(Q9)Sep 30, 2024 | (Q6)Jun 30, 2024 | (Q3)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q9)Sep 30, 2023 | (Q6)Jun 30, 2023 | (Q3)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q9)Sep 30, 2022 | (Q6)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Money funds | 14.79%20.76B | -13.42%17.12B | -1.46%17.45B | -12.96%16.75B | --18.08B | 2.66%19.77B | --17.71B | 15.60%19.24B | ---- | 21.48%19.26B |
-Including:Client deposit | -12.50%13.75B | -16.49%14.15B | -12.97%13.75B | -14.49%13.56B | --15.71B | 5.54%16.94B | --15.8B | 14.99%15.85B | ---- | 27.33%16.05B |
Settlement provisions | -9.24%2.34B | 6.24%3.08B | -13.62%2.37B | 3.95%2.73B | --2.58B | -17.01%2.9B | --2.74B | -20.48%2.63B | ---- | 1.99%3.49B |
-Including:Client provisions | 4.63%1.83B | -4.08%2.41B | -9.91%1.83B | -10.09%2.03B | --1.75B | -16.16%2.52B | --2.03B | -19.10%2.26B | ---- | 7.51%3B |
Transactional financial assets | 20.08%33.05B | -3.35%27.93B | -0.15%28.34B | 3.70%29.16B | --27.53B | 4.37%28.9B | --28.38B | 5.58%28.12B | ---- | 43.07%27.69B |
Derivative assets | ---- | -98.70%144.92K | ---- | -94.22%312.18K | --9.98M | -39.92%11.17M | --10.82M | -81.25%5.41M | ---- | -49.18%18.6M |
Bought sellback assets | 0.39%230.94M | 503.90%2.72B | 143.87%698.66M | 8.85%188.27M | --230.04M | 255.73%450.26M | --286.49M | -29.32%172.95M | ---- | -82.54%126.58M |
Refundable deposit | -11.90%2.56B | 3.72%2.44B | -10.81%2.59B | 12.29%2.62B | --2.9B | 5.85%2.36B | --2.91B | 6.00%2.33B | ---- | 1.82%2.23B |
Debt investment | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -64.49%205.59M |
Other debt investment | 59.82%14.01B | 97.29%11.87B | 41.79%11.52B | 717.53%13.08B | --8.77B | 872.91%6.02B | --8.12B | 4.70%1.6B | ---- | -82.01%618.63M |
Other equity investment | -99.84%530.25K | -68.32%118.83M | -64.43%185.96M | 415.28%336.14M | --337.63M | --375.16M | --522.85M | --65.23M | ---- | ---- |
Long term equity investment | 3.12%463.32M | 4.25%467.23M | 5.10%450.91M | 4.19%448.89M | --449.31M | 7.77%448.16M | --429.01M | 2.23%430.83M | ---- | -0.80%415.84M |
Fixed assets | ---- | -8.07%96.04M | ---- | ---- | ---- | 26.77%104.47M | ---- | 28.78%108.17M | ---- | --82.41M |
Intangible assets | 0.86%120.89M | 7.92%127.87M | 5.26%131M | 6.52%138.29M | --119.86M | 6.71%118.48M | --124.45M | 7.13%129.83M | ---- | 1.55%111.03M |
Goodwill | 0.00%1.01M | 0.00%1.01M | 0.00%1.01M | 0.00%1.01M | --1.01M | 0.00%1.01M | --1.01M | 0.00%1.01M | ---- | 0.00%1.01M |
Deferred tax assets | -46.31%181.27M | -40.41%199.96M | -28.87%254.46M | -46.05%196.5M | --337.6M | -31.09%335.56M | --357.74M | -16.00%364.25M | ---- | 5.36%486.92M |
Financing funds | -3.26%9.99B | 0.93%10.25B | 6.10%10.71B | 16.32%11.07B | --10.32B | 11.12%10.16B | --10.09B | -16.02%9.51B | ---- | -15.00%9.14B |
Other assets | -12.26%218.18M | -15.96%265.06M | -27.82%213.46M | -45.70%250.95M | --248.68M | -30.54%315.38M | --295.75M | -19.47%462.15M | ---- | -60.26%454.07M |
Total assets | 17.08%85.17B | 6.26%77.39B | 4.63%76.04B | 18.51%77.92B | 15.01%72.75B | 12.07%72.83B | --72.67B | 1.68%65.75B | --63.26B | 8.94%64.98B |
Liabilities | ||||||||||
Short term loan | 109.32%646.76M | 100.56%572.85M | 7.43%416.68M | 739.27%351.05M | --308.98M | 100.23%285.62M | --387.88M | --41.83M | ---- | -69.11%142.65M |
Borrowing capital | 7.71%13.14B | 51.51%14.02B | 124.82%10.38B | 82.23%13.83B | --12.2B | 30.23%9.25B | --4.62B | 9.89%7.59B | ---- | 136.53%7.11B |
Transactional financial liabilities | 5,619.28%610.92M | -99.69%51.23K | -64.62%64.33M | -96.84%6.85M | --10.68M | -97.64%16.28M | --181.83M | -41.63%216.75M | ---- | 124.54%691.34M |
Contract liabilities | -64.32%3.73M | 601.17%9.12M | --8.39M | 299.72%9.11M | --10.45M | --1.3M | ---- | -62.33%2.28M | ---- | ---- |
Derivative liabilities | --2.98M | 1,974.01%23.42M | --6.73M | --15.29M | ---- | --1.13M | ---- | ---- | ---- | ---- |
