CN Stock MarketDetailed Quotes

601818 China Everbright Bank

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  • 3.49
  • -0.05-1.41%
Market Closed Nov 8 15:00 CST
206.21BMarket Cap4.96P/E (TTM)

China Everbright Bank 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
-13.05%279.47B
-3.92%325.27B
-4.89%324.3B
-2.03%349.18B
-6.26%321.41B
1.51%338.54B
0.36%340.97B
-5.77%356.43B
2.11%342.87B
-11.66%333.5B
Deposit in interbank
51.99%46.16B
-14.44%36.7B
6.02%30.98B
24.53%39.94B
-28.21%30.37B
0.63%42.89B
-25.34%29.22B
-37.34%32.07B
6.03%42.31B
25.80%42.62B
Rare metal
8.14%9.27B
-4.18%6.53B
-58.02%4.12B
-3.77%6.92B
0.50%8.57B
-19.03%6.82B
32.05%9.82B
11.84%7.19B
17.87%8.53B
29.82%8.42B
Lending capital
18.00%165.39B
5.11%158.2B
13.90%159.48B
9.43%142.24B
35.60%140.16B
30.81%150.5B
-12.86%140.02B
-6.05%129.98B
46.72%103.36B
62.64%115.05B
Transactional financial assets
-19.18%435.59B
-5.81%460.22B
6.39%484.18B
7.25%432.9B
31.62%538.97B
24.82%488.59B
-1.35%455.1B
5.20%403.62B
13.24%409.5B
7.29%391.44B
Derivative assets
-26.94%13.52B
-1.69%18.51B
22.39%12.51B
-15.30%13.32B
-31.46%18.5B
36.21%18.83B
-18.30%10.22B
14.78%15.73B
119.24%26.99B
-19.59%13.82B
Bought sellback assets
52.53%81.55B
-90.93%8.2B
-65.18%43.11B
240,971.43%67.5B
26,365.84%53.46B
-16.34%90.32B
-18.29%123.8B
-99.91%28M
-99.20%202M
11.38%107.96B
Loan and advance
3.87%3.83T
4.30%3.82T
5.25%3.83T
6.10%3.71T
5.52%3.68T
6.51%3.66T
7.53%3.64T
8.02%3.5T
8.57%3.49T
8.60%3.44T
Debt investment
-6.66%1.14T
-5.90%1.15T
-2.06%1.2T
4.54%1.25T
5.07%1.22T
8.22%1.22T
12.86%1.23T
5.93%1.19T
4.96%1.16T
-0.36%1.13T
Other debt investment
12.87%656.22B
21.86%601.27B
30.31%591.8B
24.79%561.05B
33.17%581.38B
15.89%493.42B
22.45%454.14B
38.04%449.6B
49.37%436.57B
52.73%425.77B
Other equity investment
----
----
0.71%1.14B
----
0.53%1.13B
0.53%1.13B
0.18%1.13B
0.09%1.13B
-0.27%1.12B
-0.27%1.12B
Long term equity investment
----
13.40%220M
20.22%214M
23.64%204M
11.73%200M
3.74%194M
-22.61%178M
-35.55%165M
-46.08%179M
-45.48%187M
Fixed assets
----
3.93%23.76B
----
----
----
-10.43%22.86B
----
3.75%23.34B
----
8.88%25.52B
Constru in process
----
-25.61%2.46B
----
----
----
--3.3B
----
6.63%2.83B
----
----
Intangible assets
19.52%4.52B
19.61%4.31B
19.99%4.3B
22.97%4.37B
24.51%3.78B
30.84%3.61B
31.12%3.59B
28.37%3.55B
27.51%3.04B
21.30%2.76B
Goodwill
0.00%1.28B
0.00%1.28B
0.00%1.28B
0.00%1.28B
0.00%1.28B
0.00%1.28B
0.00%1.28B
0.00%1.28B
0.00%1.28B
0.00%1.28B
Deferred tax assets
-6.86%31.18B
-6.04%31.7B
-0.48%33.04B
3.89%33.97B
3.46%33.48B
4.33%33.74B
54.55%33.2B
64.38%32.7B
55.13%32.36B
50.20%32.34B
Other assets
9.20%67.75B
-26.97%48.6B
-42.79%46.58B
-22.24%24.07B
-6.04%62.04B
-6.84%66.54B
32.89%81.43B
-18.97%30.96B
26.54%66.03B
