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02558 JINSHANG BANK

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  • 1.450
  • -0.030-2.03%
Market Closed Dec 27 16:08 CST
8.47BMarket Cap3.93P/E (TTM)

JINSHANG 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
0.53%1.05B
9.57%2.03B
6.83%1.04B
9.72%1.86B
10.10%974.48M
4.93%1.69B
12.83%885.11M
0.30%1.61B
-0.34%784.48M
7.19%1.61B
Profit adjustment
Interest (income) - adjustment
1.36%-45.68M
22.38%-81.66M
7.81%-46.32M
-33.12%-105.2M
-35.73%-50.24M
-33.04%-79.03M
-20.22%-37.01M
-21.34%-59.4M
-35.43%-30.79M
2.84%-48.95M
Interest expense - adjustment
-9.36%304.23M
-45.58%590.75M
-49.70%335.65M
-36.23%1.09B
-21.56%667.29M
6.52%1.7B
4.88%850.76M
-11.34%1.6B
-13.30%811.13M
7.66%1.8B
Investment loss (gain)
-40.60%-352.46M
3.33%-887.03M
49.29%-250.69M
-21.09%-917.58M
-51.25%-494.31M
7.57%-757.77M
36.25%-326.81M
-9.86%-819.81M
-19.70%-512.65M
15.91%-746.24M
Attributable subsidiary (profit) loss
19.49%-12.93M
41.58%-12.14M
-56.81%-16.07M
15.18%-20.78M
-1.38%-10.25M
-13.75%-24.51M
29.60%-10.11M
-3.19%-21.54M
-9.79%-14.36M
37.14%-20.88M
Impairment and provisions:
-3.12%832.71M
15.68%1.43B
16.88%859.51M
-25.11%1.24B
-12.71%735.36M
13.76%1.65B
-20.08%842.45M
-12.76%1.45B
17.32%1.05B
8.47%1.67B
-Other impairments and provisions
-3.12%832.71M
15.68%1.43B
16.88%859.51M
-25.11%1.24B
-12.71%735.36M
13.76%1.65B
-20.08%842.45M
-12.76%1.45B
17.32%1.05B
8.47%1.67B
Asset sale loss (gain):
-258.01%-365K
35.78%-1.26M
111.80%231K
-260.00%-1.96M
-316.38%-1.96M
-146.19%-545K
-15,566.67%-470K
111.82%1.18M
72.73%-3K
-7,333.33%-9.98M
-Loss (gain) on sale of property, machinery and equipment
-258.01%-365K
35.78%-1.26M
111.80%231K
-260.00%-1.96M
-316.38%-1.96M
-146.19%-545K
-15,566.67%-470K
111.82%1.18M
72.73%-3K
-7,333.33%-9.98M
Depreciation and amortization:
-2.45%152.34M
-1.28%320.18M
1.37%156.17M
1.22%324.34M
1.63%154.07M
15.12%320.43M
15.08%151.6M
8.55%278.34M
2.68%131.73M
98.17%256.42M
-Depreciation
-2.45%152.34M
-1.28%320.18M
1.37%156.17M
1.22%324.34M
1.63%154.07M
15.12%320.43M
15.08%151.6M
8.55%278.34M
2.68%131.73M
98.17%256.42M
Unrealized exchange loss (gain)
79.25%-33K
-37.25%1.74M
-118.11%-159K
157.75%2.78M
142.54%878K
283.79%1.08M
112.16%362K
90.39%-586K
-42,428.57%-2.98M
-1,431.41%-6.1M
Special items
157.52%98.96M
158.29%76.77M
-933.57%-172.05M
109.82%29.72M
88.98%-16.65M
-351.97%-302.55M
-231.99%-151.1M
135.06%120.07M
-0.71%-45.51M
-48.00%-342.48M
Operating profit before the change of operating capital
6.08%2.02B
-0.51%3.47B
-2.62%1.91B
-16.96%3.49B
-11.16%1.96B
1.02%4.2B
1.36%2.2B
0.11%4.16B
-2.91%2.18B
14.33%4.16B
Change of operating capital
Buy and sell back financial assets (increase) decrease
186.24%11.61B
-646.41%-13.38B
-46.12%4.06B
75.88%-1.79B
206.64%7.53B
-224.53%-7.43B
-1,036.96%-7.06B
-130.33%-2.29B
-107.22%-621.03M
158.66%7.55B
Bank deposits (increase) decrese
----
----
----
----
----
----
----
---354.6M
----
----
Loans and payments (increase) decrese
-31.61%-10.88B
