CN Stock MarketDetailed Quotes

601108 Caitong

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  • 8.48
  • -0.19-2.19%
Market Closed Dec 13 15:00 CST
39.38BMarket Cap17.70P/E (TTM)

Caitong Key Stats

All
YOY yoy
Hide blank lines yoy
(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
77.59%30.1B
11.73%22.2B
1.93%21.22B
-10.49%18.89B
-4.19%16.95B
-11.47%19.87B
-5.21%20.82B
-7.45%21.11B
-7.10%17.69B
17.78%22.45B
-Including:Client deposit
76.54%23.89B
-5.80%15.06B
-3.25%16.66B
-15.25%14.25B
-3.61%13.53B
-13.54%15.99B
6.74%17.22B
2.63%16.81B
-8.59%14.04B
19.69%18.49B
Settlement provisions
23.66%6.54B
3.05%5.17B
12.03%5.37B
-0.36%5.05B
4.00%5.29B
-2.73%5.02B
-1.54%4.79B
-10.51%5.07B
-9.55%5.09B
-1.79%5.16B
-Including:Client provisions
33.89%4.28B
-10.95%2.93B
-5.37%3.17B
-14.33%2.95B
-13.59%3.19B
-16.33%3.29B
-8.48%3.35B
-20.98%3.44B
-19.09%3.7B
-3.66%3.93B
Transactional financial assets
3.41%47.96B
2.74%49.75B
12.16%50.55B
13.25%50.16B
23.26%46.38B
45.84%48.42B
46.36%45.07B
37.75%44.29B
38.59%37.63B
34.21%33.2B
Derivative assets
130.41%1.59B
1,073.68%2.78B
1,660.77%2.18B
585.87%1.13B
346.65%688.2M
121.12%236.47M
58.30%123.8M
-42.47%164.44M
-42.91%154.08M
-44.57%106.94M
Bought sellback assets
-12.69%3.19B
12.08%4.05B
39.36%5.25B
26.54%5.5B
58.46%3.65B
71.37%3.61B
44.15%3.77B
82.64%4.35B
50.92%2.3B
-20.21%2.11B
Refundable deposit
12.67%961.75M
-27.44%569.92M
7.95%909.3M
111.41%1.09B
184.83%853.59M
196.90%785.45M
254.78%842.35M
77.32%513.55M
-27.00%299.69M
-17.37%264.55M
Debt investment
84.18%11.62B
70.09%11.87B
69.12%12B
58.72%11.2B
-10.98%6.31B
1.30%6.98B
0.83%7.09B
0.83%7.06B
1.57%7.09B
-17.83%6.89B
Other debt investment
9.76%8.2B
-10.36%13.06B
-14.83%12.08B
-50.35%6.94B
-25.60%7.47B
93.67%14.56B
78.30%14.18B
66.33%13.98B
30.28%10.04B
10.75%7.52B
Other equity investment
0.24%138.98M
0.24%138.98M
1.42%138.36M
1.42%138.36M
-0.18%138.64M
-0.18%138.64M
2.76%136.43M
2.76%136.43M
4.57%138.9M
4.57%138.9M
Long term equity investment
5.32%9.35B
7.27%9.23B
5.46%8.98B
6.95%8.93B
8.63%8.88B
8.42%8.61B
5.61%8.51B
6.17%8.35B
11.91%8.18B
11.19%7.94B
Investment property
-10.35%15.12M
-10.09%15.55M
-9.84%15.99M
-9.60%16.42M
-9.38%16.86M
-9.16%17.3M
-8.96%17.73M
-7.94%18.17M
-7.77%18.61M
-7.61%19.04M
Fixed assets
----
509.71%1.46B
----
----
----
-15.71%240.12M
----
-15.09%270.73M
----
-5.17%284.86M
Intangible assets
2.35%331.41M
-2.33%324.73M
-3.48%326.22M
-0.76%337.64M
-2.62%323.79M
-2.24%332.46M
-3.88%337.99M
-7.65%340.23M
-6.54%332.5M
-6.82%340.07M
Deferred tax assets
-56.35%383.56M
-59.36%342.65M
-69.84%153.67M
-37.11%436.6M
14.52%878.8M
20.99%843.22M
-24.34%509.5M
27.53%694.27M
36.00%767.35M
26.31%696.94M
Financing funds
-1.43%16.82B
1.58%17.12B
0.74%17.24B
20.07%19.07B
4.52%17.07B
-1.53%16.85B
-7.16%17.11B
-20.45%15.89B
-18.12%16.33B
