US Stock MarketDetailed Quotes

PNGAY PING AN INSURANCE

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  • 8.520
  • +0.110+1.31%
Close Mar 28 16:00 ET
  • 8.520
  • 0.0000.00%
Post 16:08 ET
77.58BMarket Cap6.38P/E (TTM)

PING AN INSURANCE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-18.95%109.27B
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10.69%134.82B
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Deferred tax
65.93%-6.86B
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---20.13B
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Other non cash items
6.76%26.37B
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-17.64%24.7B
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Change in working capital
-20.73%281.41B
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258.08%355.01B
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-Change in receivables
61.08%-180.6B
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13.40%-464.01B
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Cash from discontinued operating activities
Operating cash flow
-24.41%360.4B
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429.07%476.78B
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Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
37.91%-108.11B
-189.31%-70.05B
51.34%2.71B
86.73%-14.06B
82.01%-26.7B
-471.08%-174.13B
418.36%78.44B
-93.96%1.79B
-307.61%-105.95B
-1,532.08%-148.41B
Net PPE purchase and sale
18.80%-6.74B
29.59%-2.16B
23.71%-1.94B
13.15%-1.37B
-14.06%-1.27B
27.84%-8.3B
-2.51%-3.07B
-21.38%-2.54B
-0.64%-1.57B
76.99%-1.12B
Net business purchase and sale
100.18%65M
99.98%-7M
--67M
1,500.00%16M
-104.53%-11M
-862.39%-37.11B
-3,268.53%-37.36B
--0
-99.97%1M
-12.90%243M
Net other investing changes
185.06%10.78B
2,404.96%3.53B
203.35%1.73B
32.29%5.11B
-71.81%409M
-5.50%3.78B
-81.88%141M
-181.03%-1.67B
696.91%3.87B
115.28%1.45B
Cash from discontinued investing activities
Investing cash flow
51.80%-104B
-280.05%-68.69B
205.52%2.56B
90.06%-10.3B
81.35%-27.58B
-872.42%-215.76B
232.36%38.15B
-109.16%-2.43B
-312.15%-103.65B
-693.28%-147.83B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
87.80%-30.12B
346.33%95.02B
-841.18%-104.42B
121.26%25.61B
39.69%-46.32B
-314.82%-246.95B
-1,597.05%-38.57B
-45.11%-11.1B
-223.11%-120.47B
-384.30%-76.8B
Cash dividends paid
6.31%-66.83B
8.47%-22.07B
-188.26%-14.78B
33.16%-23.81B
4.56%-6.17B
18.35%-71.33B
6.29%-24.11B
58.86%-5.13B
7.73%-35.63B
38.73%-6.47B
Net other financing charges
-226.61%-118.85B
67.13%-16.44B
-138.18%-53.78B
-104.69%-4.05B
-155.55%-44.58B
159.21%93.87B
-23.82%-50.01B
16.06%-22.58B
276.29%86.2B
289.51%80.26B
Cash from discontinued financing activities
Financing cash flow
3.82%-222.06B
148.26%55.25B
-324.77%-173.15B
92.80%-5.07B
-1,811.83%-99.09B
-69.25%-230.87B
-64.47%-114.49B
13.67%-40.76B
-918.42%-70.44B
81.61%-5.18B
Net cash flow
Beginning cash position
9.55%444.2B
17.44%448.64B
19.12%469.32B
7.01%526.58B
9.55%444.2B
-4.54%405.48B
-17.37%382.01B
-12.88%393.98B
11.14%492.07B
-4.54%405.48B
Current changes in cash
13.94%34.35B
-44.37%34.32B
-22.79%-20.23B
38.60%-63.06B
-4.91%83.32B
264.15%30.14B
206.29%61.7B
-272.09%-16.48B
-951.55%-102.7B
385.49%87.62B
Effect of exchange rate changes
-77.58%1.92B
-599.00%-2.49B
-109.80%-442M
25.92%5.8B
8.83%-940M
363.19%8.58B
143.24%499M
