MY Stock MarketDetailed Quotes

5819 HLBANK

Watchlist
  • 20.000
  • -0.060-0.30%
15min DelayNot Open Dec 20 16:50 CST
41.73BMarket Cap9.64P/E (TTM)

HLBANK Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
Assets
Cash, cash equivalents and federal funds sold
41.46%16.46B
-17.25%9.96B
-17.25%9.96B
-31.94%10.97B
-23.11%9.2B
-25.65%11.64B
61.45%12.04B
61.45%12.04B
62.85%16.12B
65.22%11.96B
-Cash and cash equivalents
39.16%15.98B
-19.72%9.67B
-19.72%9.67B
-33.17%10.78B
-23.64%9B
-26.60%11.49B
61.45%12.04B
61.45%12.04B
64.63%16.12B
65.07%11.78B
-Including:Cash
49.02%12B
-1.59%2.39B
-1.59%2.39B
-43.52%6.76B
-29.35%5.32B
-35.86%8.05B
36.32%2.43B
36.32%2.43B
48.55%11.97B
18.54%7.54B
-Including:Cash equivalents
----
-41.16%3.4B
-41.16%3.4B
----
----
----
33.96%5.78B
33.96%5.78B
----
----
-Including:Cash and bank accounts receivable
16.07%3.99B
1.10%3.88B
1.10%3.88B
-3.41%4.02B
-13.49%3.67B
10.91%3.43B
181.24%3.83B
181.24%3.83B
139.09%4.16B
444.45%4.25B
-Restricted cash and investment
--779K
----
----
----
----
----
----
----
----
----
-Money market investments
218.22%474.07M
--297.32M
--297.32M
--199.14M
11.28%199.82M
--148.97M
----
----
----
75.66%179.57M
Financial asset investment
-8.75%68.82B
2.63%67.22B
2.63%67.22B
15.12%77.62B
10.83%76.53B
13.66%75.42B
-0.27%65.49B
-0.27%65.49B
-0.97%67.43B
1.22%69.05B
-Available-for-sale securities
-8.79%62.55B
8.26%62.45B
8.26%62.45B
21.73%72.48B
15.72%69.82B
21.41%68.58B
1.97%57.68B
1.97%57.68B
3.81%59.54B
2.79%60.33B
-Total financial assets designated as fair value through profit or loss
-33.18%3.32B
-39.61%3.42B
-39.61%3.42B
-42.42%3.69B
-27.88%4.88B
-27.13%4.96B
-21.94%5.65B
-21.94%5.65B
-32.58%6.41B
-21.83%6.76B
-Derivative assets
57.11%2.95B
-37.16%1.35B
-37.16%1.35B
-1.70%1.45B
-6.17%1.83B
-38.61%1.88B
16.21%2.15B
16.21%2.15B
20.61%1.47B
124.94%1.95B
Long-term equity investment
4.23%9.06B
10.63%9.64B
10.63%9.64B
25.74%9.67B
26.70%9.19B
30.46%8.69B
34.97%8.71B
34.97%8.71B
18.46%7.69B
19.27%7.25B
Net loan
6.08%158.38B
6.49%158.07B
6.49%158.07B
7.97%153.76B
7.77%151.81B
7.54%149.3B
8.00%148.44B
8.00%148.44B
7.13%142.41B
7.47%140.86B
-Loans and advance payments to customers
0.05%7.26B
0.85%7.47B
0.85%7.47B
4.69%7.25B
4.94%7.25B
10.54%7.26B
12.24%7.41B
12.24%7.41B
8.17%6.92B
6.99%6.91B
-Other loan assets
6.19%152.64B
6.60%152.22B
6.60%152.22B
7.94%148.17B
7.76%146.25B
7.24%143.74B
7.70%142.79B
7.70%142.79B
7.04%137.27B
7.33%135.71B
-Allowance for loan and lease losses
-9.93%1.53B
-8.27%1.61B
-8.27%1.61B
-6.62%1.66B
-4.19%1.69B
-4.63%1.69B
1.31%1.76B
1.31%1.76B
4.65%1.78B
-3.95%1.76B