82.53%-5.34B
56.47%-8.27B
-48.00%-30.59B
-51.65%-18.99B
0.13%-20.67B
37.00%-12.52B
-40.57%-20.69B
-110.05%-19.87B
-195.92%-14.72B
Special items of changes in operating assets
-23.30%-700.62M
24.55%-956.85M
30.87%-568.2M
-153.76%-1.27B
19.28%-821.95M
--2.36B
-330.37%-1.02B
----
-77.77%442M
2,071.19%5.67B
Borrowing from the central bank increase (decrese)
207.21%935M
-1,644.99%-1.15B
-275.38%-872.11M
-91.80%74.23M
1.15%497.27M
-11.48%905.22M
98.88%491.63M
265.24%1.02B
-11.71%247.2M
164.37%280M
Customer's deposits increase (decrese)
-48.04%9.15B
-38.59%32.65B
-44.02%17.61B
143.08%53.17B
106.09%31.45B
7.14%21.87B
-2.07%15.26B
108.27%20.42B
-5.08%15.58B
40.49%9.8B
Cash  from business operations
-12.44%12.14B
-33.73%15.3B
-35.89%13.87B
1,756.11%23.09B
918.29%21.63B
-45.02%1.24B
-29.09%-2.64B
-82.24%2.26B
-110.21%-2.05B
272.06%12.74B
Other taxs
-128.20%-339.47M
-216.64%-181M
-1,721.37%-148.76M
76.30%-57.16M
104.50%9.18M
-19.61%-241.22M
-1.73%-203.87M
2.15%-201.68M
-58.87%-200.4M
57.02%-206.11M
Special items of business
-127.78%-9.71B
-451.09%-6.86B
-230.36%-4.26B
21.45%1.95B
654.93%3.27B
182.70%1.61B
-91.44%433.17M
-143.92%-1.94B
1,715.53%5.06B
135.29%4.43B
Net cash from operations
-77.88%2.09B
-66.94%8.26B
-62.04%9.45B
856.93%24.98B
1,131.90%24.91B
2,149.36%2.61B
-185.76%-2.41B
-99.32%116.07M
-86.08%2.81B
183.03%16.96B
Cash flow from investment activities
Sale of fixed assets
249.11%590K
149.88%1.06M
-90.95%169K
-37.33%423K
3,958.70%1.87M
-88.75%675K
-98.46%46K
-52.05%6M
475.48%2.98M
320.05%12.51M
Purchase of fixed assets
59.20%-43.93M
-68.48%-260.18M
-315.33%-107.66M
20.67%-154.43M
30.24%-25.92M
12.21%-194.68M
-75.77%-37.16M
75.31%-221.77M
97.17%-21.14M
-110.67%-898.25M
Recovery of cash from investments
-36.68%30.06B
5.33%89.16B
12.32%47.48B
-10.50%84.65B
-11.92%42.27B
-24.14%94.57B
-34.40%47.99B
-1.79%124.66B
23.07%73.16B
-2.29%126.93B
Cash on investment
11.80%-38.55B
17.34%-77.23B
6.52%-43.7B
0.77%-93.42B
3.50%-46.75B
23.33%-94.15B
33.61%-48.45B
13.67%-122.8B
-7.94%-72.97B
-7.20%-142.24B
Net cash from investment operations
-332.59%-8.53B
230.72%11.67B
181.29%3.67B
-3,942.50%-8.93B
-808.21%-4.51B
-85.93%232.42M
-396.33%-496.55M
110.20%1.65B
101.88%167.57M
-406.59%-16.19B
Net cash before financing
-149.05%-6.44B
24.18%19.93B
-35.67%13.12B
464.59%16.05B
800.86%20.4B
60.78%2.84B
-197.59%-2.91B
130.94%1.77B
-73.64%2.98B
103.24%765.7M
Cash flow from financing activities
Issuing shares
----
----
----
----
----
----
----
----
----
--3.17B
Issuance of bonds
7.84%22.4B
-21.28%45.54B
20.03%20.77B
-29.00%57.85B
-57.37%17.3B
15.35%81.48B
38.79%40.59B
25.59%70.64B
50.42%29.24B
-18.98%56.25B
Interest paid - financing
24.86%-352.42M
37.74%-675.9M
39.56%-469M
33.01%-1.09B
-0.75%-775.98M
-4.20%-1.62B
-22.32%-770.16M
13.73%-1.56B
20.35%-629.61M
-8.20%-1.8B
Dividends paid - financing
78.66%-8.17M
-6.45%-614.58M
-1,815.00%-38.3M
3.89%-577.32M
93.63%-2M
14.74%-600.67M
-784,275.00%-31.38M
-56.89%-704.54M
100.00%-4K
3.11%-449.07M
