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01339 PICC GROUP

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  • 3.730
  • -0.170-4.36%
Not Open Dec 13 16:08 CST
164.96BMarket Cap3.90P/E (TTM)

PICC GROUP Key Stats

All
YOY yoy
Hide blank lines yoy
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(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
Assets
Fixed time deposit
54.01%129.3B
20.36%121.57B
-19.49%85.36B
-19.46%81.49B
-16.11%83.96B
5.33%101.01B
20.38%106.03B
7.25%101.18B
6.64%100.07B
6.65%95.9B
Cash and equivalents
0.86%20.09B
4.44%32.54B
18.63%20.24B
-28.98%28.84B
1.21%19.92B
-9.19%31.16B
-14.74%17.06B
22.01%40.6B
5.46%19.68B
-30.95%34.31B
Reinsurance assets
10.35%37.1B
2.63%32.75B
4.91%34.59B
5.17%39.26B
--33.62B
-36.62%31.91B
--32.97B
-7.29%37.33B
----
23.32%50.35B
Refundable deposit
25.42%16.89B
3.61%13.9B
3.78%13.8B
3.95%13.43B
3.66%13.47B
3.26%13.42B
2.32%13.3B
-0.55%12.92B
0.00%12.99B
0.00%12.99B
Insurance receivables
----
----
----
----
----
----
----
----
19.62%82.43B
----
Reinsurance receivables
----
----
----
----
----
----
----
----
9.46%23.44B
----
Insurance and other receivables
----
----
----
----
----
----
----
----
----
18.53%123.09B
Investment classified as loans and receivables
----
----
----
----
----
----
----
21.77%176.08B
----
2.05%156B
Financial assets at fair value through profit or loss
-6.84%343.97B
-10.13%331.73B
7.82%381.71B
--383.02B
634.73%369.25B
--369.1B
609.50%354.01B
----
4.57%50.26B
----
Available for sale financial assets
----
----
----
----
----
----
----
----
17.67%538.06B
----
Buying back the sale of financial assets
-28.80%5.73B
----
-31.37%10.52B
----
-7.09%8.05B
----
-10.59%15.33B
----
-44.96%8.66B
----
Investment in joint ventures and joint ventures
----
6.03%158.73B
----
7.13%156.67B
----
7.81%149.7B
----
7.87%146.23B
----
7.80%138.86B
Held to maturity investments
----
----
----
----
----
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----
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4.81%204.87B
----
Investment property
-4.00%15.44B
-3.42%15.45B
2.79%15.83B
4.68%15.79B
9.31%16.08B
11.30%16B
11.79%15.4B
13.08%15.09B
11.58%14.71B
9.07%14.38B
Property plant and equipment
----
-1.56%32.22B
----
-4.18%32.7B
----
1.89%32.73B
----
2.32%34.13B
----
-2.93%32.12B
Deferred tax assets
-18.84%15.01B
----
-20.99%13.47B
----
-0.18%18.49B
----
26.05%17.05B
----
62.73%18.53B
----
Protecting a pledge loan
----
----
----
----
----
----
----
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7.93%6.18B
----
Special items of assets
7.68%228.51B
12.54%45.23B
4.46%224.39B
-95.07%41.63B
-49.23%212.22B
-95.17%40.19B
-46.28%214.82B
5.21%844.84B
11.27%418.03B
17.44%832.11B
Total assets
12.93%1.7T
10.54%1.65T
8.60%1.57T
9.91%1.56T
0.42%1.51T
-0.35%1.49T
0.53%1.45T
2.86%1.42T
10.41%1.5T
11.61%1.5T
Liabilities
Deposit of the Insured
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----
----
----
----
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----
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16.86%51.01B
----
Insurance contract
13.62%1.09T
11.99%1.07T
13.08%1.03T
11.03%980.85B
--959.94B
6.97%951.71B
--907.99B
14.27%883.42B
----
13.58%889.66B
Investment contract
----
3.41%8.01B
----
4.67%7.99B
----
-83.56%7.74B
----
-82.76%7.63B
----
13.96%47.08B
Reinsurance premium payable
3.30%188M
----
-80.34%151M
----
-99.52%182M
----
-97.68%768M
----
21.09%37.92B
----
Insurance accounts payable
----
----
----
----
----
----
----
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-24.32%7.35B
----
Dividend for insured
----
----
----
----
----
----
----
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3.82%5.41B
9.30%6.24B
Advance payment
37.01%3.99B
----
61.18%3.84B
----
-81.33%2.91B
----
-83.78%2.38B
----
19.96%15.59B
----
Reserve for Outstanding Losses
----
----
----
----
----
----
----
----
20.34%221.5B
