02888 渣打集團
实时 按盘价 升83.550 +0.450 (+0.542%)
最新  |  全年  |  中期
资产
2024/06 - 中期
美元(千$)
与去年末期
比较
2023/12
美元(千$)
2022/12
美元(千$)
2021/12
美元(千$)
2020/12
美元(千$)
现金及短期资金64,086,000-8.324%69,905,00058,263,00072,663,00066,712,000
银行同业存放及贷款------------
政府负债证明书6,529,000-0.594%6,568,0007,106,0007,284,0007,295,000
客户贷款275,896,000-3.861%286,975,000310,647,000298,468,000281,699,000
按公平值列入损益帐的金融资产181,725,00023.436%147,222,000105,812,000129,121,000106,787,000
证券投资152,403,000-5.489%161,255,000172,448,000163,437,000153,315,000
衍生金融资产48,647,000-3.543%50,434,00063,717,00052,445,00069,467,000
联营公司及共同控制公司权益1,088,00012.629%966,0001,631,0002,147,0002,162,000
无形资产6,103,000-1.786%6,214,0005,869,0005,471,0005,063,000
投资物业0--0000
物业丶厂房丶设备及其他2,202,000-3.166%2,274,0005,522,0005,616,0006,515,000
土地及其他租赁资产0--0000
其他资产96,748,0006.280%91,031,00088,907,00091,166,00090,035,000

835,427,0001.529%822,844,000819,922,000827,818,000789,050,000
负债
2024/06 - 中期
美元(千$)
与去年末期
比较
2023/12
美元(千$)
2022/12
美元(千$)
2021/12
美元(千$)
2020/12
美元(千$)
纸币流通额6,529,000-0.594%6,568,0007,106,0007,284,0007,295,000
同业存款28,087,0000.203%28,030,00028,789,00030,041,00030,255,000
客户存款468,157,000-0.269%469,418,000461,677,000474,570,000439,339,000
已发行存款证及其他债务证券65,199,0004.242%62,546,00061,242,00061,293,00055,550,000
按公平值列入损益帐的金融负债96,882,00016.590%83,096,00079,903,00085,197,00068,373,000
衍生金融负债50,584,000-9.770%56,061,00069,862,00053,399,00071,533,000
後偿负债10,856,000-9.804%12,036,00013,715,00016,646,00016,654,000
其他负债57,806,0005.609%54,736,00047,612,00046,752,00049,322,000

784,100,0001.503%772,491,000769,906,000775,182,000738,321,000
股东权益
2024/06 - 中期
美元(千$)
与去年末期
比较
2023/12
美元(千$)
2022/12
美元(千$)
2021/12
美元(千$)
2020/12
美元(千$)
   股本1,275,000-4.279%1,332,0001,447,0001,539,0001,578,000
   储备43,138,0000.058%43,113,00041,715,00044,472,00044,308,000
   其他0--0000
股东资金44,413,000-0.072%44,445,00043,162,00046,011,00045,886,000
非控股权益410,0003.535%396,000350,000371,000325,000
其他6,504,00017.997%5,512,0006,504,0006,254,0004,518,000

51,327,0001.934%50,353,00050,016,00052,636,00050,729,000
2024/06 - 中期
美元(千$)
与去年末期
比较
2023/12
美元(千$)
2022/12
美元(千$)
2021/12
美元(千$)
2020/12
美元(千$)
承担及或然负债----257,021,000229,335,000217,182,000207,370,000
备注: 实时报价更新时间为30/09/2024 17:59
  港股实时基本市场行情由香港交易所提供; 香港交易所指定免费发放实时基本市场行情的网站。
证券代号
公司名称(中/英/关键字)
行业
 
股东应占溢利/(亏损) (千)USD 2,378,000
增长率-0.419%
每股盈利/(亏损)USD 0.833
每股账面资产净值 ($)USD 17.405