,本會計師對上開合併財務報告所表示之意見中,有關華南金融控股股份有限公司財
務報告所列之金額,係依據其他會計師之查核報告。民國一一四年六月三十日、一一三年十二
月三十一日及六月三十日認列對華南金融控股股份有限公司採用權益法之投資金額分別為
53,926,606千元、55,241,862千元及52,140,402千元,分別占資產總額之0.75%、0.78%及0.74%,
民國一一四年及一一三年四月一日至六月三十日及一月一日至六月三十日所認列之採用權益法
之關聯企業損益之份額分別為1,590,856千元、1,400,506千元、2,928,998千元及2,811,675千元,
分別占合併淨收益之12.93%、2.18%、(48.37)%及2.11%。
關鍵查核事項
關鍵查核事項係指依本會計師之專業判斷,對臺灣金融控股股份有限公司及其子公司民國
一一四年六月三十日合併財務報告之查核最為重要之事項。該等事項已於查核合併財務報告整
體及形成查核意見之過程中予以因應,本會計師並不對該等事項單獨表示意見。本會計師判斷
應溝通在查核報告上之關鍵查核事項如下:
一、金融工具公允價值評估
有關金融工具公允價值評估之會計政策請詳合併財務報告附註四(六)金融工具;金融
工具公允價值評估之會計估計及假設不確定性,請詳合併財務報告附註五(二)非活絡市場
或無報價之金融工具公允價值評估;金融工具公允價值評估之說明,請詳合併財務報告附
註七金融工具之公允價值及等級資訊。
關鍵查核事項之說明:
臺灣金融控股股份有限公司及其子公司持有之部分金融工具之評價方式係採用模型衡
量公允價值,輸入值的設定有時涉及與仰賴人為判斷,使用不同之評價技術或假設可能導
致公允價值估算結果產生差異,且該集團於民國一一四年六月三十日持有之金融資產及負
債金額皆屬重大,故金融工具公允價值評估列為本會計師執行臺灣金融控股股份有限公司
及其子公司財務報告查核的重要評估事項之一。
因應之查核程序:
本會計師對上述關鍵查核事項之主要查核程序包括測試投資作業之內部控制及相關之
財務報導流程;對於採用活絡市場公開報價衡量公允價值之金融工具,抽樣測試所採用公
開報價之允當性;對於無活絡市場公開報價而採評價方式衡量公允價值之金融工具,透過
驗算,取得交易對手或獨立第三方之報價,並於必要時委任內部評價專家評估該模型及參
數是否適當;評估金融工具之表達與揭露是否符合國際財務報導準則之要求。
二、金融資產預期信用損失減損評估
有關金融資產預期信用損失減損評估之會計政策請詳合併財務報告附註四(十六)資產
減損;金融資產預期信用損失減損評估之會計估計及假設不確定性,請詳合併財務報告附
註五(三)金融資產減損評估;金融資產預期信用損失減損評估之說明,請詳合併財務報告
附註八財務風險管理。
關鍵查核事項之說明:
臺灣金融控股股份有限公司及其子公司於依照國際財務報導準則第9號(IFRS 9)進行非
按公允價值變動列入損益之金融資產預期信用損失減損評估時,需仰賴管理當局綜合考量
各種可觀察之資料,以預期信用損失模式,包括違約機率、違約損失率、違約暴險額及前
瞻經濟因子等,計算減損損失。因其計算過程相對複雜且參數值之設定有時涉及人為判
