新加坡市场个股详情

TKKD t KBank TH SDR

添加自选
  • 5.750
  • +0.040+0.70%
延时10分钟行情休市中 11/08 16:36 (北京)
136.24亿总市值8.02市盈率TTM

t KBank TH SDR关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
资产
现金和现金等价物和联邦基金
-11.75%3,561.78亿
-24.86%357.09亿
5.99%3,714.06亿
5.99%3,714.06亿
-18.46%416.76亿
10.49%4,036.05亿
-4.31%475.25亿
-0.83%3,504.28亿
-0.83%3,504.28亿
-3.65%511.13亿
-现金和现金等价物
-11.75%3,561.78亿
-24.86%357.09亿
5.99%3,714.06亿
5.99%3,714.06亿
-18.46%416.76亿
10.49%4,036.05亿
-4.31%475.25亿
-0.83%3,504.28亿
-0.83%3,504.28亿
-3.65%511.13亿
证券投资
0.17%1.05万亿
2.24%1.07万亿
-0.88%1.01万亿
-0.88%1.01万亿
-1.37%1.03万亿
0.25%1.04万亿
-2.56%1.05万亿
-6.71%1.02万亿
-6.71%1.02万亿
2.35%1.04万亿
-可供出售证券
-6.29%6,855.48亿
0.81%7,278.58亿
2.66%7,064.29亿
2.66%7,064.29亿
-30.46%7,231.54亿
7.67%7,315.78亿
3.91%7,220.23亿
1.63%6,881.43亿
1.63%6,881.43亿
64.31%1.04万亿
-短期投资
15.34%3,595.74亿
5.42%3,441.91亿
-8.21%3,051.71亿
-8.21%3,051.71亿
--3,025.89亿
-13.70%3,117.41亿
-14.35%3,264.95亿
-20.26%3,324.79亿
-20.26%3,324.79亿
----
长期股权投资
5.81%114.94亿
30.20%115.64亿
27.90%112.79亿
27.90%112.79亿
26.12%110.81亿
23.82%108.63亿
134.18%88.82亿
129.73%88.19亿
129.73%88.19亿
230.75%87.86亿
衍生资产
-14.65%499.87亿
-3.67%496.57亿
-31.16%446.84亿
-31.16%446.84亿
-24.86%662.47亿
0.56%585.65亿
51.72%515.5亿
70.40%649.13亿
70.40%649.13亿
53.53%881.68亿
贷款净额
-3.02%1.8万亿
2.09%2.92万亿
-2.00%1.9万亿
-2.00%1.9万亿
2.77%2.88万亿
0.62%1.86万亿
3.08%2.86万亿
5.47%1.93万亿
5.47%1.93万亿
3.54%2.8万亿
-贷款总额
-2.74%1.93万亿
2.07%3.05万亿
-1.90%2.02万亿
-1.90%2.02万亿
7.40%3.01万亿
0.14%1.99万亿
2.23%2.99万亿
4.48%2.06万亿
4.48%2.06万亿
-1.77%2.8万亿
-贷款损失准备金
1.30%1,302.14亿
1.54%1,300.58亿
-0.50%1,287.27亿
-0.50%1,287.27亿
--1,297.65亿
-6.42%1,285.39亿
-13.65%1,280.91亿
-8.30%1,293.8亿
-8.30%1,293.8亿
----
止赎资产
11.55%565.46亿
7.17%552.77亿
7.34%547.53亿
7.34%547.53亿
17.60%536.02亿
16.40%506.93亿
22.13%515.8亿
20.54%510.07亿
20.54%510.07亿
38.60%455.81亿
应收款项
12.50%7,507亿
----
10.62%7,223.38亿
10.62%7,223.38亿
----
3.47%6,673.12亿
----
11.28%6,530亿
11.28%6,530亿
----
-应收账款
7.54%180.44亿
----
-6.84%157.53亿
-6.84%157.53亿
----
2.94%167.79亿
----
1.04%169.1亿
1.04%169.1亿
----
-应收票据
14.90%5,750.19亿
----
11.68%5,544.54亿
11.68%5,544.54亿
----
1.07%5,004.33亿
----
12.69%4,964.62亿
12.69%4,964.62亿
----
-其他应收款
5.02%1,576.37亿
----
8.95%1,521.31亿
8.95%1,521.31亿
----
12.45%1,501亿
----
7.81%1,396.28亿
7.81%1,396.28亿
----
固定资产净额
-2.20%593.23亿
-0.15%598.12亿
-0.25%599.46亿
-0.25%599.46亿
7.09%600.52亿
6.94%606.58亿
4.52%599.03亿
