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CTBC HOLDING — Investor Relations & Filings

Ticker · 2891 ISIN · TW0002891009 LEI · 549300IWDYIFW6JXM387 TW Financial and insurance activities
Filings indexed 6,774 across all filing types
Latest filing 2025-12-05 Earnings Release
Country TW Taiwan
Listing TW 2891

About CTBC HOLDING

https://www.ctbcholding.com

CTBC Financial Holding Co., Ltd. is a global financial services provider that operates through a diverse network of subsidiaries, including CTBC Bank and CTBC Securities. The organization delivers a comprehensive suite of products and services, including commercial banking, wealth management, insurance, securities brokerage, venture capital, and asset management. A pioneer in digital finance, the company prioritizes technological innovation and digital transformation to enhance customer experience and operational efficiency. With a significant international presence across 14 countries and regions and over 410 service points, it facilitates cross-border financial solutions with a strategic focus on Asian markets. The company is recognized for its commitment to sustainable development and environmental, social, and governance (ESG) principles, consistently featuring in the Dow Jones Sustainability World and Emerging Markets Indices.

Recent filings

Filing Released Lang Actions
中國信託金融控股股份有限公司公告本公司暨主要子公司 114年度十一月份自結盈餘
Earnings Release Classification · 95% confidence The document is a short announcement from a listed company (China Trust Financial Holding Co., Ltd.) reporting its November self-reported earnings and cumulative earnings for the first eleven months of the year 114 (Taiwan calendar year). It includes summarized financial figures such as pre-tax and after-tax earnings and EPS for the company and its subsidiaries. The document length is only 1146 characters, which is quite short and does not contain detailed financial statements or comprehensive analysis. It is an earnings update announcement rather than a full quarterly or annual report. Therefore, it fits best as an Earnings Release (ER), which is the initial announcement of periodic financial results with key highlights only. FY 2025
2025-12-05 Chinese
代子公司中國信託產物保險股份有限公司公告向關係人取得使用 權資產
Regulatory Filings Classification · 95% confidence The document is a disclosure from a listed company (ticker 2891) regarding a transaction with a related party involving the lease of office space. It details the asset involved, transaction dates, pricing, counterparties, decision-making process, and compliance with relevant regulations. The content is a regulatory announcement about a related party transaction, not a financial report, earnings release, or management discussion. It does not contain financial statements or detailed financial analysis. The document length is short (1941 characters) and is a specific transaction disclosure. Therefore, it fits best under Regulatory Filings (RNS), which is the fallback category for miscellaneous regulatory announcements that do not fit other specific categories.
2025-12-05 Chinese
代子公司中國信託產物保險股份有限公司公告向關係人取得使用 權資產
Regulatory Filings Classification · 95% confidence The document is a disclosure from a listed company (ticker 2891) regarding a transaction involving a related party, specifically a lease agreement for office space with the company's parent company. It details the transaction terms, parties involved, approval process, and compliance with relevant regulations. The content is a regulatory announcement about a related party transaction rather than a financial report, earnings release, or management discussion. It does not contain financial statements or detailed financial analysis. The document length is short (1937 characters) and is a formal announcement of a specific transaction event. Therefore, it fits best under Regulatory Filings (RNS), which is the fallback category for miscellaneous regulatory announcements that do not fit other specific categories.
2025-12-05 Chinese
代子公司中國信託產物保險股份有限公司公告向關係人取得使用 權資產
Regulatory Filings Classification · 95% confidence The document is a disclosure from a listed company (ticker 2891) regarding a transaction with a related party involving the lease of office space. It details the transaction terms, parties involved, approval process, and compliance with relevant regulations. The content is a regulatory announcement about a related party transaction, not a financial report, earnings release, or management discussion. It does not contain financial statements or detailed financial analysis. The document length is short (1940 characters) and it is a formal announcement of a specific transaction event. Therefore, it fits best under Regulatory Filings (RNS), which is the fallback category for miscellaneous regulatory announcements that do not fit other specific categories.
2025-12-05 Chinese
子公司中信銀公告2筆香港分行美元計價股權連結 固定收益型結構型債券因發生提前出場事件屆臨還清本金
Capital/Financing Update Classification · 95% confidence The document is a short announcement (856 characters) from a listed company (2891 中信金) regarding two fixed income structured bonds linked to equity issued by its wholly owned subsidiary (中國信託商業銀行股份有限公司). It reports the early redemption of these bonds due to an early exit event. The document includes specific ISIN numbers and details about the event date and issuer relationship. There is no financial statement, no detailed financial analysis, no management discussion, and no indication of a full report. The document is a factual disclosure about a specific financial event related to bond redemption. It fits best under Capital/Financing Update (CAP) as it concerns financing instruments and their early repayment. The document is not a report publication announcement or regulatory filing as it contains substantive event details. Confidence is high due to clear event description and financial instrument details.
2025-12-04 Chinese
子公司中信銀公告1筆香港分行美元計價股權連結 固定收益型結構型債券因發生提前出場事件屆臨還清本金
Capital/Financing Update Classification · 95% confidence The document is a short announcement (744 characters) from a listed company (2891 中信金) reporting a specific event related to a subsidiary's financial product (提前出場事件屆臨還清本金 - early redemption of a structured bond). It includes details such as the event date, company relationship, and ISIN code. There is no detailed financial data, analysis, or comprehensive report content. The document serves as a factual disclosure of a capital/financing event related to a structured bond redemption by a subsidiary. It is not an annual or interim report, audit report, earnings release, or management discussion. It fits best under Capital/Financing Update (CAP) as it informs about a financing-related event affecting the company's capital instruments.
2025-12-02 Chinese

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