CN Stock MarketDetailed Quotes

601336 New China Life Insurance

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  • 32.55
  • +0.18+0.56%
Market Closed May 31 15:00 CST
101.54BMarket Cap15.07P/E (TTM)

New China Life Insurance Key Stats

All
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
(Q9)Sep 30, 2022
(Q6)Jun 30, 2022
(Q3)Mar 31, 2022
(FY)Dec 31, 2021
Assets
Money funds
20.93%25.37B
23.89%21.81B
31.68%17B
4.52%18.6B
19.98%20.98B
13.74%17.6B
-4.19%12.91B
5.29%17.79B
-2.84%17.49B
19.03%15.48B
Loan and account receivables
----
----
----
----
----
-20.77%47.46B
3.92%49.9B
30.53%56.84B
25.96%57.2B
44.73%59.9B
Transactional financial assets
11.41%423.43B
378.50%380.24B
427.28%369.84B
377.02%363.8B
435.63%380.08B
13.52%79.47B
6.59%70.14B
119.75%76.27B
121.15%70.96B
118.10%70B
Derivative assets
-50.00%1M
-33.33%2M
0.00%3M
0.00%4M
-33.33%2M
-25.00%3M
-25.00%3M
-20.00%4M
--3M
--4M
Bought sellback assets
-83.36%1.06B
-40.49%5.27B
-50.65%5.52B
145.50%6.57B
-43.04%6.35B
115.15%8.85B
141.36%11.18B
-52.69%2.68B
53.51%11.14B
124.45%4.11B
Other receivables (including interest and dividends)
-8.81%4.01B
-32.16%13.53B
-72.80%5.18B
-84.62%2.47B
-73.77%4.4B
25.54%19.94B
19.75%19.05B
14.79%16.05B
19.12%16.76B
28.10%15.89B
-Dividend receivable
----
----
----
----
----
20.46%14.48B
17.09%16.29B
16.77%13B
17.66%14.15B
16.67%12.02B
-Other receivable
----
----
87.96%5.18B
-19.08%2.47B
----
41.33%5.46B
38.33%2.76B
7.05%3.05B
27.72%2.61B
84.26%3.86B
Insurance receivables
----
----
----
----
----
----
-3.57%5.86B
7.04%5.75B
-2.75%4.99B
24.01%2.87B
Reinsurance receivables
----
----
----
----
----
----
220.89%507M
180.49%345M
455.32%261M
-1.22%243M
Receivable deposit for undue duty of reinsurance
----
----
----
----
----
----
-33.33%70M
-47.90%87M
-55.46%102M
-68.20%69M
Receivable reserves for reinsurance outstanding claims
----
----
----
----
----
----
-65.79%39M
-57.80%46M
-40.59%60M
-10.84%74M
Receivable reserves for reinsured life insurance liabilities
----
----
----
----
----
----
-42.12%922M
-21.25%1.24B
-6.47%1.46B
5.00%1.6B
Receivable reserves for reinsured long-term health insurance liabilities
----
----
----
----
----
----
36.16%2.41B
34.13%2.24B
24.10%2.02B
24.92%2B
Policy pledge loans
----
----
----
----
----
----
8.05%43B
7.66%42.23B
7.71%41.54B
8.15%40.81B
Fixed deposit
11.03%255.24B
12.50%255.98B
33.23%264.66B
30.96%244.56B
35.51%229.89B
35.01%227.55B
32.66%198.65B
43.06%186.75B
45.32%169.65B
37.43%168.54B
Refundable capital guarantee deposits
-6.16%1.8B
4.02%1.78B
3.21%1.77B
11.95%1.92B
11.78%1.92B
0.00%1.72B
0.00%1.72B
0.00%1.72B
0.00%1.72B
0.00%1.72B
Financial assets available for sale
----
----
----
----
----
-6.88%375.65B
1.01%388.31B
0.55%409.65B
-2.86%396.79B
-5.45%403.43B
Held to maturity investments
----
----
----
----
----
25.67%378.39B
19.01%346.85B
15.66%327.03B
13.90%309.95B
10.26%301.1B
Debt investment
15.84%309.98B
--313.15B
--314.47B
--293.17B
--267.61B
----
----
----
----
----
Other debt investment
4.99%331.49B
--347.26B
--324.28B
--318.59B
--315.74B
----
----
