2024/06 - 中期 人民币(千¥) | 与去年末期 比较 | 2023/06 人民币(千¥) | 2022/06 人民币(千¥) | 2021/06 人民币(千¥) | 2020/06 人民币(千¥) | |
投资物业 | 122,843,000 | 1.184% | 120,799,000 | 99,027,000 | 47,421,000 | 39,534,000 |
物业丶厂房丶设备及其他 | 49,987,000 | -0.821% | 51,122,000 | 44,629,000 | 45,029,000 | 45,464,000 |
土地及其他租赁资产 | 8,576,000 | -80.460% | 10,545,000 | 12,148,000 | 14,949,000 | 0 |
无形资产 | 97,651,000 | 50.272% | 98,611,000 | 73,669,000 | 65,366,000 | 62,371,000 |
联营公司及共同控制公司权益 | 249,628,000 | -3.573% | 274,373,000 | 282,715,000 | 269,597,000 | 223,585,000 |
证券投资 | 6,518,207,000 | 9.581% | 2,924,348,000 | 5,165,398,000 | 4,755,653,000 | 4,278,126,000 |
衍生金融资产 | 51,305,000 | 14.067% | 74,830,000 | 28,740,000 | 32,277,000 | 35,750,000 |
贷款 | 3,314,656,000 | -0.104% | 3,346,543,000 | 3,323,900,000 | 2,969,594,000 | 2,568,435,000 |
保险合约资产 | 0 | -- | -- | -- | -- | -- |
再保险合约资产 | 23,314,000 | 4.947% | 21,400,000 | 24,890,000 | 24,573,000 | 19,566,000 |
递延承保成本 | -- | -- | 0 | 0 | 0 | 0 |
应收保费 | -- | -- | 33,197,000 | 80,995,000 | 93,371,000 | 95,901,000 |
其他应收款项 | -- | -- | -- | 101,743,000 | 129,779,000 | 152,753,000 |
法定存款 | 224,544,000 | -7.300% | 246,239,000 | 249,572,000 | 246,034,000 | 217,504,000 |
其他存款 | 338,346,000 | 11.515% | 342,101,000 | 371,462,000 | 360,014,000 | 293,417,000 |
现金及银行结存 | 586,606,000 | 7.768% | 500,314,000 | 408,378,000 | 334,930,000 | 318,486,000 |
其他资产 | 641,003,000 | 3.337% | 3,423,155,000 | 428,882,000 | 499,081,000 | 497,739,000 |
12,226,666,000 | 5.553% | 11,467,577,000 | 10,696,148,000 | 9,887,668,000 | 8,848,631,000 |
2024/06 - 中期 人民币(千¥) | 与去年末期 比较 | 2023/06 人民币(千¥) | 2022/06 人民币(千¥) | 2021/06 人民币(千¥) | 2020/06 人民币(千¥) | ||
保险合约负债 | 4,589,750,000 | 10.336% | 3,980,842,000 | 3,461,164,000 | 3,161,632,000 | 2,825,939,000 | |
投资合约负债 | -- | -- | -- | 73,832,000 | 71,119,000 | 59,456,000 | |
再保险合约负债 | 392,000 | 639.623% | -- | -- | -- | -- | |
衍生金融负债 | 44,550,000 | 0.043% | 76,300,000 | 31,799,000 | 37,838,000 | 46,377,000 | |
卖出回购资产 | 254,978,000 | 5.449% | 267,736,000 | 282,490,000 | 159,000,000 | 229,989,000 | |
借款 | 832,686,000 | -14.530% | 946,724,000 | 939,683,000 | 1,086,405,000 | 802,025,000 | |
应付保单款项 | -- | -- | 9,392,000 | 123,098,000 | 118,063,000 | 107,639,000 | |
其他应付款项 | -- | -- | -- | 89,329,000 | 86,876,000 | 83,197,000 | |
其他负债 | 5,239,360,000 | 6.188% | 4,946,848,000 | 4,577,490,000 | 4,137,821,000 | 3,771,838,000 | |
10,961,716,000 | 5.865% | 10,227,842,000 | 9,578,885,000 | 8,858,754,000 | 7,926,460,000 |
2024/06 - 中期 人民币(千¥) | 与去年末期 比较 | 2023/06 人民币(千¥) | 2022/06 人民币(千¥) | 2021/06 人民币(千¥) | 2020/06 人民币(千¥) | |||
股本 | 18,210,000 | 0.000% | 18,210,000 | 18,280,000 | 18,280,000 | 18,280,000 | ||
储备 | 912,998,000 | 3.655% | 899,935,000 | 830,439,000 | 773,556,000 | 683,692,000 | ||
其他 | 0 | -- | 0 | 0 | 0 | 0 | ||
股东资金 | 931,208,000 | 3.581% | 918,145,000 | 848,719,000 | 791,836,000 | 701,972,000 | ||
非控股权益 | 333,742,000 | 1.148% | 321,590,000 | 268,544,000 | 237,078,000 | 220,199,000 | ||
其他 | 0 | -- | 0 | 0 | 0 | 0 | ||
1,264,950,000 | 2.928% | 1,239,735,000 | 1,117,263,000 | 1,028,914,000 | 922,171,000 |
2024/06 - 中期 人民币(千¥) | 与去年末期 比较 | 2023/06 人民币(千¥) | 2022/06 人民币(千¥) | 2021/06 人民币(千¥) | 2020/06 人民币(千¥) | |
承担 | -- | -- | -- | -- | -- | -- |
或然负债 | -- | -- | -- | -- | -- | -- |
备注: | 实时报价更新时间为13/11/2024 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。 | |
股东应占溢利/(亏损) () | RMB 74,619,000,000 |
增长率 | 6.841% |
每股盈利/(亏损) | RMB 4.210 |
每股账面资产净值 (¥) | RMB 51.137 |