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002839 Jiangsu Zhangjiagang Rural Commercial Bank

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  • 4.45
  • -0.01-0.22%
Market Closed Dec 2 15:00 CST
10.88BMarket Cap5.80P/E (TTM)

Jiangsu Zhangjiagang Rural Commercial Bank Key Stats

All
YOY yoy
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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
4.93%9.54B
0.50%9.79B
-12.73%8.99B
-7.96%10.14B
-4.73%9.09B
1.74%9.74B
10.74%10.3B
20.94%11.02B
-0.40%9.54B
-2.24%9.57B
Deposit in interbank
22.83%2.91B
5.67%2.53B
-6.64%2.19B
24.70%2.87B
43.09%2.37B
46.35%2.39B
29.95%2.34B
15.94%2.3B
47.86%1.66B
90.17%1.64B
Lending capital
--419.96M
--631.49M
----
--0
----
----
--0
----
--0
----
Transactional financial assets
17.62%10.32B
95.96%16.53B
155.32%16.2B
37.16%9.47B
63.27%8.77B
63.42%8.44B
-26.09%6.34B
7.08%6.9B
-4.23%5.37B
-5.23%5.16B
Derivative assets
108.28%654.76M
62.04%530.11M
150.55%450.9M
118.21%385.37M
32.45%314.36M
-7.68%327.14M
-84.39%179.97M
-75.67%176.61M
-62.11%237.34M
26.64%354.34M
Bought sellback assets
--2.98B
103.82%992.72M
--5.72B
--0
----
22.74%487.05M
----
----
--0
--396.83M
Loan and advance
8.80%131.16B
12.22%130.63B
13.35%128.83B
11.20%122.26B
12.17%120.56B
11.72%116.41B
11.36%113.65B
15.06%109.94B
14.93%107.48B
15.90%104.19B
Debt investment
17.00%26.76B
24.32%29.09B
32.24%28.16B
8.17%22.47B
7.64%22.87B
10.82%23.4B
7.27%21.3B
3.51%20.77B
2.01%21.25B
-12.65%21.11B
Other debt investment
-23.82%25.58B
-39.38%20.38B
-40.63%20.43B
9.59%34.13B
-1.46%33.58B
12.13%33.62B
24.89%34.42B
20.01%31.14B
33.43%34.08B
42.96%29.98B
Other equity investment
-3.24%328.68M
-1.82%328.68M
0.75%328.68M
0.75%328.68M
-17.82%339.69M
-19.01%334.77M
-25.01%326.23M
-13.64%326.23M
16.14%413.36M
13.68%413.36M
Long term equity investment
9.11%1.84B
7.23%1.82B
7.67%1.77B
7.93%1.74B
7.04%1.69B
7.72%1.7B
5.96%1.64B
33.99%1.61B
27.91%1.58B
31.46%1.58B
Fixed assets
----
-8.39%939.24M
----
----
----
-4.86%1.03B
----
9.24%1.05B
----
26.52%1.08B
Constru in process
----
3.12%9.55M
----
----
----
-4.10%9.26M
----
-21.34%16.67M
----
-92.44%9.66M
Intangible assets
-23.41%105.81M
-23.55%115.33M
-15.57%118.42M
-15.58%129.6M
-16.25%138.15M
-17.81%150.86M
-26.22%140.26M
-14.61%153.52M
9.39%164.96M
14.63%183.55M
Deferred tax assets
6.14%2.01B
8.54%1.99B
6.67%1.88B
7.16%1.85B
19.51%1.89B
20.67%1.83B
22.03%1.77B
24.01%1.72B
20.03%1.58B
19.77%1.52B
Other assets
-24.87%271.2M
7.76%346.01M
-2.03%345.26M
-8.21%290.41M
13.58%360.95M
-3.80%321.09M
21.85%352.4M
-17.02%316.4M
-32.70%317.81M
-16.64%333.77M
Total assets
6.32%215.86B
8.23%216.72B
