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00011 HANG SENG BANK

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  • 106.600
  • +0.600+0.57%
Pre-Opening Auction Apr 2 09:00 CST
200.65BMarket Cap10.92P/E (TTM)

HANG SENG BANK Key Stats

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YOY yoy
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(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
4.52%21.01B
3.16%11.31B
57.30%20.11B
71.35%10.96B
-22.00%12.78B
-37.88%6.4B
-15.60%16.39B
-3.02%10.3B
-32.62%19.41B
-33.19%10.62B
Profit adjustment
Interest (income) - adjustment
4.68%-30.78B
-1.92%-15.48B
-26.39%-32.3B
-796.83%-15.19B
-703.04%-25.55B
5.06%2.18B
-48.54%4.24B
-58.06%2.08B
0.29%8.23B
-9.38%4.95B
Interest expense - adjustment
----
----
----
----
----
18.07%-1.84B
55.49%-4.2B
61.73%-2.24B
14.61%-9.43B
-15.85%-5.86B
Dividend (income)- adjustment
18.18%-207M
62.50%-6M
-12.44%-253M
36.00%-16M
-27.84%-225M
-400.00%-25M
-12.10%-176M
16.67%-5M
-9.79%-157M
95.59%-6M
Investment loss (gain)
-1,866.67%-53M
-600.00%-14M
103.53%3M
95.24%-2M
58.74%-85M
71.62%-42M
-2,160.00%-206M
-640.00%-148M
145.45%10M
-1,900.00%-20M
Attributable subsidiary (profit) loss
79.79%-39M
51.92%-50M
-2,030.00%-193M
-397.14%-104M
113.89%10M
197.22%35M
-196.00%-72M
-141.38%-36M
144.64%75M
159.59%87M
Impairment and provisions:
-253.46%-1.35B
-58.76%544M
-87.30%881M
-28.43%1.32B
296.17%6.94B
22,937.50%1.84B
0.00%1.75B
-99.41%8M
72.68%1.75B
414.02%1.36B
-Other impairments and provisions
-253.46%-1.35B
-58.76%544M
-87.30%881M
-28.43%1.32B
296.17%6.94B
22,937.50%1.84B
0.00%1.75B
-99.41%8M
72.68%1.75B
414.02%1.36B
Revaluation surplus:
1,614.71%583M
13,800.00%139M
-68.52%34M
-98.31%1M
231.71%108M
251.28%59M
-112.89%-82M
-109.11%-39M
1,917.14%636M
328.88%428M
-Fair value of investment properties (increase)
1,614.71%583M
13,800.00%139M
-68.52%34M
-98.31%1M
231.71%108M
251.28%59M
-112.89%-82M
-109.11%-39M
1,917.14%636M
328.88%428M
Depreciation and amortization:
9.97%3.13B
9.48%1.52B
6.46%2.85B
4.58%1.39B
5.44%2.68B
7.34%1.33B
6.50%2.54B
5.98%1.24B
11.56%2.38B
12.83%1.17B
-Depreciation
9.97%3.13B
9.48%1.52B
6.46%2.85B
4.58%1.39B
5.44%2.68B
7.34%1.33B
6.50%2.54B
5.98%1.24B
11.56%2.38B
12.83%1.17B
Special items
147.31%4.14B
292.85%4.78B
-192.26%-8.75B
-127.82%-2.48B
198.05%9.49B
270.10%8.9B
123.86%3.18B
209.32%2.41B
-48.60%-13.34B
67.46%-2.2B
Operating profit before the change of operating capital
79.78%-3.56B
166.47%2.74B
-387.10%-17.62B
-121.84%-4.12B
-73.73%6.14B
38.99%18.84B
143.95%23.36B
28.77%13.56B
-51.60%9.58B
1.52%10.53B
Change of operating capital
Financial liabilities at fair value (increase)decrease
-935.06%-7B
-38.70%5.1B
-103.57%-676M
31.27%8.31B
468.54%18.91B
93.11%6.33B
-273.93%-5.13B
198.91%3.28B
176.15%2.95B
-72.07%1.1B
Derivative financial instruments (increase) decrease
-581.60%-6.2B
-158.14%-4.66B
261.61%1.29B
36.32%-1.81B
82.87%-797M
27.00%-2.84B
-230.82%-4.65B
-695.86%-3.89B
71,220.00%3.56B
3.49%652M
Special items for working capital changes
----
61.02%-6.06B
----
---15.55B
----
----
----
----
----
----
Bank deposits (increase) decrese
