MY Stock MarketDetailed Quotes

5258 BIMB

Watchlist
  • 2.700
  • -0.010-0.37%
15min DelayMarket Closed Nov 1 16:51 CST
6.12BMarket Cap10.80P/E (TTM)

BIMB Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Cash, cash equivalents and federal funds sold
36.93%4.93B
-53.18%4.27B
-29.16%5.77B
-29.16%5.77B
-56.06%3.49B
-52.03%3.6B
61.34%9.11B
47.16%8.15B
47.16%8.15B
74.75%7.94B
-Cash and cash equivalents
36.93%4.93B
-53.18%4.27B
-29.30%5.76B
-29.30%5.76B
-56.06%3.49B
-52.03%3.6B
61.34%9.11B
47.43%8.15B
47.43%8.15B
74.75%7.94B
-Including:Cash
3.59%871M
36.35%1.09B
13.25%924.97M
13.25%924.97M
-9.28%672.02M
17.93%840.79M
13.11%798.75M
9.79%816.72M
9.79%816.72M
7.43%740.79M
-Including:Cash and bank accounts receivable
48.27%3.99B
-62.32%3.11B
-34.50%4.77B
-34.50%4.77B
-61.51%2.75B
-60.03%2.69B
68.63%8.25B
53.79%7.28B
53.79%7.28B
88.15%7.14B
-Including:Interest-bearing deposit assets
1.22%69.38M
6.20%69.53M
28.81%68.58M
28.81%68.58M
22.44%66.27M
12.66%68.55M
29.72%65.47M
5.76%53.24M
5.76%53.24M
-4.03%54.13M
-Restricted cash and investment
----
----
1,523.96%11.66M
1,523.96%11.66M
----
----
----
-93.09%718K
-93.09%718K
----
Financial asset investment
11.64%19.47B
8.68%18.4B
8.69%16.92B
8.69%16.92B
5.60%17.06B
16.98%17.44B
10.92%16.93B
0.06%15.57B
0.06%15.57B
7.27%16.16B
-Available-for-sale securities
13.17%17.64B
4.22%16.44B
3.25%15.64B
3.25%15.64B
6.04%15.53B
15.19%15.58B
14.05%15.77B
8.57%15.15B
8.57%15.15B
8.82%14.64B
-Total financial assets designated as fair value through profit or loss
7.92%1.81B
70.63%1.91B
306.44%1.22B
306.44%1.22B
3.88%1.43B
28.78%1.68B
-20.94%1.12B
-81.10%299.13M
-81.10%299.13M
-12.22%1.38B
-Derivative assets
-85.98%25.2M
38.09%53.16M
-44.38%68.41M
-44.38%68.41M
-25.08%100.87M
131.24%179.77M
108.74%38.49M
372.40%123M
372.40%123M
290.24%134.64M
Long-term equity investment
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Net loan
2.57%66.35B
2.77%66.2B
2.78%65.95B
2.78%65.95B
8.99%65.57B
9.94%64.69B
11.45%64.41B
12.11%64.17B
12.11%64.17B
9.34%60.16B
-Loans and advance payments to customers
3.56%22.01B
2.37%21.7B
2.67%21.45B
2.67%21.45B
3.69%21.23B
6.26%21.25B
8.28%21.2B
10.03%20.89B
10.03%20.89B
13.88%20.48B
-Other loan assets
1.94%45.13B
2.27%45.29B
2.25%45.32B
2.25%45.32B
10.95%45.17B
11.06%44.27B
12.62%44.28B
12.73%44.32B
12.73%44.32B
7.05%40.71B
-Allowance for loan and lease losses
-5.45%786.68M
-25.97%791.88M
-22.33%807.67M
-22.33%807.67M
-19.26%827.86M
-18.54%831.98M
-3.20%1.07B
-2.27%1.04B
-2.27%1.04B
4.20%1.03B
Receivables
45.83%1.47B
50.55%1.35B
27.48%1.53B
27.48%1.53B
8.43%1.22B
0.87%1.01B
-14.43%894.89M
10.72%1.2B
10.72%1.2B
14.10%1.12B
Finance lease receivables
93.10%148.56M
46.43%121.56M
56.73%127.32M
56.73%127.32M
-0.68%87.31M
-17.61%76.93M