-12.32%17.11B
Other assets
19.76%2.44B
11.73%2.03B
-7.36%1.85B
6.16%1.9B
36.08%2.04B
27.46%1.82B
106.78%2B
150.43%1.79B
67.23%1.5B
18.16%1.43B
Total assets
18.38%141.76B
8.86%141.28B
11.21%140.69B
6.41%133.75B
8.60%119.75B
21.70%129.79B
17.09%126.51B
13.83%125.69B
11.24%110.27B
9.37%106.65B
Liabilities
Short term loan
----
----
-85.60%9.09M
-91.69%9.07M
-62.06%96.47M
-79.92%85.02M
-67.44%63.13M
-54.64%109.06M
-10.04%254.24M
-2.17%423.42M
Borrowing capital
148.11%1.75B
159.73%2.35B
453.16%2.21B
--1.71B
--706.76M
201.24%904.02M
-53.46%400.31M
----
----
-0.03%300.09M
Transactional financial liabilities
-46.69%59.93M
-3.67%89.48M
69.98%119.31M
35.80%115.32M
64.49%112.41M
322.24%92.89M
216.20%70.19M
261.54%84.92M
--68.34M
--22M
Contract liabilities
-18.21%48.79M
23.98%58.21M
1.07%48.5M
1.58%48.62M
28.69%59.65M
7.23%46.95M
31.66%47.98M
38.57%47.87M
38.76%46.35M
74.12%43.78M
Derivative liabilities
99.83%530.31M
416.68%643.1M
255.63%406.12M
337.09%289.59M
228.87%265.38M
31.77%124.47M
191.63%114.2M
-59.58%66.25M
50.09%80.69M
81.19%94.46M
Funds from selling out and repurchasing financial assets
5.54%22.16B
-2.42%28.97B
-3.91%29.57B
-20.84%23.15B
-18.58%21B
44.18%29.69B
46.66%30.77B
38.42%29.24B
53.18%25.79B
31.51%20.59B
Funds from securities trading agency
55.93%27.26B
-6.99%18.31B
-2.73%19.48B
-8.90%18.87B
-7.63%17.48B
-11.92%19.68B
-9.22%20.02B
5.92%20.71B
-2.55%18.92B
18.54%22.35B
Funds from underwriting securities agency
----
-94.64%17M
----
----
----
953.82%317.2M
----
----
----
--30.1M
Salaries payable
-7.46%2.05B
-1.53%2.13B
-13.74%1.94B
0.99%2.16B
7.98%2.22B
6.76%2.16B
6.68%2.25B
-11.88%2.14B
-17.50%2.06B
-14.33%2.02B
Taxs payable
-8.37%191.3M
-22.37%125.55M
63.14%164.12M
-24.92%132.48M
42.88%208.78M
-5.18%161.72M
-65.55%100.6M
-72.48%176.45M
-53.72%146.12M
-52.31%170.56M
Bonds payable
30.95%34.76B
48.87%34.75B
26.62%32.33B
19.37%30.18B
4.17%26.54B
-8.78%23.34B
-15.31%25.53B
-16.36%25.29B
-3.28%25.48B
-6.28%25.59B
Deferred tax liabilitise
-93.86%15.14M
-97.10%8.07M
-81.59%35.08M
-80.91%22.25M
115.36%246.55M
284.85%277.77M
294.41%190.59M
20.10%116.58M
79.09%114.48M
3.77%72.18M
Other liabilitise
15.84%8.04B
38.62%8.17B
72.47%7.74B
152.89%7.58B
245.08%6.94B
359.58%5.89B
420.97%4.49B
211.75%3B
57.40%2.01B
-4.84%1.28B
Total liabilities
23.50%106.06B
10.33%106.01B
13.48%105.54B
6.91%99.13B
10.60%85.88B
28.93%96.08B
12.50%93B
8.81%92.72B
3.11%77.65B
0.37%74.52B
Shareholders equity
Paid-in capital
0.00%4.64B
0.00%4.64B
0.00%4.64B
0.00%4.64B
0.00%4.64B
0.00%4.64B
29.39%4.64B
29.39%4.64B
29.39%4.64B
29.39%4.64B
Other equity instruments
-0.00%488.08M
-0.00%488.08M
-0.00%488.08M
-0.00%488.08M
-0.00%488.08M
-0.00%488.08M
-0.00%488.09M
-0.00%488.09M
-0.00%488.09M
-0.00%488.09M
Capital reserve funds
0.00%14.78B
0.00%14.78B
0.00%14.78B
