CN Stock MarketDetailed Quotes

601398 Industrial and Commercial Bank of China

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  • 6.18
  • +0.17+2.83%
Market Closed Sep 30 15:00 CST
2.20TMarket Cap6.11P/E (TTM)

Industrial and Commercial Bank of China Key Stats

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YOY yoy
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(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
(Q3)Mar 31, 2022
Assets
Money funds
-1.18%3.63T
10.03%3.95T
17.92%4.04T
11.12%3.77T
9.65%3.67T
2.25%3.59T
10.63%3.43T
-6.54%3.39T
-8.32%3.35T
-3.03%3.51T
Deposit in interbank
27.21%585.81B
9.80%496.98B
13.27%414.26B
9.40%494.76B
0.51%460.5B
33.01%452.64B
5.56%365.73B
7.92%452.24B
4.22%458.18B
-3.41%340.31B
Rare metal
2.54%179.39B
-18.62%142.56B
12.57%139.43B
-48.42%157.25B
-44.03%174.95B
-42.11%175.17B
-53.43%123.86B
11.41%304.85B
13.66%312.56B
13.38%302.61B
Lending capital
-12.46%675.6B
-8.91%740.93B
-15.04%702.46B
-8.39%570.12B
40.05%771.73B
66.02%813.4B
72.00%826.8B
30.18%622.33B
-4.80%551.04B
-15.08%489.93B
Transactional financial assets
12.65%916.15B
-1.33%868.14B
8.63%811.96B
7.86%732.48B
6.20%813.3B
19.08%879.86B
19.94%747.47B
6.97%679.09B
9.09%765.79B
-10.18%738.89B
Derivative assets
41.13%150.41B
37.43%111.18B
-13.61%75.34B
-34.08%115.51B
-8.51%106.58B
-27.77%80.9B
14.53%87.21B
90.43%175.24B
4.85%116.49B
-24.10%112.01B
Bought sellback assets
-46.27%909.81B
93.16%2.24T
41.68%1.22T
41.86%1.82T
43.64%1.69T
2.09%1.16T
30.24%864.12B
50.46%1.28T
16.17%1.18T
13.53%1.14T
Loan and advance
10.06%27.08T
11.58%26.63T
12.37%25.39T
12.51%25.09T
13.18%24.6T
13.60%23.87T
12.34%22.59T
12.28%22.3T
11.75%21.74T
10.77%21.01T
Debt investment
17.23%9.43T
15.02%9.02T
16.44%8.81T
9.94%8.38T
4.77%8.05T
10.82%7.84T
10.72%7.56T
11.97%7.62T
17.51%7.68T
12.65%7.08T
Other debt investment
----
--2.35T
----
----
----
----
----
----
----
----
Long term equity investment
3.17%65.57B
-1.46%63.78B
-1.54%64.78B
-0.15%63.19B
-2.26%63.55B
-0.40%64.73B
6.49%65.79B
50.17%63.29B
51.16%65.02B
57.35%64.99B
Fixed assets
-0.19%273.89B
----
-0.73%272.83B
----
0.54%274.4B
----
1.79%274.84B
----
9.62%272.94B
----
Constru in process
-9.20%22.23B
----
41.67%24.19B
----
36.80%24.48B
----
-6.10%17.07B
----
-44.91%17.9B
----
Deferred tax assets
-9.68%97.94B
-1.89%102.25B
3.51%104.67B
9.45%108.66B
11.25%108.43B
17.56%104.22B
27.58%101.12B
24.18%99.28B
30.09%97.47B
33.07%88.65B
Other assets
-0.46%460.89B
45.54%592.46B
19.87%395.98B
18.46%478.62B
11.87%463B
-2.90%407.09B
-25.60%330.34B
6.91%404.04B
12.66%413.89B
28.26%419.23B
Total assets
7.89%47.12T
13.24%47.6T
12.84%44.7T
12.47%44.48T
12.71%43.67T
12.70%42.03T
12.62%39.61T
11.73%39.55T
10.27%38.74T
8.52%37.3T
Liabilities
Borrowing from the central bank
-2.84%218.29B
8.13%211.58B