-17.11%83.02M
-15.39%81.24M
-15.39%81.24M
-6.69%87.91M
Net PPE
5.60%435.62M
6.02%438.49M
2.89%420.19M
2.89%420.19M
-9.74%418.05M
-9.37%412.52M
-7.36%413.57M
-7.35%408.38M
-7.35%408.38M
4.88%463.16M
-Gross PP&E
5.60%435.62M
6.02%438.49M
-28.21%772.06M
-28.21%772.06M
-9.74%418.05M
-9.37%412.52M
-7.36%413.57M
-0.88%1.08B
-0.88%1.08B
4.88%463.16M
-Accum depreciation
----
----
47.25%-351.87M
47.25%-351.87M
----
----
----
-3.54%-667.07M
-3.54%-667.07M
----
Goodwill and other intangible assets
5.24%51.7M
6.67%52.12M
-7.74%50.35M
-7.74%50.35M
--48.79M
--49.12M
--48.86M
--54.58M
--54.58M
----
-Other intangible assets
----
----
-7.74%50.35M
-7.74%50.35M
----
----
----
--54.58M
--54.58M
----
Total tax assets
-7.29%164.52M
-14.60%153.82M
-17.14%181.91M
-17.14%181.91M
-23.02%185.1M
-23.89%177.45M
-11.00%180.12M
9.63%219.55M
9.63%219.55M
20.33%240.47M
-Deferred tax assets
-7.55%157.28M
-15.18%146.61M
-17.72%174.73M
-17.72%174.73M
-23.75%177.93M
-24.74%170.13M
-11.50%172.85M
9.90%212.35M
9.90%212.35M
37.39%233.33M
-Tax receivable
-1.20%7.23M
-0.80%7.22M
-0.26%7.18M
-0.26%7.18M
0.63%7.18M
3.00%7.32M
2.64%7.27M
2.21%7.2M
2.21%7.2M
-76.22%7.13M
Other assets
----
----
----
----
----
---1K
----
----
----
----
Total assets
6.36%93.02B
-1.19%90.98B
1.24%90.96B
1.24%90.96B
2.21%88.07B
5.33%87.45B
14.38%92.07B
12.10%89.85B
12.10%89.85B
12.86%86.16B
Liabilities
Total deposits
7.01%79.31B
-1.44%76.71B
1.60%76.44B
1.60%76.44B
2.15%74.39B
5.24%74.12B
14.39%77.84B
10.99%75.24B
10.99%75.24B
13.07%72.82B
Trading and financial liabilities
-11.17%4.13B
-16.44%4.65B
-17.57%4.67B
-17.57%4.67B
-6.81%4.59B
6.06%4.64B
28.09%5.56B
30.41%5.66B
30.41%5.66B
21.58%4.93B
-Total debt
4.58%2.32B
4.60%2.33B
4.57%2.32B
4.57%2.32B
-12.10%2.22B
10.26%2.22B
9.71%2.22B
10.29%2.22B
10.29%2.22B
46.86%2.53B
-Total financial lease obligations
-4.90%276.35M
-3.97%280.45M
-4.88%281.17M
-4.88%281.17M
-4.74%284.41M
-2.09%290.59M
-2.80%292.05M
-2.59%295.59M
-2.59%295.59M
-1.92%298.58M
-Derivative product liabilities
-82.86%21.86M
-10.53%36.21M
-58.82%56.55M
-58.82%56.55M
-18.67%77.38M
95.06%127.58M
217.56%40.47M
572.46%137.32M
572.46%137.32M
326.14%95.14M
-Other financial liabilities
-24.97%1.5B
-33.31%2B
-33.31%2B
-33.31%2B
0.13%2B
0.13%2B
50.14%3.01B
50.14%3.01B
50.14%3.01B
0.00%2B
Payables
71.36%1.35B
70.47%1.47B
21.16%1.74B
21.16%1.74B
3.46%1B
-13.80%786.72M
3.16%864.66M
54.16%1.44B
54.16%1.44B
28.71%970.22M
-Taxes payable
-12.83%26M
37.34%11.31M
-35.71%40.29M
-35.71%40.29M
-69.93%13.43M
-16.84%29.82M
-70.74%8.24M
87.70%62.67M
87.70%62.67M
-76.85%44.64M
-Dividend payable
--0
25.36%95.65M
27.30%285.35M
27.30%285.35M
----
----
--76.3M
-1.21%224.15M
-1.21%224.15M
----
-Other payables
74.68%1.32B
75.23%1.37B
23.07%1.41B
23.07%1.41B