26.69%71.43B
Total assets
0.73%6.88T
0.57%6.8T
3.03%6.9T
7.50%6.77T
9.10%6.83T
8.00%6.76T
7.16%6.69T
6.75%6.3T
10.18%6.26T
8.39%6.26T
Liabilities
Borrowing from the central bank
-16.71%84.42B
-14.42%84.96B
-24.61%74.5B
57.18%99.63B
95.89%101.37B
30.17%99.28B
4.96%98.82B
-37.35%63.39B
-67.37%51.75B
-66.77%76.27B
Deposit of interbank
16.29%627.4B
15.34%631.45B
-8.34%523.91B
2.16%552.33B
12.39%539.54B
23.59%547.45B
22.13%571.6B
2.74%540.67B
-3.14%480.08B
-5.01%442.95B
Deposit
-1.57%4.02T
-5.71%3.92T
0.04%4.12T
4.53%4.09T
2.66%4.09T
5.30%4.16T
7.26%4.12T
6.57%3.92T
10.16%3.98T
6.91%3.95T
Borrowing capital
5.66%188.72B
-0.20%179.36B
-1.60%179B
2.97%194.21B
4.42%178.61B
-13.12%179.71B
-4.78%181.91B
5.00%188.6B
-4.48%171.05B
20.70%206.85B
Transactional financial liabilities
----
----
----
----
----
----
----
-59.70%27M
-27.19%158M
-62.79%64M
Derivative liabilities
-20.86%14.2B
-4.02%18.66B
36.56%12.67B
-2.21%13.95B
-16.47%17.94B
77.18%19.44B
-24.38%9.28B
6.93%14.26B
84.78%21.48B
-34.08%10.97B
Funds from selling out and repurchasing financial assets
-21.35%187.77B
-50.17%102.77B
0.34%162.83B
-21.36%73.12B
175.51%238.76B
136.52%206.23B
19.59%162.28B
15.36%92.98B
109.67%86.66B
516.65%87.19B
Salaries payable
3.69%20.01B
4.18%18.88B
5.35%17.86B
5.57%20.06B
10.96%19.3B
5.83%18.13B
6.79%16.95B
13.29%19.01B
12.02%17.4B
9.57%17.13B
Taxs payable
-41.00%4.34B
-45.89%3.7B
-35.40%8.15B
-34.44%7.3B
-39.68%7.35B
-33.77%6.83B
45.33%12.62B
70.48%11.14B
54.68%12.18B
57.56%10.31B
Estimate liabilities
-38.70%2B
7.20%2.16B
-10.52%1.88B
9.82%2.07B
31.45%3.26B
-20.83%2.02B
-21.25%2.1B
-14.91%1.88B
-47.83%2.48B
-48.30%2.55B
Bonds payable
4.19%1.08T
28.43%1.17T
25.16%1.15T
25.50%1.1T
17.15%1.04T
0.41%914.75B
-0.90%920.85B
14.73%875.97B
39.41%883.8B
45.29%911.03B
Absorbing deposits and interbank deposits
0.51%4.65T
-3.26%4.55T
-0.98%4.65T
4.24%4.65T
3.71%4.62T
7.15%4.7T
8.88%4.69T
6.09%4.46T
8.56%4.46T
5.57%4.39T
Other liabilitise
30.74%63.25B
39.10%79.37B
30.21%61.55B
-7.43%51.15B
10.10%48.38B
37.59%57.06B
9.96%47.27B
34.44%55.25B
13.49%43.94B
-22.14%41.47B
Total liabilities
0.28%6.3T
0.14%6.23T
2.82%6.33T
7.38%6.22T
9.09%6.28T
7.85%6.22T
6.97%6.16T
6.88%5.79T
10.57%5.76T
8.59%5.76T
Shareholders equity
Paid-in capital
0.00%59.09B
0.00%59.09B
0.00%59.09B
9.35%59.09B
9.35%59.09B
9.35%59.09B
9.35%59.09B
0.00%54.03B
0.00%54.03B
0.00%54.03B
Other equity instruments
0.00%104.9B
0.00%104.9B
0.00%104.9B
-3.82%104.9B
-3.82%104.9B
-3.82%104.9B
-3.82%104.9B
0.00%109.06B
0.00%109.06B
0.00%109.06B
-Equity of prefer stock
0.00%64.91B
0.00%64.91B
0.00%64.91B
0.00%64.91B
0.00%64.91B
0.00%64.91B
0.00%64.91B
0.00%64.91B
0.00%64.91B
0.00%64.91B
-Equity of Perpetual debt
0.00%39.99B
0.00%39.99B
0.00%39.99B
