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600000 Shanghai Pudong Development Bank

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  • 10.75
  • +0.15+1.42%
Market Closed Apr 17 15:00 CST
315.54BMarket Cap6.97P/E (TTM)

Shanghai Pudong Development Bank Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(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
Operating Cash Flow
Net deposit increase
-93.65%23.91B
-42.89%137.96B
----
----
39.95%376.78B
--241.57B
215.35%185.84B
--155.97B
290.94%269.22B
----
Net increase in borrowings from central bank
----
----
----
----
--69.27B
--40.28B
--35.5B
--31.95B
----
----
Cash received from interests, fees and commissions
-3.22%269.27B
-1.40%205.23B
-7.00%132.92B
-17.04%69.02B
-5.04%278.23B
-5.48%208.15B
-2.52%142.93B
15.04%83.2B
0.69%293.01B
4.03%220.22B
Net increase in repurchase business capital
----
----
----
----
-3.65%169.46B
22.62%73.94B
-77.07%22.94B
----
--175.89B
--60.3B
Net increase in funds disbursed
--41.35B
--52.31B
--23.76B
507.91%18.23B
----
----
----
-95.39%3B
85,290.70%73.44B
--84.82B
Cash received relating to other operating activities
60.69%36.33B
420.68%41.07B
309.68%34.06B
177.98%43.01B
-77.94%22.61B
-91.39%7.89B
-89.54%8.31B
-56.47%15.47B
62.19%102.49B
41.56%91.6B
Cash inflows from operating activities
-52.22%447.09B
-10.34%534.36B
-25.91%297.83B
-48.84%198.91B
2.37%935.79B
19.49%595.95B
-11.66%401.99B
16.60%388.77B
113.68%914.1B
6.48%498.75B
Staff behalf paid
-7.76%28.3B
-14.85%21.73B
-18.50%15.64B
-25.33%9.7B
-2.02%30.68B
2.55%25.52B
3.87%19.18B
3.79%13B
13.26%31.31B
20.86%24.89B
All taxes paid
-0.42%30.22B
-6.02%24.31B
3.22%20.24B
-23.59%4.39B
6.07%30.35B
9.80%25.86B
8.04%19.61B
26.27%5.74B
6.75%28.61B
36.92%23.55B
Net loan and advance increase
152.67%411.59B
574.40%373.26B
223.48%318.25B
102.79%177.37B
-5.37%162.89B
-68.96%55.35B
-15.43%98.38B
7.44%87.46B
-46.90%172.14B
-39.35%178.33B
Net deposit in central bank and institutions
----
----
----
-50.82%1.81B
----
----
----
-95.84%3.68B
--2.06B
----
Net lend capital
----
----
----
----
-12.14%67.16B
-11.06%52.9B
-71.17%21.18B
-58.46%35.1B
56.93%76.44B
18.06%59.48B
Cash paid for fees and commissions
-0.99%140.44B
2.37%107.31B
7.48%77.2B
-9.18%39.06B
9.24%141.85B
10.50%104.82B
13.18%71.83B
33.57%43B
3.98%129.85B
4.81%94.86B
Net increase in financial assets held for trading purposes
----
----
----
----
10.77%18.91B
--21.59B
36.31%27.13B
----
209.72%17.07B
----
Net increase in resale business funds (operating)
----
----
----
----
--1.7B
109.83%875M
----
----
----
--417M
Cash paid relating to other operating activities
-28.80%40.33B
-46.06%62.95B
-46.59%51.16B
-6.65%77.82B
165.27%56.65B
217.24%116.69B
170.26%95.78B
206.45%83.37B
-32.84%21.36B
-42.17%36.78B
Cash outflows from operating activities
42.63%780.75B
42.79%695.76B
92.50%680.47B
128.33%651.54B
-0.29%547.4B
-6.69%487.27B
-9.31%353.5B
-53.08%285.35B
-19.85%549B
-18.06%522.19B
Net cash flows from operating activities
-185.91%-333.65B
-248.50%-161.4B
-889.18%-382.64B
-537.67%-452.63B
6.38%388.4B
563.62%108.69B
-25.70%48.49B
137.64%103.42B
241.96%365.1B
86.12%-23.44B
Investing cash flow
Cash received from disposal of investments
-1.78%2T
24.45%1.36T
38.44%1.17T
88.67%583.92B
