尚芳國際興業股份有限公司                                                                             
                                                                               股 東 權 益 變 動 表                                                                               
                                                                中華民國一○一年及一○○年一月一日至十二月三十一日                                                               
                                                                                                                                                                  單位:新台幣仟元
項    目                              普通股股本    預收股本    資本公積    法定盈餘公積    特別盈餘公積    未提撥保留盈餘    累積換算調整數    金融商品未實現損益    股東權益合計
----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
100年度                                                                                                                                                                           
期初餘額                               $257,465      $8,968     $12,170          $4,004              $0            $9,393           ($7,333)              ($4,566)       $280,101 
現金增資                                 20,000      (8,968)     60,000               -               -                 -                 -                     -          71,032 
資本公積轉增資                           11,931           -     (11,931)              -               -                 -                 -                     -               - 
本期損益                                      -           -           -               -               -             7,601                 -                     -           7,601 
盈餘指撥及分配                                                                                                                                                                    
提列法定盈餘公積                              -           -           -             928               -              (928)                -                     -               - 
提列特別盈餘公積                              -           -           -               -           4,566            (4,566)                -                     -               - 
普通股現金股利                                -           -           -               -               -            (3,885)                -                     -          (3,885)
備供出售金融資產未實現損益增減                -           -           -               -               -                 -                 -                 5,961           5,961 
外幣財務報表換算所產生兌換差額增減            -           -           -               -               -                 -            19,721                     -          19,721 
----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
期末餘額                               $289,396          $0     $60,239          $4,932          $4,566            $7,615           $12,388                $1,395        $380,531 
==================================================================================================================================================================================

項    目                              普通股股本    資本公積    法定盈餘公積    特別盈餘公積    未提撥保留盈餘    累積換算調整數    金融商品未實現損益    股東權益合計
----------------------------------------------------------------------------------------------------------------------------------------------------------------------
101年度                                                                                                                                                               
期初餘額                               $289,396     $60,239          $4,932          $4,566            $7,615           $12,388                $1,395        $380,531 
現金增資                                 40,000      40,120               -               -                 -                 -                     -          80,120 
資本公積轉增資                           17,653     (17,653)              -               -                 -                 -                     -               - 
特別盈餘公積迴轉                              -           -               -          (4,566)            4,566                 -                     -               - 
本期損益                                      -           -               -               -           (46,384)                -                     -         (46,384)
盈餘指撥及分配                                                                                                                                                        
提列法定盈餘公積                              -           -             760               -              (760)                -                     -               - 
提列特別盈餘公積                              -           -               -               -                 -                 -                     -               - 
普通股現金股利                                -           -               -               -            (5,788)                -                     -          (5,788)
盈餘轉增資                                5,499           -               -               -            (5,499)                -                     -               - 
備供出售金融資產未實現損益增減                -           -               -               -                 -                 -                (2,945)         (2,945)
外幣財務報表換算所產生兌換差額增減            -           -               -               -                 -           (10,086)                    -         (10,086)
----------------------------------------------------------------------------------------------------------------------------------------------------------------------
期末餘額                               $352,548     $82,706          $5,692              $0          ($46,250)           $2,302               ($1,550)       $395,448 
======================================================================================================================================================================