11.64%216.46B
10.45%207.13B
9.86%203.04B
12.75%200.24B
10.63%193.89B
13.95%187.53B
14.51%184.82B
13.90%177.6B
Liabilities
Borrowing from the central bank
1.89%4.73B
23.72%4.75B
17.38%4.75B
15.29%4.74B
12.47%4.64B
0.45%3.84B
15.49%4.04B
13.17%4.12B
33.27%4.13B
21.27%3.82B
Deposit of interbank
50.79%462.98M
-17.22%665.22M
-80.05%300.27M
-62.05%856.88M
-85.19%307.03M
-15.82%803.64M
187.55%1.51B
141.43%2.26B
111.20%2.07B
-22.22%954.63M
Deposit
7.43%169.78B
6.76%170.79B
12.39%172.5B
12.07%160.92B
13.38%158.04B
17.14%159.99B
16.65%153.48B
15.24%143.6B
13.49%139.38B
12.02%136.57B
Borrowing capital
12.04%2.02B
63.44%1.64B
-16.10%1.3B
-19.25%2.26B
-35.94%1.8B
-64.90%1B
-28.05%1.55B
203.05%2.8B
23.74%2.81B
40.06%2.85B
Transactional financial liabilities
----
67.33%935.29M
6.06%581.61M
-86.40%161.56M
----
6.70%558.95M
-36.48%548.4M
15.62%1.19B
-93.42%88.93M
-25.41%523.87M
Derivative liabilities
93.36%651.64M
53.25%524.39M
151.95%450.47M
120.17%377.32M
32.42%337.02M
-2.28%342.17M
-84.38%178.79M
-76.54%171.38M
-59.76%254.51M
16.86%350.17M
Funds from selling out and repurchasing financial assets
-1.36%10.62B
55.82%8.78B
16.70%8.58B
31.97%10.49B
5.61%10.77B
29.46%5.64B
-9.97%7.35B
-10.33%7.95B
121.39%10.19B
6.13%4.35B
Salaries payable
39.41%545.75M
48.30%517.93M
84.25%485.91M
9.08%510.42M
0.64%391.47M
-5.93%349.25M
-25.28%263.72M
-5.45%467.92M
-19.58%388.97M
-14.26%371.26M
Taxs payable
-24.16%147.06M
-14.02%144.68M
-24.26%99.47M
-58.36%86.98M
28.93%193.91M
63.46%168.28M
7.37%131.34M
34.03%208.87M
26.82%150.4M
84.44%102.95M
Estimate liabilities
4.36%150.01M
5.65%163.31M
-4.66%161.45M
-19.01%141.05M
-11.41%143.75M
14.23%154.57M
35.97%169.33M
37.43%174.16M
29.73%162.28M
7.52%135.32M
Bonds payable
-11.55%8.26B
-8.80%9.88B
12.84%9.13B
5.62%9.13B
0.20%9.34B
-11.62%10.84B
-25.86%8.09B
5.44%8.65B
-11.69%9.32B
59.69%12.26B
Absorbing deposits and interbank deposits
7.52%170.25B
6.64%171.46B
11.49%172.8B
10.92%161.78B
11.94%158.34B
16.92%160.79B
17.32%154.98B
16.18%145.86B
14.27%141.45B
11.68%137.53B
Other liabilitise
-28.46%159.6M
-33.35%119.42M
84.31%308.78M
0.24%156.22M
21.06%223.09M
-0.72%179.17M
-76.35%167.53M
-28.22%155.83M
29.89%184.28M
-55.00%180.47M
Total liabilities
6.09%197.59B
8.19%198.98B
11.92%198.71B
10.54%189.92B
10.06%186.24B
13.14%183.92B
10.81%177.55B
14.53%171.81B
14.92%169.21B
14.31%162.56B
Shareholders equity
Paid-in capital
0.00%2.17B
0.00%2.17B
0.00%2.17B
0.00%2.17B
0.00%2.17B
0.00%2.17B
20.01%2.17B
20.01%2.17B
20.01%2.17B
20.01%2.17B
Other equity instruments
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-0.00%2.45B
-Equity of Perpetual debt
----
----
