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00005 HSBC HOLDINGS

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  • 88.250
  • +1.150+1.32%
Trading Feb 26 11:25 CST
1.57TMarket Cap8.84P/E (TTM)

HSBC HOLDINGS Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax
6.46%32.31B
-0.47%21.56B
77.91%30.35B
146.66%21.66B
-9.77%17.06B
-19.00%8.78B
115.40%18.91B
151.02%10.84B
-34.24%8.78B
-65.20%4.32B
Profit adjustment
Investment loss (gain)
----
17.07%-34M
----
-123.70%-41M
101.70%11M
135.67%173M
-19.59%-647M
-19.75%-485M
-35.59%-541M
-15.06%-405M
Attributable subsidiary (profit) loss
-3.74%-2.91B
-2.72%-1.63B
-3.08%-2.81B
-9.25%-1.58B
10.60%-2.72B
12.50%-1.45B
-90.73%-3.05B
-72.86%-1.66B
32.16%-1.6B
27.64%-958M
Impairment and provisions:
-43.10%3.97B
-25.95%1.21B
53.95%6.98B
12.96%1.63B
733.82%4.54B
888.52%1.44B
-94.70%544M
-102.56%-183M
88.78%10.26B
203.18%7.15B
-Other impairments and provisions
-43.10%3.97B
-25.95%1.21B
53.95%6.98B
12.96%1.63B
733.82%4.54B
888.52%1.44B
-94.70%544M
-102.56%-183M
88.78%10.26B
203.18%7.15B
Depreciation and amortization:
17.71%4.08B
23.76%1.97B
-9.97%3.47B
-16.00%1.59B
-10.17%3.85B
5.11%1.89B
-18.22%4.29B
-41.78%1.8B
-50.18%5.24B
103.35%3.1B
-Depreciation
17.71%4.08B
23.76%1.97B
-9.97%3.47B
-16.00%1.59B
-10.17%3.85B
5.11%1.89B
-18.22%4.29B
-41.78%1.8B
-50.18%5.24B
103.35%3.1B
Exchange Loss (gain)
350.37%26.73B
----
-121.92%-10.68B
----
157.26%48.72B
----
173.54%18.94B
----
-588.11%-25.75B
----
Special items
34.30%-2.88B
-42.19%-7.16B
-300.87%-4.38B
-2,779.26%-5.04B
123.13%2.18B
-59.04%188M
306.55%977M
187.76%459M
74.00%-473M
53.01%-523M
Operating profit before the change of operating capital
167.33%61.31B
-12.66%15.91B
-68.85%22.93B
65.17%18.22B
84.27%73.63B
2.35%11.03B
1,078.86%39.96B
-15.01%10.78B
-120.35%-4.08B
0.06%12.68B
Change of operating capital
Special items for working capital changes
72.76%18.02B
----
--10.43B
----
----
----
----
----
----
----
Loans and payments (increase) decrese
151.43%7.28B
----
-144.69%-14.15B
----
387.35%31.65B
----
22.06%-11.01B
----
73.71%-14.13B
----
Financial assets at fair value (increase)decrease
-106.74%-20.66B
----
-170.56%-9.99B
----
432.96%14.16B
----
-116.82%-4.25B
----
14.99%-1.96B
----
Financial liabilities at fair value increase (decrese)
-122.26%-2.25B
----
173.95%10.1B
----
-19.51%-13.65B
----
-72.32%-11.43B
----
-133.04%-6.63B
----
Cash  from business operations
229.62%63.7B
-12.66%15.91B
-81.73%19.32B
65.17%18.22B
697.56%105.79B
2.35%11.03B
149.48%13.26B
-15.01%10.78B
-68.14%-26.81B
0.06%12.68B
Other taxs
-60.58%-6.61B
-60.10%-2.66B
-48.31%-4.12B
-31.65%-1.66B
9.78%-2.78B
-26.78%-1.26B
27.75%-3.08B
57.99%-997M
-87.87%-4.26B
-76.17%-2.37B
Dividend received - operating
-0.47%1.06B
4.84%130M
13.03%1.07B
106.67%124M
16.83%944M
500.00%60M
6.18%808M
-91.67%10M
20.22%761M
-29.41%120M
Special items of business
-68.66%7.16B
-0.91%13.32B
126.99%22.84B
-58.98%13.45B
-190.66%-84.6B
-34.54%32.78B
-56.09%93.32B
-66.47%50.07B
349.13%212.52B
1,128.38%149.36B
Net cash from operations
66.97%65.31B
-11.37%26.7B
102.07%39.11B
-29.30%30.12B
-81.45%19.36B
-28.83%42.61B
-42.75%104.31B
-62.54%59.86B