19.22%2.04T
-7.91%1.09T
-0.73%842.68B
-15.24%309.48B
9.80%1.71T
-5.47%1.19T
Cash received from returns on investments
18.59%87.16B
-63.03%46.35B
-15.50%42.28B
238.14%16.87B
10.99%73.49B
143.70%125.39B
5.20%50.03B
-74.33%4.99B
-9.32%66.21B
-13.09%51.45B
Cash received relating to other investing activities
492.07%1.72B
892.47%7.25B
62.03%815M
-79.56%428M
-46.20%290M
23.31%730M
246.90%503M
2,363.53%2.09B
26.82%539M
26.50%592M
Special items  of  investing cash inflows
-19.71%5.15B
----
----
----
--6.41B
----
----
----
----
----
Cash inflows from investing activities
-1.06%2.1T
15.99%1.42T
35.43%1.21T
89.92%601.22B
19.25%2.12T
-1.61%1.22T
-0.38%893.22B
-17.70%316.57B
8.95%1.78T
-5.81%1.24T
Cash paid to acquire fixed assets intangible assets and other long-term assets
56.46%20.13B
118.12%14.22B
121.20%10.34B
25.01%5.36B
60.83%12.87B
-6.51%6.52B
-18.49%4.67B
150.35%4.29B
-29.12%8B
-27.25%6.97B
Cash paid to acquire investments
1.13%2.16T
8.84%1.36T
18.73%1.13T
-7.21%470.07B
10.14%2.13T
-2.18%1.25T
4.68%950.68B
19.12%506.6B
22.98%1.94T
1.49%1.28T
Cash outflows from investing activities
1.46%2.18T
9.41%1.37T
19.23%1.14T
-6.94%475.43B
10.35%2.15T
-2.21%1.25T
4.54%955.36B
19.64%510.89B
22.61%1.95T
1.27%1.28T
Net cash flows from investing activities
-180.55%-83.55B
230.26%43.62B
213.65%70.62B
164.73%125.79B
82.52%-29.78B
19.81%-33.49B
-259.76%-62.14B
-358.83%-194.32B
-498.51%-170.32B
-182.11%-41.76B
Financing cash flow
Cash from bonds issue
81.23%1.61T
45.37%1.14T
66.56%1.02T
63.23%539.26B
-25.63%886.85B
-25.88%781.34B
-15.32%612.77B
-38.64%330.38B
-11.43%1.19T
-1.42%1.05T
Cash inflows from financing activities
81.23%1.61T
45.37%1.14T
66.56%1.02T
63.23%539.26B
-25.63%886.85B
-25.88%781.34B
-15.32%612.77B
-38.64%330.38B
-11.43%1.19T
-1.42%1.05T
Borrowing repayment
0.55%1.22T
-12.30%880.21B
1.66%683.95B
-29.09%270.02B
2.79%1.21T
1.85%1T
2.41%672.76B
46.29%380.79B
0.76%1.18T
5.94%985.36B
Dividend interest payment
37.65%57.41B
72.06%66.08B
-5.02%16.1B
95.40%5.86B
-26.06%41.71B
-16.75%38.41B
-12.52%16.95B
-73.68%3B
-1.71%56.41B
2.68%46.13B
Cash payments relating to other financing activities
-6.98%2.93B
-0.17%2.29B
-11.12%1.46B
100.25%799M
2.04%3.15B
-13.94%2.29B
2.88%1.65B
-62.46%399M
-7.13%3.09B
36.79%2.66B
Cash outflows from financing activities
1.76%1.28T
-9.17%948.58B
1.47%701.51B
-27.98%276.68B
1.48%1.26T
0.98%1.04T
1.99%691.36B
40.85%384.19B
0.63%1.24T
5.85%1.03T
Net cash flows from financing activities
188.34%327.48B
171.22%187.28B
506.08%319.1B
587.97%262.58B
-693.74%-370.69B
-1,414.27%-262.97B
-271.79%-78.58B
-120.25%-53.81B
-140.66%-46.7B
-78.33%20.01B
Net cash flow
Exchange rate change effecting cash and cash equivalents
-35.61%1.22B
-123.16%-614M
-75.21%981M
168.37%856M
-76.55%1.9B
-74.98%2.65B
-17.08%3.96B
-45.75%-1.25B
379.00%8.11B
623.21%10.6B
Net increase in cash and cash equivalents
-769.64%-88.5B
137.21%68.89B
109.13%8.06B
56.56%-63.41B
-106.52%-10.18B
-435.03%-185.13B
-189.62%-88.28B
-179.20%-145.96B
252.38%156.18B
-24.72%-34.6B
Add:Begin period cash and cash equivalents
-2.73%362.13B
-2.73%362.13B
-2.73%362.13B
-2.73%362.13B
72.26%372.3B
72.26%372.3B
72.26%372.3B
72.26%372.3B
-32.17%216.13B
-32.17%216.13B
End period cash equivalent
-24.44%273.62B
130.27%431.02B
