首頁>台灣股市>聯合再生>交易資訊 - 股權結構
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2025.04.02收盤

聯合再生-股權結構

總覽價值投資財務分析技術分析交易資訊公司消息
法人買賣資券變化現股當沖股權結構申報轉讓
股權結構
聯合再生最新股權結構狀況
整理聯合再生最新(2025/03/28) 股東結構狀況。外資佔12.81%、大戶 (持股超過1,000張以上的大股東) 佔34.93%、董監持股佔12.29%。截至2025年02月,全體董監質押股票張數總計0張,質押比例約為0%。
而根據聯合再生最新年報2023年度,前3大持股之股東分別是「行政院國家發展基金管理會」持股6.09%,「耀華玻璃股份有限公司管理委員會」持股5.81%,「匯豐(台灣)商業銀行股份有限公司受託保管景順太陽能 ETF 投資專戶」持股3.34%。
開盤價
9.17
收盤價
9.26
當日範圍
9.08 - 9.32
成交張數
1,460
開盤價(昨)
9.11
收盤價(昨)
9.28
昨日範圍
9.1 - 9.4
成交張數(昨)
2,618
成交金額
1349.42萬
成交金額(昨)
2413.74萬
52週範圍
9.05 - 15.2
發行股數
16億
市值
151億
大戶籌碼總覽
資料時間:2025/03/28

各類籌碼定義

外資籌碼:即外資法人持股比率。外資籌碼佔比 = 外資持有股數 ÷ 總發行股數 * 100%。
大戶籌碼:持股超過 1,000 張以上之大戶股東的持股比率。大戶籌碼佔比 = 1,000張以上大戶股東持有股數 ÷ 總發行股數 * 100%。
董監持股:該公司董監事的持股比率。董監持股佔比 = 董監事持有股數 ÷ 總發行股數 * 100%。
年度/日期外資籌碼大戶籌碼董監持股收盤價
2025/03/2812.81%34.93%12.29%9.71
2025/03/2112.88%35.01%12.29%9.84
2025/03/1412.86%34.73%12.29%10.15
2025/03/0712.68%34.75%12.29%9.93
2025/02/2612.76%34.82%12.29%10.25
2025/02/2112.77%34.87%12.29%10.4
2025/02/1412.63%34.61%12.29%10.3
2025/02/0712.42%34.69%12.29%9.91
2025/01/2212.37%34.75%12.29%9.94
2025/01/1712.29%34.63%12.30%9.81
董監持股
月別發行張數(萬張)非獨立董監持股獨立董監持股全體董監持股外資持股(%)
持股張數持股(%)持股增減質押張數質押(%)持股張數持股(%)持股增減質押張數質押(%)持股張數持股(%)持股增減質押張數質押(%)
2025/02162.78200,01612.29+00000+000200,01612.29+00012.76
2025/01162.78200,01612.29-100000+000200,01612.29-100012.37
2024/12162.78200,02612.29-1200000+000200,02612.29-1200012.01
2023/07162.78200,18612.3+00000+000200,18612.3+00013.54
2023/06162.78200,18612.3+00000+000200,18612.3+00013.3
2023/05162.78200,18612.3+00000+000200,18612.3+00014.05
2023/04162.78200,18612.3+00000+000200,18612.3+00015.07
2023/03162.78200,18612.3+00000+000200,18612.3+00016.02
2023/02162.78200,18612.3+00000+000200,18612.3+00015.96
前十大持股
資料時間:2023/04/30
各公司會於每年年的年報中公布前十大持股的股東。多數上市櫃公司的前十大持股股東為法人或機構投資人,因此您可能會看「XX銀行存托憑證專戶」、「XX銀行投資專戶」等字樣,這有時候可能無法確切知道背後代表的股東。
持股人姓名持股比重
行政院國家發展基金管理會6.09%
耀華玻璃股份有限公司管理委員會5.81%
匯豐(台灣)商業銀行股份有限公司受託保管景順太陽能 ETF 投資專戶3.34%
台達電子工業股份有限公司1.92%
渣打國際商業銀行營業部受託保管 ISHARESII有限公司投資專戶1.45%
渣打國際商業銀行營業部受託保管 ISHARES 全球乾淨 能源指數股票型基金投資專戶1.23%
沈清雄1.21%
美商摩根大通銀行台北分行受託保管挪威中央銀行投資專戶1.19%
美商摩根大通銀行台北分行受 託保管梵加德集團公司經理之梵加德新興市場股票指數基金投資專戶1.12%
美商摩根大通銀行台北分行受託保管先進星光基金公司之系列基金先進總合國際股票指數基金投資專戶1.05%
股東結構
年度政府公營機構僑外投資本國金融機構本國法人本國自然人(個人)庫藏股
金融機構證券投信僑外法人僑外自然人合計金融機構證券投信合計公司法人其他法人合計
20236.091.361.4612.530.0215.380.0300.036.825.8312.6465.860
20226.092.141.5211.150.0314.830.4800.487.15.8312.9365.660
20216.571.81.837.120.0310.770.10.010.117.466.313.7568.780.01
20206.571.452.575.560.039.610.7100.719.36.315.667.50.01
20196.641.392.687.240.0211.331.7901.7912.376.6719.0461.130.08
20186.641.352.34.910.028.582.1602.1615.86.6722.4660.160