512.65%182.22B
575.54%159.79B
Cash flow from investment activities
Purchase of fixed assets
-17.38%-1.34B
-41.03%-464M
10.83%-1.15B
44.14%-329M
-18.23%-1.28B
-57.07%-589M
24.90%-1.09B
16.11%-375M
-7.67%-1.45B
15.98%-447M
Purchase of intangible assets
0.31%-2.54B
5.79%-1.06B
18.40%-2.55B
9.44%-1.12B
-26.06%-3.13B
-22.65%-1.24B
-20.11%-2.48B
-5.64%-1.01B
9.83%-2.06B
-0.63%-957M
Sale of subsidiaries
698.31%9.89B
695.74%9.89B
--1.24B
--1.24B
----
----
----
----
----
----
Acquisition of subsidiaries
-645.69%-12.62B
-70,646.67%-10.61B
-71.08%-1.69B
97.14%-15M
-833.02%-989M
-525.00%-525M
82.42%-106M
79.46%-84M
-626.51%-603M
-445.33%-409M
Recovery of cash from investments
-10.05%453.5B
-15.31%223.44B
2.34%504.17B
6.59%263.84B
-5.48%492.62B
-17.11%247.52B
9.27%521.19B
32.28%298.6B
15.44%476.99B
10.33%225.73B
Cash on investment
7.12%-523.45B
12.81%-260B
-10.26%-563.56B
-12.34%-298.18B
-3.66%-511.1B
-0.85%-265.43B
0.73%-493.04B
3.09%-263.2B
-11.38%-496.67B
-15.90%-271.59B
Other items in the investment business
----
----
117.65%623M
----
-215.40%-3.53B
-453.34%-3.76B
124.60%3.06B
--1.06B
21.82%1.36B
----
Net cash from investment operations
-21.70%-76.56B
-12.24%-38.8B
-129.60%-62.91B
-43.91%-34.57B
-199.51%-27.4B
-168.65%-24.02B
222.76%27.54B
173.41%34.99B
36.49%-22.43B
-52.36%-47.67B
Net cash before financing
52.70%-11.26B
-172.22%-12.1B
-195.81%-23.8B
-123.92%-4.45B
-106.10%-8.05B
-80.41%18.59B
-17.49%131.85B
-15.40%94.85B
2,966.19%159.79B
1,569.06%112.12B
Cash flow from financing activities
New borrowing
-16.73%4.36B
-4.85%2.61B
-28.26%5.24B
3.20%2.74B
--7.3B
--2.66B
----
----
----
----
Refund
6.85%-2B
-91.57%-2B
-20.82%-2.15B
-9,390.91%-1.04B
-105.67%-1.78B
98.71%-11M
75.58%-864M
44.60%-852M
15.96%-3.54B
62.83%-1.54B
Issuing shares
80.46%3.6B
-44.59%1.11B
--2B
--2B
----
----
33.33%2B
--2B
--1.5B
----
Dividends paid - financing
-40.21%-17.1B
-68.95%-12.69B
-74.98%-12.2B
-66.96%-7.51B
-9.20%-6.97B
-9.12%-4.5B
-215.52%-6.38B
-242.28%-4.12B
79.30%-2.02B
71.81%-1.2B
Issuance expenses and redemption of securities expenses
14.24%-3.43B
----
-76.65%-4B
-225.03%-2.35B
34.32%-2.27B
79.04%-723M
-766.83%-3.45B
-766.83%-3.45B
---398M
---398M
Other items of the financing business
-84.47%-11.89B
-177.86%-5.82B
-150.49%-6.45B
15.48%-2.1B
-22.93%-2.57B
-248,100.00%-2.48B
-1,056.35%-2.09B
102.08%1M
78.93%-181M
-277.78%-48M
Net cash from financing operations
-50.69%-26.46B
-103.34%-16.79B
-179.32%-17.56B
-63.46%-8.26B
41.76%-6.29B
21.38%-5.05B
-132.48%-10.79B
-101.57%-6.43B
68.72%-4.64B
61.97%-3.19B
Effect of rate
-272.06%-18.28B
-252.45%-13.06B
127.93%10.62B
121.28%8.57B
-147.83%-38.03B
-735.26%-40.24B
-178.96%-15.35B
35.37%-4.82B
1,457.21%19.43B
-4,184.48%-7.46B
Net Cash
8.80%-37.72B
-127.44%-28.89B
-188.58%-41.36B
-193.87%-12.7B
-111.84%-14.33B
-84.70%13.53B
-21.97%121.05B
-18.82%88.43B
859.89%155.15B
780.22%108.93B
Begining period cash
-5.89%490.93B
-5.89%490.93B
-9.12%521.67B
-9.12%521.67B
22.57%574.03B
22.57%574.03B
59.43%468.32B
59.43%468.32B
-6.13%293.74B
-6.13%293.74B
Cash at the end
-11.41%434.94B
-13.25%448.98B
-5.89%490.93B
-5.44%517.53B
-9.12%521.67B
-0.84%547.32B
22.57%574.03B
39.65%551.93B
