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HBND Bank of CN HK SDR 1to1

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  • 0.700
  • +0.005+0.72%
10min DelayMarket Closed Dec 31 11:34 CST
206.07BMarket Cap5.15P/E (TTM)

Bank of CN HK SDR 1to1 Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (direct method)
Cash income from operating activities
113.20%937.72B
-73.13%272.7B
-18.81%1.65T
56.29%4.21T
232.67%718.65B
-21.90%439.83B
34.21%1.02T
75.84%2.03T
-13.96%2.69T
-65.54%216.03B
Other cash income from operating activities
1,827.88%436.65B
-50.03%33.34B
23.22%91.98B
-10.78%216.2B
-55.65%52.18B
-50.91%22.65B
49.04%66.72B
121.10%74.65B
38.75%242.33B
92.90%117.66B
Cash paid
-19.39%-703.13B
60.58%-342.38B
-6.68%-1.65T
-24.94%-3.39T
-546.53%-388.36B
21.74%-588.96B
-53.22%-868.48B
-4.28%-1.54T
-18.74%-2.71T
137.60%86.97B
Cash paid on behalf of employees
-7.11%-24.14B
-11.19%-24.53B
0.74%-35.55B
-8.01%-103.65B
-3.95%-23.23B
-3.73%-22.54B
-11.08%-22.06B
-11.84%-35.82B
-2.10%-95.97B
-3.93%-22.35B
Other cash payments from operating activities
-306.56%-29.86B
11.80%-72.38B
-37.69%-88.53B
23.80%-133.49B
-101.77%-1.59B
127.04%14.46B
-299.08%-82.06B
66.34%-64.3B
26.12%-175.18B
746.50%89.84B
Operating cash flow
257.31%234.59B
-147.56%-69.69B
-99.34%3.24B
3,835.74%816.45B
9.01%330.29B
21.27%-149.12B
-22.66%146.52B
250.44%488.76B
-102.59%-21.86B
-23.41%303B
Investing cash flow
Net PPE purchase and sale
47.85%-2.46B
81.73%-1.4B
54.45%-1.53B
-58.48%-23.6B
9.78%-7.86B
-191.53%-4.72B
-139.43%-7.66B
-146.92%-3.36B
33.51%-14.89B
-4.67%-8.71B
Net business purchase and sale
-69,166.67%-2.07B
25,600.00%765M
-263.11%-817M
1.65%-1.84B
-134.30%-1.62B
-97.25%3M
-102.80%-3M
83.93%-225M
-202.42%-1.88B
-46.40%-691M
Net investment property transactions
-4,162.47%-653.1B
82.44%-12.97B
16.11%-145.67B
-10,300.22%-513.99B
-127.28%-251.14B
-108.21%-15.32B
38.16%-73.9B
-457.93%-173.63B
101.35%5.04B
23.04%-110.5B
Net changes in other investments
--0
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----
----
----
----
----
----
----
----
Investing cash flow
-3,182.23%-657.63B
86.43%-11.07B
16.48%-148.02B
-4,501.06%-539.43B
-117.36%-260.62B
-110.83%-20.04B
33.47%-81.56B
-487.38%-177.22B
97.04%-11.72B
21.31%-119.9B
Financing cash flow
Net issuance payments of debt
-97.52%8.34B
178.27%141.25B
223.93%102.82B
105.82%238.69B
7.18%165.71B
515.73%336.41B
-523.81%-180.46B
-216.50%-82.97B
-14.88%115.97B
182.06%154.6B
Cash dividends paid
-5.45%-82.7B
-11.29%-14.66B
-27.08%-8.32B
-6.05%-112.9B
83.91%-14.75B
-3,668.57%-78.42B
-71.12%-13.18B
-30.74%-6.55B
-365.31%-106.46B
---91.67B
Cash dividends for minorities
-4.60%-6.03B
-54.25%-762M
95.02%-38M
-27.84%-7.29B
-100.35%-264M
92.77%-5.77B
-11.01%-494M
-4.38%-763M
92.58%-5.7B
566.91%75.27B
Net other fund-raising expenses
226.43%28.29B
-104.88%-1.47B
-11,985.80%-41.7B
-97.25%1.36B
-470.39%-6.04B
-1,917.49%-22.37B
-38.89%30.12B
38.83%-345M
30.37%49.24B
-91.39%1.63B
Financing cash flow
-122.67%-52.11B
175.82%124.35B
158.22%52.76B
125.95%119.86B
3.45%144.65B
240.23%229.85B
-1,443.80%-164.01B
-239.61%-90.63B
-28.65%53.05B
124.98%139.84B
Net cash flow
Beginning cash position
8.97%2.46T
4.96%2.42T
20.33%2.52T
5.86%2.09T
29.67%2.3T
19.97%2.26T
31.52%2.3T
5.86%2.09T
32.16%1.98T
4.98%1.77T
Current changes in cash
-882.96%-475.15B
144.01%43.59B
-141.65%-92.01B
1,938.63%396.88B
-33.63%214.32B
136.06%60.69B
-225.26%-99.04B
203.12%220.91B
-96.27%19.47B
5.75%322.94B
Effect of exchange rate changes
119.63%3.52B
-97.85%1.19B
17.02%-8.67B
-70.55%28.38B
124.08%1.42B
-129.71%-17.95B
4.45%55.35B
6.34%-10.44B
333.46%96.37B
70.47%-5.9B
End cash Position
-13.55%1.99T
8.97%2.46T
4.96%2.42T
20.33%2.52T
20.33%2.52T
29.67%2.3T
19.97%2.26T
31.52%2.3T
5.86%2.09T
5.86%2.09T
Free cash flow
245.07%225.12B
-153.26%-73.58B
-99.85%714M
1,687.52%787.3B