斷,使用不同之假設可能會重大影響估列之金額,且臺灣金融控股股份有限公司及其子公
司於民國一一四年六月三十日應評估是否發生預期信用損失之金融資產金額亦屬重大,因
此,金融資產預期信用損失減損評估為本會計師執行臺灣金融控股股份有限公司及其子公
司財務報告查核重要的評估事項之一。
因應之查核程序:
本會計師對上述關鍵查核事項之主要查核程序包括檢視與授信及投資業務有關之預期
信用損失減損評估作業辦法及會計政策,瞭解參數及假設決定過程,並測試相關之內部控
制程序;執行分析性覆核;評估參數及假設之合理性,並於必要時委任本所專家協助;就
放款進一步核算依「銀行資產評估損失準備提列及逾期放款催收款呆帳處理辦法」及「保
險業資產評估及逾期放款催收款呆帳處理辦法」提列備抵呆帳之正確性;評估財務報告之
表達與揭露是否允當。
三、保險負債評估
有關保險負債評估之會計政策請詳合併財務報告附註四(二十)保險負債;保險負債評
估之會計估計及假設不確定性,請詳合併財務報告附註五(四)保險負債及具金融工具性質
之保險契約準備;保險負債評估之說明,請詳合併財務報告附註六(二十六)保險合約及具
裁量參與特性之金融工具之負債準備。
關鍵查核事項之說明:
子公司臺銀人壽保險股份有限公司主要營業項目為經營人身保險業務,故依保險法及
保險業各種準備金提存辦法規定,應分別保險種類,計算其應提存之各種準備金,以健全
財務結構及強化未來賠款給付能力。此項評估計算複雜,且其中之賠款準備主要假設(如
損失發展因子及預期賠款率等)涉及估計,須仰賴臺銀人壽保險股份有限公司過去實際經
營之經驗數據進行判斷,因此,保險負債評估為本會計師執行臺灣金融控股股份有限公司
及其子公司財務報告查核重要的評估事項之一。
因應之查核程序:
本會計師對上述關鍵查核事項之主要查核程序包括測試公司保險負債準備內部控制程
序;計算保險負債使用資料之正確性及完整性;檢視有關之董事會及資產負債管理委員會
會議紀錄;取得公司委請第三方編製之負債適足性測試結果報告,並評估該精算專家之適
任性;委託本所精算專家參與評估相關重要假設,評估參數之設定是否符合法令規定,且
具有合理之依據;評估財務報告之表達與揭露是否允當。
管理階層與治理單位對合併財務報告之責任
管理階層之責任係依照決算法、會計法、金融控股公司財務報告編製準則及國際會計準則
第三十四號「期中財務報導」編製允當表達之合併財務報告,且維持與合併財務報表編製有關
之必要內部控制,以確保合併財務報告未存有導因於舞弊或錯誤之重大不實表達。
於編製合併財務報告時,管理階層之責任包括評估臺灣金融控股股份有限公司及其子公司
繼續經營之能力、相關事項之揭露,以及繼續經營會計基礎之採用,除非管理階層意圖清算臺
灣金融控股股份有限公司及其子公司或停止營業,或除清算或停業外別無實際可行之其他方
案。
臺灣金融控股股份有限公司及其子公司之治理單位(含審計委員會)負有監督財務報導流程
之責任。
會計師查核合併財務報告之責任
本會計師查核合併財務報告之目的,係對合併財務報告整體是否存有導因於舞弊或錯誤之
重大不實表達取得合理確信,並出具查核報告。合理確信係高度確信,惟依照審計準則執行之