9.53%600.98亿
9.53%600.98亿
1.23%560.77亿
-固定资产
-0.10%1,087.37亿
----
0.96%1,085.2亿
0.96%1,085.2亿
----
4.44%1,088.45亿
----
7.04%1,074.91亿
7.04%1,074.91亿
----
-累计折旧
-2.55%-494.14亿
----
-2.49%-485.74亿
-2.49%-485.74亿
----
-1.45%-481.87亿
----
-4.04%-473.93亿
-4.04%-473.93亿
----
商誉和其他无形资产
7.66%292.45亿
7.82%289.84亿
5.22%284.05亿
5.22%284.05亿
3.11%271.65亿
2.91%271.64亿
5.53%268.81亿
8.26%269.96亿
8.26%269.96亿
7.65%263.45亿
-商誉
26.57%56.93亿
----
28.19%56.93亿
28.19%56.93亿
----
17.63%44.98亿
----
16.13%44.41亿
16.13%44.41亿
----
-其他无形资产
3.91%235.52亿
----
0.69%227.12亿
0.69%227.12亿
----
0.41%226.66亿
----
6.84%225.55亿
6.84%225.55亿
----
递延资产
8.48%91.69亿
-6.90%83.14亿
19.18%101.74亿
19.18%101.74亿
11.72%90.25亿
-20.16%84.52亿
-0.58%89.3亿
-23.30%85.36亿
-23.30%85.36亿
-30.44%80.78亿
其他资产
-1.86%750.78亿
4.36%788.47亿
8.37%735.12亿
8.37%735.12亿
-11.43%922.21亿
-7.97%765.03亿
21.10%755.55亿
12.84%678.33亿
12.84%678.33亿
47.54%1,041.23亿
总资产
-0.48%4.25万亿
1.90%4.32万亿
0.88%4.28万亿
0.88%4.28万亿
0.86%4.27万亿
1.92%4.27万亿
2.54%4.24万亿
3.48%4.25万亿
3.48%4.25万亿
4.96%4.23万亿
负债
客户存款
-1.67%2.66万亿
-0.41%2.7万亿
-1.79%2.7万亿
-1.79%2.7万亿
0.78%2.68万亿
1.42%2.71万亿
3.00%2.71万亿
5.77%2.75万亿
5.77%2.75万亿
5.08%2.66万亿
交易性负债
-96.05%1,200万
124.20%5.8亿
-45.66%3.64亿
-45.66%3.64亿
-36.97%3.48亿
-69.16%3.04亿
-83.63%2.59亿
-58.48%6.7亿
-58.48%6.7亿
-47.45%5.52亿
衍生品负债
-8.20%537.04亿
25.06%536.48亿
-22.05%420.7亿
-22.05%420.7亿
-28.84%713.09亿
-8.01%585.04亿
40.48%428.99亿
41.84%539.7亿
41.84%539.7亿
61.12%1,002.1亿
应付款项
13.23%256.12亿
-14.46%219.04亿
25.04%311.19亿
25.04%311.19亿
-0.14%229.77亿
-6.11%226.2亿
-0.41%256.07亿
-1.82%248.87亿
-1.82%248.87亿
-11.50%230.08亿
-其他应付款
13.23%256.12亿
-14.46%219.04亿
25.04%311.19亿
25.04%311.19亿
-0.14%229.77亿
-6.11%226.2亿
-0.41%256.07亿
-1.82%248.87亿
-1.82%248.87亿
-11.50%230.08亿
长期借款和租赁负债
-4.65%1,933.25亿
9.37%2,777.77亿
25.33%1,996.86亿
25.33%1,996.86亿
-2.62%2,652.92亿
1.02%2,027.55亿
-7.02%2,539.74亿
-26.61%1,593.24亿
-26.61%1,593.24亿
-3.48%2,724.16亿
-长期借款
-4.65%1,933.25亿
9.37%2,777.77亿
25.33%1,996.86亿
25.33%1,996.86亿
-2.62%2,652.92亿
1.02%2,027.55亿
-7.02%2,539.74亿
-26.61%1,593.24亿
-26.61%1,593.24亿
-3.48%2,724.16亿
长期拨备
10.49%363.74亿
6.97%359.45亿
6.68%337.99亿
6.68%337.99亿
5.57%324.1亿
-15.19%329.19亿
-19.26%336.03亿
-26.41%316.83亿
-26.41%316.83亿
-28.92%306.99亿
非流动递延负债
19.09%3.14亿
89.53%4.48亿
32.42%3.6亿
32.42%3.6亿
-22.35%2.19亿
-5.29%2.64亿
-12.08%2.36亿
-82.77%2.72亿
-82.77%2.72亿
-83.23%2.82亿
