CN Stock MarketDetailed Quotes

601825 Shanghai Rural Commercial Bank

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  • 7.43
  • +0.33+4.65%
Market Closed Sep 30 15:00 CST
71.66BMarket Cap5.88P/E (TTM)

Shanghai Rural Commercial Bank Key Stats

All
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow
Net deposit increase
-20.23%29.4B
-64.79%5.61B
-37.79%69.16B
-52.23%24.52B
7.99%36.85B
-45.99%15.92B
28.09%111.18B
-3.95%51.34B
-28.43%34.13B
33.21%29.47B
Net increase in borrowings from central bank
--2.98B
----
--13.03B
377.95%6.23B
----
----
----
-87.23%1.3B
-76.21%1.34B
-30.07%2.55B
Cash received from interests, fees and commissions
-0.11%19.23B
-5.60%9.5B
0.50%38.26B
4.61%29.87B
3.55%19.25B
9.60%10.07B
3.53%38.07B
10.12%28.55B
9.20%18.59B
9.16%9.18B
Net increase in repurchase business capital
----
--18.95B
5.19%1.25B
741.83%21.44B
--20.34B
----
--1.19B
-67.04%2.55B
----
-99.09%24.03M
Net increase in funds disbursed
244.15%24.09B
916.20%25.67B
--15.46B
--8B
--7B
0.99%2.53B
----
----
----
--2.5B
Cash received relating to other operating activities
-62.59%1.2B
-10.35%2.27B
-86.51%985.4M
7.56%2.52B
8.66%3.21B
-23.11%2.53B
83.12%7.3B
-57.16%2.34B
-14.03%2.95B
-19.39%3.29B
Special items of operating cash inflws
----
----
----
----
----
--872.69M
----
----
----
----
Cash inflows from operating activities
-2.87%87.23B
74.53%71.27B
-33.83%148.62B
-21.77%102.01B
-18.11%89.8B
-50.53%40.83B
58.17%224.61B
9.04%130.39B
30.97%109.66B
43.28%82.54B
Goods services cash paid
1,615.74%8.74B
--4.06B
123.60%2.71B
970.81%2.76B
135.57%509.31M
----
--1.21B
--257.5M
--216.2M
----
Staff behalf paid
4.01%2.97B
6.04%1.98B
9.03%5.41B
10.28%4.01B
19.70%2.86B
13.20%1.87B
6.84%4.96B
8.47%3.63B
2.05%2.39B
12.16%1.65B
All taxes paid
-33.21%2.03B
-2.72%700.52M
4.22%5.46B
12.35%4.24B
12.01%3.04B
128.37%720.09M
11.02%5.24B
85.97%3.77B
100.76%2.72B
-1.11%315.32M
Net loan and advance increase
-2.13%25.27B
9.29%12.8B
-26.14%41.34B
-12.59%32.38B
16.31%25.82B
-17.12%11.71B
-32.96%55.97B
-41.53%37.05B
-52.80%22.2B
-51.03%14.13B
Net deposit in central bank and institutions
----
----
--1.99B
----
--1.59B
-23.38%1.26B
----
----
----
18.60%1.64B
Net lend capital
----
-27.31%1.71B
--10.14B
--3.46B
--6.57B
--2.35B
----
----
----
----
Cash paid for fees and commissions
23.76%12.76B
35.27%8.07B
-5.82%19B
-9.12%14.43B
-9.94%10.31B
-17.55%5.96B
16.45%20.17B
25.92%15.87B
33.72%11.45B
42.07%7.23B
Net increase in financial assets held for trading purposes
----
----
--13.43B
115.86%14.48B
47.12%13.64B
34.70%15.4B
----
-24.36%6.71B
69.69%9.27B
--11.43B
Net increase in resale business funds (operating)
--1.47B
--10.96B
----
----
----
----
----
----
----
----
Cash paid relating to other operating activities
-86.48%164.2M
-56.84%322.09M
168.00%9.97B
-16.95%2.21B
41.29%1.21B
108.19%746.36M
144.76%3.72B
206.24%2.66B
82.34%859.84M
180.31%358.51M
Special items of operating cash outflws
----
----
----
----
----
----
----
----
----
-55.47%1.45B
Cash outflows from operating activities
-20.29%54.64B
-1.79%41.67B
9.92%109.46B
8.72%77.97B
20.48%68.55B
11.03%42.43B
-30.44%99.58B
-32.54%71.71B
-21.37%56.9B
-35.56%38.22B
Net cash flows from operating activities
53.33%32.59B
1,949.42%29.59B
-68.67%39.17B
-59.03%24.04B
-59.72%21.25B
-103.61%-1.6B
10,996.11%125.03B
342.00%58.68B
364.38%52.76B
2,715.31%44.33B
Investing cash flow
Cash received from disposal of investments