0.00%14.78B
0.00%14.78B
0.00%14.78B
70.16%14.78B
70.16%14.78B
78.76%14.78B
78.76%14.78B
Surplus reserve funds
11.26%1.45B
11.44%1.45B
11.24%1.45B
11.23%1.45B
3.54%1.3B
3.43%1.3B
3.59%1.3B
3.61%1.3B
18.56%1.26B
18.56%1.26B
Retained profit
13.83%9.61B
10.38%9.08B
11.31%9.09B
12.50%8.64B
12.83%8.44B
16.60%8.22B
8.46%8.16B
4.03%7.68B
5.02%7.48B
6.94%7.05B
Other composite income
37.06%241.7M
52.71%362.38M
118.20%247.98M
126.47%177.08M
5.65%176.34M
91.62%237.31M
52.44%113.64M
10.82%78.19M
132.06%166.92M
110.49%123.84M
Ordinary risk reserve funds
11.05%4.47B
11.12%4.46B
11.21%4.44B
11.26%4.43B
6.34%4.03B
6.45%4.01B
6.57%3.99B
6.63%3.98B
17.67%3.79B
17.83%3.77B
Shareholders equity without minority interests
5.39%35.68B
4.67%35.25B
4.93%35.13B
5.02%34.6B
3.85%33.85B
4.89%33.68B
31.99%33.48B
30.73%32.95B
36.88%32.6B
38.08%32.11B
Minority interests
-4.06%21.95M
-4.18%22.2M
-3.99%22.45M
-4.53%22.62M
-4.63%22.87M
92.56%23.17M
89.89%23.38M
93.04%23.69M
146.76%23.99M
27.11%12.03M
Total shareholder equity
5.38%35.7B
4.66%35.28B
4.93%35.15B
5.01%34.63B
3.84%33.88B
4.92%33.7B
32.02%33.5B
30.76%32.97B
36.92%32.62B
38.07%32.12B
Total liabilities and equity
18.38%141.76B
8.86%141.28B
11.21%140.69B
6.41%133.75B
8.60%119.75B
21.70%129.79B
17.09%126.51B
13.83%125.69B
11.24%110.27B
9.37%106.65B
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
--
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--
Unqualified opinion
--
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Unqualified opinion
--
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Auditor
--
--
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KPMG Huazhen Certified Public Accountants (Special General Partnership)
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KPMG Huazhen Certified Public Accountants (Special General Partnership)
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(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 77.59%30.1B11.73%22.2B1.93%21.22B-10.49%18.89B-4.19%16.95B-11.47%19.87B-5.21%20.82B-7.45%21.11B-7.10%17.69B17.78%22.45B
-Including:Client deposit 76.54%23.89B-5.80%15.06B-3.25%16.66B-15.25%14.25B-3.61%13.53B-13.54%15.99B6.74%17.22B2.63%16.81B-8.59%14.04B19.69%18.49B
Settlement provisions 23.66%6.54B3.05%5.17B12.03%5.37B-0.36%5.05B4.00%5.29B-2.73%5.02B-1.54%4.79B-10.51%5.07B-9.55%5.09B-1.79%5.16B
-Including:Client provisions 33.89%4.28B-10.95%2.93B-5.37%3.17B-14.33%2.95B-13.59%3.19B-16.33%3.29B-8.48%3.35B-20.98%3.44B-19.09%3.7B-3.66%3.93B
Transactional financial assets 3.41%47.96B2.74%49.75B12.16%50.55B13.25%50.16B23.26%46.38B45.84%48.42B46.36%45.07B37.75%44.29B38.59%37.63B34.21%33.2B
Derivative assets 130.41%1.59B1,073.68%2.78B1,660.77%2.18B585.87%1.13B346.65%688.2M121.12%236.47M58.30%123.8M-42.47%164.44M-42.91%154.08M-44.57%106.94M