0.00%39.99B
0.00%39.99B
0.00%39.99B
0.00%39.99B
0.00%39.99B
0.00%39.99B
0.00%39.99B
Capital reserve funds
0.00%74.47B
0.00%74.47B
0.00%74.47B
27.45%74.47B
27.45%74.47B
27.45%74.47B
27.45%74.47B
0.00%58.43B
0.00%58.43B
0.00%58.43B
Surplus reserve funds
0.00%26.25B
0.00%26.25B
0.00%26.25B
0.00%26.25B
0.00%26.25B
0.00%26.25B
0.00%26.25B
0.00%26.25B
0.00%26.25B
0.00%26.25B
Retained profit
10.82%222.43B
11.30%210.83B
10.55%209.96B
11.15%199.28B
14.13%200.72B
14.85%189.42B
14.94%189.92B
14.96%179.3B
13.19%175.87B
13.74%164.92B
Other composite income
548.14%6.61B
140.90%6.55B
6,946.03%4.44B
480.51%2.25B
-39.10%1.02B
105.36%2.72B
-93.20%63M
-118.72%-590M
-46.40%1.68B
-32.59%1.32B
Ordinary risk reserve funds
5.82%86.39B
5.83%86.31B
5.83%86.23B
5.85%86.16B
6.56%81.64B
6.59%81.55B
6.65%81.48B
7.68%81.4B
12.89%76.61B
12.85%76.51B
Shareholders equity without minority interests
5.85%580.14B
5.57%568.39B
5.44%565.33B
8.76%552.39B
9.19%548.08B
9.76%538.4B
9.35%536.16B
5.26%507.88B
5.86%501.93B
6.05%490.53B
Minority interests
8.55%2.53B
8.56%2.47B
11.75%2.46B
12.39%2.39B
14.57%2.33B
13.67%2.28B
13.54%2.21B
13.48%2.13B
18.69%2.03B
25.39%2.01B
Total shareholder equity
5.86%582.67B
5.58%570.87B
5.47%567.8B
8.78%554.79B
9.21%550.4B
9.77%540.68B
9.36%538.37B
5.29%510.01B
5.91%503.96B
6.12%492.54B
Total liabilities and equity
0.73%6.88T
0.57%6.8T
3.03%6.9T
7.50%6.77T
9.10%6.83T
8.00%6.76T
7.16%6.69T
6.75%6.3T
10.18%6.26T
8.39%6.26T
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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Ernst & Young Huaming Certified Public Accountants (Special General Partnership)
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Ernst & Young Huaming 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 -13.05%279.47B-3.92%325.27B-4.89%324.3B-2.03%349.18B-6.26%321.41B1.51%338.54B0.36%340.97B-5.77%356.43B2.11%342.87B-11.66%333.5B
Deposit in interbank 51.99%46.16B-14.44%36.7B6.02%30.98B24.53%39.94B-28.21%30.37B0.63%42.89B-25.34%29.22B-37.34%32.07B6.03%42.31B25.80%42.62B
Rare metal 8.14%9.27B-4.18%6.53B-58.02%4.12B-3.77%6.92B0.50%8.57B-19.03%6.82B32.05%9.82B11.84%7.19B17.87%8.53B29.82%8.42B
Lending capital 18.00%165.39B5.11%158.2B13.90%159.48B9.43%142.24B35.60%140.16B30.81%150.5B-12.86%140.02B-6.05%129.98B46.72%103.36B62.64%115.05B
Transactional financial assets -19.18%435.59B-5.81%460.22B6.39%484.18B7.25%432.9B31.62%538.97B24.82%488.59B-1.35%455.1B5.20%403.62B13.24%409.5B7.29%391.44B
Derivative assets -26.94%13.52B-1.69%18.51B22.39%12.51B-15.30%13.32B-31.46%18.5B36.21%18.83B-18.30%10.22B14.78%15.73B119.24%26.99B-19.59%13.82B
Bought sellback assets 52.53%81.55B-90.93%8.2B-65.18%43.11B240,971.43%67.5B26,365.84%53.46B-16.34%90.32B-18.29%123.8B-99.91%28M-99.20%202M11.38%107.96B