----
----
----
Other equity investment
45.75%8.1B
--5.37B
--5.42B
--5.79B
--5.56B
----
----
----
----
----
Long term equity investment
72.51%10.09B
-11.10%5.17B
-3.00%5.69B
4.88%5.76B
10.80%5.85B
6.75%5.82B
13.41%5.87B
6.52%5.49B
8.96%5.28B
9.76%5.45B
Investment property
-2.56%9.26B
-1.78%9.38B
2.04%9.39B
1.76%9.47B
1.43%9.5B
1.34%9.55B
9.21%9.2B
9.12%9.3B
9.12%9.36B
6.44%9.43B
Fixed assets
----
----
----
----
----
3.60%15.87B
----
----
----
31.71%15.32B
Constru in process
----
----
----
----
----
-29.14%1.88B
----
----
----
-34.74%2.65B
Intangible assets
1.38%3.98B
1.52%4.06B
2.24%3.88B
-0.08%3.86B
5.42%3.93B
5.54%4B
5.10%3.8B
5.95%3.86B
0.68%3.73B
1.04%3.79B
Independence account assets
----
----
----
----
----
----
-9.82%202M
-2.20%222M
8.91%220M
10.28%236M
Deferred tax assets
1,163.36%15.93B
35.73%10.71B
83.55%7.6B
205.12%4.71B
-49.44%1.26B
3,925.51%7.89B
2,045.08%4.14B
762.57%1.54B
1,293.30%2.49B
28.10%196M
Receivable contract reserve
----
----
----
----
----
----
-3.94%3.44B
2.67%3.62B
3.52%3.65B
9.30%3.74B
Other assets
-50.23%881M
-51.45%836M
-33.59%866M
-48.51%1.21B
-9.42%1.77B
5.19%1.72B
10.60%1.3B
102.58%2.35B
147.34%1.95B
74.15%1.64B
Exceptional items of assets
0.73%9.88B
-7.44%9.8B
--10.01B
--9.97B
--9.81B
--10.59B
----
----
----
----
Total assets
11.39%1.43T
15.50%1.4T
14.15%1.36T
10.15%1.31T
12.15%1.28T
7.73%1.21T
12.58%1.2T
16.27%1.19T
14.57%1.14T
12.28%1.13T
Liabilities
Transactional financial liabilities
-59.17%3.24B
-86.12%3.59B
14.96%10.37B
-47.78%4.07B
-34.78%7.93B
890.70%25.88B
334.81%9.02B
182.82%7.79B
14.77%12.15B
-82.40%2.61B
Funds from selling out and repurchasing financial assets
31.36%75.7B
145.29%106.99B
174.73%86.11B
31.31%46.29B
104.14%57.63B
-21.29%43.62B
63.92%31.34B
1,540.39%35.25B
484.11%28.23B
32.29%55.42B
Premiums received in advance
-23.84%262M
-36.43%274M
37.20%343M
45.83%420M
52.21%344M
-91.54%431M
8.23%250M
6.67%288M
-23.65%226M
-21.11%5.1B
Commission payable
-16.45%1.83B
-0.51%1.57B
-17.46%1.62B
31.31%2.68B
-1.44%2.19B
-24.12%1.58B
-21.59%1.97B
-21.68%2.04B
-16.06%2.22B
-11.75%2.08B
Reinsurance payables
----
----
----
----
----
----
235.90%655M
379.39%628M
119.22%730M
69.70%504M
Compensation payable
----
----
----
----
----
----
-5.53%5.81B
-12.23%5.8B
-9.16%6.17B
-7.35%5.97B
Policyholder dividend payable
----
----
----
----
----
----
128.57%16M
-97.69%15M
51.65%734M
200.00%9M
Insurer deposit investment
----
----
----
----
----
----
17.44%66.96B
18.36%65.06B
14.16%61.59B
12.07%57.69B
Unearned premium reserve
----
----
----
----
----
----
-16.80%1.72B
-18.87%1.99B
-37.31%1.86B
-32.52%1.59B
Outstanding claim reserve
----
----
----
----
----
----
22.00%2.52B
23.07%2.34B
20.60%2.14B
21.20%2.18B
Policyholders’reserves for life insurance
----
----
----
----
----
----
10.07%767.11B
11.07%756.97B
11.06%738.09B
11.48%707.35B
Long-term health insurance policyholders reserves
----
----
----
----
----
----
23.48%180.37B
28.90%171.27B
30.36%161.49B
31.81%152.58B
Salaries payable
12.09%4.23B
-9.98%3.92B
7.86%4.33B
10.45%4.21B
4.83%3.77B
-0.84%4.35B