Issuance expenses and redemption of securities expenses
44.56%-19.06B
31.36%-57.16B
17.20%-34.38B
-11.38%-83.28B
-5.49%-41.52B
-8.60%-74.77B
-22.54%-39.36B
-20.39%-68.85B
-23.07%-32.12B
-28.95%-57.19B
Net cash from financing operations
120.56%2.92B
52.14%-13.03B
43.40%-14.18B
-720.85%-27.22B
-6,869.56%-25.06B
866.21%4.38B
110.46%370.14M
-656.99%-572.21M
54.97%-3.54B
-100.32%-75.59M
Effect of rate
-83.51%238K
-78.46%658K
79.25%1.44M
504.64%3.06M
212.27%805K
68.38%-755K
-122.91%-717K
-203.60%-2.39M
4,866.67%3.13M
911.62%2.31M
Net Cash
-231.25%-3.52B
161.84%6.91B
77.20%-1.06B
-254.52%-11.17B
-83.50%-4.66B
504.26%7.23B
-356.17%-2.54B
73.32%1.2B
-116.14%-556.8M
176.97%690.11M
Begining period cash
134.11%12.06B
-68.43%5.15B
-68.43%5.15B
79.51%16.32B
79.51%16.32B
15.12%9.09B
15.12%9.09B
9.61%7.89B
9.61%7.89B
3.58%7.2B
Cash at the end
108.79%8.54B
134.11%12.06B
-64.92%4.09B
-68.43%5.15B
78.00%11.66B
79.51%16.32B
-10.81%6.55B
15.12%9.09B
-31.09%7.34B
9.61%7.89B
Cash balance analysis
Charge interest - cash balance
2.85%5.92B
6.15%11.15B
5.67%5.76B
--10.5B
8.13%5.45B
----
13.44%5.04B
8.13%9.37B
3.77%4.44B
7.24%8.67B
Interest payment - cash balance
12.88%-2.25B
6.44%4.97B
-28.06%-2.59B
--4.67B
0.38%-2.02B
----
-49.26%-2.03B
8.78%3.37B
-4.51%-1.36B
-10.02%3.1B
Cash and cash equivalent balance
15.67%3.67B
6.24%16.11B
-7.51%3.17B
--15.17B
13.86%3.43B
----
-2.32%3.01B
8.30%12.74B
3.45%3.09B
2.08%11.77B
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
--
Ernst & Young Huaming (Special General Partnership), Ernst & Young
--
Ernst & Young Huaming (Special General Partnership), Ernst & Young
--
Ernst & Young Huaming (Special General Partnership), Ernst & Young
--
Ernst & Young Huaming (Special General Partnership), Ernst & Young
--
KPMG Huazhen 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 0.53%1.05B9.57%2.03B6.83%1.04B9.72%1.86B10.10%974.48M4.93%1.69B12.83%885.11M0.30%1.61B-0.34%784.48M7.19%1.61B
Profit adjustment
Interest (income) - adjustment 1.36%-45.68M22.38%-81.66M7.81%-46.32M-33.12%-105.2M-35.73%-50.24M-33.04%-79.03M-20.22%-37.01M-21.34%-59.4M-35.43%-30.79M2.84%-48.95M
Interest expense - adjustment -9.36%304.23M-45.58%590.75M-49.70%335.65M-36.23%1.09B-21.56%667.29M6.52%1.7B4.88%850.76M-11.34%1.6B-13.30%811.13M7.66%1.8B
Investment loss (gain) -40.60%-352.46M3.33%-887.03M49.29%-250.69M-21.09%-917.58M-51.25%-494.31M7.57%-757.77M36.25%-326.81M-9.86%-819.81M-19.70%-512.65M15.91%-746.24M
Attributable subsidiary (profit) loss 19.49%-12.93M41.58%-12.14M-56.81%-16.07M15.18%-20.78M-1.38%-10.25M-13.75%-24.51M29.60%-10.11M-3.19%-21.54M-9.79%-14.36M37.14%-20.88M
Impairment and provisions: -3.12%832.71M15.68%1.43B16.88%859.51M-25.11%1.24B-12.71%735.36M13.76%1.65B-20.08%842.45M-12.76%1.45B17.32%1.05B8.47%1.67B
-Other impairments and provisions -3.12%832.71M15.68%1.43B16.88%859.51M-25.11%1.24B-12.71%735.36M13.76%1.65B-20.08%842.45M-12.76%1.45B17.32%1.05B8.47%1.67B
Asset sale loss (gain): -258.01%-365K35.78%-1.26M111.80%231K-260.00%-1.96M-316.38%-1.96M-146.19%-545K-15,566.67%-470K111.82%1.18M72.73%-3K-7,333.33%-9.98M