----
Selling repo securities
14.75%108.33B
----
33.69%73.52B
----
20.90%94.41B
----
-10.72%54.99B
----
38.99%78.08B
----
Financial liabilities measured at fair value through profit or loss
--8.25B
----
--7.96B
----
----
----
----
----
----
----
Deferred tax liabilities
22.43%453M
----
-90.50%190M
----
-57.23%370M
----
2,254.12%2B
----
-14.61%865M
----
Current income tax liabilities
-19.80%6.77B
----
-32.66%7.97B
----
-27.58%8.44B
----
24.95%11.83B
----
45.66%11.66B
----
Special items of liabilities
2.66%115.27B
12.34%228.06B
-16.33%114.85B
6.62%234.95B
-85.39%112.28B
-20.38%203.01B
-82.44%137.26B
-14.31%220.35B
7.55%768.65B
13.19%254.97B
Total liabilities
13.15%1.34T
12.00%1.3T
10.53%1.24T
10.11%1.22T
-1.63%1.18T
-2.96%1.16T
-2.78%1.12T
2.91%1.11T
12.20%1.2T
13.49%1.2T
Total assets less total liabilities
12.13%365.22B
5.39%348.02B
2.04%336.98B
9.19%332.9B
8.64%325.7B
10.11%330.22B
13.62%330.24B
2.69%304.89B
3.79%299.81B
4.70%299.91B
Equity
Share capital
0.00%44.22B
0.00%44.22B
0.00%44.22B
0.00%44.22B
0.00%44.22B
0.00%44.22B
0.00%44.22B
0.00%44.22B
0.00%44.22B
0.00%44.22B
Reserve
----
5.42%210.36B
----
10.59%198.98B
----
12.45%199.54B
----
2.80%179.93B
----
5.76%177.44B
Capital reserves
0.00%7.41B
----
-0.27%7.39B
----
-1.48%7.41B
----
-1.62%7.41B
----
-0.03%7.52B
----
Undistributed profit
19.18%183.74B
----
7.19%162.76B
----
13.91%154.18B
----
19.46%151.84B
----
12.31%135.35B
----
Special items of shareholders' equity
10.31%20.65B
----
10.33%20.58B
----
17.00%18.72B
----
16.61%18.65B
----
9.62%16B
----
Shareholders' equity
11.32%267.66B
4.44%254.58B
1.07%245.82B
8.50%243.21B
8.77%240.44B
9.97%243.76B
13.66%243.23B
2.23%224.15B
3.26%221.05B
4.56%221.66B
Minority interests
14.43%97.56B
8.07%93.44B
4.76%91.16B
11.09%89.7B
8.26%85.26B
10.49%86.46B
13.54%87.02B
4.00%80.74B
5.33%78.76B
5.11%78.25B
Total equity
12.13%365.22B
5.39%348.02B
2.04%336.98B
9.19%332.9B
8.64%325.7B
10.11%330.22B
13.62%330.24B
2.69%304.89B
3.79%299.81B
4.70%299.91B
Total equity and total liabilities
12.93%1.7T
10.54%1.65T
8.60%1.57T
9.91%1.56T
0.42%1.51T
-0.35%1.49T
0.53%1.45T
2.86%1.42T
10.41%1.5T
11.61%1.5T
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
Auditor
--
--
--
PricewaterhouseCoopers, PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)
--
--
--
PricewaterhouseCoopers, PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)
--
--
(Q9)Sep 30, 2024(Q6)Jun 30, 2024(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
Assets
Fixed time deposit 54.01%129.3B20.36%121.57B-19.49%85.36B-19.46%81.49B-16.11%83.96B5.33%101.01B20.38%106.03B7.25%101.18B6.64%100.07B6.65%95.9B
Cash and equivalents 0.86%20.09B4.44%32.54B18.63%20.24B-28.98%28.84B1.21%19.92B-9.19%31.16B-14.74%17.06B22.01%40.6B5.46%19.68B-30.95%34.31B
Reinsurance assets 10.35%37.1B2.63%32.75B4.91%34.59B5.17%39.26B--33.62B-36.62%31.91B--32.97B-7.29%37.33B----23.32%50.35B
Refundable deposit 25.42%16.89B3.61%13.9B3.78%13.8B3.95%13.43B3.66%13.47B3.26%13.42B2.32%13.3B-0.55%12.92B0.00%12.99B0.00%12.99B
Insurance receivables --------------------------------19.62%82.43B----
Reinsurance receivables --------------------------------9.46%23.44B----
Insurance and other receivables ------------------------------------18.53%123.09B
Investment classified as loans and receivables ----------------------------21.77%176.08B----2.05%156B
Financial assets at fair value through profit or loss -6.84%343.97B-10.13%331.73B7.82%381.71B--383.02B634.73%369.25B--369.1B609.50%354.01B----4.57%50.26B----
Available for sale financial assets --------------------------------17.67%538.06B----
Buying back the sale of financial assets -28.80%5.73B-----31.37%10.52B-----7.09%8.05B-----10.59%15.33B-----44.96%8.66B----
Investment in joint ventures and joint ventures ----6.03%158.73B----7.13%156.67B----7.81%149.7B----7.87%146.23B----7.80%138.86B