Funds from selling out and repurchasing financial assets | 57.27%12.85B | 33.16%12.19B | -36.44%11.63B | -0.34%11.8B | --8.17B | -10.56%9.15B | --18.29B | 45.80%11.84B | ---- | -2.30%10.24B |
Funds from securities trading agency | 10.86%22B | -14.28%17.99B | -9.40%17.48B | -12.03%17.26B | --19.84B | 2.42%20.98B | --19.29B | 10.09%19.62B | ---- | 21.48%20.49B |
Funds from underwriting securities agency | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --100M |
Salaries payable | -47.81%480.48M | -47.74%495M | -41.32%833.33M | -45.84%567.63M | --920.61M | -36.61%947.27M | --1.42B | -27.15%1.05B | ---- | 33.90%1.49B |
Taxs payable | -34.99%51.58M | -63.31%32.86M | -191.18%-45.54M | -56.04%67.45M | --79.34M | -30.46%89.56M | --49.95M | 1.35%153.42M | ---- | 25.52%128.79M |
Estimate liabilities | -87.34%851.35K | -84.60%1.04M | -63.17%2.48M | -63.17%2.48M | --6.73M | --6.73M | --6.73M | --6.73M | ---- | ---- |
Long term Loan | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -33.95%296.35M | ---- | 2.78%469.33M |
Bonds payable | 19.13%11.48B | -14.43%10.4B | 22.96%12.43B | 5.06%9.65B | --9.64B | 26.72%12.16B | --10.11B | -31.28%9.18B | ---- | -10.86%9.59B |
Deferred tax liabilitise | 159.42%263.96K | 13,283.04%13.71M | -53.04%762.13K | 60.83%263.96K | --101.75K | -91.67%102.45K | --1.62M | -99.73%164.12K | ---- | -96.42%1.23M |
Other liabilitise | 58.24%1.1B | 0.66%813.2M | 17.65%689.49M | 65.49%803.5M | --692.5M | 25.77%807.88M | --586.07M | -53.06%485.53M | ---- | -61.48%642.37M |
Total liabilities | 17.02%64.23B | 5.73%58.49B | 3.54%57.52B | 15.54%59.58B | 10.63%54.89B | 7.19%55.32B | --55.55B | -0.48%51.57B | --49.61B | 8.39%51.61B |
Shareholders equity | ||||||||||
Paid-in capital | 0.00%3.24B | 0.00%3.24B | 0.00%3.24B | 11.11%3.24B | --3.24B | 11.11%3.24B | --3.24B | 0.00%2.92B | ---- | 0.00%2.92B |
Other equity instruments | --2B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Equity of Perpetual debt | --2B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Capital reserve funds | -0.07%4.01B | 0.00%4.02B | 0.00%4.02B | 128.26%4.02B | --4.02B | 128.26%4.02B | --4.02B | 0.00%1.76B | ---- | 0.00%1.76B |
Surplus reserve funds | 11.98%1.15B | 11.98%1.15B | 14.33%1.09B | 14.33%1.09B | --1.03B | 14.76%1.03B | --953.2M | 15.84%953.2M | ---- | 16.22%893.36M |
Retained profit | 8.33%7.21B | 12.32%7.08B | 13.72%6.97B | 15.15%6.81B | --6.66B | 16.59%6.3B | --6.13B | 15.01%5.91B | ---- | 17.65%5.4B |
Other composite income | 115.58%139.18M | 199.54%218.21M | 21.31%147.45M | 6,288.81%132.42M | --64.56M | 1,644.70%72.85M | --121.55M | 128.27%2.07M | ---- | 109.06%4.18M |
Ordinary risk reserve funds | 13.01%2.61B | 13.01%2.61B | 15.59%2.47B | 15.59%2.47B | --2.31B | 16.35%2.31B | --2.13B | 17.98%2.13B | ---- | 18.59%1.98B |
Shareholders equity without minority interests | 17.61%20.36B | 7.92%18.31B | 8.05%17.94B | 29.79%17.76B | 31.16%17.31B | 30.88%16.96B | --16.6B | 9.94%13.68B | --13.2B | 11.11%12.96B |
Minority interests | 6.47%587.8M | 8.33%590.02M | 12.52%584.94M | 16.41%580.83M | --552.06M | 32.40%544.66M | --519.85M | 25.72%498.97M | ---- | 10.55%411.37M |
Total shareholder equity | 17.27%20.95B | 7.94%18.9B | 8.19%18.52B | 29.32%18.34B | 30.91%17.86B | 30.92%17.51B | --17.12B | 10.42%14.18B | --13.65B | 11.09%13.37B |
Total liabilities and equity | 17.08%85.17B | 6.26%77.39B | 4.63%76.04B | 18.51%77.92B | 15.01%72.75B | 12.07%72.83B | --72.67B | 1.68%65.75B | --63.26B | 8.94%64.98B |
Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
Accounting Standards | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) |
Audit Opinions | -- | -- | -- | Unqualified opinion | -- | -- | -- | Unqualified opinion | -- | -- |
Auditor | -- | -- | -- | Tianji International Accounting Firm (Special General Partnership) | -- | -- | -- | Ernst & Young Huaming 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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