Bought sellback assets -12.69%3.19B12.08%4.05B39.36%5.25B26.54%5.5B58.46%3.65B71.37%3.61B44.15%3.77B82.64%4.35B50.92%2.3B-20.21%2.11B
Refundable deposit 12.67%961.75M-27.44%569.92M7.95%909.3M111.41%1.09B184.83%853.59M196.90%785.45M254.78%842.35M77.32%513.55M-27.00%299.69M-17.37%264.55M
Debt investment 84.18%11.62B70.09%11.87B69.12%12B58.72%11.2B-10.98%6.31B1.30%6.98B0.83%7.09B0.83%7.06B1.57%7.09B-17.83%6.89B
Other debt investment 9.76%8.2B-10.36%13.06B-14.83%12.08B-50.35%6.94B-25.60%7.47B93.67%14.56B78.30%14.18B66.33%13.98B30.28%10.04B10.75%7.52B
Other equity investment 0.24%138.98M0.24%138.98M1.42%138.36M1.42%138.36M-0.18%138.64M-0.18%138.64M2.76%136.43M2.76%136.43M4.57%138.9M4.57%138.9M
Long term equity investment 5.32%9.35B7.27%9.23B5.46%8.98B6.95%8.93B8.63%8.88B8.42%8.61B5.61%8.51B6.17%8.35B11.91%8.18B11.19%7.94B
Investment property -10.35%15.12M-10.09%15.55M-9.84%15.99M-9.60%16.42M-9.38%16.86M-9.16%17.3M-8.96%17.73M-7.94%18.17M-7.77%18.61M-7.61%19.04M
Fixed assets ----509.71%1.46B-------------15.71%240.12M-----15.09%270.73M-----5.17%284.86M
Intangible assets 2.35%331.41M-2.33%324.73M-3.48%326.22M-0.76%337.64M-2.62%323.79M-2.24%332.46M-3.88%337.99M-7.65%340.23M-6.54%332.5M-6.82%340.07M
Deferred tax assets -56.35%383.56M-59.36%342.65M-69.84%153.67M-37.11%436.6M14.52%878.8M20.99%843.22M-24.34%509.5M27.53%694.27M36.00%767.35M26.31%696.94M
Financing funds -1.43%16.82B1.58%17.12B0.74%17.24B20.07%19.07B4.52%17.07B-1.53%16.85B-7.16%17.11B-20.45%15.89B-18.12%16.33B-12.32%17.11B
Other assets 19.76%2.44B11.73%2.03B-7.36%1.85B6.16%1.9B36.08%2.04B27.46%1.82B106.78%2B150.43%1.79B67.23%1.5B18.16%1.43B
Total assets 18.38%141.76B8.86%141.28B11.21%140.69B6.41%133.75B8.60%119.75B21.70%129.79B17.09%126.51B13.83%125.69B11.24%110.27B9.37%106.65B
Liabilities
Short term loan ---------85.60%9.09M-91.69%9.07M-62.06%96.47M-79.92%85.02M-67.44%63.13M-54.64%109.06M-10.04%254.24M-2.17%423.42M
Borrowing capital 148.11%1.75B159.73%2.35B453.16%2.21B--1.71B--706.76M201.24%904.02M-53.46%400.31M---------0.03%300.09M
Transactional financial liabilities -46.69%59.93M-3.67%89.48M69.98%119.31M35.80%115.32M64.49%112.41M322.24%92.89M216.20%70.19M261.54%84.92M--68.34M--22M
Contract liabilities -18.21%48.79M23.98%58.21M1.07%48.5M1.58%48.62M28.69%59.65M7.23%46.95M31.66%47.98M38.57%47.87M38.76%46.35M74.12%43.78M
Derivative liabilities 99.83%530.31M416.68%643.1M255.63%406.12M337.09%289.59M228.87%265.38M31.77%124.47M191.63%114.2M-59.58%66.25M50.09%80.69M81.19%94.46M
Funds from selling out and repurchasing financial assets 5.54%22.16B-2.42%28.97B-3.91%29.57B-20.84%23.15B-18.58%21B44.18%29.69B46.66%30.77B38.42%29.24B53.18%25.79B31.51%20.59B
Funds from securities trading agency 55.93%27.26B-6.99%18.31B-2.73%19.48B-8.90%18.87B-7.63%17.48B-11.92%19.68B-9.22%20.02B5.92%20.71B-2.55%18.92B18.54%22.35B