7.00%990.39M
-13.67%756.9M
-3.69%780.13M
71.21%1.15B
71.21%1.15B
64.98%925.59M
Accrued liabilities and deferred income
-11.92%517.93M
-8.13%573.49M
-9.52%651.67M
-9.52%651.67M
-0.89%636.87M
-8.31%588.04M
1.48%624.27M
3.97%720.22M
3.97%720.22M
0.52%642.6M
-Accrued liabilities
50.47%68.32M
-36.38%41.49M
-31.29%95.92M
-31.29%95.92M
-6.25%69.01M
-28.02%45.41M
36.54%65.22M
18.90%139.61M
18.90%139.61M
5.53%73.6M
-Deferred income
-17.14%449.61M
-4.84%531.99M
-4.28%555.75M
-4.28%555.75M
-0.20%567.87M
-6.16%542.63M
-1.47%559.04M
0.93%580.61M
0.93%580.61M
-0.10%569M
Other liabilities
--127.41M
--114.28M
--63.63M
--63.63M
----
----
----
----
----
----
Total liability
6.61%85.43B
-1.61%83.52B
0.61%83.56B
0.61%83.56B
1.59%80.62B
4.95%80.14B
14.96%84.89B
12.61%83.06B
12.61%83.06B
13.62%79.36B
Shareholders'equity
Share capital
0.00%3.89B
1.12%3.89B
6.69%3.89B
6.69%3.89B
6.69%3.89B
6.69%3.89B
5.50%3.85B
5.78%3.65B
5.78%3.65B
5.78%3.65B
-common stock
0.00%3.89B
1.12%3.89B
6.69%3.89B
6.69%3.89B
6.69%3.89B
6.69%3.89B
5.50%3.85B
5.78%3.65B
5.78%3.65B
5.78%3.65B
Retained earnings
----
----
5.18%3.26B
5.18%3.26B
----
----
----
4.44%3.1B
4.44%3.1B
----
Other reserves
7.86%3.69B
6.69%3.56B
366.11%254.48M
366.11%254.48M
12.83%3.57B
13.27%3.42B
10.85%3.34B
600.93%54.6M
600.93%54.6M
3.58%3.16B
Total stockholders'equity
3.68%7.58B
3.71%7.45B
8.89%7.4B
8.89%7.4B
9.54%7.45B
9.67%7.31B
7.92%7.18B
6.19%6.8B
6.19%6.8B
4.75%6.81B
Noncontrolling interests
--2.47M
--1.56M
----
----
----
----
----
----
----
----
Total equity
3.71%7.59B
3.73%7.45B
8.89%7.4B
8.89%7.4B
9.54%7.45B
9.67%7.31B
7.92%7.18B
6.19%6.8B
6.19%6.8B
4.75%6.81B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Cash, cash equivalents and federal funds sold 36.93%4.93B-53.18%4.27B-29.16%5.77B-29.16%5.77B-56.06%3.49B-52.03%3.6B61.34%9.11B47.16%8.15B47.16%8.15B74.75%7.94B
-Cash and cash equivalents 36.93%4.93B-53.18%4.27B-29.30%5.76B-29.30%5.76B-56.06%3.49B-52.03%3.6B61.34%9.11B47.43%8.15B47.43%8.15B74.75%7.94B
-Including:Cash 3.59%871M36.35%1.09B13.25%924.97M13.25%924.97M-9.28%672.02M17.93%840.79M13.11%798.75M9.79%816.72M9.79%816.72M7.43%740.79M
-Including:Cash and bank accounts receivable 48.27%3.99B-62.32%3.11B-34.50%4.77B-34.50%4.77B-61.51%2.75B-60.03%2.69B68.63%8.25B53.79%7.28B53.79%7.28B88.15%7.14B
-Including:Interest-bearing deposit assets 1.22%69.38M6.20%69.53M28.81%68.58M28.81%68.58M22.44%66.27M12.66%68.55M29.72%65.47M5.76%53.24M5.76%53.24M-4.03%54.13M
-Restricted cash and investment --------1,523.96%11.66M1,523.96%11.66M-------------93.09%718K-93.09%718K----
Financial asset investment 11.64%19.47B8.68%18.4B8.69%16.92B8.69%16.92B5.60%17.06B16.98%17.44B10.92%16.93B0.06%15.57B0.06%15.57B7.27%16.16B