11.87%319.82B
19.13%-155.19B
-24.62%138.14B
248.26%484.53B
-106.10%-49.59B
-25.49%285.89B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Operating cash flow (direct method)
Cash income from operating activities 113.20%937.72B -73.13%272.7B -18.81%1.65T 56.29%4.21T 232.67%718.65B -21.90%439.83B 34.21%1.02T 75.84%2.03T -13.96%2.69T -65.54%216.03B
Other cash income from operating activities 1,827.88%436.65B -50.03%33.34B 23.22%91.98B -10.78%216.2B -55.65%52.18B -50.91%22.65B 49.04%66.72B 121.10%74.65B 38.75%242.33B 92.90%117.66B
Cash paid -19.39%-703.13B 60.58%-342.38B -6.68%-1.65T -24.94%-3.39T -546.53%-388.36B 21.74%-588.96B -53.22%-868.48B -4.28%-1.54T -18.74%-2.71T 137.60%86.97B
Cash paid on behalf of employees -7.11%-24.14B -11.19%-24.53B 0.74%-35.55B -8.01%-103.65B -3.95%-23.23B -3.73%-22.54B -11.08%-22.06B -11.84%-35.82B -2.10%-95.97B -3.93%-22.35B
Other cash payments from operating activities -306.56%-29.86B 11.80%-72.38B -37.69%-88.53B 23.80%-133.49B -101.77%-1.59B 127.04%14.46B -299.08%-82.06B 66.34%-64.3B 26.12%-175.18B 746.50%89.84B
Operating cash flow 257.31%234.59B -147.56%-69.69B -99.34%3.24B 3,835.74%816.45B 9.01%330.29B 21.27%-149.12B -22.66%146.52B 250.44%488.76B -102.59%-21.86B -23.41%303B
Investing cash flow
Net PPE purchase and sale 47.85%-2.46B 81.73%-1.4B 54.45%-1.53B -58.48%-23.6B 9.78%-7.86B -191.53%-4.72B -139.43%-7.66B -146.92%-3.36B 33.51%-14.89B -4.67%-8.71B
Net business purchase and sale -69,166.67%-2.07B 25,600.00%765M -263.11%-817M 1.65%-1.84B -134.30%-1.62B -97.25%3M -102.80%-3M 83.93%-225M -202.42%-1.88B -46.40%-691M
Net investment property transactions -4,162.47%-653.1B 82.44%-12.97B 16.11%-145.67B -10,300.22%-513.99B -127.28%-251.14B -108.21%-15.32B 38.16%-73.9B -457.93%-173.63B 101.35%5.04B 23.04%-110.5B
Net changes in other investments --0 ---- ---- ---- ---- ---- ---- ---- ---- ----
Investing cash flow -3,182.23%-657.63B 86.43%-11.07B 16.48%-148.02B -4,501.06%-539.43B -117.36%-260.62B -110.83%-20.04B 33.47%-81.56B -487.38%-177.22B 97.04%-11.72B 21.31%-119.9B
Financing cash flow
Net issuance payments of debt -97.52%8.34B 178.27%141.25B 223.93%102.82B 105.82%238.69B 7.18%165.71B 515.73%336.41B -523.81%-180.46B -216.50%-82.97B -14.88%115.97B 182.06%154.6B
Cash dividends paid -5.45%-82.7B -11.29%-14.66B -27.08%-8.32B -6.05%-112.9B 83.91%-14.75B -3,668.57%-78.42B -71.12%-13.18B -30.74%-6.55B -365.31%-106.46B ---91.67B
Cash dividends for minorities -4.60%-6.03B -54.25%-762M 95.02%-38M -27.84%-7.29B -100.35%-264M 92.77%-5.77B -11.01%-494M -4.38%-763M 92.58%-5.7B 566.91%75.27B
Net other fund-raising expenses 226.43%28.29B -104.88%-1.47B -11,985.80%-41.7B -97.25%1.36B -470.39%-6.04B -1,917.49%-22.37B -38.89%30.12B 38.83%-345M 30.37%49.24B -91.39%1.63B
Financing cash flow -122.67%-52.11B 175.82%124.35B 158.22%52.76B 125.95%119.86B 3.45%144.65B 240.23%229.85B -1,443.80%-164.01B -239.61%-90.63B -28.65%53.05B 124.98%139.84B
Net cash flow
Beginning cash position 8.97%2.46T 4.96%2.42T 20.33%2.52T 5.86%2.09T 29.67%2.3T 19.97%2.26T 31.52%2.3T 5.86%2.09T 32.16%1.98T 4.98%1.77T
Current changes in cash -882.96%-475.15B 144.01%43.59B -141.65%-92.01B 1,938.63%396.88B -33.63%214.32B 136.06%60.69B -225.26%-99.04B 203.12%220.91B -96.27%19.47B 5.75%322.94B
Effect of exchange rate changes 119.63%3.52B -97.85%1.19B 17.02%-8.67B -70.55%28.38B 124.08%1.42B -129.71%-17.95B 4.45%55.35B 6.34%-10.44B 333.46%96.37B 70.47%-5.9B
End cash Position -13.55%1.99T 8.97%2.46T 4.96%2.42T 20.33%2.52T 20.33%2.52T 29.67%2.3T 19.97%2.26T 31.52%2.3T 5.86%2.09T 5.86%2.09T
Free cash flow 245.07%225.12B -153.26%-73.58B -99.85%714M 1,687.52%787.3B 11.87%319.82B 19.13%-155.19B -24.62%138.14B 248.26%484.53B -106.10%-49.59B -25.49%285.89B
Currency Unit CNY CNY CNY CNY CNY CNY CNY CNY CNY CNY
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