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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
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(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
Cash flow from operating activities
Earning before tax
20.32%1.04B
23.29%1.25B
3.73%860.3M
8.58%1.01B
15.00%829.32M
26.21%934.31M
24.76%721.12M
-10.78%740.25M
-6.38%578M
-2.85%829.65M
Profit adjustment
Interest (income) - adjustment
23.21%-522.98M
32.11%-1.24B
34.02%-681.02M
2.93%-1.83B
-3.29%-1.03B
10.78%-1.88B
14.32%-999.21M
6.06%-2.11B
1.90%-1.17B
-8.45%-2.24B
Interest expense - adjustment
10.37%188.6M
-31.27%360.38M
-40.34%170.88M
-25.27%524.35M
-13.88%286.44M
5.11%701.64M
-11.52%332.61M
5.26%667.55M
19.90%375.91M
9.23%634.2M
Investment loss (gain)
-29.13%-137.49M
-98.62%-1.23B
-88.47%-106.48M
5.31%-617.18M
71.16%-56.5M
-55.65%-651.76M
-28.37%-195.92M
-537.94%-418.73M
---152.62M
51.30%-65.64M
Impairment and provisions:
3.61%903.81M
36.74%1.8B
1.51%872.34M
-1.65%1.32B
137.22%859.36M
7.71%1.34B
-40.64%362.26M
31.49%1.24B
85.34%610.29M
138.08%944.74M
-Other impairments and provisions
3.61%903.81M
36.74%1.8B
1.51%872.34M
-1.65%1.32B
137.22%859.36M
7.71%1.34B
-40.64%362.26M
31.49%1.24B
85.34%610.29M
138.08%944.74M
Revaluation surplus:
38.96%-146.04M
-363.55%-299.22M
-96.54%-239.26M
199.17%113.53M
-399.65%-121.73M
-313.75%-114.49M
1,362.79%40.62M
799.96%53.56M
-106.87%-3.22M
82.37%-7.65M
-Other fair value changes
38.96%-146.04M
-363.55%-299.22M
-96.54%-239.26M
199.17%113.53M
-399.65%-121.73M
-313.75%-114.49M
1,362.79%40.62M
799.96%53.56M
-106.87%-3.22M
82.37%-7.65M
Asset sale loss (gain):
-350,617.86%-294.6M
182.19%1.06M
45.10%-84K
-7.62%-1.29M
52.92%-153K
-18.32%-1.2M
62.98%-325K
-109.76%-1.01M
-122.58%-878K
216.42%10.35M
-Loss (gain) from selling other assets
-350,617.86%-294.6M
182.19%1.06M
45.10%-84K
-7.62%-1.29M
52.92%-153K
-18.32%-1.2M
62.98%-325K
-109.76%-1.01M
---878K
216.42%10.35M
Depreciation and amortization:
14.65%84.89M
-4.82%167.3M
-12.33%74.04M
-2.79%175.76M
7.76%84.46M
2.65%180.81M
13.73%78.38M
42.30%176.13M
24.04%68.92M
112.40%123.77M
-Depreciation
14.65%84.89M
-4.82%167.3M
-12.33%74.04M
-2.79%175.76M
7.76%84.46M
2.65%180.81M
13.73%78.38M
42.30%176.13M
24.04%68.92M
112.40%123.77M
Special items
8.26%-406M
----
-53.76%-442.57M
----
---287.82M
----
----
----
----
----
Operating profit before the change of operating capital
38.80%705.31M
16.35%814.49M
-9.46%508.16M
38.18%700.05M
65.30%561.27M
43.89%506.61M
9.48%339.54M
56.04%352.08M
270.46%310.13M
161.58%225.63M
Change of operating capital
Special items for working capital changes
----
-19.81%-7.51B
----
---6.27B
----
----
----
----
----
----
Loans and payments (increase) decrese
-41.00%-7.79B
-25.98%-10.3B