201700.331.674.790.046.835.5305.5325.820.0525.8761.770.01
201600.51.083.80.045.428.70.018.7126.240.1726.4159.440.02
201500.30.483.720.054.549.040.129.1628.041.129.1457.140.01
201400.831.654.50.067.056.830.217.0527.365.1732.5353.360.02
201300.7624.210.247.213.275.178.4411.10.0811.1873.160.02
201200.41.694.250.316.652.770.993.766.50.847.3482.250
201101.974.038.320.0814.414.411.796.210.341.111.4467.950
20100.351.214.934.320.0810.546.375.7112.0814.033.0917.1259.910
2009001.734.440.416.577.260.27.4633.35033.3552.620
持股分級
週別統計日期<1≧1≦5>5≦10>10≦15>15≦20>20≦30>30≦40>40≦50>50≦100>100≦200>200≦400>400≦600>600≦800>800≦1000>1000
2025W132025/03/281.0710.118.174.644.145.073.652.747.966.595.662.771.441.0134.92
2025W122025/03/211.0710.128.174.644.135.083.662.727.936.595.582.771.451.0235
2025W112025/03/141.0710.158.24.644.165.083.652.747.956.615.632.791.451.0834.73
2025W102025/03/071.0710.168.214.634.145.083.652.727.96.625.672.71.491.1334.75
2025W092025/02/271.0710.178.214.644.155.13.622.747.896.655.492.811.451.1334.82
2025W082025/02/211.0810.168.184.644.125.073.612.717.886.685.482.791.631.0234.87
2025W072025/02/141.0810.28.234.654.135.093.62.767.886.765.52.71.661.0734.6
2025W062025/02/081.0810.28.234.664.135.093.62.777.916.745.512.681.621.0234.68
2025W042025/01/241.0910.228.254.664.135.083.632.757.96.75.62.621.580.9634.75
2025W032025/01/171.0910.248.254.674.145.093.622.757.896.685.592.681.541.0734.63
2025W022025/01/101.0910.288.284.74.135.13.622.757.956.725.722.651.540.9134.5
2025W012025/01/031.0910.328.34.714.165.13.612.737.976.795.582.751.450.9134.46
2024W522024/12/271.0910.318.314.74.145.13.622.727.966.765.572.681.60.8634.51
2024W512024/12/201.0910.348.334.724.155.123.642.727.976.865.562.791.50.9734.16
2024W502024/12/131.110.378.344.734.175.113.652.747.946.765.672.731.411.0234.19
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2024W462024/11/151.1110.468.424.784.225.163.72.7386.725.62.691.421.1333.79
2024W452024/11/081.1110.498.44.784.235.113.622.767.96.625.722.721.521.333.65
2024W442024/11/011.1110.528.434.784.255.143.632.787.96.75.632.851.531.0833.6
2024W432024/10/251.1110.548.454.794.265.153.622.827.886.695.722.721.441.1433.6
2024W422024/10/181.1210.558.444.784.255.153.592.777.876.645.722.791.571.1433.53
2024W412024/10/111.1210.578.434.784.215.13.582.767.836.615.82.921.521.0833.6
2024W402024/10/041.1210.678.54.824.255.133.62.827.876.675.682.831.650.8733.45
2024W392024/09/271.1210.638.494.844.245.163.62.767.916.725.672.881.610.9233.38
2024W382024/09/201.1210.688.494.854.245.143.632.777.886.685.592.841.650.8833.49