59.43%468.32B
33.19%395.22B
Cash balance analysis
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
PricewaterhouseCoopers LLP
--
PricewaterhouseCoopers LLP
--
PricewaterhouseCoopers LLP
--
PricewaterhouseCoopers LLP
--
PricewaterhouseCoopers LLP
--
(FY)Dec 31, 2024(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax 6.46%32.31B-0.47%21.56B77.91%30.35B146.66%21.66B-9.77%17.06B-19.00%8.78B115.40%18.91B151.02%10.84B-34.24%8.78B-65.20%4.32B
Profit adjustment
Investment loss (gain) ----17.07%-34M-----123.70%-41M101.70%11M135.67%173M-19.59%-647M-19.75%-485M-35.59%-541M-15.06%-405M
Attributable subsidiary (profit) loss -3.74%-2.91B-2.72%-1.63B-3.08%-2.81B-9.25%-1.58B10.60%-2.72B12.50%-1.45B-90.73%-3.05B-72.86%-1.66B32.16%-1.6B27.64%-958M
Impairment and provisions: -43.10%3.97B-25.95%1.21B53.95%6.98B12.96%1.63B733.82%4.54B888.52%1.44B-94.70%544M-102.56%-183M88.78%10.26B203.18%7.15B
-Other impairments and provisions -43.10%3.97B-25.95%1.21B53.95%6.98B12.96%1.63B733.82%4.54B888.52%1.44B-94.70%544M-102.56%-183M88.78%10.26B203.18%7.15B
Depreciation and amortization: 17.71%4.08B23.76%1.97B-9.97%3.47B-16.00%1.59B-10.17%3.85B5.11%1.89B-18.22%4.29B-41.78%1.8B-50.18%5.24B103.35%3.1B
-Depreciation 17.71%4.08B23.76%1.97B-9.97%3.47B-16.00%1.59B-10.17%3.85B5.11%1.89B-18.22%4.29B-41.78%1.8B-50.18%5.24B103.35%3.1B
Exchange Loss (gain) 350.37%26.73B-----121.92%-10.68B----157.26%48.72B----173.54%18.94B-----588.11%-25.75B----
Special items 34.30%-2.88B-42.19%-7.16B-300.87%-4.38B-2,779.26%-5.04B123.13%2.18B-59.04%188M306.55%977M187.76%459M74.00%-473M53.01%-523M
Operating profit before the change of operating capital 167.33%61.31B-12.66%15.91B-68.85%22.93B65.17%18.22B84.27%73.63B2.35%11.03B1,078.86%39.96B-15.01%10.78B-120.35%-4.08B0.06%12.68B
Change of operating capital
Special items for working capital changes 72.76%18.02B------10.43B----------------------------
Loans and payments (increase) decrese 151.43%7.28B-----144.69%-14.15B----387.35%31.65B----22.06%-11.01B----73.71%-14.13B----
Financial assets at fair value (increase)decrease -106.74%-20.66B-----170.56%-9.99B----432.96%14.16B-----116.82%-4.25B----14.99%-1.96B----
Financial liabilities at fair value increase (decrese) -122.26%-2.25B----173.95%10.1B-----19.51%-13.65B-----72.32%-11.43B-----133.04%-6.63B----
Cash  from business operations 229.62%63.7B-12.66%15.91B-81.73%19.32B65.17%18.22B697.56%105.79B2.35%11.03B149.48%13.26B-15.01%10.78B-68.14%-26.81B0.06%12.68B
Other taxs -60.58%-6.61B-60.10%-2.66B-48.31%-4.12B-31.65%-1.66B9.78%-2.78B-26.78%-1.26B27.75%-3.08B57.99%-997M-87.87%-4.26B-76.17%-2.37B
Dividend received - operating -0.47%1.06B4.84%130M13.03%1.07B106.67%124M16.83%944M500.00%60M6.18%808M-91.67%10M20.22%761M-29.41%120M
Special items of business -68.66%7.16B-0.91%13.32B126.99%22.84B-58.98%13.45B-190.66%-84.6B-34.54%32.78B-56.09%93.32B-66.47%50.07B349.13%212.52B1,128.38%149.36B
Net cash from operations 66.97%65.31B-11.37%26.7B102.07%39.11B-29.30%30.12B-81.45%19.36B-28.83%42.61B-42.75%104.31B-62.54%59.86B512.65%182.22B575.54%159.79B
Cash flow from investment activities