其他负债
0.36%6,626.82亿
3.21%6,105.87亿
3.03%6,797.61亿
3.03%6,797.61亿
3.13%6,034.55亿
2.72%6,602.74亿
2.25%5,916亿
2.87%6,597.98亿
2.87%6,597.98亿
4.46%5,851.23亿
总负债
-1.38%3.64万亿
1.14%3.7万亿
0.20%3.69万亿
0.20%3.69万亿
0.12%3.68万亿
1.22%3.69万亿
2.11%3.66万亿
3.16%3.68万亿
3.16%3.68万亿
4.69%3.67万亿
所有者权益
股本
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
-普通股股本
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
0.00%236.93亿
资本公积
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
0.00%181.03亿
留存收益
7.21%4,662.31亿
8.24%4,670.39亿
7.66%4,543.23亿
7.66%4,543.23亿
6.25%4,457.93亿
5.99%4,348.9亿
6.56%4,314.71亿
7.44%4,219.85亿
7.44%4,219.85亿
10.11%4,195.7亿
不影响留存收益的损益
-13.37%208.94亿
0.98%238.36亿
-13.88%206.16亿
-13.88%206.16亿
-5.62%220.22亿
13.11%241.17亿
-8.97%236.04亿
-10.02%239.4亿
-10.02%239.4亿
-10.22%233.32亿
其他股本权益
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
0.00%155.49亿
股东权益总额
5.45%5,444.71亿
6.99%5,482.2亿
5.77%5,322.85亿
5.77%5,322.85亿
4.98%5,251.6亿
5.60%5,163.53亿
4.96%5,124.21亿
5.57%5,032.7亿
5.57%5,032.7亿
7.73%5,002.48亿
非控制性权益
3.38%667.87亿
5.18%674.33亿
1.16%645.51亿
1.16%645.51亿
11.88%641.77亿
15.36%646.06亿
8.31%641.13亿
6.42%638.1亿
6.42%638.1亿
-0.53%573.61亿
总权益
5.22%6,112.58亿
6.79%6,156.53亿
5.25%5,968.35亿
5.25%5,968.35亿
5.69%5,893.38亿
6.60%5,809.59亿
5.33%5,765.34亿
5.67%5,670.79亿
5.67%5,670.79亿
6.81%5,576.08亿
货币单位
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
资产
现金和现金等价物和联邦基金 -11.75%3,561.78亿-24.86%357.09亿5.99%3,714.06亿5.99%3,714.06亿-18.46%416.76亿10.49%4,036.05亿-4.31%475.25亿-0.83%3,504.28亿-0.83%3,504.28亿-3.65%511.13亿
-现金和现金等价物 -11.75%3,561.78亿-24.86%357.09亿5.99%3,714.06亿5.99%3,714.06亿-18.46%416.76亿10.49%4,036.05亿-4.31%475.25亿-0.83%3,504.28亿-0.83%3,504.28亿-3.65%511.13亿
证券投资 0.17%1.05万亿2.24%1.07万亿-0.88%1.01万亿-0.88%1.01万亿-1.37%1.03万亿0.25%1.04万亿-2.56%1.05万亿-6.71%1.02万亿-6.71%1.02万亿2.35%1.04万亿
-可供出售证券 -6.29%6,855.48亿0.81%7,278.58亿2.66%7,064.29亿2.66%7,064.29亿-30.46%7,231.54亿7.67%7,315.78亿3.91%7,220.23亿1.63%6,881.43亿1.63%6,881.43亿64.31%1.04万亿
-短期投资 15.34%3,595.74亿5.42%3,441.91亿-8.21%3,051.71亿-8.21%3,051.71亿--3,025.89亿-13.70%3,117.41亿-14.35%3,264.95亿-20.26%3,324.79亿-20.26%3,324.79亿----
长期股权投资 5.81%114.94亿30.20%115.64亿27.90%112.79亿27.90%112.79亿26.12%110.81亿23.82%108.63亿134.18%88.82亿129.73%88.19亿129.73%88.19亿230.75%87.86亿
衍生资产 -14.65%499.87亿-3.67%496.57亿-31.16%446.84亿-31.16%446.84亿-24.86%662.47亿0.56%585.65亿51.72%515.5亿70.40%649.13亿70.40%649.13亿53.53%881.68亿