----
----
----
--2B
----
--2B
----
----
Capital reserve funds
0.01%495.07M
0.00%495.05M
0.00%495.03M
0.00%495.03M
0.00%495.03M
0.00%495.03M
-42.19%495.03M
-42.19%495.03M
-42.80%495.03M
-42.80%495.03M
Surplus reserve funds
10.81%5.44B
10.81%5.44B
11.24%4.91B
11.24%4.91B
11.24%4.91B
11.24%4.91B
9.29%4.42B
9.29%4.42B
9.29%4.42B
9.29%4.42B
Retained profit
13.44%3.86B
15.70%3.32B
11.86%4.33B
12.58%3.79B
15.19%3.4B
17.28%2.87B
23.78%3.87B
24.81%3.36B
24.67%2.95B
22.94%2.44B
Other composite income
32.25%542.63M
14.96%544.26M
32.13%438.78M
97.73%440.99M
-21.53%410.32M
2.87%473.44M
-17.76%332.09M
-40.75%223.03M
74.05%522.91M
83.59%460.25M
Ordinary risk reserve funds
12.84%3.14B
12.81%3.14B
13.79%2.78B
13.79%2.78B
13.79%2.78B
13.79%2.78B
11.53%2.44B
11.53%2.44B
11.53%2.44B
11.53%2.44B
Shareholders equity without minority interests
8.89%18.09B
8.72%17.56B
8.65%17.58B
9.48%17.04B
7.57%16.62B
8.53%16.15B
8.74%16.18B
7.93%15.56B
10.17%15.45B
9.45%14.88B
Minority interests
1.02%184.22M
7.08%183.74M
4.10%175.32M
6.24%175.02M
11.66%182.36M
6.46%171.59M
8.45%168.41M
10.90%164.73M
16.25%163.33M
23.37%161.18M
Total shareholder equity
8.80%18.28B
8.70%17.74B
8.60%17.75B
9.44%17.21B
7.61%16.8B
8.51%16.32B
8.74%16.35B
7.96%15.73B
10.23%15.61B
9.59%15.04B
Total liabilities and equity
6.32%215.86B
8.23%216.72B
11.64%216.46B
10.45%207.13B
9.86%203.04B
12.75%200.24B
10.63%193.89B
13.95%187.53B
14.51%184.82B
13.90%177.6B
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
--
--
--
Deloitte Huayong Certified Public Accountants (Special General Partnership)
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--
--
Deloitte Huayong 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 4.93%9.54B0.50%9.79B-12.73%8.99B-7.96%10.14B-4.73%9.09B1.74%9.74B10.74%10.3B20.94%11.02B-0.40%9.54B-2.24%9.57B
Deposit in interbank 22.83%2.91B5.67%2.53B-6.64%2.19B24.70%2.87B43.09%2.37B46.35%2.39B29.95%2.34B15.94%2.3B47.86%1.66B90.17%1.64B
Lending capital --419.96M--631.49M------0----------0------0----
Transactional financial assets 17.62%10.32B95.96%16.53B155.32%16.2B37.16%9.47B63.27%8.77B63.42%8.44B-26.09%6.34B7.08%6.9B-4.23%5.37B-5.23%5.16B
Derivative assets 108.28%654.76M62.04%530.11M150.55%450.9M118.21%385.37M32.45%314.36M-7.68%327.14M-84.39%179.97M-75.67%176.61M-62.11%237.34M26.64%354.34M
Bought sellback assets --2.98B103.82%992.72M--5.72B--0----22.74%487.05M----------0--396.83M
Loan and advance 8.80%131.16B12.22%130.63B13.35%128.83B11.20%122.26B12.17%120.56B11.72%116.41B11.36%113.65B15.06%109.94B14.93%107.48B15.90%104.19B
Debt investment 17.00%26.76B24.32%29.09B32.24%28.16B8.17%22.47B7.64%22.87B10.82%23.4B7.27%21.3B3.51%20.77B2.01%21.25B-12.65%21.11B