Assets collateralized as collateral for sale or remortgage
-76.32%238.17M
25.63%10.65B
25.63%10.65B
27.24%840.58M
11.17%782.56M
-15.66%1.01B
218.07%8.47B
218.07%8.47B
-3.89%660.61M
83.21%703.93M
Receivables
33.81%3.61B
64.73%4.79B
64.73%4.79B
16.34%2.82B
22.88%2.87B
12.01%2.69B
1.91%2.9B
1.91%2.9B
-26.26%2.42B
-15.32%2.34B
Finance lease receivables
11.35%22.79B
11.59%22.5B
11.59%22.5B
10.30%21.78B
9.43%21.14B
8.52%20.47B
10.28%20.16B
10.28%20.16B
11.07%19.74B
10.44%19.32B
Net PPE
-6.45%1.13B
-5.63%1.16B
-5.63%1.16B
-7.62%1.19B
-10.02%1.19B
-9.98%1.21B
-6.88%1.23B
-6.88%1.23B
-1.67%1.29B
-2.56%1.32B
-Gross PP&E
-6.45%1.13B
0.34%2.57B
0.34%2.57B
-7.62%1.19B
-10.02%1.19B
-9.98%1.21B
-3.72%2.57B
-3.72%2.57B
-1.67%1.29B
-2.56%1.32B
-Accum depreciation
----
-5.85%-1.41B
-5.85%-1.41B
----
----
----
0.61%-1.33B
0.61%-1.33B
----
----
Goodwill and other intangible assets
-1.20%2.17B
-0.41%2.18B
-0.41%2.18B
1.91%2.19B
2.69%2.2B
2.45%2.2B
2.70%2.19B
2.70%2.19B
1.07%2.15B
1.84%2.14B
-Goodwill
0.00%1.83B
0.00%1.83B
0.00%1.83B
0.00%1.83B
0.00%1.83B
0.00%1.83B
0.00%1.83B
0.00%1.83B
0.00%1.83B
0.00%1.83B
-Other intangible assets
-7.22%337.57M
-2.47%353.48M
-2.47%353.48M
12.87%360.91M
18.55%367.97M
16.83%363.84M
18.93%362.44M
18.93%362.44M
7.69%319.76M
14.24%310.39M
Total tax assets
-47.15%223.39M
-36.14%262.12M
-36.14%262.12M
-41.72%246.89M
-44.87%267.62M
-23.26%422.68M
-22.38%410.44M
-22.38%410.44M
0.15%423.62M
21.83%485.44M
-Deferred tax assets
-47.15%223.39M
-36.14%262.12M
-36.14%262.12M
-41.72%246.89M
-44.87%267.62M
-23.26%422.68M
-22.38%410.44M
-22.38%410.44M
0.15%423.62M
21.83%485.44M
Other assets
5.41%10.05B
16.00%11.35B
16.00%11.35B
10.99%10.06B
1.51%9.9B
9.20%9.53B
2.75%9.79B
2.75%9.79B
2.39%9.07B
26.54%9.75B
Total assets
3.66%292.92B
6.41%297.79B
6.41%297.79B
8.07%291.15B
7.50%285.08B
7.56%282.57B
10.03%279.85B
10.03%279.85B
6.96%269.41B
8.33%265.19B
Liabilities
Advances from central banks
2.39%1.54B
2.41%1.53B
2.41%1.53B
-6.17%1.52B
-6.13%1.51B
-5.62%1.51B
-5.23%1.5B
-5.23%1.5B
4.15%1.62B
4.35%1.61B
Items in the course of transmission to other banks
-61.77%105.39M
25.33%255.7M
25.33%255.7M
165.97%278.51M
-79.76%54.26M
52.39%275.69M
58.44%204.03M
58.44%204.03M
-30.98%104.72M
21.76%268.03M
Total deposits
2.51%226.21B
4.67%232.69B
4.67%232.69B
7.16%224.55B
7.52%220.51B
6.42%220.67B
8.60%222.31B
8.60%222.31B
4.16%209.55B
4.37%205.08B
Trading and financial liabilities
23.36%10.87B
4.50%9.05B
4.50%9.05B
9.06%8.84B
-19.94%9.08B
18.34%8.82B
27.57%8.66B
27.57%8.66B
52.75%8.11B
130.22%11.34B
-Total debt
31.82%4.28B
18.03%4.05B
18.03%4.05B
12.58%3.66B