58.71%231.37B
147.55%239.65B
235.73%224.68B
308.34%195.67B
266.99%145.78B
291.56%96.81B
56.85%66.92B
-14.37%47.92B
Deposit of interbank
45.59%3.56T
40.22%3.62T
6.62%2.84T
-1.33%2.59T
-12.71%2.44T
-6.38%2.58T
9.59%2.66T
4.38%2.62T
14.12%2.8T
11.50%2.76T
Deposit
2.20%34.11T
9.54%35.04T
12.22%33.52T
12.92%33.98T
14.01%33.37T
14.34%31.98T
12.97%29.87T
12.11%30.09T
10.04%29.27T
7.82%27.97T
Borrowing capital
-8.35%557.64B
5.04%590.25B
1.08%528.47B
13.59%590.44B
20.56%608.45B
10.85%561.93B
6.84%522.81B
8.78%519.8B
-3.99%504.67B
3.47%506.91B
Transactional financial liabilities
16.02%71.86B
6.63%69.12B
-2.22%62.86B
-11.85%63.99B
-29.02%61.93B
-20.22%64.82B
-26.26%64.29B
-17.89%72.6B
-1.28%87.25B
-19.53%81.25B
Derivative liabilities
3.17%123.34B
9.22%102.92B
-20.86%76.25B
-33.28%116.28B
2.27%119.55B
-19.86%94.24B
35.06%96.35B
134.49%174.28B
33.58%116.89B
-1.21%117.59B
Funds from selling out and repurchasing financial assets
137.94%1.65T
118.73%1.43T
77.13%1.02T
51.79%717.37B
41.04%692.33B
28.87%655.12B
57.07%574.78B
30.58%472.62B
63.91%490.89B
62.76%508.37B
Salaries payable
-0.28%43.95B
2.31%40.34B
5.43%52.1B
10.68%47.59B
16.97%44.07B
21.52%39.43B
20.28%49.41B
34.17%43B
37.43%37.68B
39.93%32.45B
Taxs payable
-32.40%42.34B
-45.70%47.78B
-22.35%79.26B
-25.00%74.7B
-21.75%62.63B
-34.47%87.99B
-6.27%102.07B
-0.86%99.6B
3.32%80.04B
13.53%134.27B
Bonds payable
35.27%1.59T
34.40%1.46T
51.20%1.37T
34.98%1.21T
37.83%1.17T
32.13%1.08T
14.48%905.95B
14.34%893.49B
9.01%852.12B
-2.01%820.75B
Absorbing deposits and interbank deposits
5.16%37.66T
11.83%38.65T
11.76%36.36T
11.78%36.57T
11.68%35.82T
12.48%34.56T
12.68%32.54T
11.45%32.71T
10.38%32.07T
8.14%30.73T
Deferred tax liabilitise
7.23%4.52B
-1.75%4.72B
-0.51%3.93B
12.09%4.44B
-15.93%4.22B
-10.16%4.81B
-29.77%3.95B
-13.67%3.96B
67.26%5.02B
108.17%5.35B
Other liabilitise
-2.86%880.62B
2.48%740.76B
4.47%750.6B
13.71%838.68B
7.81%906.53B
-0.17%722.83B
-1.82%718.49B
10.32%737.56B
5.56%840.83B
25.27%724.04B
Exceptional items of liabilities
14.50%409.96B
4.34%372.73B
2.60%385.2B
15.35%341.14B
38.41%358.04B
52.43%357.21B
29.31%375.45B
10.27%295.75B
-15.33%258.68B
-26.74%234.34B
Total liabilities
7.93%43.25T
13.77%43.72T
13.37%40.92T
12.97%40.81T
13.17%40.07T
13.23%38.43T
13.16%36.09T
12.06%36.12T
10.35%35.41T
8.19%33.94T
Shareholders equity
Paid-in capital
0.00%356.41B
0.00%356.41B
0.00%356.41B
0.00%356.41B
0.00%356.41B
0.00%356.41B
0.00%356.41B
0.00%356.41B
0.00%356.41B
0.00%356.41B
Other equity instruments
0.00%354.33B
0.00%354.33B
0.00%354.33B
0.00%354.33B
0.00%354.33B
0.00%354.33B
0.00%354.33B
7.74%354.33B
19.78%354.33B
56.91%354.33B
-Equity of prefer stock
0.00%134.61B
0.00%134.61B
0.00%134.61B
0.00%134.61B
0.00%134.61B
--134.61B
0.00%134.61B
--134.61B
-3.26%134.61B
----