-137.43%-5.43B
-353.85%-8.61B
11,429.69%14.5B
-102.13%-1.9B
98.32%-128M
-110.14%-938M
-172.81%-7.61B
531.17%9.25B
4,829.41%10.45B
-78.67%1.47B
Loans and payments (increase) decrese
-40.68%41.93B
-75.47%9.18B
18.61%70.69B
201.04%37.42B
205.23%59.6B
117.64%12.43B
-491.54%-56.63B
-386.51%-70.45B
86.59%-9.57B
68.98%-14.48B
Financial assets at fair value (increase)decrease
-125.36%-8.72B
-154.60%-8.87B
-154.23%-3.87B
-136.62%-3.48B
167.11%7.13B
286.87%9.51B
-452.55%-10.63B
-227.68%-5.09B
66.25%-1.92B
237.13%3.99B
Special items of changes in operating assets
322.38%26.28B
-102.88%-394M
-29.70%-11.82B
226.02%13.68B
71.27%-9.11B
124.77%4.2B
-256.23%-31.71B
-509.30%-16.94B
168.97%20.29B
125.31%4.14B
Customer's deposits increase (decrese)
188.32%85.16B
116.75%16.72B
-600.38%-96.42B
-7,195.98%-99.81B
-7.11%19.27B
92.81%-1.37B
244.93%20.74B
-150.49%-19.03B
-87.74%6.01B
15.91%37.7B
Special items for changes in operating liabilities
94.12%-4.91B
96.00%-2.55B
-807.09%-83.52B
-549.11%-63.87B
-38.05%11.81B
-15.94%14.22B
-57.92%19.07B
25.89%16.92B
237.08%45.31B
3.95%13.44B
Cash  from business operations
192.23%117.55B
101.98%2.6B
-212.96%-127.45B
-317.12%-131.11B
312.12%112.83B
183.42%60.39B
-161.38%-53.19B
-223.69%-72.39B
902.14%86.66B
4,377.74%58.52B
Other taxs
-48.85%-3.17B
----
4.31%-2.13B
-7.79%-664M
0.09%-2.23B
23.57%-616M
64.12%-2.23B
80.78%-806M
-15,417.50%-6.21B
-20,870.00%-4.19B
Dividend received - operating
-16.19%207M
-200.00%-9M
7.86%247M
-114.29%-3M
28.65%229M
250.00%21M
13.38%178M
250.00%6M
7.53%157M
-102.90%-4M
Interest received - operating
3.98%51.83B
-6.15%26.86B
52.37%49.84B
--28.62B
--32.71B
----
----
----
----
----
Interest paid - operating
-22.35%-31.88B
-38.88%-16.35B
-251.42%-26.06B
---11.78B
---7.42B
----
----
----
----
----
Special items of business
14.39%24.12B
-2.03%12.3B
213.43%21.08B
157.39%12.55B
-145.27%-18.59B
-193.70%-21.87B
1,885.49%41.06B
2,364.21%23.34B
-88.69%2.07B
-106.38%-1.03B
Net cash from operations
287.83%158.65B
124.80%25.39B
-171.86%-84.46B
-370.01%-102.38B
928.97%117.54B
176.07%37.92B
-117.15%-14.18B
-193.52%-49.84B
205.74%82.67B
202.88%53.3B
Cash flow from investment activities
Loan receivable (increase) decrease
-30.00%7M
----
--10M
--2M
----
----
0.00%2M
----
0.00%2M
----
Purchase of fixed assets
0.11%-1.75B
-5.43%-757M
7.26%-1.75B
15.33%-718M
12.07%-1.89B
0.70%-848M
-1.71%-2.15B
10.67%-854M
-21.68%-2.11B
-37.36%-956M
Recovery of cash from investments
-8.02%759.46B
-20.35%383.98B
9.97%825.72B
49.47%482.09B
11.58%750.86B
-17.34%322.53B
2.28%672.93B
32.15%390.2B
9.42%657.9B
-5.97%295.28B
Cash on investment
-7.42%-841.53B
1.75%-399.17B
3.99%-783.42B
-8.63%-406.29B
-25.82%-815.94B
-3.47%-374.02B
9.25%-648.48B
-5.95%-361.48B
-11.37%-714.55B
3.55%-341.17B
Other items in the investment business
----
----
----
----
----
----
-62.58%2.27B
-37.95%1.81B
194.56%6.06B
173.92%2.92B
Net cash from investment operations
-306.66%-83.81B
-121.24%-15.95B
160.56%40.56B
243.46%75.09B
-372.54%-66.97B
-276.35%-52.34B
146.63%24.57B
167.56%29.68B
-31.74%-52.7B
-11.65%-43.93B
Net cash before financing
270.45%74.84B