5.99%-5.52B
46.53%-8.18B
41.09%-5.88B
-3.52%-15.29B
-14.34%-9.97B
-10.16%-14.78B
0.96%-8.72B
-13.93%-13.41B
Special items of changes in operating assets
-271.08%-196.13M
-314.78%-147.65M
-138.52%-52.85M
1,274.63%68.75M
111.28%137.21M
100.47%5M
-518.09%-1.22B
-191.83%-1.06B
-151.26%-196.86M
520.60%1.15B
Borrowing from the central bank increase (decrese)
99.17%-4.77M
-56.62%753.83M
-125.11%-577.59M
46.73%1.74B
9,916.57%2.3B
-35.32%1.18B
-331.74%-23.43M
663.49%1.83B
1.12%10.11M
-218.18%-325M
Customer's deposits increase (decrese)
120.00%12.63B
-42.15%8.18B
-49.23%5.74B
55.00%14.14B
148.62%11.31B
-61.15%9.12B
-70.18%4.55B
169.40%23.48B
83.66%15.26B
-10.35%8.72B
Cash  from business operations
5,467.39%5.35B
-473.06%-8.21B
-98.86%96.07M
149.16%2.2B
233.35%8.43B
-145.53%-4.48B
-194.99%-6.32B
369.67%9.83B
31,139.25%6.66B
-50.97%-3.65B
Other taxs
-12.71%-374.71M
-34.96%-632.21M
-24.25%-332.44M
-11.07%-468.43M
34.26%-267.56M
-31.86%-421.73M
-67.19%-406.97M
20.13%-319.83M
-3.14%-243.42M
-91.21%-400.43M
Special items of business
44.90%521.44M
----
14.45%359.86M
----
-92.45%314.43M
169.18%5.37B
162.45%4.17B
-953.95%-7.76B
-75.83%-6.67B
-117.28%-736.58M
Net cash from operations
4,350.09%5.5B
-610.41%-8.84B
-98.54%123.49M
267.15%1.73B
430.63%8.48B
-73.03%471.91M
-897.28%-2.56B
136.58%1.75B
93.65%-257.2M
-391.90%-4.78B
Cash flow from investment activities
Interest received - investment
-18.13%579.81M
-33.28%1.3B
-41.09%708.24M
18.06%1.94B
-25.10%1.2B
-35.41%1.65B
-7.50%1.61B
-6.29%2.55B
25.15%1.74B
19.95%2.72B
Sale of fixed assets
461.42%549.42M
278.59%14.89M
46.07%97.86M
8.08%3.93M
971.95%67M
618.97%3.64M
--6.25M
--506K
----
----
Purchase of fixed assets
-71.66%-99.67M
-7.03%-242.77M
-50.71%-58.06M
6.18%-226.82M
27.00%-38.53M
13.72%-241.75M
17.63%-52.77M
-17.36%-280.2M
-58.09%-64.07M
-22.09%-238.76M
Recovery of cash from investments
-38.35%4.67B
7.13%43.66B
-56.22%7.57B
104.51%40.75B
-28.34%17.28B
-45.69%19.93B
17.60%24.12B
59.46%36.69B
78.85%20.51B
19.24%23.01B
Cash on investment
8.32%-5.24B
-9.24%-39.16B
71.53%-5.71B
-44.46%-35.85B
31.42%-20.07B
37.12%-24.82B
-34.01%-29.27B
-63.82%-39.47B
-69.16%-21.84B
2.40%-24.09B
Net cash from investment operations
-82.47%455.88M
-15.96%5.56B
267.09%2.6B
290.11%6.62B
56.63%-1.56B
-583.06%-3.48B
-1,154.59%-3.59B
-136.50%-509.85M
451.01%340.34M
142.21%1.4B
Net cash before financing
118.41%5.95B
-139.26%-3.28B
-60.65%2.72B
377.45%8.35B
212.50%6.92B
-342.82%-3.01B
-7,502.13%-6.15B
136.62%1.24B
102.00%83.14M
-102.65%-3.39B
Cash flow from financing activities
Refund
-14.17%-7.65B
49.11%-8.7B
34.56%-6.7B
4.07%-17.1B
-2.47%-10.24B
7.99%-17.82B
2.46%-9.99B
2.14%-19.37B
-14.32%-10.25B
-7.50%-19.79B
Issuing shares
----
----
----
----
----
----
----
----
----
-85.00%231M