101.68%58.31B
149.87%27.88B
-17.50%75.06B
-15.66%59.87B
-40.00%28.91B
-49.37%11.16B
-9.25%90.98B
-7.89%70.98B
-18.77%48.19B
-12.56%22.03B
Cash received from returns on investments
14.95%6.27B
13.89%2.88B
21.77%10.58B
19.74%9.09B
-15.29%5.45B
3.86%2.53B
-14.95%8.69B
-0.06%7.59B
29.91%6.44B
-2.92%2.44B
Net cash received from disposal of fix assets、 intangible assets 、other long-term asset
710.85%546.5M
-92.72%6.39M
2,042.79%618.45M
396.88%138.18M
542.57%67.4M
910.87%87.72M
-84.68%28.86M
-83.73%27.81M
-93.29%10.49M
-92.82%8.68M
Cash inflows from investing activities
89.14%65.12B
123.34%30.76B
-13.48%86.26B
-12.09%69.1B
-36.98%34.43B
-43.73%13.77B
-9.91%99.69B
-7.34%78.6B
-15.20%54.63B
-12.04%24.48B
Cash paid to acquire fixed assets intangible assets and other long-term assets
87.22%676.32M
187.43%349.19M
47.55%1.04B
53.61%569.63M
93.41%361.25M
-6.60%121.49M
-10.52%701.94M
-23.87%370.82M
-44.95%186.78M
117.96%130.08M
Cash paid to acquire investments
10.26%85.43B
3.23%39.84B
-25.96%147.89B
-0.13%122.92B
-1.56%77.48B
-6.54%38.6B
96.23%199.75B
68.65%123.08B
48.30%78.71B
156.90%41.3B
 Net cash paid to acquire subsidiaries and other business units
----
----
--771.95M
--745.2M
--745.2M
----
----
----
----
----
Cash outflows from investing activities
9.57%86.11B
3.81%40.19B
-25.32%149.7B
0.64%124.24B
-0.39%78.59B
-6.54%38.72B
95.41%200.46B
68.04%123.45B
47.71%78.89B
156.75%41.43B
Net cash flows from investing activities
52.46%-20.99B
62.20%-9.43B
37.04%-63.44B
-22.95%-55.14B
-82.02%-44.16B
-47.16%-24.95B
-1,347.71%-100.76B
-494.72%-44.85B
-320.21%-24.26B
-244.96%-16.95B
Financing cash flow
Cash from bonds issue
-26.46%43.56B
20.56%8.8B
29.23%129.55B
20.08%98.56B
-0.18%59.24B
4.31%7.3B
-18.41%100.25B
136.86%82.07B
532.97%59.34B
137.06%7B
Cash inflows from financing activities
-26.46%43.56B
20.56%8.8B
29.23%129.55B
20.08%98.56B
-0.18%59.24B
4.31%7.3B
-23.71%100.25B
90.08%82.07B
532.97%59.34B
137.06%7B
Borrowing repayment
-16.65%45.29B
--14.26B
26.77%124.72B
17.76%85.58B
10.25%54.33B
----
-21.44%98.38B
23.41%72.67B
64.79%49.28B
----
Dividend interest payment
6.01%4.78B
-1.89%645.64M
12.02%5.85B
13.42%5.17B
11.51%4.51B
26.50%658.05M
7.39%5.22B
164.05%4.56B
231.71%4.05B
-19.09%520.18M
Special items of financing  cash outflows
-9.51%136.83M
-20.14%80.69M
5.32%268.59M
16.09%219.13M
51.26%151.21M
-99.60%101.05M
-5.47%255.02M
1.71%188.76M
-9.82%99.96M
31,388.98%24.97B
Cash outflows from financing activities
-14.90%50.21B
1,874.41%14.99B
25.98%130.83B
17.50%90.97B
10.42%58.99B
-97.02%759.09M
-20.33%103.85B
27.34%77.42B
71.04%53.43B
94.12%25.49B
Net cash flows from financing activities
-2,839.62%-6.64B
-194.54%-6.18B
64.32%-1.29B
63.03%7.59B
-95.90%242.5M
135.39%6.54B
-446.31%-3.61B
126.41%4.65B
127.05%5.91B
-81.66%-18.49B
Net cash flow
Exchange rate change effecting cash and cash equivalents
-120.71%-32.9M
68.99%-51.88M
-96.45%16.14M
-103.21%-19.39M
128.51%158.88M
-4,380.05%-167.33M
617.73%454.55M
553.20%603.13M
-212.47%-557.28M
96.52%-3.74M
Net increase in cash and cash equivalents
121.85%4.92B
169.05%13.93B
-220.99%-25.55B
-223.33%-23.54B
-166.48%-22.51B
-327.03%-20.17B
167.85%21.11B
177.13%19.08B
9,903.42%33.85B
3,208.67%8.88B
Add:Begin period cash and cash equivalents
-46.60%29.27B
-46.60%29.27B
62.64%54.82B
62.64%54.82B
62.64%54.82B
62.64%54.82B
30.53%33.71B
30.53%33.71B
30.53%33.71B
30.53%33.71B
End period cash equivalent
