Financials
Gain insights into our financial performance through comprehensive reports, trend analysis, and projections in our Financials section.


Financial Highlights
Monthly Revenues
MONTHLY CDF KGI BANK KGI SECURITIES CDIB CAPITAL KGI LIFE
NET REVENUE 7,512,741 1,166,661 2,712,121 475,680 18,978,121
NET RROFIT BEFORE INCOME TAX 3,127,095 542,793 978,424 368,702 1,550,434
NET PROFIT FROM OPERATIONS 347,818
YEAR-TO-END CDF KGI BANK KGI SECURITIES CDIB CAPITAL KGI LIFE
NET REVENUE 13,710,873 2,514,921 5,900,903 626,786 40,988,813
NET RROFIT BEFORE INCOME TAX 6,374,531 1,165,508 2,284,714 407,214 3,297,270
NET PROFIT FROM OPERATIONS 373,782
Market Observation Post System

Financial institutions, including financial holding companies, securities firms and bills finance companies, are exempt from reporting Net Profit from Operations

Monthly Net Profit
Unit: A Hundred Million NTD
MONTHLY CDF KGI BANK KGI SECURITIES CDIB CAPITAL KGI LIFE
NET PROFIT AFTER TAX 28.05 4.71 9.25 3.73 14.35
STOCKHOLDERS OF THE PARENT COMPANY 28.05 4.71 9.24 3.73 14.35
NONCONTROLLING INTERESTS 0.00 0.00 0.01 0.00 0.00
YEAR-TO-END CDF KGI BANK KGI SECURITIES CDIB CAPITAL KGI LIFE
NET PROFIT AFTER TAX 56.13 10.12 20.80 3.81 30.14
STOCKHOLDERS OF THE PARENT COMPANY 56.14 10.12 20.80 3.83 30.14
NONCONTROLLING INTERESTS -0.01 0.00 0.00 -0.02 0.00
EPS(NT$) 0.34 0.22 1.14 0.19 0.61
Above figures are unaudited.

KGI Life accumulated EPS as of the end of February (Excluding Foreign Exchange Valuation Reserve):NT$ 0.88

Quarterly Results
2023 2022 2021 2020 2019 2018 2017 2016 2015
CDF
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CDIB Capital Group
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KGI Life
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KGI Bank
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KGI Securities
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Corporate Bond Issuance
Corporate Bond Type Issue date Denomination (NT) Total Amount (NT) Coupon Rate Tenor
2021 FIRST ISSUANCE OF UNSECURED CORPORATE BOND 2021-12-20 $1,000,000 $3,200,000,000 0.75%, fixed 10 years Maturity: 2031-12-20
2021 FIRST ISSUANCE OF UNSECURED CORPORATE BOND 2021-12-20 $1,000,000 $4,800,000,000 0.65%, fixed 7 years Maturity: 2028-12-20
2021 FIRST ISSUANCE OF UNSECURED CORPORATE BOND 2021-12-20 $1,000,000 $7,000,000,000 0.59%, fixed 5 years Maturity: 2026-12-20
2020 THIRD ISSUANCE OF UNSECURED CORPORATE BOND 2021-01-14 $1,000,000 $2,000,000,000 0.59%, fixed 10 years Maturity: 2031-01-14
2020 THIRD ISSUANCE OF UNSECURED CORPORATE BOND 2021-01-14 $1,000,000 $2,000,000,000 0.50%, fixed 7 years Maturity: 2028-01-14
2020 SECOND ISSUANCE OF UNSECURED CORPORATE BOND 2020-11-30 $1,000,000 $4,500,000,000 1.50%, fixed 15 years Maturity: 2035-11-30
2020 SECOND ISSUANCE OF UNSECURED CORPORATE BOND 2020-11-30 $1,000,000 $1,500,000,000 1.25%, fixed 10 years Maturity: 2030-11-30
2020 FIRST ISSUANCE OF UNSECURED CORPORATE BOND 2020-05-20 $1,000,000 $2,400,000,000 0.95%, fixed 15 years Maturity: 2035-05-20
2020 FIRST ISSUANCE OF UNSECURED CORPORATE BOND 2020-05-20 $1,000,000 $5,600,000,000 0.75%, fixed 5 years Maturity: 2025-05-20
2019 FIRST ISSUANCE OF UNSECURED CORPORATE BOND 2019-08-08 $1,000,000 $2,500,000,000 1.00%, fixed 10 years Maturity: 2029-08-08
2019 FIRST ISSUANCE OF UNSECURED CORPORATE BOND 2019-08-08 $1,000,000 $2,500,000,000 0.88%, fixed 7 years Maturity: 2026-08-08
2017 FIRST ISSUANCE OF UNSECURED SUBORDINATED CORPORATE BOND 2017-09-08 $1,000,000 $3,000,000,000 2.10%, fixed 15 years Maturity: 2032-09-08
2017 FIRST ISSUANCE OF UNSECURED SUBORDINATED CORPORATE BOND 2017-09-08 $1,000,000 $6,000,000,000 1.90%, fixed 10 years Maturity: 2027-09-08
2017 FIRST ISSUANCE OF UNSECURED SUBORDINATED CORPORATE BOND 2017-09-08 $1,000,000 $1,000,000,000 1.75%, fixed 7 years Maturity: 2024-09-08
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Shareholder Information
Access comprehensive shareholder information, and view the Business Report from our Chairman Su-Kuo Huang and President/CEO Stefano Bertamini.