Loan and advance 3.87%3.83T4.30%3.82T5.25%3.83T6.10%3.71T5.52%3.68T6.51%3.66T7.53%3.64T8.02%3.5T8.57%3.49T8.60%3.44T
Debt investment -6.66%1.14T-5.90%1.15T-2.06%1.2T4.54%1.25T5.07%1.22T8.22%1.22T12.86%1.23T5.93%1.19T4.96%1.16T-0.36%1.13T
Other debt investment 12.87%656.22B21.86%601.27B30.31%591.8B24.79%561.05B33.17%581.38B15.89%493.42B22.45%454.14B38.04%449.6B49.37%436.57B52.73%425.77B
Other equity investment --------0.71%1.14B----0.53%1.13B0.53%1.13B0.18%1.13B0.09%1.13B-0.27%1.12B-0.27%1.12B
Long term equity investment ----13.40%220M20.22%214M23.64%204M11.73%200M3.74%194M-22.61%178M-35.55%165M-46.08%179M-45.48%187M
Fixed assets ----3.93%23.76B-------------10.43%22.86B----3.75%23.34B----8.88%25.52B
Constru in process -----25.61%2.46B--------------3.3B----6.63%2.83B--------
Intangible assets 19.52%4.52B19.61%4.31B19.99%4.3B22.97%4.37B24.51%3.78B30.84%3.61B31.12%3.59B28.37%3.55B27.51%3.04B21.30%2.76B
Goodwill 0.00%1.28B0.00%1.28B0.00%1.28B0.00%1.28B0.00%1.28B0.00%1.28B0.00%1.28B0.00%1.28B0.00%1.28B0.00%1.28B
Deferred tax assets -6.86%31.18B-6.04%31.7B-0.48%33.04B3.89%33.97B3.46%33.48B4.33%33.74B54.55%33.2B64.38%32.7B55.13%32.36B50.20%32.34B
Other assets 9.20%67.75B-26.97%48.6B-42.79%46.58B-22.24%24.07B-6.04%62.04B-6.84%66.54B32.89%81.43B-18.97%30.96B26.54%66.03B26.69%71.43B
Total assets 0.73%6.88T0.57%6.8T3.03%6.9T7.50%6.77T9.10%6.83T8.00%6.76T7.16%6.69T6.75%6.3T10.18%6.26T8.39%6.26T
Liabilities
Borrowing from the central bank -16.71%84.42B-14.42%84.96B-24.61%74.5B57.18%99.63B95.89%101.37B30.17%99.28B4.96%98.82B-37.35%63.39B-67.37%51.75B-66.77%76.27B
Deposit of interbank 16.29%627.4B15.34%631.45B-8.34%523.91B2.16%552.33B12.39%539.54B23.59%547.45B22.13%571.6B2.74%540.67B-3.14%480.08B-5.01%442.95B
Deposit -1.57%4.02T-5.71%3.92T0.04%4.12T4.53%4.09T2.66%4.09T5.30%4.16T7.26%4.12T6.57%3.92T10.16%3.98T6.91%3.95T
Borrowing capital 5.66%188.72B-0.20%179.36B-1.60%179B2.97%194.21B4.42%178.61B-13.12%179.71B-4.78%181.91B5.00%188.6B-4.48%171.05B20.70%206.85B
Transactional financial liabilities -----------------------------59.70%27M-27.19%158M-62.79%64M
Derivative liabilities -20.86%14.2B-4.02%18.66B36.56%12.67B-2.21%13.95B-16.47%17.94B77.18%19.44B-24.38%9.28B6.93%14.26B84.78%21.48B-34.08%10.97B
Funds from selling out and repurchasing financial assets -21.35%187.77B-50.17%102.77B0.34%162.83B-21.36%73.12B175.51%238.76B136.52%206.23B19.59%162.28B15.36%92.98B109.67%86.66B516.65%87.19B
Salaries payable 3.69%20.01B4.18%18.88B5.35%17.86B5.57%20.06B10.96%19.3B5.83%18.13B6.79%16.95B13.29%19.01B12.02%17.4B9.57%17.13B
Taxs payable -41.00%4.34B-45.89%3.7B-35.40%8.15B-34.44%7.3B-39.68%7.35B-33.77%6.83B45.33%12.62B70.48%11.14B54.68%12.18B57.56%10.31B