-Equity of Perpetual debt
0.00%219.72B
0.00%219.72B
0.00%219.72B
0.00%219.72B
0.00%219.72B
--219.72B
0.00%219.72B
--219.72B
40.26%219.72B
----
Capital reserve funds
-0.03%148.14B
-0.01%148.16B
-0.01%148.16B
0.06%148.19B
0.06%148.19B
-0.21%148.17B
-0.28%148.17B
-0.29%148.1B
-0.29%148.1B
-0.03%148.49B
Surplus reserve funds
9.18%428.81B
9.14%428.43B
9.14%428.36B
9.91%392.74B
9.92%392.74B
9.87%392.56B
9.89%392.49B
10.56%357.32B
10.57%357.3B
10.60%357.28B
Retained profit
7.38%1.97T
7.39%2T
7.92%1.91T
8.78%1.92T
9.20%1.83T
8.80%1.86T
9.32%1.77T
6.36%1.76T
6.36%1.68T
7.16%1.71T
Other composite income
514.49%24.95B
135.00%9.76B
82.83%-4.08B
9.16%-12.73B
74.29%-6.02B
4.48%-27.88B
-29.51%-23.76B
-35.81%-14.01B
-89.60%-23.41B
-143.52%-29.18B
Ordinary risk reserve funds
13.12%562.18B
13.11%561.99B
13.07%561.64B
12.28%497.11B
12.29%496.99B
13.16%496.86B
13.16%496.72B
30.22%442.76B
30.22%442.6B
29.23%439.08B
Shareholders equity without minority interests
7.48%3.84T
7.71%3.86T
7.46%3.76T
7.22%3.66T
7.90%3.58T
7.33%3.58T
7.32%3.5T
8.38%3.41T
9.38%3.31T
12.06%3.34T
Minority interests
2.71%20.98B
-5.68%19.04B
2.02%19.7B
3.56%19.84B
6.87%20.42B
11.37%20.19B
10.32%19.31B
11.43%19.15B
12.95%19.11B
9.50%18.13B
Total shareholder equity
7.45%3.86T
7.64%3.88T
7.43%3.78T
7.20%3.68T
7.89%3.6T
7.35%3.6T
7.33%3.52T
8.40%3.43T
9.40%3.33T
12.05%3.35T
Total liabilities and equity
7.89%47.12T
13.24%47.6T
12.84%44.7T
12.47%44.48T
12.71%43.67T
12.70%42.03T
12.62%39.61T
11.73%39.55T
10.27%38.74T
8.52%37.3T
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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Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
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Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
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(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(Q3)Mar 31, 2022
Assets
Money funds -1.18%3.63T10.03%3.95T17.92%4.04T11.12%3.77T9.65%3.67T2.25%3.59T10.63%3.43T-6.54%3.39T-8.32%3.35T-3.03%3.51T
Deposit in interbank 27.21%585.81B9.80%496.98B13.27%414.26B9.40%494.76B0.51%460.5B33.01%452.64B5.56%365.73B7.92%452.24B4.22%458.18B-3.41%340.31B
Rare metal 2.54%179.39B-18.62%142.56B12.57%139.43B-48.42%157.25B-44.03%174.95B-42.11%175.17B-53.43%123.86B11.41%304.85B13.66%312.56B13.38%302.61B
Lending capital -12.46%675.6B-8.91%740.93B-15.04%702.46B-8.39%570.12B40.05%771.73B66.02%813.4B72.00%826.8B30.18%622.33B-4.80%551.04B-15.08%489.93B
Transactional financial assets 12.65%916.15B-1.33%868.14B8.63%811.96B7.86%732.48B6.20%813.3B19.08%879.86B19.94%747.47B6.97%679.09B9.09%765.79B-10.18%738.89B
Derivative assets 41.13%150.41B37.43%111.18B-13.61%75.34B-34.08%115.51B-8.51%106.58B-27.77%80.9B14.53%87.21B90.43%175.24B4.85%116.49B-24.10%112.01B