2024W372024/09/131.1210.748.564.884.265.223.612.87.916.785.582.91.651.0432.89
2024W362024/09/061.1210.798.624.884.265.223.662.827.96.785.662.871.681.1532.53
2024W352024/08/301.1210.88.614.894.295.233.642.837.96.885.472.761.890.9332.69
2024W342024/08/231.1210.848.624.914.35.243.612.857.916.795.442.721.980.9532.64
2024W332024/08/161.1310.888.644.934.295.263.622.837.926.845.422.821.811.0632.49
2024W322024/08/091.1310.98.664.914.335.243.622.827.926.765.492.881.851.132.31
2024W312024/08/021.1310.988.74.914.375.263.642.887.946.745.62.871.951.131.86
2024W302024/07/261.1311.088.764.924.375.33.662.887.986.735.553.071.691.0531.77
2024W292024/07/191.1311.078.724.934.345.273.632.8786.665.622.991.690.9832.04
2024W282024/07/121.1311.128.724.934.355.223.662.97.976.675.652.941.650.9332.07
2024W272024/07/051.1411.258.784.874.355.263.612.927.976.625.722.941.480.9232.12
2024W262024/06/281.1410.218.194.774.115.093.632.857.826.855.622.651.551.0334.42
2024W252024/06/211.14108.154.814.15.153.782.828.016.995.772.511.751.2533.7
2024W242024/06/141.1410.028.174.84.115.183.782.88.026.975.822.571.661.2633.61
2024W232024/06/071.1410.058.154.84.155.133.782.877.916.925.912.541.631.233.76
2024W222024/05/311.1510.098.184.814.165.123.772.857.96.985.792.511.751.3733.5
2024W212024/05/241.1510.168.24.834.175.143.752.857.877.045.882.581.591.233.5
2024W202024/05/171.1510.18.194.864.175.173.762.837.927.055.732.691.681.133.52
2024W192024/05/101.1610.088.154.834.155.143.742.827.916.985.772.661.731.0833.73
2024W182024/05/031.1610.18.144.834.185.123.742.877.896.815.692.711.641.0334.01
2024W172024/04/261.1610.128.154.844.185.113.742.857.856.85.692.621.631.0934.09
2024W162024/04/191.1610.048.044.84.135.063.672.847.726.595.672.741.631.1534.68
2024W152024/04/121.1610.18.044.814.085.023.682.817.76.715.652.71.51.1434.82
2024W142024/04/031.179.957.964.774.085.043.682.77.776.755.662.781.491.234.93
2024W132024/03/291.179.947.944.764.045.023.692.647.746.775.642.71.531.2535.1
2024W122024/03/221.179.957.954.7645.063.672.677.726.675.62.741.431.335.22
2024W112024/03/151.189.977.914.763.955.053.642.657.76.635.62.621.521.4235.32
2024W102024/03/081.1810.017.964.783.935.033.692.687.626.65.772.731.671.3634.92
2024W092024/03/011.1810.047.974.783.925.043.682.677.556.665.632.721.631.4135.06
2024W082024/02/231.1810.067.964.783.934.973.672.677.486.665.692.741.631.2435.27
2024W072024/02/171.1810.067.954.743.934.923.652.657.476.595.632.721.631.2435.58
2024W062024/02/071.1810.077.954.753.934.923.622.677.446.65.632.691.551.3635.57
2024W052024/02/021.1810.077.944.753.914.913.612.697.436.615.622.631.681.4235.47
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