(FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q2)Mar 31, 2024 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q2)Mar 31, 2023 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | (Q2)Mar 31, 2022 | (FY)Sep 30, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash, cash equivalents and federal funds sold | 1.69%200.75B | 1.69%200.75B | -33.42%130.46B | -0.46%197.41B | -0.46%197.41B | 10.12%195.96B | 25.21%198.31B | --198.31B | 33.08%177.95B | 41.76%158.38B |
-Cash and cash equivalents | -6.04%112.94B | -6.04%112.94B | -33.42%130.46B | -16.83%120.2B | -16.83%120.2B | 10.12%195.96B | 32.33%144.53B | --144.53B | 33.08%177.95B | 117.65%109.21B |
-Including:Cash | 11.55%1.15B | 11.55%1.15B | -91.28%4.99B | -10.20%1.03B | -10.20%1.03B | 29.70%57.28B | 4.84%1.15B | --1.15B | -16.41%44.16B | -19.91%1.09B |
-Including:Cash equivalents | -27.46%1.35B | -27.46%1.35B | ---- | 22.51%1.86B | 22.51%1.86B | ---- | 164.63%1.52B | --1.52B | ---- | -61.22%574M |
-Including:Cash and bank accounts receivable | -5.85%110.44B | -5.85%110.44B | -9.53%125.47B | -17.31%117.31B | -17.31%117.31B | 3.66%138.68B | 31.91%141.86B | --141.86B | 65.40%133.79B | 127.21%107.55B |
-Money market investments | 13.73%87.82B | 13.73%87.82B | ---- | 43.55%77.21B | 43.55%77.21B | ---- | 9.40%53.79B | --53.79B | ---- | -20.11%49.16B |
Financial asset investment | -7.04%120.89B | -7.04%120.89B | 54.40%192.84B | -11.30%130.05B | -11.30%130.05B | 6.99%124.9B | 17.92%146.63B | --146.63B | -5.79%116.74B | -13.60%124.35B |
-Debt securities | ---- | ---- | -0.86%45.16B | ---- | ---- | 13.18%45.56B | ---- | ---- | -1.35%40.25B | ---- |
-Trading securities | 1.56%49.66B | 1.56%49.66B | 161.16%122.8B | 13.78%48.9B | 13.78%48.9B | 2.30%47.02B | -20.85%42.98B | --42.98B | -42.66%45.96B | -20.58%54.29B |
-Available-for-sale securities | -9.48%42.27B | -9.48%42.27B | 2.65%194M | 10.00%46.7B | 10.00%46.7B | -5.97%189M | 0.26%42.45B | --42.45B | 9,950.00%201M | 3.77%42.34B |
-Total financial assets designated as fair value through profit or loss | 3.21%193M | 3.21%193M | ---- | 1.08%187M | 1.08%187M | ---- | -22.27%185M | --185M | ---- | --238M |
-Derivative assets | -16.06%28.77B | -16.06%28.77B | -23.16%24.69B | -43.84%34.27B | -43.84%34.27B | 5.96%32.13B | 122.09%61.02B | --61.02B | 929.01%30.33B | -20.92%27.47B |
Long-term equity investment | 4.47%538M | 4.47%538M | ---- | 5.97%515M | 5.97%515M | ---- | 2.97%486M | --486M | ---- | 14.84%472M |
Net loan | 4.03%714.39B | 4.03%714.39B | 3.21%702.34B | 2.91%686.73B | 2.91%686.73B | 6.31%680.47B | 9.43%667.32B | --667.32B | 10.63%640.07B | 6.09%609.83B |
-Loans and advance payments to customers | 2.36%15.34B | 2.36%15.34B | 6.96%15.38B | 12.07%14.99B | 12.07%14.99B | 49.87%14.38B | 41.38%13.37B | --13.37B | -3.17%9.59B | -1.53%9.46B |
-Other loan assets | 4.10%703.99B | 4.10%703.99B | 3.21%691.73B | 2.56%676.27B | 2.56%676.27B | 5.43%670.22B | 8.85%659.4B | --659.4B | 10.64%635.7B | 6.00%605.77B |