贷款净额 -3.02%1.8万亿2.09%2.92万亿-2.00%1.9万亿-2.00%1.9万亿2.77%2.88万亿0.62%1.86万亿3.08%2.86万亿5.47%1.93万亿5.47%1.93万亿3.54%2.8万亿
-贷款总额 -2.74%1.93万亿2.07%3.05万亿-1.90%2.02万亿-1.90%2.02万亿7.40%3.01万亿0.14%1.99万亿2.23%2.99万亿4.48%2.06万亿4.48%2.06万亿-1.77%2.8万亿
-贷款损失准备金 1.30%1,302.14亿1.54%1,300.58亿-0.50%1,287.27亿-0.50%1,287.27亿--1,297.65亿-6.42%1,285.39亿-13.65%1,280.91亿-8.30%1,293.8亿-8.30%1,293.8亿----
止赎资产 11.55%565.46亿7.17%552.77亿7.34%547.53亿7.34%547.53亿17.60%536.02亿16.40%506.93亿22.13%515.8亿20.54%510.07亿20.54%510.07亿38.60%455.81亿
应收款项 12.50%7,507亿----10.62%7,223.38亿10.62%7,223.38亿----3.47%6,673.12亿----11.28%6,530亿11.28%6,530亿----
-应收账款 7.54%180.44亿-----6.84%157.53亿-6.84%157.53亿----2.94%167.79亿----1.04%169.1亿1.04%169.1亿----
-应收票据 14.90%5,750.19亿----11.68%5,544.54亿11.68%5,544.54亿----1.07%5,004.33亿----12.69%4,964.62亿12.69%4,964.62亿----
-其他应收款 5.02%1,576.37亿----8.95%1,521.31亿8.95%1,521.31亿----12.45%1,501亿----7.81%1,396.28亿7.81%1,396.28亿----
固定资产净额 -2.20%593.23亿-0.15%598.12亿-0.25%599.46亿-0.25%599.46亿7.09%600.52亿6.94%606.58亿4.52%599.03亿9.53%600.98亿9.53%600.98亿1.23%560.77亿
-固定资产 -0.10%1,087.37亿----0.96%1,085.2亿0.96%1,085.2亿----4.44%1,088.45亿----7.04%1,074.91亿7.04%1,074.91亿----
-累计折旧 -2.55%-494.14亿-----2.49%-485.74亿-2.49%-485.74亿-----1.45%-481.87亿-----4.04%-473.93亿-4.04%-473.93亿----
商誉和其他无形资产 7.66%292.45亿7.82%289.84亿5.22%284.05亿5.22%284.05亿3.11%271.65亿2.91%271.64亿5.53%268.81亿8.26%269.96亿8.26%269.96亿7.65%263.45亿
-商誉 26.57%56.93亿----28.19%56.93亿28.19%56.93亿----17.63%44.98亿----16.13%44.41亿16.13%44.41亿----
-其他无形资产 3.91%235.52亿----0.69%227.12亿0.69%227.12亿----0.41%226.66亿----6.84%225.55亿6.84%225.55亿----
递延资产 8.48%91.69亿-6.90%83.14亿19.18%101.74亿19.18%101.74亿11.72%90.25亿-20.16%84.52亿-0.58%89.3亿-23.30%85.36亿-23.30%85.36亿-30.44%80.78亿
其他资产 -1.86%750.78亿4.36%788.47亿8.37%735.12亿8.37%735.12亿-11.43%922.21亿-7.97%765.03亿21.10%755.55亿12.84%678.33亿12.84%678.33亿47.54%1,041.23亿
总资产 -0.48%4.25万亿1.90%4.32万亿0.88%4.28万亿0.88%4.28万亿0.86%4.27万亿1.92%4.27万亿2.54%4.24万亿3.48%4.25万亿3.48%4.25万亿4.96%4.23万亿
负债
客户存款 -1.67%2.66万亿-0.41%2.7万亿-1.79%2.7万亿-1.79%2.7万亿0.78%2.68万亿1.42%2.71万亿3.00%2.71万亿5.77%2.75万亿5.77%2.75万亿5.08%2.66万亿
交易性负债 -96.05%1,200万124.20%5.8亿-45.66%3.64亿-45.66%3.64亿-36.97%3.48亿-69.16%3.04亿-83.63%2.59亿-58.48%6.7亿-58.48%6.7亿-47.45%5.52亿
衍生品负债 -8.20%537.04亿25.06%536.48亿-22.05%420.7亿-22.05%420.7亿-28.84%713.09亿-8.01%585.04亿40.48%428.99亿41.84%539.7亿41.84%539.7亿61.12%1,002.1亿