Bought sellback assets -46.27%909.81B93.16%2.24T41.68%1.22T41.86%1.82T43.64%1.69T2.09%1.16T30.24%864.12B50.46%1.28T16.17%1.18T13.53%1.14T
Loan and advance 10.06%27.08T11.58%26.63T12.37%25.39T12.51%25.09T13.18%24.6T13.60%23.87T12.34%22.59T12.28%22.3T11.75%21.74T10.77%21.01T
Debt investment 17.23%9.43T15.02%9.02T16.44%8.81T9.94%8.38T4.77%8.05T10.82%7.84T10.72%7.56T11.97%7.62T17.51%7.68T12.65%7.08T
Other debt investment ------2.35T--------------------------------
Long term equity investment 3.17%65.57B-1.46%63.78B-1.54%64.78B-0.15%63.19B-2.26%63.55B-0.40%64.73B6.49%65.79B50.17%63.29B51.16%65.02B57.35%64.99B
Fixed assets -0.19%273.89B-----0.73%272.83B----0.54%274.4B----1.79%274.84B----9.62%272.94B----
Constru in process -9.20%22.23B----41.67%24.19B----36.80%24.48B-----6.10%17.07B-----44.91%17.9B----
Deferred tax assets -9.68%97.94B-1.89%102.25B3.51%104.67B9.45%108.66B11.25%108.43B17.56%104.22B27.58%101.12B24.18%99.28B30.09%97.47B33.07%88.65B
Other assets -0.46%460.89B45.54%592.46B19.87%395.98B18.46%478.62B11.87%463B-2.90%407.09B-25.60%330.34B6.91%404.04B12.66%413.89B28.26%419.23B
Total assets 7.89%47.12T13.24%47.6T12.84%44.7T12.47%44.48T12.71%43.67T12.70%42.03T12.62%39.61T11.73%39.55T10.27%38.74T8.52%37.3T
Liabilities
Borrowing from the central bank -2.84%218.29B8.13%211.58B58.71%231.37B147.55%239.65B235.73%224.68B308.34%195.67B266.99%145.78B291.56%96.81B56.85%66.92B-14.37%47.92B
Deposit of interbank 45.59%3.56T40.22%3.62T6.62%2.84T-1.33%2.59T-12.71%2.44T-6.38%2.58T9.59%2.66T4.38%2.62T14.12%2.8T11.50%2.76T
Deposit 2.20%34.11T9.54%35.04T12.22%33.52T12.92%33.98T14.01%33.37T14.34%31.98T12.97%29.87T12.11%30.09T10.04%29.27T7.82%27.97T
Borrowing capital -8.35%557.64B5.04%590.25B1.08%528.47B13.59%590.44B20.56%608.45B10.85%561.93B6.84%522.81B8.78%519.8B-3.99%504.67B3.47%506.91B
Transactional financial liabilities 16.02%71.86B6.63%69.12B-2.22%62.86B-11.85%63.99B-29.02%61.93B-20.22%64.82B-26.26%64.29B-17.89%72.6B-1.28%87.25B-19.53%81.25B
Derivative liabilities 3.17%123.34B9.22%102.92B-20.86%76.25B-33.28%116.28B2.27%119.55B-19.86%94.24B35.06%96.35B134.49%174.28B33.58%116.89B-1.21%117.59B
Funds from selling out and repurchasing financial assets 137.94%1.65T118.73%1.43T77.13%1.02T51.79%717.37B41.04%692.33B28.87%655.12B57.07%574.78B30.58%472.62B63.91%490.89B62.76%508.37B
Salaries payable -0.28%43.95B2.31%40.34B5.43%52.1B10.68%47.59B16.97%44.07B21.52%39.43B20.28%49.41B34.17%43B37.43%37.68B39.93%32.45B
Taxs payable -32.40%42.34B-45.70%47.78B-22.35%79.26B-25.00%74.7B-21.75%62.63B-34.47%87.99B-6.27%102.07B-0.86%99.6B3.32%80.04B13.53%134.27B
Bonds payable 35.27%1.59T34.40%1.46T51.20%1.37T34.98%1.21T37.83%1.17T32.13%1.08T14.48%905.95B14.34%893.49B9.01%852.12B-2.01%820.75B