134.59%9.44B
-186.83%-43.91B
-89.29%-27.3B
386.46%50.57B
28.48%-14.42B
-65.31%10.4B
-315.30%-20.17B
331.15%29.97B
143.06%9.37B
Cash flow from financing activities
Issuance of bonds
----
----
----
----
-40.00%3B
--3B
--5B
----
----
----
Interest paid - financing
-0.77%-2.23B
-1.30%-1.17B
-78.92%-2.22B
-131.40%-1.16B
-34.57%-1.24B
-6.61%-500M
19.09%-920M
25.79%-469M
-23.99%-1.14B
-137.59%-632M
Dividends paid - financing
-25.65%-13.62B
-39.83%-8.68B
-32.77%-10.84B
-22.66%-6.21B
33.97%-8.17B
34.57%-5.06B
8.46%-12.37B
22.86%-7.74B
11.46%-13.51B
-2.42%-10.03B
Issuance expenses and redemption of securities expenses
---3.01B
---1.95B
----
----
----
----
----
----
----
----
Net cash from financing operations
-44.45%-18.86B
-60.26%-11.81B
-103.90%-13.06B
-187.51%-7.37B
22.72%-6.4B
68.78%-2.56B
43.43%-8.29B
23.04%-8.21B
-282.90%-14.65B
-175.44%-10.66B
Effect of rate
-293.72%-2.59B
-568.89%-1.48B
153.91%1.34B
115.30%315M
-319.63%-2.48B
-464.11%-2.06B
-137.19%-591M
71.46%-365M
496.26%1.59B
-1,341.75%-1.28B
Net Cash
198.27%55.98B
93.19%-2.36B
-228.98%-56.96B
-104.10%-34.67B
1,993.08%44.16B
40.13%-16.98B
-86.23%2.11B
-2,090.73%-28.37B
409.08%15.32B
83.01%-1.3B
Begining period cash
-36.40%97.19B
-36.40%97.19B
37.51%152.82B
37.51%152.82B
1.39%111.13B
1.39%111.13B
18.24%109.62B
18.24%109.62B
-5.46%92.7B
-5.46%92.7B
Cash at the end
54.93%150.58B
-21.20%93.35B
-36.40%97.19B
28.64%118.47B
37.51%152.82B
13.86%92.09B
1.39%111.13B
-10.26%80.88B
18.24%109.62B
-0.46%90.13B
Cash balance analysis
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
(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 4.52%21.01B3.16%11.31B57.30%20.11B71.35%10.96B-22.00%12.78B-37.88%6.4B-15.60%16.39B-3.02%10.3B-32.62%19.41B-33.19%10.62B
Profit adjustment
Interest (income) - adjustment 4.68%-30.78B-1.92%-15.48B-26.39%-32.3B-796.83%-15.19B-703.04%-25.55B5.06%2.18B-48.54%4.24B-58.06%2.08B0.29%8.23B-9.38%4.95B
Interest expense - adjustment --------------------18.07%-1.84B55.49%-4.2B61.73%-2.24B14.61%-9.43B-15.85%-5.86B
Dividend (income)- adjustment 18.18%-207M62.50%-6M-12.44%-253M36.00%-16M-27.84%-225M-400.00%-25M-12.10%-176M16.67%-5M-9.79%-157M95.59%-6M
Investment loss (gain) -1,866.67%-53M-600.00%-14M103.53%3M95.24%-2M58.74%-85M71.62%-42M-2,160.00%-206M-640.00%-148M145.45%10M-1,900.00%-20M
Attributable subsidiary (profit) loss 79.79%-39M51.92%-50M-2,030.00%-193M-397.14%-104M113.89%10M197.22%35M-196.00%-72M-141.38%-36M144.64%75M159.59%87M
Impairment and provisions: -253.46%-1.35B-58.76%544M-87.30%881M-28.43%1.32B296.17%6.94B22,937.50%1.84B0.00%1.75B-99.41%8M72.68%1.75B414.02%1.36B
-Other impairments and provisions -253.46%-1.35B-58.76%544M-87.30%881M-28.43%1.32B296.17%6.94B22,937.50%1.84B0.00%1.75B-99.41%8M72.68%1.75B414.02%1.36B
Revaluation surplus: 1,614.71%583M13,800.00%139M-68.52%34M-98.31%1M231.71%108M251.28%59M-112.89%-82M-109.11%-39M1,917.14%636M328.88%428M
-Fair value of investment properties (increase) 1,614.71%583M13,800.00%139M-68.52%34M-98.31%1M231.71%108M251.28%59M-112.89%-82M-109.11%-39M1,917.14%636M328.88%428M