-Available-for-sale securities 13.17%17.64B4.22%16.44B3.25%15.64B3.25%15.64B6.04%15.53B15.19%15.58B14.05%15.77B8.57%15.15B8.57%15.15B8.82%14.64B
-Total financial assets designated as fair value through profit or loss 7.92%1.81B70.63%1.91B306.44%1.22B306.44%1.22B3.88%1.43B28.78%1.68B-20.94%1.12B-81.10%299.13M-81.10%299.13M-12.22%1.38B
-Derivative assets -85.98%25.2M38.09%53.16M-44.38%68.41M-44.38%68.41M-25.08%100.87M131.24%179.77M108.74%38.49M372.40%123M372.40%123M290.24%134.64M
Long-term equity investment --0--0--0--0--0--0--0--0--0--0
Net loan 2.57%66.35B2.77%66.2B2.78%65.95B2.78%65.95B8.99%65.57B9.94%64.69B11.45%64.41B12.11%64.17B12.11%64.17B9.34%60.16B
-Loans and advance payments to customers 3.56%22.01B2.37%21.7B2.67%21.45B2.67%21.45B3.69%21.23B6.26%21.25B8.28%21.2B10.03%20.89B10.03%20.89B13.88%20.48B
-Other loan assets 1.94%45.13B2.27%45.29B2.25%45.32B2.25%45.32B10.95%45.17B11.06%44.27B12.62%44.28B12.73%44.32B12.73%44.32B7.05%40.71B
-Allowance for loan and lease losses -5.45%786.68M-25.97%791.88M-22.33%807.67M-22.33%807.67M-19.26%827.86M-18.54%831.98M-3.20%1.07B-2.27%1.04B-2.27%1.04B4.20%1.03B
Receivables 45.83%1.47B50.55%1.35B27.48%1.53B27.48%1.53B8.43%1.22B0.87%1.01B-14.43%894.89M10.72%1.2B10.72%1.2B14.10%1.12B
Finance lease receivables 93.10%148.56M46.43%121.56M56.73%127.32M56.73%127.32M-0.68%87.31M-17.61%76.93M-17.11%83.02M-15.39%81.24M-15.39%81.24M-6.69%87.91M
Net PPE 5.60%435.62M6.02%438.49M2.89%420.19M2.89%420.19M-9.74%418.05M-9.37%412.52M-7.36%413.57M-7.35%408.38M-7.35%408.38M4.88%463.16M
-Gross PP&E 5.60%435.62M6.02%438.49M-28.21%772.06M-28.21%772.06M-9.74%418.05M-9.37%412.52M-7.36%413.57M-0.88%1.08B-0.88%1.08B4.88%463.16M
-Accum depreciation --------47.25%-351.87M47.25%-351.87M-------------3.54%-667.07M-3.54%-667.07M----
Goodwill and other intangible assets 5.24%51.7M6.67%52.12M-7.74%50.35M-7.74%50.35M--48.79M--49.12M--48.86M--54.58M--54.58M----
-Other intangible assets ---------7.74%50.35M-7.74%50.35M--------------54.58M--54.58M----
Total tax assets -7.29%164.52M-14.60%153.82M-17.14%181.91M-17.14%181.91M-23.02%185.1M-23.89%177.45M-11.00%180.12M9.63%219.55M9.63%219.55M20.33%240.47M
-Deferred tax assets -7.55%157.28M-15.18%146.61M-17.72%174.73M-17.72%174.73M-23.75%177.93M-24.74%170.13M-11.50%172.85M9.90%212.35M9.90%212.35M37.39%233.33M
-Tax receivable -1.20%7.23M-0.80%7.22M-0.26%7.18M-0.26%7.18M0.63%7.18M3.00%7.32M2.64%7.27M2.21%7.2M2.21%7.2M-76.22%7.13M
Other assets -----------------------1K----------------
Total assets 6.36%93.02B-1.19%90.98B1.24%90.96B1.24%90.96B2.21%88.07B5.33%87.45B14.38%92.07B12.10%89.85B12.10%89.85B12.86%86.16B
Liabilities
Total deposits 7.01%79.31B-1.44%76.71B1.60%76.44B1.60%76.44B2.15%74.39B5.24%74.12B14.39%77.84B10.99%75.24B10.99%75.24B13.07%72.82B
