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01983 LUZHOU BANK

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  • 1.980
  • 0.0000.00%
Market Closed Dec 13 16:08 CST
5.38BMarket Cap4.36P/E (TTM)

LUZHOU BANK Key Stats

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YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2019
Assets
Cash and short-term funds
16.93%11.97B
-19.02%9.08B
-13.39%10.24B
7.27%11.21B
14.18%11.82B
-0.37%10.45B
15.51%10.35B
11.58%10.49B
3.36%8.96B
12.28%9.4B
Deposits between Banks and other financial institutions
--830.24M
-11.99%5.05B
----
-22.99%5.74B
----
50.18%7.45B
----
--4.96B
----
----
Loans and other receivables
12.09%95.3B
10.58%88.47B
9.20%85.02B
10.75%80B
15.11%77.86B
25.44%72.24B
31.29%67.64B
33.00%57.59B
31.98%51.52B
42.03%43.3B
Financial assets at fair value
-1.35%28.77B
34.15%28.45B
134.32%29.16B
113.97%21.21B
-5.00%12.45B
-39.87%9.91B
60.76%13.1B
786.12%16.48B
2,228.60%8.15B
1.03%1.86B
Buying back the sale of financial assets
----
----
----
----
94.85%4.54B
----
-71.82%2.33B
----
--8.27B
-56.97%3.28B
Derivative financial assets
----
----
----
----
----
----
----
----
--607K
----
Interest in associates
1.45%56.05M
4.71%54.94M
6.10%55.25M
7.26%52.47M
9.98%52.07M
8.30%48.92M
9.18%47.35M
10.89%45.18M
11.80%43.36M
11.15%40.74M
Fixed assets
14.03%1.01B
11.21%997.03M
6.74%889.94M
5.46%896.52M
1.90%833.76M
5.61%850.08M
10.40%818.2M
8.10%804.89M
14.20%741.14M
10.25%744.55M
Deferred tax assets
30.55%1.61B
32.87%1.45B
43.80%1.24B
40.50%1.09B
42.32%859.54M
23.82%777.63M
12.70%603.93M
62.52%628.04M
79.52%535.87M
106.79%386.44M
Other assets
-17.86%999.64M
-10.96%989.51M
37.57%1.22B
128.39%1.11B
170.96%884.61M
19.89%486.58M
13.21%326.47M
83.16%405.85M
-39.55%288.39M
-4.54%221.59M
Special items of assets
7.95%19.57B
-8.06%16.53B
-1.95%18.13B
-7.61%17.98B
-22.11%18.49B
0.42%19.46B
2.63%23.74B
-27.38%19.38B
-35.04%23.13B
-1.95%26.69B
Total assets
7.29%165.16B
6.06%157.64B
6.51%153.94B
10.50%148.63B
12.58%144.54B
13.14%134.51B
17.29%128.39B
29.67%118.89B
20.65%109.46B
11.06%91.68B
Liabilities
Borrowing from the central bank
28.12%6.05B
14.23%6.05B
-19.46%4.72B
48.89%5.3B
149.42%5.86B
50.01%3.56B
326.71%2.35B
338.52%2.37B
-37.14%550.49M
-37.48%540.76M
Interbank and other financial institutions deposits (liabilities)
-66.73%4.06B
-22.94%7.15B
178.42%12.2B
76.69%9.28B
7.73%4.38B
8.77%5.25B
-24.60%4.07B
22.30%4.83B
--5.4B
--3.95B
Customer deposits
12.79%130.26B
7.47%117.62B
8.57%115.48B
15.49%109.45B
18.26%106.36B
11.20%94.77B
16.96%89.94B
38.72%85.22B
26.43%76.9B
17.28%61.44B
Tax payable
-28.95%271.92M
12.86%527.88M
-7.37%382.7M
16.84%467.73M
155.27%413.17M
23.42%400.33M
-29.21%161.86M
69.46%324.37M
29.88%228.63M
41.31%191.41M
Bonds issued
30.84%11.96B
9.22%14.18B
-39.45%9.14B
-35.54%12.98B
-30.68%15.1B
21.35%20.14B
29.41%21.78B
-8.93%16.6B
-4.75%16.83B
32.06%18.23B
Derivative financial liability
----
----
----
----
----
----
----
----
--3.39M
----
Other accounts and preparations
34.28%1.15B
45.36%1.17B
3.71%854.14M
17.74%807.33M
31.32%823.59M
16.29%685.69M
-19.98%627.17M
31.97%589.65M
