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02888 STANCHART

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  • 122.400
  • +0.400+0.33%
Market Closed Feb 28 16:08 CST
295.50BMarket Cap9.40P/E (TTM)

STANCHART Key Stats

All
YOY yoy
Hide blank lines yoy
(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
18.08%6.01B
5.09%3.49B
18.83%5.09B
19.88%3.32B
28.05%4.29B
8.32%2.77B
107.50%3.35B
57.28%2.56B
-56.56%1.61B
-32.60%1.63B
Profit adjustment
Special items
-18.51%2.67B
13.97%1.73B
-7.75%3.27B
116.86%1.52B
68.68%3.55B
--700M
-51.54%2.1B
----
--4.34B
----
Operating profit before the change of operating capital
3.76%8.68B
7.87%5.22B
6.79%8.37B
39.43%4.84B
43.74%7.84B
35.68%3.47B
-8.46%5.45B
57.28%2.56B
60.38%5.96B
-32.60%1.63B
Change of operating capital
Cash  from business operations
3.76%8.68B
7.87%5.22B
6.79%8.37B
39.43%4.84B
43.74%7.84B
35.68%3.47B
-8.46%5.45B
57.28%2.56B
60.38%5.96B
-32.60%1.63B
Other taxs
-49.60%-2.05B
-25.28%-793M
-66.50%-1.37B
-151.19%-633M
29.29%-821M
52.81%-252M
-19.57%-1.16B
10.40%-534M
31.67%-971M
35.84%-596M
Special items of business
-115.94%-27.13B
-216.50%-21.14B
-157.90%-12.56B
941.39%18.14B
173.65%21.7B
265.12%1.74B
-51.21%7.93B
-120.66%-1.06B
604.97%16.25B
141.99%5.11B
Net cash from operations
-268.37%-20.49B
-174.75%-16.71B
-119.37%-5.56B
350.40%22.35B
134.97%28.71B
411.55%4.96B
-42.46%12.22B
-84.19%970M
2,393.09%21.23B
70.71%6.14B
Cash flow from investment activities
Dividend received - investment
227.27%36M
----
-81.03%11M
----
52.63%58M
52.63%58M
--38M
--38M
----
----
Sale of fixed assets
-55.33%109M
-84.80%31M
-42.18%244M
-6.42%204M
-56.27%422M
-55.96%218M
442.13%965M
354.13%495M
-68.55%178M
60.29%109M
Purchase of fixed assets
-186.79%-456M
62.93%-76M
80.96%-159M
62.93%-205M
-137.22%-835M
-198.92%-553M
72.28%-352M
83.11%-185M
-145.17%-1.27B
-171.04%-1.1B
Sale of subsidiaries
----
----
----
----
----
----
----
----
--1.07B
35,466.67%1.07B
Recovery of cash from investments
-6.51%230.17B
-16.47%125.97B
-5.26%246.19B
11.40%150.81B
-10.66%259.85B
-15.32%135.37B
3.64%290.85B
-2.17%159.86B
16.15%280.63B
23.37%163.4B
Cash on investment
5.18%-217.46B
14.50%-120.31B
18.37%-229.35B
3.14%-140.71B
6.19%-280.98B
7.64%-145.28B
-5.06%-299.5B
4.47%-157.29B
-9.87%-285.08B
-21.53%-164.65B
Other items in the investment business
15.66%-948M
8.58%-469M
-2.55%-1.12B
-5.56%-513M
-10.82%-1.1B
-16.83%-486M
---989M
---416M
----
----
Net cash from investment operations
-27.56%11.45B
-46.33%5.14B
170.03%15.81B
189.81%9.58B
-150.98%-22.58B
-527.15%-10.67B
-100.87%-9B
312.87%2.5B
74.87%-4.48B
65.25%-1.17B
Net cash before financing
-188.16%-9.04B
-136.22%-11.57B
67.11%10.25B
659.75%31.93B
90.29%6.13B
-264.52%-5.7B
-80.77%3.22B
-30.16%3.47B
189.37%16.76B
2,166.67%4.96B
Cash flow from financing activities
Refund
-72.85%-11.19B
-164.86%-7.19B
17.44%-6.47B
24.96%-2.72B
21.19%-7.84B
25.63%-3.62B
-131.01%-9.95B
-54.15%-4.87B
44.03%-4.31B
-37.88%-3.16B
Issuing shares
26.92%33M
----
116.67%26M
----
71.43%12M
120.00%11M
-12.50%7M
-28.57%5M
-75.00%8M
-72.00%7M
Issuance of bonds