736.55%4.51B
277.45%4.6B
-1,921.57%-1.03B
End cash position
8.17%480.47B
8.17%480.47B
17.44%448.64B
19.12%469.32B
7.01%526.58B
10.19%444.2B
10.19%444.2B
-17.37%382.01B
-12.88%393.98B
11.14%492.07B
Free cash flow
-24.64%352.59B
-66.32%45.36B
515.54%147.82B
-170.44%-49.16B
-12.88%208.57B
500.42%467.91B
261.40%134.7B
-14.10%24.01B
247.54%69.78B
299.04%239.41B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -18.95%109.27B----------------10.69%134.82B----------------
Deferred tax 65.93%-6.86B-------------------20.13B----------------
Other non cash items 6.76%26.37B-----------------17.64%24.7B----------------
Change in working capital -20.73%281.41B----------------258.08%355.01B----------------
-Change in receivables 61.08%-180.6B----------------13.40%-464.01B----------------
Cash from discontinued operating activities
Operating cash flow -24.41%360.4B----------------429.07%476.78B----------------
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale 37.91%-108.11B-189.31%-70.05B51.34%2.71B86.73%-14.06B82.01%-26.7B-471.08%-174.13B418.36%78.44B-93.96%1.79B-307.61%-105.95B-1,532.08%-148.41B
Net PPE purchase and sale 18.80%-6.74B29.59%-2.16B23.71%-1.94B13.15%-1.37B-14.06%-1.27B27.84%-8.3B-2.51%-3.07B-21.38%-2.54B-0.64%-1.57B76.99%-1.12B
Net business purchase and sale 100.18%65M99.98%-7M--67M1,500.00%16M-104.53%-11M-862.39%-37.11B-3,268.53%-37.36B--0-99.97%1M-12.90%243M
Net other investing changes 185.06%10.78B2,404.96%3.53B203.35%1.73B32.29%5.11B-71.81%409M-5.50%3.78B-81.88%141M-181.03%-1.67B696.91%3.87B115.28%1.45B
Cash from discontinued investing activities
Investing cash flow 51.80%-104B-280.05%-68.69B205.52%2.56B90.06%-10.3B81.35%-27.58B-872.42%-215.76B232.36%38.15B-109.16%-2.43B-312.15%-103.65B-693.28%-147.83B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 87.80%-30.12B346.33%95.02B-841.18%-104.42B121.26%25.61B39.69%-46.32B-314.82%-246.95B-1,597.05%-38.57B-45.11%-11.1B-223.11%-120.47B-384.30%-76.8B
Cash dividends paid 6.31%-66.83B8.47%-22.07B-188.26%-14.78B33.16%-23.81B4.56%-6.17B18.35%-71.33B6.29%-24.11B58.86%-5.13B7.73%-35.63B38.73%-6.47B
Net other financing charges -226.61%-118.85B67.13%-16.44B-138.18%-53.78B-104.69%-4.05B-155.55%-44.58B159.21%93.87B-23.82%-50.01B16.06%-22.58B276.29%86.2B289.51%80.26B
Cash from discontinued financing activities
Financing cash flow 3.82%-222.06B148.26%55.25B-324.77%-173.15B92.80%-5.07B-1,811.83%-99.09B-69.25%-230.87B-64.47%-114.49B13.67%-40.76B-918.42%-70.44B81.61%-5.18B
Net cash flow
Beginning cash position 9.55%444.2B17.44%448.64B19.12%469.32B7.01%526.58B9.55%444.2B-4.54%405.48B-17.37%382.01B-12.88%393.98B11.14%492.07B-4.54%405.48B
Current changes in cash 13.94%34.35B-44.37%34.32B-22.79%-20.23B38.60%-63.06B-4.91%83.32B264.15%30.14B206.29%61.7B-272.09%-16.48B-951.55%-102.7B385.49%87.62B
Effect of exchange rate changes -77.58%1.92B-599.00%-2.49B-109.80%-442M25.92%5.8B8.83%-940M363.19%8.58B143.24%499M736.55%4.51B277.45%4.6B-1,921.57%-1.03B
End cash position 8.17%480.47B8.17%480.47B17.44%448.64B19.12%469.32B7.01%526.58B10.19%444.2B10.19%444.2B-17.37%382.01B-12.88%393.98B11.14%492.07B
Free cash flow -24.64%352.59B-66.32%45.36B515.54%147.82B-170.44%-49.16B-12.88%208.57B500.42%467.91B261.40%134.7B-14.10%24.01B247.54%69.78B299.04%239.41B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY

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