6.38%4.02B
9.04%3.81B
0.31%3.6B
-0.41%4.39B
Other payable (including interest and dividends)
-58.64%7.25B
-11.73%12.22B
30.16%13.82B
22.04%21.54B
75.35%17.54B
82.20%13.84B
104.35%10.62B
102.98%17.65B
147.02%10B
56.72%7.6B
-Interest payable
----
----
----
-25.00%3.37B
----
----
----
3.60%4.49B
----
----
-Other payable
----
----
30.16%13.82B
38.10%18.17B
----
82.20%13.84B
--10.62B
201.81%13.16B
----
56.72%7.6B
Taxs payable
-48.16%127M
-47.03%125M
37.25%210M
5.67%149M
99.19%245M
38.01%236M
-57.73%153M
-59.48%141M
-83.24%123M
0.59%171M
Bonds payable
98.49%20.43B
102.62%20.26B
1.27%10.13B
0.44%10.04B
2.92%10.29B
0.00%10B
0.00%10B
0.00%10B
0.00%10B
0.00%10B
Independence liabilities
----
----
----
----
----
----
-8.72%199M
-3.21%211M
8.81%210M
14.29%224M
Deferred tax liabilitise
-27.03%81M
-1.75%56M
20.69%70M
-65.87%57M
552.94%111M
-94.90%57M
-92.76%58M
-91.60%167M
-98.48%17M
-58.17%1.12B
Long-term deferred income
-98.75%6M
-2.89%470M
-1.25%474M
-1.45%477M
-1.23%481M
-1.22%484M
-2.83%480M
-2.62%484M
-2.60%487M
-2.78%490M
Other liabilitise
90.99%1.78B
-40.64%1.44B
103.26%1.99B
79.83%2.14B
-33.43%932M
118.58%2.42B
53.76%981M
119.96%1.19B
79.72%1.4B
66.27%1.11B
Exceptional items of liabilities
15.15%1.22T
13.16%1.15T
--1.13T
--1.1T
--1.06T
--1.01T
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----
----
----
Total liabilities
14.96%1.34T
16.23%1.3T
14.69%1.26T
10.41%1.2T
11.45%1.16T
9.59%1.12T
14.44%1.1T
18.38%1.08T
16.46%1.04T
12.91%1.02T
Shareholders equity
Paid-in capital
0.00%3.12B
0.00%3.12B
0.00%3.12B
0.00%3.12B
0.00%3.12B
0.00%3.12B
0.00%3.12B
0.00%3.12B
0.00%3.12B
0.00%3.12B
Capital reserve funds
-0.06%23.98B
-0.11%23.98B
-0.10%23.98B
-0.03%24B
0.38%23.99B
0.42%24.01B
0.41%24B
0.42%24.01B
-0.04%23.9B
0.02%23.91B
Surplus reserve funds
9.65%21.72B
19.13%21.72B
46.78%20.92B
46.78%20.92B
54.58%19.81B
42.28%18.23B
25.32%14.26B
25.32%14.26B
27.65%12.82B
27.65%12.82B
Retained profit
0.68%97.07B
19.78%92.12B
83.28%94.55B
84.13%94.99B
79.62%96.41B
46.97%76.91B
-1.22%51.59B
1.51%51.59B
2.73%53.68B
13.90%52.33B
Other composite income
-85.64%-67.1B
-37.59%-51.09B
-2,642.54%-48.68B
-1,790.12%-45.16B
-7,985.68%-36.14B
-597.44%-37.13B
-126.43%-1.78B
-72.81%2.67B
-106.36%-447M
-33.64%7.47B
Ordinary risk reserve funds
5.55%15.22B
18.50%15.22B
62.70%14.42B
62.70%14.42B
62.70%14.42B
44.90%12.84B
19.52%8.86B
19.52%8.86B
19.52%8.86B
19.52%8.86B
Shareholders equity without minority interests
-22.70%94B
7.24%105.07B
8.25%108.31B
7.45%112.29B
19.31%121.6B
-9.70%97.98B
-4.49%100.05B
-1.84%104.5B
-1.77%101.92B
6.72%108.5B
Minority interests
18.18%26M
19.05%25M
21.05%23M
21.05%23M
22.22%22M
23.53%21M
18.75%19M
26.67%19M
28.57%18M
30.77%17M
Total shareholder equity
-22.69%94.03B
7.24%105.09B
8.26%108.34B
7.45%112.31B
19.31%121.62B
-9.69%98B
-4.49%100.07B
-1.83%104.52B
-1.77%101.94B
6.72%108.51B
Total liabilities and equity
11.39%1.43T
15.50%1.4T
14.15%1.36T
10.15%1.31T
12.15%1.28T
7.73%1.21T
12.58%1.2T
16.27%1.19T
14.57%1.14T
12.28%1.13T
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
Audit Opinions