30.34%370.19B
31.98%298.72B
-2.73%362.13B
3.11%187.18B
-9.73%284.03B
38.14%226.34B
72.26%372.3B
-37.59%181.53B
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
--
--
--
Unqualified opinion
--
Auditor
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
(FY)Dec 31, 2024(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
Operating Cash Flow
Net deposit increase -93.65%23.91B-42.89%137.96B--------39.95%376.78B--241.57B215.35%185.84B--155.97B290.94%269.22B----
Net increase in borrowings from central bank ------------------69.27B--40.28B--35.5B--31.95B--------
Cash received from interests, fees and commissions -3.22%269.27B-1.40%205.23B-7.00%132.92B-17.04%69.02B-5.04%278.23B-5.48%208.15B-2.52%142.93B15.04%83.2B0.69%293.01B4.03%220.22B
Net increase in repurchase business capital -----------------3.65%169.46B22.62%73.94B-77.07%22.94B------175.89B--60.3B
Net increase in funds disbursed --41.35B--52.31B--23.76B507.91%18.23B-------------95.39%3B85,290.70%73.44B--84.82B
Cash received relating to other operating activities 60.69%36.33B420.68%41.07B309.68%34.06B177.98%43.01B-77.94%22.61B-91.39%7.89B-89.54%8.31B-56.47%15.47B62.19%102.49B41.56%91.6B
Cash inflows from operating activities -52.22%447.09B-10.34%534.36B-25.91%297.83B-48.84%198.91B2.37%935.79B19.49%595.95B-11.66%401.99B16.60%388.77B113.68%914.1B6.48%498.75B
Staff behalf paid -7.76%28.3B-14.85%21.73B-18.50%15.64B-25.33%9.7B-2.02%30.68B2.55%25.52B3.87%19.18B3.79%13B13.26%31.31B20.86%24.89B
All taxes paid -0.42%30.22B-6.02%24.31B3.22%20.24B-23.59%4.39B6.07%30.35B9.80%25.86B8.04%19.61B26.27%5.74B6.75%28.61B36.92%23.55B
Net loan and advance increase 152.67%411.59B574.40%373.26B223.48%318.25B102.79%177.37B-5.37%162.89B-68.96%55.35B-15.43%98.38B7.44%87.46B-46.90%172.14B-39.35%178.33B
Net deposit in central bank and institutions -------------50.82%1.81B-------------95.84%3.68B--2.06B----
Net lend capital -----------------12.14%67.16B-11.06%52.9B-71.17%21.18B-58.46%35.1B56.93%76.44B18.06%59.48B
Cash paid for fees and commissions -0.99%140.44B2.37%107.31B7.48%77.2B-9.18%39.06B9.24%141.85B10.50%104.82B13.18%71.83B33.57%43B3.98%129.85B4.81%94.86B
Net increase in financial assets held for trading purposes ----------------10.77%18.91B--21.59B36.31%27.13B----209.72%17.07B----
Net increase in resale business funds (operating) ------------------1.7B109.83%875M--------------417M
Cash paid relating to other operating activities -28.80%40.33B-46.06%62.95B-46.59%51.16B-6.65%77.82B165.27%56.65B217.24%116.69B170.26%95.78B206.45%83.37B-32.84%21.36B-42.17%36.78B
Cash outflows from operating activities 42.63%780.75B42.79%695.76B92.50%680.47B128.33%651.54B-0.29%547.4B-6.69%487.27B-9.31%353.5B-53.08%285.35B-19.85%549B-18.06%522.19B
Net cash flows from operating activities -185.91%-333.65B-248.50%-161.4B-889.18%-382.64B-537.67%-452.63B6.38%388.4B563.62%108.69B-25.70%48.49B137.64%103.42B241.96%365.1B86.12%-23.44B
Investing cash flow
Cash received from disposal of investments -1.78%2T24.45%1.36T38.44%1.17T88.67%583.92B19.22%2.04T-7.91%1.09T-0.73%842.68B-15.24%309.48B9.80%1.71T-5.47%1.19T
Cash received from returns on investments 18.59%87.16B-63.03%46.35B-15.50%42.28B238.14%16.87B10.99%73.49B143.70%125.39B5.20%50.03B-74.33%4.99B-9.32%66.21B-13.09%51.45B