-Allowance for loan and lease losses | 6.02%5.92B | 6.02%5.92B | 7.39%5.77B | 9.40%5.59B | 9.40%5.59B | 6.82%5.37B | -2.26%5.11B | --5.11B | -12.50%5.03B | -14.05%5.22B |
-Unearned income | -7.18%983M | -7.18%983M | -19.92%1B | 403.44%1.06B | 403.44%1.06B | 768.45%1.25B | -101.73%-349M | ---349M | -17.61%-187M | 21.00%-173M |
Assets collateralized as collateral for sale or remortgage | -14.65%9.63B | -14.65%9.63B | -31.05%7.41B | -13.95%11.29B | -13.95%11.29B | 7.42%10.75B | 103.97%13.12B | --13.12B | --10.01B | -25.05%6.43B |
Receivables | -8.34%2.64B | -8.34%2.64B | ---- | 32.96%2.88B | 32.96%2.88B | ---- | 55.61%2.16B | --2.16B | ---- | -20.16%1.39B |
Finance lease receivables | 9.67%18.88B | 9.67%18.88B | 14.62%18.19B | 14.85%17.21B | 14.85%17.21B | 10.23%15.87B | 7.99%14.99B | --14.99B | 10.83%14.39B | 6.69%13.88B |
Prepaid assets | 9.45%359M | 9.45%359M | ---- | 4.46%328M | 4.46%328M | ---- | 12.95%314M | --314M | ---- | 5.70%278M |
Net PPE | -5.01%2.87B | -5.01%2.87B | 0.17%2.94B | 0.23%3.02B | 0.23%3.02B | -5.06%2.93B | 6.93%3.01B | --3.01B | 36.25%3.09B | 18.53%2.81B |
Goodwill and other intangible assets | 5.49%5.22B | 5.49%5.22B | 5.27%5.03B | 6.45%4.95B | 6.45%4.95B | 14.39%4.78B | 13.10%4.65B | --4.65B | 10.62%4.18B | 7.98%4.11B |
-Other intangible assets | 5.49%5.22B | 5.49%5.22B | ---- | 6.45%4.95B | 6.45%4.95B | ---- | 13.10%4.65B | --4.65B | ---- | 7.98%4.11B |
Total tax assets | -8.89%3.21B | -8.89%3.21B | 8.83%3.21B | 3.47%3.52B | 3.47%3.52B | -0.64%2.95B | 13.78%3.4B | --3.4B | -11.94%2.97B | -18.04%2.99B |
-Deferred tax assets | -9.09%3.18B | -9.09%3.18B | 8.20%3.18B | 3.37%3.5B | 3.37%3.5B | 0.20%2.94B | 14.63%3.39B | --3.39B | -9.81%2.93B | -19.03%2.95B |
-Tax receivable | 25.00%25M | 25.00%25M | 316.67%25M | 25.00%20M | 25.00%20M | -80.65%6M | -55.56%16M | --16M | -72.81%31M | --36M |
Holding assets for sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | ---- |
Other assets | -26.22%875M | -26.22%875M | -11.33%8.59B | 61.14%1.19B | 61.14%1.19B | 49.48%9.69B | -29.64%736M | --736M | -43.72%6.48B | 29.46%1.05B |
Total assets | 2.00%1.08T | 2.00%1.08T | 2.17%1.07T | 0.38%1.06T | 0.38%1.06T | 7.42%1.05T | 13.95%1.06T | --1.06T | 11.97%975.88B | 6.85%925.97B |
Liabilities | ||||||||||
Advances from central banks | -76.10%6.07B | -76.10%6.07B | ---- | -37.80%25.39B | -37.80%25.39B | ---- | -3.91%40.82B | --40.82B | ---- | 69.19%42.49B |
Total deposits | 4.23%684.56B | 4.23%684.56B | -4.60%729.14B | 1.19%656.8B | 1.19%656.8B | 5.93%764.29B | 12.47%649.1B | --649.1B | 15.51%721.5B | 10.01%577.13B |
Trading and financial liabilities | 3.29%254.62B | 3.29%254.62B | 29.74%255.93B | -4.00%246.5B | -4.00%246.5B | 13.52%197.25B | 27.13%256.78B | --256.78B | 0.96%173.77B | -7.36%201.98B |
-Trading liabilities | -20.31%4.26B | -20.31%4.26B | ---- | 89.13%5.34B | 89.13%5.34B | ---- | -23.88%2.82B | --2.82B | ---- | 4.92%3.71B |
-Total debt | 8.53%212.22B | 8.53%212.22B | 14.52%158.94B | 3.19%195.53B | 3.19%195.53B | 21.62%138.79B | 11.33%189.49B | --189.49B | -3.53%114.12B | -4.14%170.2B |