13.43%783.79M
39.26%446.81M
Total liabilities
7.49%153.81B
5.98%146.71B
6.59%143.09B
10.92%138.43B
12.88%134.24B
13.53%124.81B
18.11%118.93B
29.66%109.94B
19.88%100.69B
11.30%84.79B
Total assets less total liabilities
4.62%11.35B
7.17%10.93B
5.39%10.85B
5.09%10.2B
8.82%10.3B
8.42%9.7B
7.88%9.46B
29.89%8.95B
30.20%8.77B
8.21%6.89B
Equity
Share capital
0.00%2.72B
0.00%2.72B
0.00%2.72B
0.00%2.72B
20.00%2.72B
20.00%2.72B
0.00%2.26B
0.00%2.26B
0.00%2.26B
3.75%2.26B
Other equity instruments
0.00%1.7B
0.00%1.7B
0.00%1.7B
0.00%1.7B
0.00%1.7B
0.00%1.7B
0.00%1.7B
--1.7B
--1.7B
----
Capital reserves
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
-20.23%1.79B
-20.23%1.79B
0.00%2.24B
0.00%2.24B
0.00%2.24B
6.92%2.24B
Other reserve
8.54%2.88B
14.15%2.73B
3.13%2.65B
2.55%2.39B
17.66%2.57B
33.07%2.33B
33.17%2.19B
21.45%1.75B
19.97%1.64B
15.65%1.44B
Undistributed profit
13.77%2.27B
24.51%2B
31.17%2B
37.04%1.61B
41.69%1.52B
17.47%1.17B
15.79%1.07B
5.66%997.19M
7.44%927.84M
11.97%943.76M
Shareholders' equity
4.62%11.35B
7.17%10.93B
5.39%10.85B
5.09%10.2B
8.82%10.3B
8.42%9.7B
7.88%9.46B
29.89%8.95B
30.20%8.77B
8.21%6.89B
Total equity
4.62%11.35B
7.17%10.93B
5.39%10.85B
5.09%10.2B
8.82%10.3B
8.42%9.7B
7.88%9.46B
29.89%8.95B
30.20%8.77B
8.21%6.89B
Total equity and total liabilities
7.29%165.16B
6.06%157.64B
6.51%153.94B
10.50%148.63B
12.58%144.54B
13.14%134.51B
17.29%128.39B
29.67%118.89B
20.65%109.46B
11.06%91.68B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
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 Zhongtian Certified Public Accountants (Special General Partnership)
--
PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)
--
PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)
--
PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)
--
PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)
(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(FY)Dec 31, 2019
Assets
Cash and short-term funds 16.93%11.97B-19.02%9.08B-13.39%10.24B7.27%11.21B14.18%11.82B-0.37%10.45B15.51%10.35B11.58%10.49B3.36%8.96B12.28%9.4B
Deposits between Banks and other financial institutions --830.24M-11.99%5.05B-----22.99%5.74B----50.18%7.45B------4.96B--------
Loans and other receivables 12.09%95.3B10.58%88.47B9.20%85.02B10.75%80B15.11%77.86B25.44%72.24B31.29%67.64B33.00%57.59B31.98%51.52B42.03%43.3B
Financial assets at fair value -1.35%28.77B34.15%28.45B134.32%29.16B113.97%21.21B-5.00%12.45B-39.87%9.91B60.76%13.1B786.12%16.48B2,228.60%8.15B1.03%1.86B
Buying back the sale of financial assets ----------------94.85%4.54B-----71.82%2.33B------8.27B-56.97%3.28B
Derivative financial assets ----------------------------------607K----
Interest in associates 1.45%56.05M4.71%54.94M6.10%55.25M7.26%52.47M9.98%52.07M8.30%48.92M9.18%47.35M10.89%45.18M11.80%43.36M11.15%40.74M
Fixed assets 14.03%1.01B11.21%997.03M6.74%889.94M5.46%896.52M1.90%833.76M5.61%850.08M10.40%818.2M8.10%804.89M14.20%741.14M10.25%744.55M
Deferred tax assets 30.55%1.61B32.87%1.45B43.80%1.24B40.50%1.09B42.32%859.54M23.82%777.63M12.70%603.93M62.52%628.04M79.52%535.87M106.79%386.44M