17.40%3.78B
-0.05%3.25B
6.67%3.43B
6.67%3.43B
39.61%3.25B
39.47%3.22B
-Total financial lease obligations
-10.23%157.81M
-4.22%171.37M
-4.22%171.37M
-5.82%182.55M
-11.22%177.64M
-16.45%175.81M
-15.19%178.93M
-15.19%178.93M
5.04%193.83M
1.50%200.09M
-Derivative product liabilities
77.54%3.76B
-25.35%1.55B
-25.35%1.55B
2.09%1.73B
-69.07%1.84B
-22.43%2.12B
19.61%2.08B
19.61%2.08B
27.70%1.69B
445.60%5.96B
-Other financial liabilities
-18.30%2.68B
10.25%3.28B
10.25%3.28B
10.16%3.28B
67.06%3.28B
160.03%3.27B
83.03%2.97B
83.03%2.97B
102.05%2.97B
47.73%1.96B
Payables
-41.48%273.74M
25.24%524.39M
25.24%524.39M
15.13%445.73M
-41.13%276.35M
8.53%467.78M
20.10%418.7M
20.10%418.7M
49.18%387.15M
48.97%469.41M
-Taxes payable
0.00%437K
0.00%350K
0.00%350K
0.00%612K
0.00%525K
0.00%437K
0.00%350K
0.00%350K
0.00%612K
0.00%525K
-Other payables
-41.52%273.31M
25.26%524.04M
25.26%524.04M
15.16%445.12M
-41.17%275.83M
8.54%467.35M
20.12%418.35M
20.12%418.35M
49.29%386.54M
49.05%468.88M
Accrued liabilities and deferred income
-4.21%3.47B
-4.11%3.52B
-4.11%3.52B
-4.62%3.56B
-5.48%3.58B
-4.79%3.62B
-4.27%3.67B
-4.27%3.67B
-2.33%3.74B
-0.50%3.79B
-Deferred income
-4.21%3.47B
-4.11%3.52B
-4.11%3.52B
-4.62%3.56B
-5.48%3.58B
-4.79%3.62B
-4.27%3.67B
-4.27%3.67B
-2.33%3.74B
-0.50%3.79B
Total provisions
-6.02%27.26M
-1.16%28.91M
-1.16%28.91M
0.48%29.12M
15.37%29.28M
8.67%29M
14.39%29.25M
14.39%29.25M
1.95%28.98M
-1.61%25.38M
Total pension and other postretirement benefit plans
10.05%232.83M
5.56%180.09M
5.56%180.09M
-3.13%131.52M
-7.61%192.33M
-3.79%211.57M
-5.20%170.6M
-5.20%170.6M
5.85%135.76M
7.58%208.17M
Other liabilities
6.44%13.55B
41.62%12.54B
41.62%12.54B
21.11%15.4B
40.25%14.18B
23.50%12.73B
62.50%8.86B
62.50%8.86B
46.37%12.72B
50.56%10.11B
Total liability
3.26%256.48B
5.95%260.49B
5.95%260.49B
7.80%254.91B
7.05%249.54B
7.27%248.39B
10.08%245.86B
10.08%245.86B
6.75%236.48B
8.55%233.11B
Shareholders'equity
Share capital
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
-common stock
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
0.00%7.74B
Retained earnings
--27.87B
10.62%27.67B
10.62%27.67B
--26.71B
--26.25B
----
10.07%25.02B
10.07%25.02B
----
----
Less: Treasury stock
-0.85%701.79M
-0.86%702.67M
-0.86%702.67M
-0.86%702.67M
-0.75%704.36M
-0.70%707.84M
-0.69%708.77M
-0.69%708.77M
-0.69%708.77M
-0.68%709.69M
Other reserves
-94.37%1.53B
34.05%2.55B
34.05%2.55B
-90.39%2.49B
-90.98%2.26B
12.50%27.16B
61.83%1.91B
61.83%1.91B
11.00%25.9B
8.73%25.05B
Other equity interest
----
-13.96%28.57M
-13.96%28.57M
----
----
----
-42.93%33.21M
-42.93%33.21M
----
----