应付款项 13.23%256.12亿-14.46%219.04亿25.04%311.19亿25.04%311.19亿-0.14%229.77亿-6.11%226.2亿-0.41%256.07亿-1.82%248.87亿-1.82%248.87亿-11.50%230.08亿
-其他应付款 13.23%256.12亿-14.46%219.04亿25.04%311.19亿25.04%311.19亿-0.14%229.77亿-6.11%226.2亿-0.41%256.07亿-1.82%248.87亿-1.82%248.87亿-11.50%230.08亿
长期借款和租赁负债 -4.65%1,933.25亿9.37%2,777.77亿25.33%1,996.86亿25.33%1,996.86亿-2.62%2,652.92亿1.02%2,027.55亿-7.02%2,539.74亿-26.61%1,593.24亿-26.61%1,593.24亿-3.48%2,724.16亿
-长期借款 -4.65%1,933.25亿9.37%2,777.77亿25.33%1,996.86亿25.33%1,996.86亿-2.62%2,652.92亿1.02%2,027.55亿-7.02%2,539.74亿-26.61%1,593.24亿-26.61%1,593.24亿-3.48%2,724.16亿
长期拨备 10.49%363.74亿6.97%359.45亿6.68%337.99亿6.68%337.99亿5.57%324.1亿-15.19%329.19亿-19.26%336.03亿-26.41%316.83亿-26.41%316.83亿-28.92%306.99亿
非流动递延负债 19.09%3.14亿89.53%4.48亿32.42%3.6亿32.42%3.6亿-22.35%2.19亿-5.29%2.64亿-12.08%2.36亿-82.77%2.72亿-82.77%2.72亿-83.23%2.82亿
其他负债 0.36%6,626.82亿3.21%6,105.87亿3.03%6,797.61亿3.03%6,797.61亿3.13%6,034.55亿2.72%6,602.74亿2.25%5,916亿2.87%6,597.98亿2.87%6,597.98亿4.46%5,851.23亿
总负债 -1.38%3.64万亿1.14%3.7万亿0.20%3.69万亿0.20%3.69万亿0.12%3.68万亿1.22%3.69万亿2.11%3.66万亿3.16%3.68万亿3.16%3.68万亿4.69%3.67万亿
所有者权益
股本 0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿
-普通股股本 0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿0.00%236.93亿
资本公积 0.00%181.03亿0.00%181.03亿0.00%181.03亿0.00%181.03亿0.00%181.03亿0.00%181.03亿0.00%181.03亿0.00%181.03亿0.00%181.03亿0.00%181.03亿
留存收益 7.21%4,662.31亿8.24%4,670.39亿7.66%4,543.23亿7.66%4,543.23亿6.25%4,457.93亿5.99%4,348.9亿6.56%4,314.71亿7.44%4,219.85亿7.44%4,219.85亿10.11%4,195.7亿
不影响留存收益的损益 -13.37%208.94亿0.98%238.36亿-13.88%206.16亿-13.88%206.16亿-5.62%220.22亿13.11%241.17亿-8.97%236.04亿-10.02%239.4亿-10.02%239.4亿-10.22%233.32亿
其他股本权益 0.00%155.49亿0.00%155.49亿0.00%155.49亿0.00%155.49亿0.00%155.49亿0.00%155.49亿0.00%155.49亿0.00%155.49亿0.00%155.49亿0.00%155.49亿
股东权益总额 5.45%5,444.71亿6.99%5,482.2亿5.77%5,322.85亿5.77%5,322.85亿4.98%5,251.6亿5.60%5,163.53亿4.96%5,124.21亿5.57%5,032.7亿5.57%5,032.7亿7.73%5,002.48亿
非控制性权益 3.38%667.87亿5.18%674.33亿1.16%645.51亿1.16%645.51亿11.88%641.77亿15.36%646.06亿8.31%641.13亿6.42%638.1亿6.42%638.1亿-0.53%573.61亿
总权益 5.22%6,112.58亿6.79%6,156.53亿5.25%5,968.35亿5.25%5,968.35亿5.69%5,893.38亿6.60%5,809.59亿5.33%5,765.34亿5.67%5,670.79亿5.67%5,670.79亿6.81%5,576.08亿
货币单位 THBTHBTHBTHBTHBTHBTHBTHBTHBTHB

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