Funds from underwriting securities agency -----94.64%17M------------953.82%317.2M--------------30.1M
Salaries payable -7.46%2.05B-1.53%2.13B-13.74%1.94B0.99%2.16B7.98%2.22B6.76%2.16B6.68%2.25B-11.88%2.14B-17.50%2.06B-14.33%2.02B
Taxs payable -8.37%191.3M-22.37%125.55M63.14%164.12M-24.92%132.48M42.88%208.78M-5.18%161.72M-65.55%100.6M-72.48%176.45M-53.72%146.12M-52.31%170.56M
Bonds payable 30.95%34.76B48.87%34.75B26.62%32.33B19.37%30.18B4.17%26.54B-8.78%23.34B-15.31%25.53B-16.36%25.29B-3.28%25.48B-6.28%25.59B
Deferred tax liabilitise -93.86%15.14M-97.10%8.07M-81.59%35.08M-80.91%22.25M115.36%246.55M284.85%277.77M294.41%190.59M20.10%116.58M79.09%114.48M3.77%72.18M
Other liabilitise 15.84%8.04B38.62%8.17B72.47%7.74B152.89%7.58B245.08%6.94B359.58%5.89B420.97%4.49B211.75%3B57.40%2.01B-4.84%1.28B
Total liabilities 23.50%106.06B10.33%106.01B13.48%105.54B6.91%99.13B10.60%85.88B28.93%96.08B12.50%93B8.81%92.72B3.11%77.65B0.37%74.52B
Shareholders equity
Paid-in capital 0.00%4.64B0.00%4.64B0.00%4.64B0.00%4.64B0.00%4.64B0.00%4.64B29.39%4.64B29.39%4.64B29.39%4.64B29.39%4.64B
Other equity instruments -0.00%488.08M-0.00%488.08M-0.00%488.08M-0.00%488.08M-0.00%488.08M-0.00%488.08M-0.00%488.09M-0.00%488.09M-0.00%488.09M-0.00%488.09M
Capital reserve funds 0.00%14.78B0.00%14.78B0.00%14.78B0.00%14.78B0.00%14.78B0.00%14.78B70.16%14.78B70.16%14.78B78.76%14.78B78.76%14.78B
Surplus reserve funds 11.26%1.45B11.44%1.45B11.24%1.45B11.23%1.45B3.54%1.3B3.43%1.3B3.59%1.3B3.61%1.3B18.56%1.26B18.56%1.26B
Retained profit 13.83%9.61B10.38%9.08B11.31%9.09B12.50%8.64B12.83%8.44B16.60%8.22B8.46%8.16B4.03%7.68B5.02%7.48B6.94%7.05B
Other composite income 37.06%241.7M52.71%362.38M118.20%247.98M126.47%177.08M5.65%176.34M91.62%237.31M52.44%113.64M10.82%78.19M132.06%166.92M110.49%123.84M
Ordinary risk reserve funds 11.05%4.47B11.12%4.46B11.21%4.44B11.26%4.43B6.34%4.03B6.45%4.01B6.57%3.99B6.63%3.98B17.67%3.79B17.83%3.77B
Shareholders equity without minority interests 5.39%35.68B4.67%35.25B4.93%35.13B5.02%34.6B3.85%33.85B4.89%33.68B31.99%33.48B30.73%32.95B36.88%32.6B38.08%32.11B
Minority interests -4.06%21.95M-4.18%22.2M-3.99%22.45M-4.53%22.62M-4.63%22.87M92.56%23.17M89.89%23.38M93.04%23.69M146.76%23.99M27.11%12.03M
Total shareholder equity 5.38%35.7B4.66%35.28B4.93%35.15B5.01%34.63B3.84%33.88B4.92%33.7B32.02%33.5B30.76%32.97B36.92%32.62B38.07%32.12B
Total liabilities and equity 18.38%141.76B8.86%141.28B11.21%140.69B6.41%133.75B8.60%119.75B21.70%129.79B17.09%126.51B13.83%125.69B11.24%110.27B9.37%106.65B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
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 ------KPMG Huazhen Certified Public Accountants (Special General Partnership)------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.