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Unqualified opinion
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Unqualified opinion
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Unqualified opinion
Auditor
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Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
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Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
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Ernst & Young (Special General Partnership)
(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022(Q9)Sep 30, 2022(Q6)Jun 30, 2022(Q3)Mar 31, 2022(FY)Dec 31, 2021
Assets
Money funds 20.93%25.37B23.89%21.81B31.68%17B4.52%18.6B19.98%20.98B13.74%17.6B-4.19%12.91B5.29%17.79B-2.84%17.49B19.03%15.48B
Loan and account receivables ---------------------20.77%47.46B3.92%49.9B30.53%56.84B25.96%57.2B44.73%59.9B
Transactional financial assets 11.41%423.43B378.50%380.24B427.28%369.84B377.02%363.8B435.63%380.08B13.52%79.47B6.59%70.14B119.75%76.27B121.15%70.96B118.10%70B
Derivative assets -50.00%1M-33.33%2M0.00%3M0.00%4M-33.33%2M-25.00%3M-25.00%3M-20.00%4M--3M--4M
Bought sellback assets -83.36%1.06B-40.49%5.27B-50.65%5.52B145.50%6.57B-43.04%6.35B115.15%8.85B141.36%11.18B-52.69%2.68B53.51%11.14B124.45%4.11B
Other receivables (including interest and dividends) -8.81%4.01B-32.16%13.53B-72.80%5.18B-84.62%2.47B-73.77%4.4B25.54%19.94B19.75%19.05B14.79%16.05B19.12%16.76B28.10%15.89B
-Dividend receivable --------------------20.46%14.48B17.09%16.29B16.77%13B17.66%14.15B16.67%12.02B
-Other receivable --------87.96%5.18B-19.08%2.47B----41.33%5.46B38.33%2.76B7.05%3.05B27.72%2.61B84.26%3.86B
Insurance receivables -------------------------3.57%5.86B7.04%5.75B-2.75%4.99B24.01%2.87B
Reinsurance receivables ------------------------220.89%507M180.49%345M455.32%261M-1.22%243M
Receivable deposit for undue duty of reinsurance -------------------------33.33%70M-47.90%87M-55.46%102M-68.20%69M
Receivable reserves for reinsurance outstanding claims -------------------------65.79%39M-57.80%46M-40.59%60M-10.84%74M
Receivable reserves for reinsured life insurance liabilities -------------------------42.12%922M-21.25%1.24B-6.47%1.46B5.00%1.6B
Receivable reserves for reinsured long-term health insurance liabilities ------------------------36.16%2.41B34.13%2.24B24.10%2.02B24.92%2B
Policy pledge loans ------------------------8.05%43B7.66%42.23B7.71%41.54B8.15%40.81B
Fixed deposit 11.03%255.24B12.50%255.98B33.23%264.66B30.96%244.56B35.51%229.89B35.01%227.55B32.66%198.65B43.06%186.75B45.32%169.65B37.43%168.54B
Refundable capital guarantee deposits -6.16%1.8B4.02%1.78B3.21%1.77B11.95%1.92B11.78%1.92B0.00%1.72B0.00%1.72B0.00%1.72B0.00%1.72B0.00%1.72B
Financial assets available for sale ---------------------6.88%375.65B1.01%388.31B0.55%409.65B-2.86%396.79B-5.45%403.43B
Held to maturity investments --------------------25.67%378.39B19.01%346.85B15.66%327.03B13.90%309.95B10.26%301.1B
Debt investment 15.84%309.98B--313.15B--314.47B--293.17B--267.61B--------------------