Issuance of bonds
92.23%5.44B
-0.50%9.93B
-46.60%2.83B
-53.19%9.98B
-65.04%5.3B
20.26%21.32B
70.74%15.16B
-26.80%17.73B
-30.95%8.88B
13.23%24.22B
Interest paid - financing
-21.71%-188.6M
31.27%-360.38M
54.04%-154.95M
25.27%-524.35M
21.18%-337.12M
-5.11%-701.64M
-13.78%-427.71M
-5.26%-667.55M
-19.90%-375.91M
-9.23%-634.2M
Dividends paid - financing
-225.98%-310.24M
-195.12%-284.64M
0.04%-95.17M
-1.31%-96.45M
-190,318.00%-95.21M
63.10%-95.2M
25.37%-50K
13.49%-258M
99.98%-67K
28.29%-298.24M
Other items of the financing business
----
-48.86%-46.48M
----
-10.16%-31.22M
----
-101.67%-28.34M
----
39,856.89%1.7B
39,856.89%1.7B
94.27%-4.27M
Net cash from financing operations
34.25%-2.71B
106.93%538.49M
23.30%-4.12B
-390.74%-7.77B
-213.40%-5.37B
406.90%2.67B
10,467.20%4.74B
-123.41%-870.67M
-101.32%-45.71M
7.94%3.72B
Effect of rate
-99.11%20K
-79.36%782K
-94.25%2.25M
119.76%3.79M
610.97%39.08M
64.73%-19.17M
-165.32%-7.65M
-407.68%-54.35M
89.67%11.71M
279.35%17.67M
Net Cash
331.99%3.24B
-568.98%-2.74B
-190.14%-1.4B
272.60%584.42M
209.51%1.55B
-191.70%-338.59M
-3,881.07%-1.42B
10.86%369.24M
105.54%37.43M
-81.24%333.07M
Begining period cash
-47.07%3.08B
11.24%5.82B
11.24%5.82B
-6.40%5.23B
-6.40%5.23B
5.97%5.59B
5.97%5.59B
7.12%5.28B
7.12%5.28B
55.86%4.92B
Cash at the end
42.83%6.32B
-47.07%3.08B
-35.12%4.43B
11.24%5.82B
63.69%6.82B
-6.40%5.23B
-21.73%4.17B
5.97%5.59B
25.13%5.32B
7.12%5.28B
Cash balance analysis
Interest payment - cash balance
----
----
----
----
----
---2.87B
----
----
----
----
Cash and cash equivalent balance
----
----
----
----
----
---2.87B
----
----
----
----
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
Cash flow from operating activities
Earning before tax 20.32%1.04B23.29%1.25B3.73%860.3M8.58%1.01B15.00%829.32M26.21%934.31M24.76%721.12M-10.78%740.25M-6.38%578M-2.85%829.65M
Profit adjustment
Interest (income) - adjustment 23.21%-522.98M32.11%-1.24B34.02%-681.02M2.93%-1.83B-3.29%-1.03B10.78%-1.88B14.32%-999.21M6.06%-2.11B1.90%-1.17B-8.45%-2.24B
Interest expense - adjustment 10.37%188.6M-31.27%360.38M-40.34%170.88M-25.27%524.35M-13.88%286.44M5.11%701.64M-11.52%332.61M5.26%667.55M19.90%375.91M9.23%634.2M
Investment loss (gain) -29.13%-137.49M-98.62%-1.23B-88.47%-106.48M5.31%-617.18M71.16%-56.5M-55.65%-651.76M-28.37%-195.92M-537.94%-418.73M---152.62M51.30%-65.64M
Impairment and provisions: 3.61%903.81M36.74%1.8B1.51%872.34M-1.65%1.32B137.22%859.36M7.71%1.34B-40.64%362.26M31.49%1.24B85.34%610.29M138.08%944.74M
-Other impairments and provisions 3.61%903.81M36.74%1.8B1.51%872.34M-1.65%1.32B137.22%859.36M7.71%1.34B-40.64%362.26M31.49%1.24B85.34%610.29M138.08%944.74M
Revaluation surplus: 38.96%-146.04M-363.55%-299.22M-96.54%-239.26M199.17%113.53M-399.65%-121.73M-313.75%-114.49M1,362.79%40.62M799.96%53.56M-106.87%-3.22M82.37%-7.65M