Absorbing deposits and interbank deposits 5.16%37.66T11.83%38.65T11.76%36.36T11.78%36.57T11.68%35.82T12.48%34.56T12.68%32.54T11.45%32.71T10.38%32.07T8.14%30.73T
Deferred tax liabilitise 7.23%4.52B-1.75%4.72B-0.51%3.93B12.09%4.44B-15.93%4.22B-10.16%4.81B-29.77%3.95B-13.67%3.96B67.26%5.02B108.17%5.35B
Other liabilitise -2.86%880.62B2.48%740.76B4.47%750.6B13.71%838.68B7.81%906.53B-0.17%722.83B-1.82%718.49B10.32%737.56B5.56%840.83B25.27%724.04B
Exceptional items of liabilities 14.50%409.96B4.34%372.73B2.60%385.2B15.35%341.14B38.41%358.04B52.43%357.21B29.31%375.45B10.27%295.75B-15.33%258.68B-26.74%234.34B
Total liabilities 7.93%43.25T13.77%43.72T13.37%40.92T12.97%40.81T13.17%40.07T13.23%38.43T13.16%36.09T12.06%36.12T10.35%35.41T8.19%33.94T
Shareholders equity
Paid-in capital 0.00%356.41B0.00%356.41B0.00%356.41B0.00%356.41B0.00%356.41B0.00%356.41B0.00%356.41B0.00%356.41B0.00%356.41B0.00%356.41B
Other equity instruments 0.00%354.33B0.00%354.33B0.00%354.33B0.00%354.33B0.00%354.33B0.00%354.33B0.00%354.33B7.74%354.33B19.78%354.33B56.91%354.33B
-Equity of prefer stock 0.00%134.61B0.00%134.61B0.00%134.61B0.00%134.61B0.00%134.61B--134.61B0.00%134.61B--134.61B-3.26%134.61B----
-Equity of Perpetual debt 0.00%219.72B0.00%219.72B0.00%219.72B0.00%219.72B0.00%219.72B--219.72B0.00%219.72B--219.72B40.26%219.72B----
Capital reserve funds -0.03%148.14B-0.01%148.16B-0.01%148.16B0.06%148.19B0.06%148.19B-0.21%148.17B-0.28%148.17B-0.29%148.1B-0.29%148.1B-0.03%148.49B
Surplus reserve funds 9.18%428.81B9.14%428.43B9.14%428.36B9.91%392.74B9.92%392.74B9.87%392.56B9.89%392.49B10.56%357.32B10.57%357.3B10.60%357.28B
Retained profit 7.38%1.97T7.39%2T7.92%1.91T8.78%1.92T9.20%1.83T8.80%1.86T9.32%1.77T6.36%1.76T6.36%1.68T7.16%1.71T
Other composite income 514.49%24.95B135.00%9.76B82.83%-4.08B9.16%-12.73B74.29%-6.02B4.48%-27.88B-29.51%-23.76B-35.81%-14.01B-89.60%-23.41B-143.52%-29.18B
Ordinary risk reserve funds 13.12%562.18B13.11%561.99B13.07%561.64B12.28%497.11B12.29%496.99B13.16%496.86B13.16%496.72B30.22%442.76B30.22%442.6B29.23%439.08B
Shareholders equity without minority interests 7.48%3.84T7.71%3.86T7.46%3.76T7.22%3.66T7.90%3.58T7.33%3.58T7.32%3.5T8.38%3.41T9.38%3.31T12.06%3.34T
Minority interests 2.71%20.98B-5.68%19.04B2.02%19.7B3.56%19.84B6.87%20.42B11.37%20.19B10.32%19.31B11.43%19.15B12.95%19.11B9.50%18.13B
Total shareholder equity 7.45%3.86T7.64%3.88T7.43%3.78T7.20%3.68T7.89%3.6T7.35%3.6T7.33%3.52T8.40%3.43T9.40%3.33T12.05%3.35T
Total liabilities and equity 7.89%47.12T13.24%47.6T12.84%44.7T12.47%44.48T12.71%43.67T12.70%42.03T12.62%39.61T11.73%39.55T10.27%38.74T8.52%37.3T
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 ----Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)------Deloitte Touche Tohmatsu 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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