Other debt investment 4.99%331.49B--347.26B--324.28B--318.59B--315.74B--------------------
Other equity investment 45.75%8.1B--5.37B--5.42B--5.79B--5.56B--------------------
Long term equity investment 72.51%10.09B-11.10%5.17B-3.00%5.69B4.88%5.76B10.80%5.85B6.75%5.82B13.41%5.87B6.52%5.49B8.96%5.28B9.76%5.45B
Investment property -2.56%9.26B-1.78%9.38B2.04%9.39B1.76%9.47B1.43%9.5B1.34%9.55B9.21%9.2B9.12%9.3B9.12%9.36B6.44%9.43B
Fixed assets --------------------3.60%15.87B------------31.71%15.32B
Constru in process ---------------------29.14%1.88B-------------34.74%2.65B
Intangible assets 1.38%3.98B1.52%4.06B2.24%3.88B-0.08%3.86B5.42%3.93B5.54%4B5.10%3.8B5.95%3.86B0.68%3.73B1.04%3.79B
Independence account assets -------------------------9.82%202M-2.20%222M8.91%220M10.28%236M
Deferred tax assets 1,163.36%15.93B35.73%10.71B83.55%7.6B205.12%4.71B-49.44%1.26B3,925.51%7.89B2,045.08%4.14B762.57%1.54B1,293.30%2.49B28.10%196M
Receivable contract reserve -------------------------3.94%3.44B2.67%3.62B3.52%3.65B9.30%3.74B
Other assets -50.23%881M-51.45%836M-33.59%866M-48.51%1.21B-9.42%1.77B5.19%1.72B10.60%1.3B102.58%2.35B147.34%1.95B74.15%1.64B
Exceptional items of assets 0.73%9.88B-7.44%9.8B--10.01B--9.97B--9.81B--10.59B----------------
Total assets 11.39%1.43T15.50%1.4T14.15%1.36T10.15%1.31T12.15%1.28T7.73%1.21T12.58%1.2T16.27%1.19T14.57%1.14T12.28%1.13T
Liabilities
Transactional financial liabilities -59.17%3.24B-86.12%3.59B14.96%10.37B-47.78%4.07B-34.78%7.93B890.70%25.88B334.81%9.02B182.82%7.79B14.77%12.15B-82.40%2.61B
Funds from selling out and repurchasing financial assets 31.36%75.7B145.29%106.99B174.73%86.11B31.31%46.29B104.14%57.63B-21.29%43.62B63.92%31.34B1,540.39%35.25B484.11%28.23B32.29%55.42B
Premiums received in advance -23.84%262M-36.43%274M37.20%343M45.83%420M52.21%344M-91.54%431M8.23%250M6.67%288M-23.65%226M-21.11%5.1B
Commission payable -16.45%1.83B-0.51%1.57B-17.46%1.62B31.31%2.68B-1.44%2.19B-24.12%1.58B-21.59%1.97B-21.68%2.04B-16.06%2.22B-11.75%2.08B
Reinsurance payables ------------------------235.90%655M379.39%628M119.22%730M69.70%504M
Compensation payable -------------------------5.53%5.81B-12.23%5.8B-9.16%6.17B-7.35%5.97B
Policyholder dividend payable ------------------------128.57%16M-97.69%15M51.65%734M200.00%9M
Insurer deposit investment ------------------------17.44%66.96B18.36%65.06B14.16%61.59B12.07%57.69B
Unearned premium reserve -------------------------16.80%1.72B-18.87%1.99B-37.31%1.86B-32.52%1.59B
Outstanding claim reserve ------------------------22.00%2.52B23.07%2.34B20.60%2.14B21.20%2.18B
Policyholders’reserves for life insurance ------------------------10.07%767.11B11.07%756.97B11.06%738.09B11.48%707.35B
Long-term health insurance policyholders reserves ------------------------23.48%180.37B28.90%171.27B30.36%161.49B31.81%152.58B
Salaries payable 12.09%4.23B-9.98%3.92B7.86%4.33B10.45%4.21B4.83%3.77B-0.84%4.35B6.38%4.02B9.04%3.81B0.31%3.6B-0.41%4.39B