-Loss (gain) on sale of property, machinery and equipment -258.01%-365K35.78%-1.26M111.80%231K-260.00%-1.96M-316.38%-1.96M-146.19%-545K-15,566.67%-470K111.82%1.18M72.73%-3K-7,333.33%-9.98M
Depreciation and amortization: -2.45%152.34M-1.28%320.18M1.37%156.17M1.22%324.34M1.63%154.07M15.12%320.43M15.08%151.6M8.55%278.34M2.68%131.73M98.17%256.42M
-Depreciation -2.45%152.34M-1.28%320.18M1.37%156.17M1.22%324.34M1.63%154.07M15.12%320.43M15.08%151.6M8.55%278.34M2.68%131.73M98.17%256.42M
Unrealized exchange loss (gain) 79.25%-33K-37.25%1.74M-118.11%-159K157.75%2.78M142.54%878K283.79%1.08M112.16%362K90.39%-586K-42,428.57%-2.98M-1,431.41%-6.1M
Special items 157.52%98.96M158.29%76.77M-933.57%-172.05M109.82%29.72M88.98%-16.65M-351.97%-302.55M-231.99%-151.1M135.06%120.07M-0.71%-45.51M-48.00%-342.48M
Operating profit before the change of operating capital 6.08%2.02B-0.51%3.47B-2.62%1.91B-16.96%3.49B-11.16%1.96B1.02%4.2B1.36%2.2B0.11%4.16B-2.91%2.18B14.33%4.16B
Change of operating capital
Buy and sell back financial assets (increase) decrease 186.24%11.61B-646.41%-13.38B-46.12%4.06B75.88%-1.79B206.64%7.53B-224.53%-7.43B-1,036.96%-7.06B-130.33%-2.29B-107.22%-621.03M158.66%7.55B
Bank deposits (increase) decrese -------------------------------354.6M--------
Loans and payments (increase) decrese -31.61%-10.88B82.53%-5.34B56.47%-8.27B-48.00%-30.59B-51.65%-18.99B0.13%-20.67B37.00%-12.52B-40.57%-20.69B-110.05%-19.87B-195.92%-14.72B
Special items of changes in operating assets -23.30%-700.62M24.55%-956.85M30.87%-568.2M-153.76%-1.27B19.28%-821.95M--2.36B-330.37%-1.02B-----77.77%442M2,071.19%5.67B
Borrowing from the central bank increase (decrese) 207.21%935M-1,644.99%-1.15B-275.38%-872.11M-91.80%74.23M1.15%497.27M-11.48%905.22M98.88%491.63M265.24%1.02B-11.71%247.2M164.37%280M
Customer's deposits increase (decrese) -48.04%9.15B-38.59%32.65B-44.02%17.61B143.08%53.17B106.09%31.45B7.14%21.87B-2.07%15.26B108.27%20.42B-5.08%15.58B40.49%9.8B
Cash  from business operations -12.44%12.14B-33.73%15.3B-35.89%13.87B1,756.11%23.09B918.29%21.63B-45.02%1.24B-29.09%-2.64B-82.24%2.26B-110.21%-2.05B272.06%12.74B
Other taxs -128.20%-339.47M-216.64%-181M-1,721.37%-148.76M76.30%-57.16M104.50%9.18M-19.61%-241.22M-1.73%-203.87M2.15%-201.68M-58.87%-200.4M57.02%-206.11M
Special items of business -127.78%-9.71B-451.09%-6.86B-230.36%-4.26B21.45%1.95B654.93%3.27B182.70%1.61B-91.44%433.17M-143.92%-1.94B1,715.53%5.06B135.29%4.43B
Net cash from operations -77.88%2.09B-66.94%8.26B-62.04%9.45B856.93%24.98B1,131.90%24.91B2,149.36%2.61B-185.76%-2.41B-99.32%116.07M-86.08%2.81B183.03%16.96B
Cash flow from investment activities
Sale of fixed assets 249.11%590K149.88%1.06M-90.95%169K-37.33%423K3,958.70%1.87M-88.75%675K-98.46%46K-52.05%6M475.48%2.98M320.05%12.51M
Purchase of fixed assets 59.20%-43.93M-68.48%-260.18M-315.33%-107.66M20.67%-154.43M30.24%-25.92M12.21%-194.68M-75.77%-37.16M75.31%-221.77M97.17%-21.14M-110.67%-898.25M