Total stockholders'equity
6.59%36.44B
9.73%37.29B
9.73%37.29B
10.04%36.24B
10.79%35.55B
9.70%34.19B
9.67%33.99B
9.67%33.99B
8.47%32.93B
6.71%32.08B
Total equity
6.59%36.44B
9.73%37.29B
9.73%37.29B
10.04%36.24B
10.79%35.55B
9.70%34.19B
9.67%33.99B
9.67%33.99B
8.47%32.93B
6.71%32.08B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022
Assets
Cash, cash equivalents and federal funds sold 41.46%16.46B-17.25%9.96B-17.25%9.96B-31.94%10.97B-23.11%9.2B-25.65%11.64B61.45%12.04B61.45%12.04B62.85%16.12B65.22%11.96B
-Cash and cash equivalents 39.16%15.98B-19.72%9.67B-19.72%9.67B-33.17%10.78B-23.64%9B-26.60%11.49B61.45%12.04B61.45%12.04B64.63%16.12B65.07%11.78B
-Including:Cash 49.02%12B-1.59%2.39B-1.59%2.39B-43.52%6.76B-29.35%5.32B-35.86%8.05B36.32%2.43B36.32%2.43B48.55%11.97B18.54%7.54B
-Including:Cash equivalents -----41.16%3.4B-41.16%3.4B------------33.96%5.78B33.96%5.78B--------
-Including:Cash and bank accounts receivable 16.07%3.99B1.10%3.88B1.10%3.88B-3.41%4.02B-13.49%3.67B10.91%3.43B181.24%3.83B181.24%3.83B139.09%4.16B444.45%4.25B
-Restricted cash and investment --779K------------------------------------
-Money market investments 218.22%474.07M--297.32M--297.32M--199.14M11.28%199.82M--148.97M------------75.66%179.57M
Financial asset investment -8.75%68.82B2.63%67.22B2.63%67.22B15.12%77.62B10.83%76.53B13.66%75.42B-0.27%65.49B-0.27%65.49B-0.97%67.43B1.22%69.05B
-Available-for-sale securities -8.79%62.55B8.26%62.45B8.26%62.45B21.73%72.48B15.72%69.82B21.41%68.58B1.97%57.68B1.97%57.68B3.81%59.54B2.79%60.33B
-Total financial assets designated as fair value through profit or loss -33.18%3.32B-39.61%3.42B-39.61%3.42B-42.42%3.69B-27.88%4.88B-27.13%4.96B-21.94%5.65B-21.94%5.65B-32.58%6.41B-21.83%6.76B
-Derivative assets 57.11%2.95B-37.16%1.35B-37.16%1.35B-1.70%1.45B-6.17%1.83B-38.61%1.88B16.21%2.15B16.21%2.15B20.61%1.47B124.94%1.95B
Long-term equity investment 4.23%9.06B10.63%9.64B10.63%9.64B25.74%9.67B26.70%9.19B30.46%8.69B34.97%8.71B34.97%8.71B18.46%7.69B19.27%7.25B
Net loan 6.08%158.38B6.49%158.07B6.49%158.07B7.97%153.76B7.77%151.81B7.54%149.3B8.00%148.44B8.00%148.44B7.13%142.41B7.47%140.86B
-Loans and advance payments to customers 0.05%7.26B0.85%7.47B0.85%7.47B4.69%7.25B4.94%7.25B10.54%7.26B12.24%7.41B12.24%7.41B8.17%6.92B6.99%6.91B
-Other loan assets 6.19%152.64B6.60%152.22B6.60%152.22B7.94%148.17B7.76%146.25B7.24%143.74B7.70%142.79B7.70%142.79B7.04%137.27B7.33%135.71B
-Allowance for loan and lease losses -9.93%1.53B-8.27%1.61B-8.27%1.61B-6.62%1.66B-4.19%1.69B-4.63%1.69B1.31%1.76B1.31%1.76B4.65%1.78B-3.95%1.76B