查核工作無法保證必能偵出合併財務報告存有之重大不實表達。不實表達可能導因於舞弊或錯
誤。如不實表達之個別金額或彙總數可合理預期將影響合併財務報告使用者所作之經濟決策,
則被認為具有重大性。
本會計師依照審計準則查核時,運用專業判斷及專業懷疑。本會計師亦執行下列工作:
1.辨認並評估合併財務報告導因於舞弊或錯誤之重大不實表達風險;對所評估之風險設計及執
行適當之因應對策;並取得足夠及適切之查核證據以作為查核意見之基礎。因舞弊可能涉及
共謀、偽造、故意遺漏、不實聲明或踰越內部控制,故未偵出導因於舞弊之重大不實表達之
風險高於導因於錯誤者。
2.對與查核攸關之內部控制取得必要之瞭解,以設計當時情況下適當之查核程序,惟其目的非
對臺灣金融控股股份有限公司及其子公司內部控制之有效性表示意見。
3.評估管理階層所採用會計政策之適當性,及其所作會計估計與相關揭露之合理性。
4.依據所取得之查核證據,對管理階層採用繼續經營會計基礎之適當性,以及使臺灣金融控股
股份有限公司及其子公司繼續經營之能力可能產生重大疑慮之事件或情況是否存在重大不確
定性,作出結論。本會計師若認為該等事件或情況存在重大不確定性,則須於查核報告中提
醒合併財務報告使用者注意合併財務報告之相關揭露,或於該等揭露係屬不適當時修正查核
意見。本會計師之結論係以截至查核報告日所取得之查核證據為基礎。惟未來事件或情況可
能導致臺灣金融控股股份有限公司及其子公司不再具有繼續經營之能力。
5.評估合併財務報告(包括相關附註)之整體表達、結構及內容,以及合併財務報表是否允當表
達相關交易及事件。
6.對於集團內組成個體之財務資訊取得足夠及適切之查核證據,以對合併財務報告表示意見。
本會計師負責集團查核案件之指導、監督及執行,並負責形成合併財務報告查核意見。
本會計師與治理單位溝通之事項,包括所規劃之查核範圍及時間,以及重大查核發現(包
括於查核過程中所辨認之內部控制顯著缺失)。
本會計師從與治理單位溝通之事項中,決定對臺灣金融控股股份有限公司及其子公司民國
一一四年六月三十日合併財務報告查核之關鍵查核事項。本會計師於查核報告中敘明該等事
項,除非法令不允許公開揭露特定事項,或在極罕見情況下,本會計師決定不於查核報告中溝
通特定事項,因可合理預期此溝通所產生之負面影響大於所增進之公眾利益。
  截至本季止採用其他會計師查核意見(核閱報告)之子公司期末資產總額
0 
  截至本季止採用其他會計師查核意見(核閱報告)之子公司營業收入淨額
0 
  截至本季止採用其他會計師查核意見(核閱報告)之採用權益法之投資期末餘額
53,926,606 
  截至本季止採用其他會計師查核意見(核閱報告)之採用權益法之投資當期認列關聯企業及合資損益之份額
2,928,998 
  截至本季止未經會計師查核(核閱)之子公司期末資產總額
0 
  截至本季止未經會計師查核(核閱)之子公司綜合損益金額
0 
  截至本季止未經會計師查核(核閱)之採用權益法之投資期末餘額
0 
  截至本季止未經會計師查核(核閱)之採用權益法之投資當期認列關聯企業及合資損益之份額
0 