-Other fair value changes 38.96%-146.04M-363.55%-299.22M-96.54%-239.26M199.17%113.53M-399.65%-121.73M-313.75%-114.49M1,362.79%40.62M799.96%53.56M-106.87%-3.22M82.37%-7.65M
Asset sale loss (gain): -350,617.86%-294.6M182.19%1.06M45.10%-84K-7.62%-1.29M52.92%-153K-18.32%-1.2M62.98%-325K-109.76%-1.01M-122.58%-878K216.42%10.35M
-Loss (gain) from selling other assets -350,617.86%-294.6M182.19%1.06M45.10%-84K-7.62%-1.29M52.92%-153K-18.32%-1.2M62.98%-325K-109.76%-1.01M---878K216.42%10.35M
Depreciation and amortization: 14.65%84.89M-4.82%167.3M-12.33%74.04M-2.79%175.76M7.76%84.46M2.65%180.81M13.73%78.38M42.30%176.13M24.04%68.92M112.40%123.77M
-Depreciation 14.65%84.89M-4.82%167.3M-12.33%74.04M-2.79%175.76M7.76%84.46M2.65%180.81M13.73%78.38M42.30%176.13M24.04%68.92M112.40%123.77M
Special items 8.26%-406M-----53.76%-442.57M-------287.82M--------------------
Operating profit before the change of operating capital 38.80%705.31M16.35%814.49M-9.46%508.16M38.18%700.05M65.30%561.27M43.89%506.61M9.48%339.54M56.04%352.08M270.46%310.13M161.58%225.63M
Change of operating capital
Special items for working capital changes -----19.81%-7.51B-------6.27B------------------------
Loans and payments (increase) decrese -41.00%-7.79B-25.98%-10.3B5.99%-5.52B46.53%-8.18B41.09%-5.88B-3.52%-15.29B-14.34%-9.97B-10.16%-14.78B0.96%-8.72B-13.93%-13.41B
Special items of changes in operating assets -271.08%-196.13M-314.78%-147.65M-138.52%-52.85M1,274.63%68.75M111.28%137.21M100.47%5M-518.09%-1.22B-191.83%-1.06B-151.26%-196.86M520.60%1.15B
Borrowing from the central bank increase (decrese) 99.17%-4.77M-56.62%753.83M-125.11%-577.59M46.73%1.74B9,916.57%2.3B-35.32%1.18B-331.74%-23.43M663.49%1.83B1.12%10.11M-218.18%-325M
Customer's deposits increase (decrese) 120.00%12.63B-42.15%8.18B-49.23%5.74B55.00%14.14B148.62%11.31B-61.15%9.12B-70.18%4.55B169.40%23.48B83.66%15.26B-10.35%8.72B
Cash  from business operations 5,467.39%5.35B-473.06%-8.21B-98.86%96.07M149.16%2.2B233.35%8.43B-145.53%-4.48B-194.99%-6.32B369.67%9.83B31,139.25%6.66B-50.97%-3.65B
Other taxs -12.71%-374.71M-34.96%-632.21M-24.25%-332.44M-11.07%-468.43M34.26%-267.56M-31.86%-421.73M-67.19%-406.97M20.13%-319.83M-3.14%-243.42M-91.21%-400.43M
Special items of business 44.90%521.44M----14.45%359.86M-----92.45%314.43M169.18%5.37B162.45%4.17B-953.95%-7.76B-75.83%-6.67B-117.28%-736.58M
Net cash from operations 4,350.09%5.5B-610.41%-8.84B-98.54%123.49M267.15%1.73B430.63%8.48B-73.03%471.91M-897.28%-2.56B136.58%1.75B93.65%-257.2M-391.90%-4.78B
Cash flow from investment activities
Interest received - investment -18.13%579.81M-33.28%1.3B-41.09%708.24M18.06%1.94B-25.10%1.2B-35.41%1.65B-7.50%1.61B-6.29%2.55B25.15%1.74B19.95%2.72B