Other debt investment -23.82%25.58B-39.38%20.38B-40.63%20.43B9.59%34.13B-1.46%33.58B12.13%33.62B24.89%34.42B20.01%31.14B33.43%34.08B42.96%29.98B
Other equity investment -3.24%328.68M-1.82%328.68M0.75%328.68M0.75%328.68M-17.82%339.69M-19.01%334.77M-25.01%326.23M-13.64%326.23M16.14%413.36M13.68%413.36M
Long term equity investment 9.11%1.84B7.23%1.82B7.67%1.77B7.93%1.74B7.04%1.69B7.72%1.7B5.96%1.64B33.99%1.61B27.91%1.58B31.46%1.58B
Fixed assets -----8.39%939.24M-------------4.86%1.03B----9.24%1.05B----26.52%1.08B
Constru in process ----3.12%9.55M-------------4.10%9.26M-----21.34%16.67M-----92.44%9.66M
Intangible assets -23.41%105.81M-23.55%115.33M-15.57%118.42M-15.58%129.6M-16.25%138.15M-17.81%150.86M-26.22%140.26M-14.61%153.52M9.39%164.96M14.63%183.55M
Deferred tax assets 6.14%2.01B8.54%1.99B6.67%1.88B7.16%1.85B19.51%1.89B20.67%1.83B22.03%1.77B24.01%1.72B20.03%1.58B19.77%1.52B
Other assets -24.87%271.2M7.76%346.01M-2.03%345.26M-8.21%290.41M13.58%360.95M-3.80%321.09M21.85%352.4M-17.02%316.4M-32.70%317.81M-16.64%333.77M
Total assets 6.32%215.86B8.23%216.72B11.64%216.46B10.45%207.13B9.86%203.04B12.75%200.24B10.63%193.89B13.95%187.53B14.51%184.82B13.90%177.6B
Liabilities
Borrowing from the central bank 1.89%4.73B23.72%4.75B17.38%4.75B15.29%4.74B12.47%4.64B0.45%3.84B15.49%4.04B13.17%4.12B33.27%4.13B21.27%3.82B
Deposit of interbank 50.79%462.98M-17.22%665.22M-80.05%300.27M-62.05%856.88M-85.19%307.03M-15.82%803.64M187.55%1.51B141.43%2.26B111.20%2.07B-22.22%954.63M
Deposit 7.43%169.78B6.76%170.79B12.39%172.5B12.07%160.92B13.38%158.04B17.14%159.99B16.65%153.48B15.24%143.6B13.49%139.38B12.02%136.57B
Borrowing capital 12.04%2.02B63.44%1.64B-16.10%1.3B-19.25%2.26B-35.94%1.8B-64.90%1B-28.05%1.55B203.05%2.8B23.74%2.81B40.06%2.85B
Transactional financial liabilities ----67.33%935.29M6.06%581.61M-86.40%161.56M----6.70%558.95M-36.48%548.4M15.62%1.19B-93.42%88.93M-25.41%523.87M
Derivative liabilities 93.36%651.64M53.25%524.39M151.95%450.47M120.17%377.32M32.42%337.02M-2.28%342.17M-84.38%178.79M-76.54%171.38M-59.76%254.51M16.86%350.17M
Funds from selling out and repurchasing financial assets -1.36%10.62B55.82%8.78B16.70%8.58B31.97%10.49B5.61%10.77B29.46%5.64B-9.97%7.35B-10.33%7.95B121.39%10.19B6.13%4.35B
Salaries payable 39.41%545.75M48.30%517.93M84.25%485.91M9.08%510.42M0.64%391.47M-5.93%349.25M-25.28%263.72M-5.45%467.92M-19.58%388.97M-14.26%371.26M
Taxs payable -24.16%147.06M-14.02%144.68M-24.26%99.47M-58.36%86.98M28.93%193.91M63.46%168.28M7.37%131.34M34.03%208.87M26.82%150.4M84.44%102.95M