Trading and financial liabilities -11.17%4.13B-16.44%4.65B-17.57%4.67B-17.57%4.67B-6.81%4.59B6.06%4.64B28.09%5.56B30.41%5.66B30.41%5.66B21.58%4.93B
-Total debt 4.58%2.32B4.60%2.33B4.57%2.32B4.57%2.32B-12.10%2.22B10.26%2.22B9.71%2.22B10.29%2.22B10.29%2.22B46.86%2.53B
-Total financial lease obligations -4.90%276.35M-3.97%280.45M-4.88%281.17M-4.88%281.17M-4.74%284.41M-2.09%290.59M-2.80%292.05M-2.59%295.59M-2.59%295.59M-1.92%298.58M
-Derivative product liabilities -82.86%21.86M-10.53%36.21M-58.82%56.55M-58.82%56.55M-18.67%77.38M95.06%127.58M217.56%40.47M572.46%137.32M572.46%137.32M326.14%95.14M
-Other financial liabilities -24.97%1.5B-33.31%2B-33.31%2B-33.31%2B0.13%2B0.13%2B50.14%3.01B50.14%3.01B50.14%3.01B0.00%2B
Payables 71.36%1.35B70.47%1.47B21.16%1.74B21.16%1.74B3.46%1B-13.80%786.72M3.16%864.66M54.16%1.44B54.16%1.44B28.71%970.22M
-Taxes payable -12.83%26M37.34%11.31M-35.71%40.29M-35.71%40.29M-69.93%13.43M-16.84%29.82M-70.74%8.24M87.70%62.67M87.70%62.67M-76.85%44.64M
-Dividend payable --025.36%95.65M27.30%285.35M27.30%285.35M----------76.3M-1.21%224.15M-1.21%224.15M----
-Other payables 74.68%1.32B75.23%1.37B23.07%1.41B23.07%1.41B7.00%990.39M-13.67%756.9M-3.69%780.13M71.21%1.15B71.21%1.15B64.98%925.59M
Accrued liabilities and deferred income -11.92%517.93M-8.13%573.49M-9.52%651.67M-9.52%651.67M-0.89%636.87M-8.31%588.04M1.48%624.27M3.97%720.22M3.97%720.22M0.52%642.6M
-Accrued liabilities 50.47%68.32M-36.38%41.49M-31.29%95.92M-31.29%95.92M-6.25%69.01M-28.02%45.41M36.54%65.22M18.90%139.61M18.90%139.61M5.53%73.6M
-Deferred income -17.14%449.61M-4.84%531.99M-4.28%555.75M-4.28%555.75M-0.20%567.87M-6.16%542.63M-1.47%559.04M0.93%580.61M0.93%580.61M-0.10%569M
Other liabilities --127.41M--114.28M--63.63M--63.63M------------------------
Total liability 6.61%85.43B-1.61%83.52B0.61%83.56B0.61%83.56B1.59%80.62B4.95%80.14B14.96%84.89B12.61%83.06B12.61%83.06B13.62%79.36B
Shareholders'equity
Share capital 0.00%3.89B1.12%3.89B6.69%3.89B6.69%3.89B6.69%3.89B6.69%3.89B5.50%3.85B5.78%3.65B5.78%3.65B5.78%3.65B
-common stock 0.00%3.89B1.12%3.89B6.69%3.89B6.69%3.89B6.69%3.89B6.69%3.89B5.50%3.85B5.78%3.65B5.78%3.65B5.78%3.65B
Retained earnings --------5.18%3.26B5.18%3.26B------------4.44%3.1B4.44%3.1B----
Other reserves 7.86%3.69B6.69%3.56B366.11%254.48M366.11%254.48M12.83%3.57B13.27%3.42B10.85%3.34B600.93%54.6M600.93%54.6M3.58%3.16B
Total stockholders'equity 3.68%7.58B3.71%7.45B8.89%7.4B8.89%7.4B9.54%7.45B9.67%7.31B7.92%7.18B6.19%6.8B6.19%6.8B4.75%6.81B
Noncontrolling interests --2.47M--1.56M--------------------------------
Total equity 3.71%7.59B3.73%7.45B8.89%7.4B8.89%7.4B9.54%7.45B9.67%7.31B7.92%7.18B6.19%6.8B6.19%6.8B4.75%6.81B
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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