Depreciation and amortization: 9.97%3.13B9.48%1.52B6.46%2.85B4.58%1.39B5.44%2.68B7.34%1.33B6.50%2.54B5.98%1.24B11.56%2.38B12.83%1.17B
-Depreciation 9.97%3.13B9.48%1.52B6.46%2.85B4.58%1.39B5.44%2.68B7.34%1.33B6.50%2.54B5.98%1.24B11.56%2.38B12.83%1.17B
Special items 147.31%4.14B292.85%4.78B-192.26%-8.75B-127.82%-2.48B198.05%9.49B270.10%8.9B123.86%3.18B209.32%2.41B-48.60%-13.34B67.46%-2.2B
Operating profit before the change of operating capital 79.78%-3.56B166.47%2.74B-387.10%-17.62B-121.84%-4.12B-73.73%6.14B38.99%18.84B143.95%23.36B28.77%13.56B-51.60%9.58B1.52%10.53B
Change of operating capital
Financial liabilities at fair value (increase)decrease -935.06%-7B-38.70%5.1B-103.57%-676M31.27%8.31B468.54%18.91B93.11%6.33B-273.93%-5.13B198.91%3.28B176.15%2.95B-72.07%1.1B
Derivative financial instruments (increase) decrease -581.60%-6.2B-158.14%-4.66B261.61%1.29B36.32%-1.81B82.87%-797M27.00%-2.84B-230.82%-4.65B-695.86%-3.89B71,220.00%3.56B3.49%652M
Special items for working capital changes ----61.02%-6.06B-------15.55B------------------------
Bank deposits (increase) decrese -137.43%-5.43B-353.85%-8.61B11,429.69%14.5B-102.13%-1.9B98.32%-128M-110.14%-938M-172.81%-7.61B531.17%9.25B4,829.41%10.45B-78.67%1.47B
Loans and payments (increase) decrese -40.68%41.93B-75.47%9.18B18.61%70.69B201.04%37.42B205.23%59.6B117.64%12.43B-491.54%-56.63B-386.51%-70.45B86.59%-9.57B68.98%-14.48B
Financial assets at fair value (increase)decrease -125.36%-8.72B-154.60%-8.87B-154.23%-3.87B-136.62%-3.48B167.11%7.13B286.87%9.51B-452.55%-10.63B-227.68%-5.09B66.25%-1.92B237.13%3.99B
Special items of changes in operating assets 322.38%26.28B-102.88%-394M-29.70%-11.82B226.02%13.68B71.27%-9.11B124.77%4.2B-256.23%-31.71B-509.30%-16.94B168.97%20.29B125.31%4.14B
Customer's deposits increase (decrese) 188.32%85.16B116.75%16.72B-600.38%-96.42B-7,195.98%-99.81B-7.11%19.27B92.81%-1.37B244.93%20.74B-150.49%-19.03B-87.74%6.01B15.91%37.7B
Special items for changes in operating liabilities 94.12%-4.91B96.00%-2.55B-807.09%-83.52B-549.11%-63.87B-38.05%11.81B-15.94%14.22B-57.92%19.07B25.89%16.92B237.08%45.31B3.95%13.44B
Cash  from business operations 192.23%117.55B101.98%2.6B-212.96%-127.45B-317.12%-131.11B312.12%112.83B183.42%60.39B-161.38%-53.19B-223.69%-72.39B902.14%86.66B4,377.74%58.52B
Other taxs -48.85%-3.17B----4.31%-2.13B-7.79%-664M0.09%-2.23B23.57%-616M64.12%-2.23B80.78%-806M-15,417.50%-6.21B-20,870.00%-4.19B
Dividend received - operating -16.19%207M-200.00%-9M7.86%247M-114.29%-3M28.65%229M250.00%21M13.38%178M250.00%6M7.53%157M-102.90%-4M
Interest received - operating 3.98%51.83B-6.15%26.86B52.37%49.84B--28.62B--32.71B--------------------
Interest paid - operating -22.35%-31.88B-38.88%-16.35B-251.42%-26.06B---11.78B---7.42B--------------------
Special items of business 14.39%24.12B-2.03%12.3B213.43%21.08B157.39%12.55B-145.27%-18.59B-193.70%-21.87B1,885.49%41.06B2,364.21%23.34B-88.69%2.07B-106.38%-1.03B
Net cash from operations 287.83%158.65B124.80%25.39B-171.86%-84.46B-370.01%-102.38B928.97%117.54B176.07%37.92B-117.15%-14.18B-193.52%-49.84B205.74%82.67B202.88%53.3B
Cash flow from investment activities