-27.72%11.04B
8.85%7.7B
20.76%15.28B
-2.60%7.07B
4.73%12.65B
-23.26%7.26B
-2.78%12.08B
21.25%9.46B
22.19%12.43B
117.44%7.8B
Interest paid - financing
-10.36%-1.89B
7.08%-800M
-12.96%-1.71B
-8.03%-861M
-19.06%-1.51B
-20.94%-797M
-3.42%-1.27B
-17.68%-659M
12.29%-1.23B
-4.48%-560M
Dividends paid - financing
-22.37%-1.28B
-18.76%-785M
-26.79%-1.05B
-28.10%-661M
-1.23%-825M
-5.31%-516M
-96.39%-815M
-109.40%-490M
65.50%-415M
68.46%-234M
Issuance expenses and redemption of securities expenses
-1.21%-3.25B
42.40%-1B
-30.06%-3.22B
0.46%-1.74B
-38.02%-2.47B
-412.94%-1.74B
23.46%-1.79B
85.47%-340M
-93.07%-2.34B
-381.48%-2.34B
Other items of the financing business
105.19%106M
103.57%68M
-293.08%-2.04B
-97.41%-1.91B
-122.85%-520M
-232.69%-966M
256.53%2.28B
203.33%728M
-374.86%-1.45B
254.84%240M
Net cash from financing operations
-1,228.79%-6.63B
-127.91%-2.12B
176.04%587M
-74.11%-928M
-391.32%-772M
-114.86%-533M
-88.83%265M
145.75%3.59B
325.36%2.37B
334.35%1.46B
Effect of rate
-156.91%-2.05B
-19.83%-1.74B
70.66%-796M
43.13%-1.45B
-54.41%-2.71B
-231.99%-2.55B
-236.10%-1.76B
-72.81%-769M
626.94%1.29B
-217.86%-445M
Net Cash
-244.54%-15.66B
-144.13%-13.68B
102.13%10.84B
597.03%31B
53.70%5.36B
-188.41%-6.24B
-81.77%3.49B
9.82%7.06B
196.61%19.13B
1,690.10%6.42B
Begining period cash
10.29%107.64B
10.29%107.64B
2.79%97.6B
-2.02%97.6B
-2.99%94.95B
1.77%99.61B
26.36%97.87B
26.36%97.87B
-20.56%77.45B
-20.56%77.45B
Cash at the end
-16.45%89.93B
-27.47%92.22B
10.29%107.64B
40.00%127.14B
-2.02%97.6B
-12.81%90.82B
1.77%99.61B
24.84%104.16B
26.36%97.87B
-13.95%83.43B
Cash balance analysis
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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 LLP
--
Ernst & Young LLP
--
Ernst & Young LLP
--
Ernst & Young LLP
--
Ernst & Young LLP
--
(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 18.08%6.01B5.09%3.49B18.83%5.09B19.88%3.32B28.05%4.29B8.32%2.77B107.50%3.35B57.28%2.56B-56.56%1.61B-32.60%1.63B
Profit adjustment
Special items -18.51%2.67B13.97%1.73B-7.75%3.27B116.86%1.52B68.68%3.55B--700M-51.54%2.1B------4.34B----
Operating profit before the change of operating capital 3.76%8.68B7.87%5.22B6.79%8.37B39.43%4.84B43.74%7.84B35.68%3.47B-8.46%5.45B57.28%2.56B60.38%5.96B-32.60%1.63B
Change of operating capital
Cash  from business operations 3.76%8.68B7.87%5.22B6.79%8.37B39.43%4.84B43.74%7.84B35.68%3.47B-8.46%5.45B57.28%2.56B60.38%5.96B-32.60%1.63B
Other taxs -49.60%-2.05B-25.28%-793M-66.50%-1.37B-151.19%-633M29.29%-821M52.81%-252M-19.57%-1.16B10.40%-534M31.67%-971M35.84%-596M
Special items of business -115.94%-27.13B-216.50%-21.14B-157.90%-12.56B941.39%18.14B173.65%21.7B265.12%1.74B-51.21%7.93B-120.66%-1.06B604.97%16.25B141.99%5.11B
Net cash from operations -268.37%-20.49B-174.75%-16.71B-119.37%-5.56B350.40%22.35B134.97%28.71B411.55%4.96B-42.46%12.22B-84.19%970M2,393.09%21.23B70.71%6.14B
Cash flow from investment activities
Dividend received - investment 227.27%36M-----81.03%11M----52.63%58M52.63%58M--38M--38M--------