Purchase of fixed assets -17.38%-1.34B-41.03%-464M10.83%-1.15B44.14%-329M-18.23%-1.28B-57.07%-589M24.90%-1.09B16.11%-375M-7.67%-1.45B15.98%-447M
Purchase of intangible assets 0.31%-2.54B5.79%-1.06B18.40%-2.55B9.44%-1.12B-26.06%-3.13B-22.65%-1.24B-20.11%-2.48B-5.64%-1.01B9.83%-2.06B-0.63%-957M
Sale of subsidiaries 698.31%9.89B695.74%9.89B--1.24B--1.24B------------------------
Acquisition of subsidiaries -645.69%-12.62B-70,646.67%-10.61B-71.08%-1.69B97.14%-15M-833.02%-989M-525.00%-525M82.42%-106M79.46%-84M-626.51%-603M-445.33%-409M
Recovery of cash from investments -10.05%453.5B-15.31%223.44B2.34%504.17B6.59%263.84B-5.48%492.62B-17.11%247.52B9.27%521.19B32.28%298.6B15.44%476.99B10.33%225.73B
Cash on investment 7.12%-523.45B12.81%-260B-10.26%-563.56B-12.34%-298.18B-3.66%-511.1B-0.85%-265.43B0.73%-493.04B3.09%-263.2B-11.38%-496.67B-15.90%-271.59B
Other items in the investment business --------117.65%623M-----215.40%-3.53B-453.34%-3.76B124.60%3.06B--1.06B21.82%1.36B----
Net cash from investment operations -21.70%-76.56B-12.24%-38.8B-129.60%-62.91B-43.91%-34.57B-199.51%-27.4B-168.65%-24.02B222.76%27.54B173.41%34.99B36.49%-22.43B-52.36%-47.67B
Net cash before financing 52.70%-11.26B-172.22%-12.1B-195.81%-23.8B-123.92%-4.45B-106.10%-8.05B-80.41%18.59B-17.49%131.85B-15.40%94.85B2,966.19%159.79B1,569.06%112.12B
Cash flow from financing activities
New borrowing -16.73%4.36B-4.85%2.61B-28.26%5.24B3.20%2.74B--7.3B--2.66B----------------
Refund 6.85%-2B-91.57%-2B-20.82%-2.15B-9,390.91%-1.04B-105.67%-1.78B98.71%-11M75.58%-864M44.60%-852M15.96%-3.54B62.83%-1.54B
Issuing shares 80.46%3.6B-44.59%1.11B--2B--2B--------33.33%2B--2B--1.5B----
Dividends paid - financing -40.21%-17.1B-68.95%-12.69B-74.98%-12.2B-66.96%-7.51B-9.20%-6.97B-9.12%-4.5B-215.52%-6.38B-242.28%-4.12B79.30%-2.02B71.81%-1.2B
Issuance expenses and redemption of securities expenses 14.24%-3.43B-----76.65%-4B-225.03%-2.35B34.32%-2.27B79.04%-723M-766.83%-3.45B-766.83%-3.45B---398M---398M
Other items of the financing business -84.47%-11.89B-177.86%-5.82B-150.49%-6.45B15.48%-2.1B-22.93%-2.57B-248,100.00%-2.48B-1,056.35%-2.09B102.08%1M78.93%-181M-277.78%-48M
Net cash from financing operations -50.69%-26.46B-103.34%-16.79B-179.32%-17.56B-63.46%-8.26B41.76%-6.29B21.38%-5.05B-132.48%-10.79B-101.57%-6.43B68.72%-4.64B61.97%-3.19B
Effect of rate -272.06%-18.28B-252.45%-13.06B127.93%10.62B121.28%8.57B-147.83%-38.03B-735.26%-40.24B-178.96%-15.35B35.37%-4.82B1,457.21%19.43B-4,184.48%-7.46B
Net Cash 8.80%-37.72B-127.44%-28.89B-188.58%-41.36B-193.87%-12.7B-111.84%-14.33B-84.70%13.53B-21.97%121.05B-18.82%88.43B859.89%155.15B780.22%108.93B
Begining period cash -5.89%490.93B-5.89%490.93B-9.12%521.67B-9.12%521.67B22.57%574.03B22.57%574.03B59.43%468.32B59.43%468.32B-6.13%293.74B-6.13%293.74B
Cash at the end -11.41%434.94B-13.25%448.98B-5.89%490.93B-5.44%517.53B-9.12%521.67B-0.84%547.32B22.57%574.03B39.65%551.93B59.43%468.32B33.19%395.22B
Cash balance analysis
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor PricewaterhouseCoopers LLP--PricewaterhouseCoopers LLP--PricewaterhouseCoopers LLP--PricewaterhouseCoopers LLP--PricewaterhouseCoopers LLP--

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.