Other assets -17.86%999.64M-10.96%989.51M37.57%1.22B128.39%1.11B170.96%884.61M19.89%486.58M13.21%326.47M83.16%405.85M-39.55%288.39M-4.54%221.59M
Special items of assets 7.95%19.57B-8.06%16.53B-1.95%18.13B-7.61%17.98B-22.11%18.49B0.42%19.46B2.63%23.74B-27.38%19.38B-35.04%23.13B-1.95%26.69B
Total assets 7.29%165.16B6.06%157.64B6.51%153.94B10.50%148.63B12.58%144.54B13.14%134.51B17.29%128.39B29.67%118.89B20.65%109.46B11.06%91.68B
Liabilities
Borrowing from the central bank 28.12%6.05B14.23%6.05B-19.46%4.72B48.89%5.3B149.42%5.86B50.01%3.56B326.71%2.35B338.52%2.37B-37.14%550.49M-37.48%540.76M
Interbank and other financial institutions deposits (liabilities) -66.73%4.06B-22.94%7.15B178.42%12.2B76.69%9.28B7.73%4.38B8.77%5.25B-24.60%4.07B22.30%4.83B--5.4B--3.95B
Customer deposits 12.79%130.26B7.47%117.62B8.57%115.48B15.49%109.45B18.26%106.36B11.20%94.77B16.96%89.94B38.72%85.22B26.43%76.9B17.28%61.44B
Tax payable -28.95%271.92M12.86%527.88M-7.37%382.7M16.84%467.73M155.27%413.17M23.42%400.33M-29.21%161.86M69.46%324.37M29.88%228.63M41.31%191.41M
Bonds issued 30.84%11.96B9.22%14.18B-39.45%9.14B-35.54%12.98B-30.68%15.1B21.35%20.14B29.41%21.78B-8.93%16.6B-4.75%16.83B32.06%18.23B
Derivative financial liability ----------------------------------3.39M----
Other accounts and preparations 34.28%1.15B45.36%1.17B3.71%854.14M17.74%807.33M31.32%823.59M16.29%685.69M-19.98%627.17M31.97%589.65M13.43%783.79M39.26%446.81M
Total liabilities 7.49%153.81B5.98%146.71B6.59%143.09B10.92%138.43B12.88%134.24B13.53%124.81B18.11%118.93B29.66%109.94B19.88%100.69B11.30%84.79B
Total assets less total liabilities 4.62%11.35B7.17%10.93B5.39%10.85B5.09%10.2B8.82%10.3B8.42%9.7B7.88%9.46B29.89%8.95B30.20%8.77B8.21%6.89B
Equity
Share capital 0.00%2.72B0.00%2.72B0.00%2.72B0.00%2.72B20.00%2.72B20.00%2.72B0.00%2.26B0.00%2.26B0.00%2.26B3.75%2.26B
Other equity instruments 0.00%1.7B0.00%1.7B0.00%1.7B0.00%1.7B0.00%1.7B0.00%1.7B0.00%1.7B--1.7B--1.7B----
Capital reserves 0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B-20.23%1.79B-20.23%1.79B0.00%2.24B0.00%2.24B0.00%2.24B6.92%2.24B
Other reserve 8.54%2.88B14.15%2.73B3.13%2.65B2.55%2.39B17.66%2.57B33.07%2.33B33.17%2.19B21.45%1.75B19.97%1.64B15.65%1.44B
Undistributed profit 13.77%2.27B24.51%2B31.17%2B37.04%1.61B41.69%1.52B17.47%1.17B15.79%1.07B5.66%997.19M7.44%927.84M11.97%943.76M
Shareholders' equity 4.62%11.35B7.17%10.93B5.39%10.85B5.09%10.2B8.82%10.3B8.42%9.7B7.88%9.46B29.89%8.95B30.20%8.77B8.21%6.89B
Total equity 4.62%11.35B7.17%10.93B5.39%10.85B5.09%10.2B8.82%10.3B8.42%9.7B7.88%9.46B29.89%8.95B30.20%8.77B8.21%6.89B
Total equity and total liabilities 7.29%165.16B6.06%157.64B6.51%153.94B10.50%148.63B12.58%144.54B13.14%134.51B17.29%128.39B29.67%118.89B20.65%109.46B11.06%91.68B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)--PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)--PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)--PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership)--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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