Sale of fixed assets -55.33%109M-84.80%31M-42.18%244M-6.42%204M-56.27%422M-55.96%218M442.13%965M354.13%495M-68.55%178M60.29%109M
Purchase of fixed assets -186.79%-456M62.93%-76M80.96%-159M62.93%-205M-137.22%-835M-198.92%-553M72.28%-352M83.11%-185M-145.17%-1.27B-171.04%-1.1B
Sale of subsidiaries ----------------------------------1.07B35,466.67%1.07B
Recovery of cash from investments -6.51%230.17B-16.47%125.97B-5.26%246.19B11.40%150.81B-10.66%259.85B-15.32%135.37B3.64%290.85B-2.17%159.86B16.15%280.63B23.37%163.4B
Cash on investment 5.18%-217.46B14.50%-120.31B18.37%-229.35B3.14%-140.71B6.19%-280.98B7.64%-145.28B-5.06%-299.5B4.47%-157.29B-9.87%-285.08B-21.53%-164.65B
Other items in the investment business 15.66%-948M8.58%-469M-2.55%-1.12B-5.56%-513M-10.82%-1.1B-16.83%-486M---989M---416M--------
Net cash from investment operations -27.56%11.45B-46.33%5.14B170.03%15.81B189.81%9.58B-150.98%-22.58B-527.15%-10.67B-100.87%-9B312.87%2.5B74.87%-4.48B65.25%-1.17B
Net cash before financing -188.16%-9.04B-136.22%-11.57B67.11%10.25B659.75%31.93B90.29%6.13B-264.52%-5.7B-80.77%3.22B-30.16%3.47B189.37%16.76B2,166.67%4.96B
Cash flow from financing activities
Refund -72.85%-11.19B-164.86%-7.19B17.44%-6.47B24.96%-2.72B21.19%-7.84B25.63%-3.62B-131.01%-9.95B-54.15%-4.87B44.03%-4.31B-37.88%-3.16B
Issuing shares 26.92%33M----116.67%26M----71.43%12M120.00%11M-12.50%7M-28.57%5M-75.00%8M-72.00%7M
Issuance of bonds -27.72%11.04B8.85%7.7B20.76%15.28B-2.60%7.07B4.73%12.65B-23.26%7.26B-2.78%12.08B21.25%9.46B22.19%12.43B117.44%7.8B
Interest paid - financing -10.36%-1.89B7.08%-800M-12.96%-1.71B-8.03%-861M-19.06%-1.51B-20.94%-797M-3.42%-1.27B-17.68%-659M12.29%-1.23B-4.48%-560M
Dividends paid - financing -22.37%-1.28B-18.76%-785M-26.79%-1.05B-28.10%-661M-1.23%-825M-5.31%-516M-96.39%-815M-109.40%-490M65.50%-415M68.46%-234M
Issuance expenses and redemption of securities expenses -1.21%-3.25B42.40%-1B-30.06%-3.22B0.46%-1.74B-38.02%-2.47B-412.94%-1.74B23.46%-1.79B85.47%-340M-93.07%-2.34B-381.48%-2.34B
Other items of the financing business 105.19%106M103.57%68M-293.08%-2.04B-97.41%-1.91B-122.85%-520M-232.69%-966M256.53%2.28B203.33%728M-374.86%-1.45B254.84%240M
Net cash from financing operations -1,228.79%-6.63B-127.91%-2.12B176.04%587M-74.11%-928M-391.32%-772M-114.86%-533M-88.83%265M145.75%3.59B325.36%2.37B334.35%1.46B
Effect of rate -156.91%-2.05B-19.83%-1.74B70.66%-796M43.13%-1.45B-54.41%-2.71B-231.99%-2.55B-236.10%-1.76B-72.81%-769M626.94%1.29B-217.86%-445M
Net Cash -244.54%-15.66B-144.13%-13.68B102.13%10.84B597.03%31B53.70%5.36B-188.41%-6.24B-81.77%3.49B9.82%7.06B196.61%19.13B1,690.10%6.42B
Begining period cash 10.29%107.64B10.29%107.64B2.79%97.6B-2.02%97.6B-2.99%94.95B1.77%99.61B26.36%97.87B26.36%97.87B-20.56%77.45B-20.56%77.45B
Cash at the end -16.45%89.93B-27.47%92.22B10.29%107.64B40.00%127.14B-2.02%97.6B-12.81%90.82B1.77%99.61B24.84%104.16B26.36%97.87B-13.95%83.43B
Cash balance analysis
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Ernst & Young LLP--Ernst & Young LLP--Ernst & Young LLP--Ernst & Young LLP--Ernst & Young LLP--

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.