Cash received relating to other investing activities 492.07%1.72B892.47%7.25B62.03%815M-79.56%428M-46.20%290M23.31%730M246.90%503M2,363.53%2.09B26.82%539M26.50%592M
Special items  of  investing cash inflows -19.71%5.15B--------------6.41B--------------------
Cash inflows from investing activities -1.06%2.1T15.99%1.42T35.43%1.21T89.92%601.22B19.25%2.12T-1.61%1.22T-0.38%893.22B-17.70%316.57B8.95%1.78T-5.81%1.24T
Cash paid to acquire fixed assets intangible assets and other long-term assets 56.46%20.13B118.12%14.22B121.20%10.34B25.01%5.36B60.83%12.87B-6.51%6.52B-18.49%4.67B150.35%4.29B-29.12%8B-27.25%6.97B
Cash paid to acquire investments 1.13%2.16T8.84%1.36T18.73%1.13T-7.21%470.07B10.14%2.13T-2.18%1.25T4.68%950.68B19.12%506.6B22.98%1.94T1.49%1.28T
Cash outflows from investing activities 1.46%2.18T9.41%1.37T19.23%1.14T-6.94%475.43B10.35%2.15T-2.21%1.25T4.54%955.36B19.64%510.89B22.61%1.95T1.27%1.28T
Net cash flows from investing activities -180.55%-83.55B230.26%43.62B213.65%70.62B164.73%125.79B82.52%-29.78B19.81%-33.49B-259.76%-62.14B-358.83%-194.32B-498.51%-170.32B-182.11%-41.76B
Financing cash flow
Cash from bonds issue 81.23%1.61T45.37%1.14T66.56%1.02T63.23%539.26B-25.63%886.85B-25.88%781.34B-15.32%612.77B-38.64%330.38B-11.43%1.19T-1.42%1.05T
Cash inflows from financing activities 81.23%1.61T45.37%1.14T66.56%1.02T63.23%539.26B-25.63%886.85B-25.88%781.34B-15.32%612.77B-38.64%330.38B-11.43%1.19T-1.42%1.05T
Borrowing repayment 0.55%1.22T-12.30%880.21B1.66%683.95B-29.09%270.02B2.79%1.21T1.85%1T2.41%672.76B46.29%380.79B0.76%1.18T5.94%985.36B
Dividend interest payment 37.65%57.41B72.06%66.08B-5.02%16.1B95.40%5.86B-26.06%41.71B-16.75%38.41B-12.52%16.95B-73.68%3B-1.71%56.41B2.68%46.13B
Cash payments relating to other financing activities -6.98%2.93B-0.17%2.29B-11.12%1.46B100.25%799M2.04%3.15B-13.94%2.29B2.88%1.65B-62.46%399M-7.13%3.09B36.79%2.66B
Cash outflows from financing activities 1.76%1.28T-9.17%948.58B1.47%701.51B-27.98%276.68B1.48%1.26T0.98%1.04T1.99%691.36B40.85%384.19B0.63%1.24T5.85%1.03T
Net cash flows from financing activities 188.34%327.48B171.22%187.28B506.08%319.1B587.97%262.58B-693.74%-370.69B-1,414.27%-262.97B-271.79%-78.58B-120.25%-53.81B-140.66%-46.7B-78.33%20.01B
Net cash flow
Exchange rate change effecting cash and cash equivalents -35.61%1.22B-123.16%-614M-75.21%981M168.37%856M-76.55%1.9B-74.98%2.65B-17.08%3.96B-45.75%-1.25B379.00%8.11B623.21%10.6B
Net increase in cash and cash equivalents -769.64%-88.5B137.21%68.89B109.13%8.06B56.56%-63.41B-106.52%-10.18B-435.03%-185.13B-189.62%-88.28B-179.20%-145.96B252.38%156.18B-24.72%-34.6B
Add:Begin period cash and cash equivalents -2.73%362.13B-2.73%362.13B-2.73%362.13B-2.73%362.13B72.26%372.3B72.26%372.3B72.26%372.3B72.26%372.3B-32.17%216.13B-32.17%216.13B
End period cash equivalent -24.44%273.62B130.27%431.02B30.34%370.19B31.98%298.72B-2.73%362.13B3.11%187.18B-9.73%284.03B38.14%226.34B72.26%372.3B-37.59%181.53B
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------Unqualified opinion--
Auditor KPMG Huazhen Certified Public Accountants (Special General Partnership)------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.

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