Loan receivable (increase) decrease -30.00%7M------10M--2M--------0.00%2M----0.00%2M----
Purchase of fixed assets 0.11%-1.75B-5.43%-757M7.26%-1.75B15.33%-718M12.07%-1.89B0.70%-848M-1.71%-2.15B10.67%-854M-21.68%-2.11B-37.36%-956M
Recovery of cash from investments -8.02%759.46B-20.35%383.98B9.97%825.72B49.47%482.09B11.58%750.86B-17.34%322.53B2.28%672.93B32.15%390.2B9.42%657.9B-5.97%295.28B
Cash on investment -7.42%-841.53B1.75%-399.17B3.99%-783.42B-8.63%-406.29B-25.82%-815.94B-3.47%-374.02B9.25%-648.48B-5.95%-361.48B-11.37%-714.55B3.55%-341.17B
Other items in the investment business -------------------------62.58%2.27B-37.95%1.81B194.56%6.06B173.92%2.92B
Net cash from investment operations -306.66%-83.81B-121.24%-15.95B160.56%40.56B243.46%75.09B-372.54%-66.97B-276.35%-52.34B146.63%24.57B167.56%29.68B-31.74%-52.7B-11.65%-43.93B
Net cash before financing 270.45%74.84B134.59%9.44B-186.83%-43.91B-89.29%-27.3B386.46%50.57B28.48%-14.42B-65.31%10.4B-315.30%-20.17B331.15%29.97B143.06%9.37B
Cash flow from financing activities
Issuance of bonds -----------------40.00%3B--3B--5B------------
Interest paid - financing -0.77%-2.23B-1.30%-1.17B-78.92%-2.22B-131.40%-1.16B-34.57%-1.24B-6.61%-500M19.09%-920M25.79%-469M-23.99%-1.14B-137.59%-632M
Dividends paid - financing -25.65%-13.62B-39.83%-8.68B-32.77%-10.84B-22.66%-6.21B33.97%-8.17B34.57%-5.06B8.46%-12.37B22.86%-7.74B11.46%-13.51B-2.42%-10.03B
Issuance expenses and redemption of securities expenses ---3.01B---1.95B--------------------------------
Net cash from financing operations -44.45%-18.86B-60.26%-11.81B-103.90%-13.06B-187.51%-7.37B22.72%-6.4B68.78%-2.56B43.43%-8.29B23.04%-8.21B-282.90%-14.65B-175.44%-10.66B
Effect of rate -293.72%-2.59B-568.89%-1.48B153.91%1.34B115.30%315M-319.63%-2.48B-464.11%-2.06B-137.19%-591M71.46%-365M496.26%1.59B-1,341.75%-1.28B
Net Cash 198.27%55.98B93.19%-2.36B-228.98%-56.96B-104.10%-34.67B1,993.08%44.16B40.13%-16.98B-86.23%2.11B-2,090.73%-28.37B409.08%15.32B83.01%-1.3B
Begining period cash -36.40%97.19B-36.40%97.19B37.51%152.82B37.51%152.82B1.39%111.13B1.39%111.13B18.24%109.62B18.24%109.62B-5.46%92.7B-5.46%92.7B
Cash at the end 54.93%150.58B-21.20%93.35B-36.40%97.19B28.64%118.47B37.51%152.82B13.86%92.09B1.39%111.13B-10.26%80.88B18.24%109.62B-0.46%90.13B
Cash balance analysis
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--

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.

Market Insights

HK Dividend Stocks HK Dividend Stocks

Dividend stocks are stocks of companies in the HK stock market that regularly distribute dividends to shareholders, generally representing stable businesses. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK dividend stocks, ranked from highest to lowest based on real-time market data. Dividend stocks are stocks of companies in the HK stock market that regularly distribute dividends to shareholders, generally representing stable businesses. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK dividend stocks, ranked from highest to lowest based on real-time market data.

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