-Total financial lease obligations | -8.28%2.07B | -8.28%2.07B | ---- | 0.94%2.26B | 0.94%2.26B | ---- | 13.78%2.24B | --2.24B | ---- | 26.50%1.97B |
-Derivative product liabilities | -8.58%32.58B | -8.58%32.58B | -23.67%24.45B | -38.01%35.63B | -38.01%35.63B | -5.69%32.03B | 139.22%57.49B | --57.49B | 1,450.91%33.97B | -25.55%24.03B |
-Other financial liabilities | -54.79%3.5B | -54.79%3.5B | 174.44%72.54B | 62.94%7.73B | 62.94%7.73B | 2.91%26.43B | 128.39%4.75B | --4.75B | -3.16%25.68B | -33.31%2.08B |
Payables | 14.06%9.7B | 14.06%9.7B | -7.72%514M | 101.04%8.5B | 101.04%8.5B | 30.75%557M | 86.83%4.23B | --4.23B | 1,320.00%426M | -0.75%2.26B |
-Accounts payable | 18.53%7.58B | 18.53%7.58B | ---- | 247.50%6.39B | 247.50%6.39B | ---- | 106.28%1.84B | --1.84B | ---- | -30.48%892M |
-Taxes payable | 2.96%1.04B | 2.96%1.04B | -7.72%514M | 0.10%1.01B | 0.10%1.01B | 30.75%557M | 273.06%1.01B | --1.01B | 1,320.00%426M | 41.15%271M |
-Other payables | -1.83%1.07B | -1.83%1.07B | ---- | -20.55%1.09B | -20.55%1.09B | ---- | 25.18%1.38B | --1.38B | ---- | 36.65%1.1B |
Total provisions | -2.59%1.8B | -2.59%1.8B | -9.91%1.44B | -11.64%1.85B | -11.64%1.85B | -10.64%1.6B | -26.04%2.1B | --2.1B | -45.31%1.79B | -25.81%2.83B |
Deferred income tax liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | 16.00%29M |
Total liabilities held for sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | ---- |
Other liabilities | 4.70%61.29B | 4.70%61.29B | -3.91%22.28B | 35.92%58.54B | 35.92%58.54B | 33.48%23.18B | 18.10%43.07B | --43.07B | 77.97%17.37B | 16.92%36.47B |
Total liability | 2.05%1.02T | 2.05%1.02T | 2.27%1.01T | 0.15%997.58B | 0.15%997.58B | 7.87%986.87B | 15.40%996.09B | --996.09B | 12.94%914.85B | 7.19%863.19B |
Shareholders'equity | ||||||||||
Share capital | -5.10%36.58B | -5.10%36.58B | -3.04%37.66B | -2.17%38.55B | -2.17%38.55B | -5.92%38.85B | -8.90%39.4B | --39.4B | -5.54%41.29B | -4.90%43.25B |
-common stock | -5.10%36.58B | -5.10%36.58B | -3.04%37.66B | -2.17%38.55B | -2.17%38.55B | -5.92%38.85B | -8.90%39.4B | --39.4B | -5.54%41.29B | -0.65%43.25B |
Retained earnings | 6.03%25.24B | 6.03%25.24B | 6.20%24.38B | 10.84%23.8B | 10.84%23.8B | 12.32%22.96B | 13.12%21.47B | --21.47B | 15.01%20.44B | 20.77%18.98B |
Other reserves | 69.63%-362M | 69.63%-362M | -75.26%-680M | 35.18%-1.19B | 35.18%-1.19B | 44.73%-388M | -434.36%-1.84B | ---1.84B | -871.43%-702M | 455.56%550M |
Total stockholders'equity | 0.49%61.46B | 0.49%61.46B | -0.08%61.37B | 3.59%61.15B | 3.59%61.15B | 0.63%61.42B | -5.97%59.03B | --59.03B | -0.89%61.03B | 2.43%62.78B |
Noncontrolling interests | 117.19%758M | 117.19%758M | --344M | --349M | --349M | ---- | --0 | --0 | --0 | ---- |
Total equity | 1.15%62.21B | 1.15%62.21B | 0.48%61.71B | 4.19%61.5B | 4.19%61.5B | 0.63%61.42B | -5.97%59.03B | --59.03B | -0.89%61.03B | 2.42%62.78B |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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