Recovery of cash from investments -36.68%30.06B5.33%89.16B12.32%47.48B-10.50%84.65B-11.92%42.27B-24.14%94.57B-34.40%47.99B-1.79%124.66B23.07%73.16B-2.29%126.93B
Cash on investment 11.80%-38.55B17.34%-77.23B6.52%-43.7B0.77%-93.42B3.50%-46.75B23.33%-94.15B33.61%-48.45B13.67%-122.8B-7.94%-72.97B-7.20%-142.24B
Net cash from investment operations -332.59%-8.53B230.72%11.67B181.29%3.67B-3,942.50%-8.93B-808.21%-4.51B-85.93%232.42M-396.33%-496.55M110.20%1.65B101.88%167.57M-406.59%-16.19B
Net cash before financing -149.05%-6.44B24.18%19.93B-35.67%13.12B464.59%16.05B800.86%20.4B60.78%2.84B-197.59%-2.91B130.94%1.77B-73.64%2.98B103.24%765.7M
Cash flow from financing activities
Issuing shares --------------------------------------3.17B
Issuance of bonds 7.84%22.4B-21.28%45.54B20.03%20.77B-29.00%57.85B-57.37%17.3B15.35%81.48B38.79%40.59B25.59%70.64B50.42%29.24B-18.98%56.25B
Interest paid - financing 24.86%-352.42M37.74%-675.9M39.56%-469M33.01%-1.09B-0.75%-775.98M-4.20%-1.62B-22.32%-770.16M13.73%-1.56B20.35%-629.61M-8.20%-1.8B
Dividends paid - financing 78.66%-8.17M-6.45%-614.58M-1,815.00%-38.3M3.89%-577.32M93.63%-2M14.74%-600.67M-784,275.00%-31.38M-56.89%-704.54M100.00%-4K3.11%-449.07M
Issuance expenses and redemption of securities expenses 44.56%-19.06B31.36%-57.16B17.20%-34.38B-11.38%-83.28B-5.49%-41.52B-8.60%-74.77B-22.54%-39.36B-20.39%-68.85B-23.07%-32.12B-28.95%-57.19B
Net cash from financing operations 120.56%2.92B52.14%-13.03B43.40%-14.18B-720.85%-27.22B-6,869.56%-25.06B866.21%4.38B110.46%370.14M-656.99%-572.21M54.97%-3.54B-100.32%-75.59M
Effect of rate -83.51%238K-78.46%658K79.25%1.44M504.64%3.06M212.27%805K68.38%-755K-122.91%-717K-203.60%-2.39M4,866.67%3.13M911.62%2.31M
Net Cash -231.25%-3.52B161.84%6.91B77.20%-1.06B-254.52%-11.17B-83.50%-4.66B504.26%7.23B-356.17%-2.54B73.32%1.2B-116.14%-556.8M176.97%690.11M
Begining period cash 134.11%12.06B-68.43%5.15B-68.43%5.15B79.51%16.32B79.51%16.32B15.12%9.09B15.12%9.09B9.61%7.89B9.61%7.89B3.58%7.2B
Cash at the end 108.79%8.54B134.11%12.06B-64.92%4.09B-68.43%5.15B78.00%11.66B79.51%16.32B-10.81%6.55B15.12%9.09B-31.09%7.34B9.61%7.89B
Cash balance analysis
Charge interest - cash balance 2.85%5.92B6.15%11.15B5.67%5.76B--10.5B8.13%5.45B----13.44%5.04B8.13%9.37B3.77%4.44B7.24%8.67B
Interest payment - cash balance 12.88%-2.25B6.44%4.97B-28.06%-2.59B--4.67B0.38%-2.02B-----49.26%-2.03B8.78%3.37B-4.51%-1.36B-10.02%3.1B
Cash and cash equivalent balance 15.67%3.67B6.24%16.11B-7.51%3.17B--15.17B13.86%3.43B-----2.32%3.01B8.30%12.74B3.45%3.09B2.08%11.77B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Ernst & Young Huaming (Special General Partnership), Ernst & Young--Ernst & Young Huaming (Special General Partnership), Ernst & Young--Ernst & Young Huaming (Special General Partnership), Ernst & Young--Ernst & Young Huaming (Special General Partnership), Ernst & Young--KPMG Huazhen 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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