Sale of fixed assets 461.42%549.42M278.59%14.89M46.07%97.86M8.08%3.93M971.95%67M618.97%3.64M--6.25M--506K--------
Purchase of fixed assets -71.66%-99.67M-7.03%-242.77M-50.71%-58.06M6.18%-226.82M27.00%-38.53M13.72%-241.75M17.63%-52.77M-17.36%-280.2M-58.09%-64.07M-22.09%-238.76M
Recovery of cash from investments -38.35%4.67B7.13%43.66B-56.22%7.57B104.51%40.75B-28.34%17.28B-45.69%19.93B17.60%24.12B59.46%36.69B78.85%20.51B19.24%23.01B
Cash on investment 8.32%-5.24B-9.24%-39.16B71.53%-5.71B-44.46%-35.85B31.42%-20.07B37.12%-24.82B-34.01%-29.27B-63.82%-39.47B-69.16%-21.84B2.40%-24.09B
Net cash from investment operations -82.47%455.88M-15.96%5.56B267.09%2.6B290.11%6.62B56.63%-1.56B-583.06%-3.48B-1,154.59%-3.59B-136.50%-509.85M451.01%340.34M142.21%1.4B
Net cash before financing 118.41%5.95B-139.26%-3.28B-60.65%2.72B377.45%8.35B212.50%6.92B-342.82%-3.01B-7,502.13%-6.15B136.62%1.24B102.00%83.14M-102.65%-3.39B
Cash flow from financing activities
Refund -14.17%-7.65B49.11%-8.7B34.56%-6.7B4.07%-17.1B-2.47%-10.24B7.99%-17.82B2.46%-9.99B2.14%-19.37B-14.32%-10.25B-7.50%-19.79B
Issuing shares -------------------------------------85.00%231M
Issuance of bonds 92.23%5.44B-0.50%9.93B-46.60%2.83B-53.19%9.98B-65.04%5.3B20.26%21.32B70.74%15.16B-26.80%17.73B-30.95%8.88B13.23%24.22B
Interest paid - financing -21.71%-188.6M31.27%-360.38M54.04%-154.95M25.27%-524.35M21.18%-337.12M-5.11%-701.64M-13.78%-427.71M-5.26%-667.55M-19.90%-375.91M-9.23%-634.2M
Dividends paid - financing -225.98%-310.24M-195.12%-284.64M0.04%-95.17M-1.31%-96.45M-190,318.00%-95.21M63.10%-95.2M25.37%-50K13.49%-258M99.98%-67K28.29%-298.24M
Other items of the financing business -----48.86%-46.48M-----10.16%-31.22M-----101.67%-28.34M----39,856.89%1.7B39,856.89%1.7B94.27%-4.27M
Net cash from financing operations 34.25%-2.71B106.93%538.49M23.30%-4.12B-390.74%-7.77B-213.40%-5.37B406.90%2.67B10,467.20%4.74B-123.41%-870.67M-101.32%-45.71M7.94%3.72B
Effect of rate -99.11%20K-79.36%782K-94.25%2.25M119.76%3.79M610.97%39.08M64.73%-19.17M-165.32%-7.65M-407.68%-54.35M89.67%11.71M279.35%17.67M
Net Cash 331.99%3.24B-568.98%-2.74B-190.14%-1.4B272.60%584.42M209.51%1.55B-191.70%-338.59M-3,881.07%-1.42B10.86%369.24M105.54%37.43M-81.24%333.07M
Begining period cash -47.07%3.08B11.24%5.82B11.24%5.82B-6.40%5.23B-6.40%5.23B5.97%5.59B5.97%5.59B7.12%5.28B7.12%5.28B55.86%4.92B
Cash at the end 42.83%6.32B-47.07%3.08B-35.12%4.43B11.24%5.82B63.69%6.82B-6.40%5.23B-21.73%4.17B5.97%5.59B25.13%5.32B7.12%5.28B
Cash balance analysis
Interest payment - cash balance -----------------------2.87B----------------
Cash and cash equivalent balance -----------------------2.87B----------------
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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