5.81%34.19B
24.68%43.2B
-46.60%29.27B
-40.74%31.28B
-52.17%32.31B
-18.65%34.65B
62.64%54.82B
61.39%52.79B
158.24%67.56B
66.78%42.59B
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
--
--
Unqualified opinion
--
--
--
Unqualified opinion
--
--
--
Auditor
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
(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
Operating Cash Flow
Net deposit increase -20.23%29.4B-64.79%5.61B-37.79%69.16B-52.23%24.52B7.99%36.85B-45.99%15.92B28.09%111.18B-3.95%51.34B-28.43%34.13B33.21%29.47B
Net increase in borrowings from central bank --2.98B------13.03B377.95%6.23B-------------87.23%1.3B-76.21%1.34B-30.07%2.55B
Cash received from interests, fees and commissions -0.11%19.23B-5.60%9.5B0.50%38.26B4.61%29.87B3.55%19.25B9.60%10.07B3.53%38.07B10.12%28.55B9.20%18.59B9.16%9.18B
Net increase in repurchase business capital ------18.95B5.19%1.25B741.83%21.44B--20.34B------1.19B-67.04%2.55B-----99.09%24.03M
Net increase in funds disbursed 244.15%24.09B916.20%25.67B--15.46B--8B--7B0.99%2.53B--------------2.5B
Cash received relating to other operating activities -62.59%1.2B-10.35%2.27B-86.51%985.4M7.56%2.52B8.66%3.21B-23.11%2.53B83.12%7.3B-57.16%2.34B-14.03%2.95B-19.39%3.29B
Special items of operating cash inflws ----------------------872.69M----------------
Cash inflows from operating activities -2.87%87.23B74.53%71.27B-33.83%148.62B-21.77%102.01B-18.11%89.8B-50.53%40.83B58.17%224.61B9.04%130.39B30.97%109.66B43.28%82.54B
Goods services cash paid 1,615.74%8.74B--4.06B123.60%2.71B970.81%2.76B135.57%509.31M------1.21B--257.5M--216.2M----
Staff behalf paid 4.01%2.97B6.04%1.98B9.03%5.41B10.28%4.01B19.70%2.86B13.20%1.87B6.84%4.96B8.47%3.63B2.05%2.39B12.16%1.65B
All taxes paid -33.21%2.03B-2.72%700.52M4.22%5.46B12.35%4.24B12.01%3.04B128.37%720.09M11.02%5.24B85.97%3.77B100.76%2.72B-1.11%315.32M
Net loan and advance increase -2.13%25.27B9.29%12.8B-26.14%41.34B-12.59%32.38B16.31%25.82B-17.12%11.71B-32.96%55.97B-41.53%37.05B-52.80%22.2B-51.03%14.13B
Net deposit in central bank and institutions ----------1.99B------1.59B-23.38%1.26B------------18.60%1.64B
Net lend capital -----27.31%1.71B--10.14B--3.46B--6.57B--2.35B----------------
Cash paid for fees and commissions 23.76%12.76B35.27%8.07B-5.82%19B-9.12%14.43B-9.94%10.31B-17.55%5.96B16.45%20.17B25.92%15.87B33.72%11.45B42.07%7.23B
Net increase in financial assets held for trading purposes ----------13.43B115.86%14.48B47.12%13.64B34.70%15.4B-----24.36%6.71B69.69%9.27B--11.43B
Net increase in resale business funds (operating) --1.47B--10.96B--------------------------------
Cash paid relating to other operating activities -86.48%164.2M-56.84%322.09M168.00%9.97B-16.95%2.21B41.29%1.21B108.19%746.36M144.76%3.72B206.24%2.66B82.34%859.84M180.31%358.51M
Special items of operating cash outflws -------------------------------------55.47%1.45B
Cash outflows from operating activities -20.29%54.64B-1.79%41.67B9.92%109.46B8.72%77.97B20.48%68.55B11.03%42.43B-30.44%99.58B-32.54%71.71B-21.37%56.9B-35.56%38.22B
Net cash flows from operating activities 53.33%32.59B1,949.42%29.59B-68.67%39.17B-59.03%24.04B-59.72%21.25B-103.61%-1.6B10,996.11%125.03B342.00%58.68B364.38%52.76B2,715.31%44.33B
Investing cash flow
Cash received from disposal of investments 101.68%58.31B149.87%27.88B-17.50%75.06B-15.66%59.87B-40.00%28.91B-49.37%11.16B-9.25%90.98B-7.89%70.98B-18.77%48.19B-12.56%22.03B