Held to maturity investments --------------------------------4.81%204.87B----
Investment property -4.00%15.44B-3.42%15.45B2.79%15.83B4.68%15.79B9.31%16.08B11.30%16B11.79%15.4B13.08%15.09B11.58%14.71B9.07%14.38B
Property plant and equipment -----1.56%32.22B-----4.18%32.7B----1.89%32.73B----2.32%34.13B-----2.93%32.12B
Deferred tax assets -18.84%15.01B-----20.99%13.47B-----0.18%18.49B----26.05%17.05B----62.73%18.53B----
Protecting a pledge loan --------------------------------7.93%6.18B----
Special items of assets 7.68%228.51B12.54%45.23B4.46%224.39B-95.07%41.63B-49.23%212.22B-95.17%40.19B-46.28%214.82B5.21%844.84B11.27%418.03B17.44%832.11B
Total assets 12.93%1.7T10.54%1.65T8.60%1.57T9.91%1.56T0.42%1.51T-0.35%1.49T0.53%1.45T2.86%1.42T10.41%1.5T11.61%1.5T
Liabilities
Deposit of the Insured --------------------------------16.86%51.01B----
Insurance contract 13.62%1.09T11.99%1.07T13.08%1.03T11.03%980.85B--959.94B6.97%951.71B--907.99B14.27%883.42B----13.58%889.66B
Investment contract ----3.41%8.01B----4.67%7.99B-----83.56%7.74B-----82.76%7.63B----13.96%47.08B
Reinsurance premium payable 3.30%188M-----80.34%151M-----99.52%182M-----97.68%768M----21.09%37.92B----
Insurance accounts payable ---------------------------------24.32%7.35B----
Dividend for insured --------------------------------3.82%5.41B9.30%6.24B
Advance payment 37.01%3.99B----61.18%3.84B-----81.33%2.91B-----83.78%2.38B----19.96%15.59B----
Reserve for Outstanding Losses --------------------------------20.34%221.5B----
Selling repo securities 14.75%108.33B----33.69%73.52B----20.90%94.41B-----10.72%54.99B----38.99%78.08B----
Financial liabilities measured at fair value through profit or loss --8.25B------7.96B----------------------------
Deferred tax liabilities 22.43%453M-----90.50%190M-----57.23%370M----2,254.12%2B-----14.61%865M----
Current income tax liabilities -19.80%6.77B-----32.66%7.97B-----27.58%8.44B----24.95%11.83B----45.66%11.66B----
Special items of liabilities 2.66%115.27B12.34%228.06B-16.33%114.85B6.62%234.95B-85.39%112.28B-20.38%203.01B-82.44%137.26B-14.31%220.35B7.55%768.65B13.19%254.97B
Total liabilities 13.15%1.34T12.00%1.3T10.53%1.24T10.11%1.22T-1.63%1.18T-2.96%1.16T-2.78%1.12T2.91%1.11T12.20%1.2T13.49%1.2T
Total assets less total liabilities 12.13%365.22B5.39%348.02B2.04%336.98B9.19%332.9B8.64%325.7B10.11%330.22B13.62%330.24B2.69%304.89B3.79%299.81B4.70%299.91B
Equity
Share capital 0.00%44.22B0.00%44.22B0.00%44.22B0.00%44.22B0.00%44.22B0.00%44.22B0.00%44.22B0.00%44.22B0.00%44.22B0.00%44.22B
Reserve ----5.42%210.36B----10.59%198.98B----12.45%199.54B----2.80%179.93B----5.76%177.44B
Capital reserves 0.00%7.41B-----0.27%7.39B-----1.48%7.41B-----1.62%7.41B-----0.03%7.52B----
Undistributed profit 19.18%183.74B----7.19%162.76B----13.91%154.18B----19.46%151.84B----12.31%135.35B----
Special items of shareholders' equity 10.31%20.65B----10.33%20.58B----17.00%18.72B----16.61%18.65B----9.62%16B----
Shareholders' equity 11.32%267.66B4.44%254.58B1.07%245.82B8.50%243.21B8.77%240.44B9.97%243.76B13.66%243.23B2.23%224.15B3.26%221.05B4.56%221.66B
Minority interests 14.43%97.56B8.07%93.44B4.76%91.16B11.09%89.7B8.26%85.26B10.49%86.46B13.54%87.02B4.00%80.74B5.33%78.76B5.11%78.25B
Total equity 12.13%365.22B5.39%348.02B2.04%336.98B9.19%332.9B8.64%325.7B10.11%330.22B13.62%330.24B2.69%304.89B3.79%299.81B4.70%299.91B
Total equity and total liabilities 12.93%1.7T10.54%1.65T8.60%1.57T9.91%1.56T0.42%1.51T-0.35%1.49T0.53%1.45T2.86%1.42T10.41%1.5T11.61%1.5T
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)IAS
Audit Opinions ------Unqualified Opinion------Unqualified Opinion----
Auditor ------PricewaterhouseCoopers, PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)------PricewaterhouseCoopers, PricewaterhouseCoopers Zhongtian Certified Public Accountants (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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