Assets collateralized as collateral for sale or remortgage -76.32%238.17M25.63%10.65B25.63%10.65B27.24%840.58M11.17%782.56M-15.66%1.01B218.07%8.47B218.07%8.47B-3.89%660.61M83.21%703.93M
Receivables 33.81%3.61B64.73%4.79B64.73%4.79B16.34%2.82B22.88%2.87B12.01%2.69B1.91%2.9B1.91%2.9B-26.26%2.42B-15.32%2.34B
Finance lease receivables 11.35%22.79B11.59%22.5B11.59%22.5B10.30%21.78B9.43%21.14B8.52%20.47B10.28%20.16B10.28%20.16B11.07%19.74B10.44%19.32B
Net PPE -6.45%1.13B-5.63%1.16B-5.63%1.16B-7.62%1.19B-10.02%1.19B-9.98%1.21B-6.88%1.23B-6.88%1.23B-1.67%1.29B-2.56%1.32B
-Gross PP&E -6.45%1.13B0.34%2.57B0.34%2.57B-7.62%1.19B-10.02%1.19B-9.98%1.21B-3.72%2.57B-3.72%2.57B-1.67%1.29B-2.56%1.32B
-Accum depreciation -----5.85%-1.41B-5.85%-1.41B------------0.61%-1.33B0.61%-1.33B--------
Goodwill and other intangible assets -1.20%2.17B-0.41%2.18B-0.41%2.18B1.91%2.19B2.69%2.2B2.45%2.2B2.70%2.19B2.70%2.19B1.07%2.15B1.84%2.14B
-Goodwill 0.00%1.83B0.00%1.83B0.00%1.83B0.00%1.83B0.00%1.83B0.00%1.83B0.00%1.83B0.00%1.83B0.00%1.83B0.00%1.83B
-Other intangible assets -7.22%337.57M-2.47%353.48M-2.47%353.48M12.87%360.91M18.55%367.97M16.83%363.84M18.93%362.44M18.93%362.44M7.69%319.76M14.24%310.39M
Total tax assets -47.15%223.39M-36.14%262.12M-36.14%262.12M-41.72%246.89M-44.87%267.62M-23.26%422.68M-22.38%410.44M-22.38%410.44M0.15%423.62M21.83%485.44M
-Deferred tax assets -47.15%223.39M-36.14%262.12M-36.14%262.12M-41.72%246.89M-44.87%267.62M-23.26%422.68M-22.38%410.44M-22.38%410.44M0.15%423.62M21.83%485.44M
Other assets 5.41%10.05B16.00%11.35B16.00%11.35B10.99%10.06B1.51%9.9B9.20%9.53B2.75%9.79B2.75%9.79B2.39%9.07B26.54%9.75B
Total assets 3.66%292.92B6.41%297.79B6.41%297.79B8.07%291.15B7.50%285.08B7.56%282.57B10.03%279.85B10.03%279.85B6.96%269.41B8.33%265.19B
Liabilities
Advances from central banks 2.39%1.54B2.41%1.53B2.41%1.53B-6.17%1.52B-6.13%1.51B-5.62%1.51B-5.23%1.5B-5.23%1.5B4.15%1.62B4.35%1.61B
Items in the course of transmission to other banks -61.77%105.39M25.33%255.7M25.33%255.7M165.97%278.51M-79.76%54.26M52.39%275.69M58.44%204.03M58.44%204.03M-30.98%104.72M21.76%268.03M
Total deposits 2.51%226.21B4.67%232.69B4.67%232.69B7.16%224.55B7.52%220.51B6.42%220.67B8.60%222.31B8.60%222.31B4.16%209.55B4.37%205.08B
Trading and financial liabilities 23.36%10.87B4.50%9.05B4.50%9.05B9.06%8.84B-19.94%9.08B18.34%8.82B27.57%8.66B27.57%8.66B52.75%8.11B130.22%11.34B
-Total debt 31.82%4.28B18.03%4.05B18.03%4.05B12.58%3.66B17.40%3.78B-0.05%3.25B6.67%3.43B6.67%3.43B39.61%3.25B39.47%3.22B
-Total financial lease obligations -10.23%157.81M-4.22%171.37M-4.22%171.37M-5.82%182.55M-11.22%177.64M-16.45%175.81M-15.19%178.93M-15.19%178.93M5.04%193.83M1.50%200.09M