Cash received from returns on investments 14.95%6.27B13.89%2.88B21.77%10.58B19.74%9.09B-15.29%5.45B3.86%2.53B-14.95%8.69B-0.06%7.59B29.91%6.44B-2.92%2.44B
Net cash received from disposal of fix assets、 intangible assets 、other long-term asset 710.85%546.5M-92.72%6.39M2,042.79%618.45M396.88%138.18M542.57%67.4M910.87%87.72M-84.68%28.86M-83.73%27.81M-93.29%10.49M-92.82%8.68M
Cash inflows from investing activities 89.14%65.12B123.34%30.76B-13.48%86.26B-12.09%69.1B-36.98%34.43B-43.73%13.77B-9.91%99.69B-7.34%78.6B-15.20%54.63B-12.04%24.48B
Cash paid to acquire fixed assets intangible assets and other long-term assets 87.22%676.32M187.43%349.19M47.55%1.04B53.61%569.63M93.41%361.25M-6.60%121.49M-10.52%701.94M-23.87%370.82M-44.95%186.78M117.96%130.08M
Cash paid to acquire investments 10.26%85.43B3.23%39.84B-25.96%147.89B-0.13%122.92B-1.56%77.48B-6.54%38.6B96.23%199.75B68.65%123.08B48.30%78.71B156.90%41.3B
 Net cash paid to acquire subsidiaries and other business units ----------771.95M--745.2M--745.2M--------------------
Cash outflows from investing activities 9.57%86.11B3.81%40.19B-25.32%149.7B0.64%124.24B-0.39%78.59B-6.54%38.72B95.41%200.46B68.04%123.45B47.71%78.89B156.75%41.43B
Net cash flows from investing activities 52.46%-20.99B62.20%-9.43B37.04%-63.44B-22.95%-55.14B-82.02%-44.16B-47.16%-24.95B-1,347.71%-100.76B-494.72%-44.85B-320.21%-24.26B-244.96%-16.95B
Financing cash flow
Cash from bonds issue -26.46%43.56B20.56%8.8B29.23%129.55B20.08%98.56B-0.18%59.24B4.31%7.3B-18.41%100.25B136.86%82.07B532.97%59.34B137.06%7B
Cash inflows from financing activities -26.46%43.56B20.56%8.8B29.23%129.55B20.08%98.56B-0.18%59.24B4.31%7.3B-23.71%100.25B90.08%82.07B532.97%59.34B137.06%7B
Borrowing repayment -16.65%45.29B--14.26B26.77%124.72B17.76%85.58B10.25%54.33B-----21.44%98.38B23.41%72.67B64.79%49.28B----
Dividend interest payment 6.01%4.78B-1.89%645.64M12.02%5.85B13.42%5.17B11.51%4.51B26.50%658.05M7.39%5.22B164.05%4.56B231.71%4.05B-19.09%520.18M
Special items of financing  cash outflows -9.51%136.83M-20.14%80.69M5.32%268.59M16.09%219.13M51.26%151.21M-99.60%101.05M-5.47%255.02M1.71%188.76M-9.82%99.96M31,388.98%24.97B
Cash outflows from financing activities -14.90%50.21B1,874.41%14.99B25.98%130.83B17.50%90.97B10.42%58.99B-97.02%759.09M-20.33%103.85B27.34%77.42B71.04%53.43B94.12%25.49B
Net cash flows from financing activities -2,839.62%-6.64B-194.54%-6.18B64.32%-1.29B63.03%7.59B-95.90%242.5M135.39%6.54B-446.31%-3.61B126.41%4.65B127.05%5.91B-81.66%-18.49B
Net cash flow
Exchange rate change effecting cash and cash equivalents -120.71%-32.9M68.99%-51.88M-96.45%16.14M-103.21%-19.39M128.51%158.88M-4,380.05%-167.33M617.73%454.55M553.20%603.13M-212.47%-557.28M96.52%-3.74M
Net increase in cash and cash equivalents 121.85%4.92B169.05%13.93B-220.99%-25.55B-223.33%-23.54B-166.48%-22.51B-327.03%-20.17B167.85%21.11B177.13%19.08B9,903.42%33.85B3,208.67%8.88B
Add:Begin period cash and cash equivalents -46.60%29.27B-46.60%29.27B62.64%54.82B62.64%54.82B62.64%54.82B62.64%54.82B30.53%33.71B30.53%33.71B30.53%33.71B30.53%33.71B
End period cash equivalent 5.81%34.19B24.68%43.2B-46.60%29.27B-40.74%31.28B-52.17%32.31B-18.65%34.65B62.64%54.82B61.39%52.79B158.24%67.56B66.78%42.59B
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.

Analysis

Analyst Rating

No Data

Price Target

No Data

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