財務報表附註
公司沿革及業務範圍
  公司沿革及業務範圍

(一)臺灣金融控股股份有限公司
臺灣金融控股股份有限公司(以下簡稱本公司)係依據臺灣金融控股股份有限公司
條例於民國九十七年一月一日成立,轄下擁有「臺灣銀行股份有限公司」(以下簡稱
臺灣銀行)、「臺銀人壽保險股份有限公司」(以下簡稱臺銀人壽)及「臺銀綜合證券
股份有限公司」(以下簡稱臺銀證券)等三家被投資公司,於民國九十八年十一月十七
日成為公開發行公司。
本公司成立時核定資本為新臺幣900億元,民國一○八年九月增資為1,031億2,500
萬元。主要業務以投資及被投資事業之管理為限。前項投資,應依金融控股公司法之
規定辦理。
(二)合併子公司業務性質
子公司臺灣銀行成立於民國三十五年五月二十日,並於民國七十四年依照銀行法
取得法人資格。後以民國九十二年七月一日為改制基準日變更組織為臺灣銀行股份有
限公司,於民國九十三年九月十六日成為公開發行公司。
臺灣銀行與中央信託局股份有限公司以民國九十六年七月一日為合併基準日進行
合併,中央信託局股份有限公司為消滅公司,臺灣銀行為存續公司。臺灣銀行主要經
營之業務為依銀行法、管理外匯條例、國際金融業務分行條例等法規定經營之銀行業
務、外匯業務、國際金融業務、各種儲蓄及信託業務,並設立國外分行辦理當地政府
核准之銀行業務、外匯業務、國際金融業務、證券業務及保險業務,及經中央主管機
關核准辦理之其他有關業務。
臺灣銀行成立時,資本係由國庫撥給,在長時期的經營中,透過資產重估等各項
公積之增資,資本額乃不斷的擴增。民國三十八年六月實施幣制改革後,政府於民國
三十九年五月核定臺灣銀行資本為新臺幣500萬元,民國四十三年五月增資為1億元,
民國五十二年八月增資為3億元,民國五十六年九月增資為6億元,民國六十二年五月
增資為10億元,民國六十六年九月增資為20億元,民國六十九年九月增資為40億元,
民國七十一年十一月增資為80億元,民國七十九年五月增資為120億元,民國八十一
年四月增資為160億元,民國八十三年十二月增資為220億元,民國八十七年八月增資
為320億元,民國九十一年九月增資為480億元,民國九十六年七月增資為530億元,
民國九十七年一月調整為450億元,民國九十九年十一月增資為700億元,民國一○三
年十月增資為950億元,民國一○八年九月增資為1,090億元。
臺灣銀行於民國一○二年一月二十三日以現金2,000萬元設立其百分之百持有之子
公司臺銀綜合保險經紀人(股)公司,並於同年二月六日正式成立,主要業務包括人身
及財產保險經紀業務。
子公司臺銀人壽於民國九十七年一月二日由臺灣銀行以其人壽保險業務部門之營
業、資產及負債分割,並以該日分割讓與人壽保險業務部門之淨資產作價新臺幣50億
元,作為分割新設之股本,並分別於民國九十八年六月三十日、九十九年六月三十
日、一○二年六月二十八日、一○四年九月三十日、一○七年六月二十九日、一一○
年三月三十一日、一一二年六月三十日及一一四年五月二十七日分別辦理現金增資20
億元、40億元、60億元、55億元、100億元、110億元、60億元及40億元,截至本期已
發行股本為535億元。臺銀人壽於民國一○二年十一月十八日成為公開發行公司。主
要業務為經營人身保險及其有關業務。
子公司臺銀證券於民國九十七年一月二日由臺灣銀行以其證券業務部門之營業資
產及負債分割,並以該日分割讓與證券業務部門之淨資產作價新臺幣30億元,作為分
割新設之股本。臺銀證券於民國一○二年十月二十一日成為公開發行公司。主要業務
包括:1.代理買賣上市、上櫃有價證券;2.辦理有價證券買賣融資、融券、辦理公開
申購有價證券;3.自營有價證券、承銷有價證券;4.期貨交易輔助人等業務。


通過財報之日期及程序
  通過財報之日期及程序

本合併財務報告於民國一一四年八月二十日經審計委員會通過,並於民國一一四年八
月二十一日經董事會通過發布。


新發布及修訂準則及解釋之適用

重大會計政策之彙總說明
   合併報表編製原則

合併財務報告之編製主體包含本公司及本公司之子公司。
自取得子公司控制力之日起,開始將其財務報告納入合併財務報告,直至不再
具有控制力之日為止。歸屬於子公司非控制權益之損益應歸屬於非控制權益,即使
非控制權益因而成為虧損餘額亦然。
本公司及子公司間之交易、餘額及任何未實現收益與費用,於編製合併財務報
告時均已消除。


列入合併財務報表之子公司
投資公司名稱 子公司名稱 業務性質 所持股權百分比 說明
本期 去年年底 去年同期
本公司
臺灣銀行
銀行業
100.00% 
100.00% 
100.00% 
 
本公司
臺銀人壽
人身保險
100.00% 
100.00% 
100.00% 
 
本公司
臺銀證券
證券業
100.00% 
100.00% 
100.00% 
 
臺灣銀行
臺銀保經
人身及財產保險經紀人
100.00% 
100.00% 
100.00% 
 
未列入合併財務報表之子公司
無此情形/免揭露


重大會計判斷、假設及估計不確性之主要來源

資產品質(銀行子公司適用)
逾期放款
無此情形/免揭露
逾期帳款
無此情形/免揭露
免列報逾期放款或逾期應收帳款
無此情形/免揭露

集團資本適足率
集團資本適足率
無此情形/免揭露

子公司出售不良債權交易資訊
出售不良債權交易彙總表
無此情形/免揭露
出售不良債權單批債權金額達10億元以上
無此情形/免揭露

轉投資事業相關資訊
無此情形/免揭露

母子公司間業務關係及重要交易往來情形
無此情形/免揭露

大陸地區投資
轉投資大陸地區之事業相關資訊
無此情形/免揭露
轉投資大陸地區限額
無此情形/免揭露