-Derivative product liabilities 77.54%3.76B-25.35%1.55B-25.35%1.55B2.09%1.73B-69.07%1.84B-22.43%2.12B19.61%2.08B19.61%2.08B27.70%1.69B445.60%5.96B
-Other financial liabilities -18.30%2.68B10.25%3.28B10.25%3.28B10.16%3.28B67.06%3.28B160.03%3.27B83.03%2.97B83.03%2.97B102.05%2.97B47.73%1.96B
Payables -41.48%273.74M25.24%524.39M25.24%524.39M15.13%445.73M-41.13%276.35M8.53%467.78M20.10%418.7M20.10%418.7M49.18%387.15M48.97%469.41M
-Taxes payable 0.00%437K0.00%350K0.00%350K0.00%612K0.00%525K0.00%437K0.00%350K0.00%350K0.00%612K0.00%525K
-Other payables -41.52%273.31M25.26%524.04M25.26%524.04M15.16%445.12M-41.17%275.83M8.54%467.35M20.12%418.35M20.12%418.35M49.29%386.54M49.05%468.88M
Accrued liabilities and deferred income -4.21%3.47B-4.11%3.52B-4.11%3.52B-4.62%3.56B-5.48%3.58B-4.79%3.62B-4.27%3.67B-4.27%3.67B-2.33%3.74B-0.50%3.79B
-Deferred income -4.21%3.47B-4.11%3.52B-4.11%3.52B-4.62%3.56B-5.48%3.58B-4.79%3.62B-4.27%3.67B-4.27%3.67B-2.33%3.74B-0.50%3.79B
Total provisions -6.02%27.26M-1.16%28.91M-1.16%28.91M0.48%29.12M15.37%29.28M8.67%29M14.39%29.25M14.39%29.25M1.95%28.98M-1.61%25.38M
Total pension and other postretirement benefit plans 10.05%232.83M5.56%180.09M5.56%180.09M-3.13%131.52M-7.61%192.33M-3.79%211.57M-5.20%170.6M-5.20%170.6M5.85%135.76M7.58%208.17M
Other liabilities 6.44%13.55B41.62%12.54B41.62%12.54B21.11%15.4B40.25%14.18B23.50%12.73B62.50%8.86B62.50%8.86B46.37%12.72B50.56%10.11B
Total liability 3.26%256.48B5.95%260.49B5.95%260.49B7.80%254.91B7.05%249.54B7.27%248.39B10.08%245.86B10.08%245.86B6.75%236.48B8.55%233.11B
Shareholders'equity
Share capital 0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B
-common stock 0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B0.00%7.74B
Retained earnings --27.87B10.62%27.67B10.62%27.67B--26.71B--26.25B----10.07%25.02B10.07%25.02B--------
Less: Treasury stock -0.85%701.79M-0.86%702.67M-0.86%702.67M-0.86%702.67M-0.75%704.36M-0.70%707.84M-0.69%708.77M-0.69%708.77M-0.69%708.77M-0.68%709.69M
Other reserves -94.37%1.53B34.05%2.55B34.05%2.55B-90.39%2.49B-90.98%2.26B12.50%27.16B61.83%1.91B61.83%1.91B11.00%25.9B8.73%25.05B
Other equity interest -----13.96%28.57M-13.96%28.57M-------------42.93%33.21M-42.93%33.21M--------
Total stockholders'equity 6.59%36.44B9.73%37.29B9.73%37.29B10.04%36.24B10.79%35.55B9.70%34.19B9.67%33.99B9.67%33.99B8.47%32.93B6.71%32.08B
Total equity 6.59%36.44B9.73%37.29B9.73%37.29B10.04%36.24B10.79%35.55B9.70%34.19B9.67%33.99B9.67%33.99B8.47%32.93B6.71%32.08B
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.