Estimate liabilities -38.70%2B7.20%2.16B-10.52%1.88B9.82%2.07B31.45%3.26B-20.83%2.02B-21.25%2.1B-14.91%1.88B-47.83%2.48B-48.30%2.55B
Bonds payable 4.19%1.08T28.43%1.17T25.16%1.15T25.50%1.1T17.15%1.04T0.41%914.75B-0.90%920.85B14.73%875.97B39.41%883.8B45.29%911.03B
Absorbing deposits and interbank deposits 0.51%4.65T-3.26%4.55T-0.98%4.65T4.24%4.65T3.71%4.62T7.15%4.7T8.88%4.69T6.09%4.46T8.56%4.46T5.57%4.39T
Other liabilitise 30.74%63.25B39.10%79.37B30.21%61.55B-7.43%51.15B10.10%48.38B37.59%57.06B9.96%47.27B34.44%55.25B13.49%43.94B-22.14%41.47B
Total liabilities 0.28%6.3T0.14%6.23T2.82%6.33T7.38%6.22T9.09%6.28T7.85%6.22T6.97%6.16T6.88%5.79T10.57%5.76T8.59%5.76T
Shareholders equity
Paid-in capital 0.00%59.09B0.00%59.09B0.00%59.09B9.35%59.09B9.35%59.09B9.35%59.09B9.35%59.09B0.00%54.03B0.00%54.03B0.00%54.03B
Other equity instruments 0.00%104.9B0.00%104.9B0.00%104.9B-3.82%104.9B-3.82%104.9B-3.82%104.9B-3.82%104.9B0.00%109.06B0.00%109.06B0.00%109.06B
-Equity of prefer stock 0.00%64.91B0.00%64.91B0.00%64.91B0.00%64.91B0.00%64.91B0.00%64.91B0.00%64.91B0.00%64.91B0.00%64.91B0.00%64.91B
-Equity of Perpetual debt 0.00%39.99B0.00%39.99B0.00%39.99B0.00%39.99B0.00%39.99B0.00%39.99B0.00%39.99B0.00%39.99B0.00%39.99B0.00%39.99B
Capital reserve funds 0.00%74.47B0.00%74.47B0.00%74.47B27.45%74.47B27.45%74.47B27.45%74.47B27.45%74.47B0.00%58.43B0.00%58.43B0.00%58.43B
Surplus reserve funds 0.00%26.25B0.00%26.25B0.00%26.25B0.00%26.25B0.00%26.25B0.00%26.25B0.00%26.25B0.00%26.25B0.00%26.25B0.00%26.25B
Retained profit 10.82%222.43B11.30%210.83B10.55%209.96B11.15%199.28B14.13%200.72B14.85%189.42B14.94%189.92B14.96%179.3B13.19%175.87B13.74%164.92B
Other composite income 548.14%6.61B140.90%6.55B6,946.03%4.44B480.51%2.25B-39.10%1.02B105.36%2.72B-93.20%63M-118.72%-590M-46.40%1.68B-32.59%1.32B
Ordinary risk reserve funds 5.82%86.39B5.83%86.31B5.83%86.23B5.85%86.16B6.56%81.64B6.59%81.55B6.65%81.48B7.68%81.4B12.89%76.61B12.85%76.51B
Shareholders equity without minority interests 5.85%580.14B5.57%568.39B5.44%565.33B8.76%552.39B9.19%548.08B9.76%538.4B9.35%536.16B5.26%507.88B5.86%501.93B6.05%490.53B
Minority interests 8.55%2.53B8.56%2.47B11.75%2.46B12.39%2.39B14.57%2.33B13.67%2.28B13.54%2.21B13.48%2.13B18.69%2.03B25.39%2.01B
Total shareholder equity 5.86%582.67B5.58%570.87B5.47%567.8B8.78%554.79B9.21%550.4B9.77%540.68B9.36%538.37B5.29%510.01B5.91%503.96B6.12%492.54B
Total liabilities and equity 0.73%6.88T0.57%6.8T3.03%6.9T7.50%6.77T9.10%6.83T8.00%6.76T7.16%6.69T6.75%6.3T10.18%6.26T8.39%6.26T
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 ------Ernst & Young Huaming Certified Public Accountants (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.

Analysis

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