Estimate liabilities 4.36%150.01M5.65%163.31M-4.66%161.45M-19.01%141.05M-11.41%143.75M14.23%154.57M35.97%169.33M37.43%174.16M29.73%162.28M7.52%135.32M
Bonds payable -11.55%8.26B-8.80%9.88B12.84%9.13B5.62%9.13B0.20%9.34B-11.62%10.84B-25.86%8.09B5.44%8.65B-11.69%9.32B59.69%12.26B
Absorbing deposits and interbank deposits 7.52%170.25B6.64%171.46B11.49%172.8B10.92%161.78B11.94%158.34B16.92%160.79B17.32%154.98B16.18%145.86B14.27%141.45B11.68%137.53B
Other liabilitise -28.46%159.6M-33.35%119.42M84.31%308.78M0.24%156.22M21.06%223.09M-0.72%179.17M-76.35%167.53M-28.22%155.83M29.89%184.28M-55.00%180.47M
Total liabilities 6.09%197.59B8.19%198.98B11.92%198.71B10.54%189.92B10.06%186.24B13.14%183.92B10.81%177.55B14.53%171.81B14.92%169.21B14.31%162.56B
Shareholders equity
Paid-in capital 0.00%2.17B0.00%2.17B0.00%2.17B0.00%2.17B0.00%2.17B0.00%2.17B20.01%2.17B20.01%2.17B20.01%2.17B20.01%2.17B
Other equity instruments -0.00%2.45B-0.00%2.45B-0.00%2.45B-0.00%2.45B-0.00%2.45B-0.00%2.45B-0.00%2.45B-0.00%2.45B-0.00%2.45B-0.00%2.45B
-Equity of Perpetual debt ----------------------2B------2B--------
Capital reserve funds 0.01%495.07M0.00%495.05M0.00%495.03M0.00%495.03M0.00%495.03M0.00%495.03M-42.19%495.03M-42.19%495.03M-42.80%495.03M-42.80%495.03M
Surplus reserve funds 10.81%5.44B10.81%5.44B11.24%4.91B11.24%4.91B11.24%4.91B11.24%4.91B9.29%4.42B9.29%4.42B9.29%4.42B9.29%4.42B
Retained profit 13.44%3.86B15.70%3.32B11.86%4.33B12.58%3.79B15.19%3.4B17.28%2.87B23.78%3.87B24.81%3.36B24.67%2.95B22.94%2.44B
Other composite income 32.25%542.63M14.96%544.26M32.13%438.78M97.73%440.99M-21.53%410.32M2.87%473.44M-17.76%332.09M-40.75%223.03M74.05%522.91M83.59%460.25M
Ordinary risk reserve funds 12.84%3.14B12.81%3.14B13.79%2.78B13.79%2.78B13.79%2.78B13.79%2.78B11.53%2.44B11.53%2.44B11.53%2.44B11.53%2.44B
Shareholders equity without minority interests 8.89%18.09B8.72%17.56B8.65%17.58B9.48%17.04B7.57%16.62B8.53%16.15B8.74%16.18B7.93%15.56B10.17%15.45B9.45%14.88B
Minority interests 1.02%184.22M7.08%183.74M4.10%175.32M6.24%175.02M11.66%182.36M6.46%171.59M8.45%168.41M10.90%164.73M16.25%163.33M23.37%161.18M
Total shareholder equity 8.80%18.28B8.70%17.74B8.60%17.75B9.44%17.21B7.61%16.8B8.51%16.32B8.74%16.35B7.96%15.73B10.23%15.61B9.59%15.04B
Total liabilities and equity 6.32%215.86B8.23%216.72B11.64%216.46B10.45%207.13B9.86%203.04B12.75%200.24B10.63%193.89B13.95%187.53B14.51%184.82B13.90%177.6B
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 Huayong Certified Public Accountants (Special General Partnership)------Deloitte Huayong 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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