Other payable (including interest and dividends) -58.64%7.25B-11.73%12.22B30.16%13.82B22.04%21.54B75.35%17.54B82.20%13.84B104.35%10.62B102.98%17.65B147.02%10B56.72%7.6B
-Interest payable -------------25.00%3.37B------------3.60%4.49B--------
-Other payable --------30.16%13.82B38.10%18.17B----82.20%13.84B--10.62B201.81%13.16B----56.72%7.6B
Taxs payable -48.16%127M-47.03%125M37.25%210M5.67%149M99.19%245M38.01%236M-57.73%153M-59.48%141M-83.24%123M0.59%171M
Bonds payable 98.49%20.43B102.62%20.26B1.27%10.13B0.44%10.04B2.92%10.29B0.00%10B0.00%10B0.00%10B0.00%10B0.00%10B
Independence liabilities -------------------------8.72%199M-3.21%211M8.81%210M14.29%224M
Deferred tax liabilitise -27.03%81M-1.75%56M20.69%70M-65.87%57M552.94%111M-94.90%57M-92.76%58M-91.60%167M-98.48%17M-58.17%1.12B
Long-term deferred income -98.75%6M-2.89%470M-1.25%474M-1.45%477M-1.23%481M-1.22%484M-2.83%480M-2.62%484M-2.60%487M-2.78%490M
Other liabilitise 90.99%1.78B-40.64%1.44B103.26%1.99B79.83%2.14B-33.43%932M118.58%2.42B53.76%981M119.96%1.19B79.72%1.4B66.27%1.11B
Exceptional items of liabilities 15.15%1.22T13.16%1.15T--1.13T--1.1T--1.06T--1.01T----------------
Total liabilities 14.96%1.34T16.23%1.3T14.69%1.26T10.41%1.2T11.45%1.16T9.59%1.12T14.44%1.1T18.38%1.08T16.46%1.04T12.91%1.02T
Shareholders equity
Paid-in capital 0.00%3.12B0.00%3.12B0.00%3.12B0.00%3.12B0.00%3.12B0.00%3.12B0.00%3.12B0.00%3.12B0.00%3.12B0.00%3.12B
Capital reserve funds -0.06%23.98B-0.11%23.98B-0.10%23.98B-0.03%24B0.38%23.99B0.42%24.01B0.41%24B0.42%24.01B-0.04%23.9B0.02%23.91B
Surplus reserve funds 9.65%21.72B19.13%21.72B46.78%20.92B46.78%20.92B54.58%19.81B42.28%18.23B25.32%14.26B25.32%14.26B27.65%12.82B27.65%12.82B
Retained profit 0.68%97.07B19.78%92.12B83.28%94.55B84.13%94.99B79.62%96.41B46.97%76.91B-1.22%51.59B1.51%51.59B2.73%53.68B13.90%52.33B
Other composite income -85.64%-67.1B-37.59%-51.09B-2,642.54%-48.68B-1,790.12%-45.16B-7,985.68%-36.14B-597.44%-37.13B-126.43%-1.78B-72.81%2.67B-106.36%-447M-33.64%7.47B
Ordinary risk reserve funds 5.55%15.22B18.50%15.22B62.70%14.42B62.70%14.42B62.70%14.42B44.90%12.84B19.52%8.86B19.52%8.86B19.52%8.86B19.52%8.86B
Shareholders equity without minority interests -22.70%94B7.24%105.07B8.25%108.31B7.45%112.29B19.31%121.6B-9.70%97.98B-4.49%100.05B-1.84%104.5B-1.77%101.92B6.72%108.5B
Minority interests 18.18%26M19.05%25M21.05%23M21.05%23M22.22%22M23.53%21M18.75%19M26.67%19M28.57%18M30.77%17M
Total shareholder equity -22.69%94.03B7.24%105.09B8.26%108.34B7.45%112.31B19.31%121.62B-9.69%98B-4.49%100.07B-1.83%104.52B-1.77%101.94B6.72%108.51B
Total liabilities and equity 11.39%1.43T15.50%1.4T14.15%1.36T10.15%1.31T12.15%1.28T7.73%1.21T12.58%1.2T16.27%1.19T14.57%1.14T12.28%1.13T
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)
Audit Opinions --Unqualified opinion------Unqualified opinion------Unqualified opinion
Auditor --Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)------Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)------Ernst & Young (Special General Partnership)

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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