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601128 Jiangsu Changshu Rural Commercial Bank

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  • 7.51
  • +0.17+2.32%
Trading Dec 23 10:47 CST
22.64BMarket Cap6.06P/E (TTM)

Jiangsu Changshu Rural Commercial Bank Key Stats

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YOY yoy
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(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
(Q6)Jun 30, 2022
Assets
Money funds
15.95%21.11B
17.31%22.41B
10.80%21.68B
14.11%19.35B
13.70%18.21B
14.95%19.1B
21.84%19.56B
-0.71%16.95B
13.69%16.02B
9.90%16.62B
Deposit in interbank
41.19%3.79B
78.09%4.02B
66.58%3.84B
3.20%2.65B
0.80%2.68B
22.70%2.26B
-15.74%2.31B
26.49%2.57B
73.92%2.66B
0.30%1.84B
Lending capital
-3.93%3.86B
-5.76%4.19B
-30.42%2.28B
-10.72%3.25B
-38.93%4.01B
-7.19%4.45B
-41.68%3.28B
-22.94%3.64B
250.89%6.57B
396.70%4.79B
Transactional financial assets
-13.51%14.36B
66.22%20.48B
18.49%21.5B
14.82%13.93B
-12.66%16.6B
-7.98%12.32B
25.29%18.15B
-11.45%12.13B
56.46%19.01B
43.59%13.39B
Derivative assets
-9.94%274.08M
46.87%343.5M
115.65%289.31M
10.29%207.96M
14.38%304.33M
17.85%233.88M
-37.74%134.16M
-2.83%188.56M
61.15%266.07M
64.39%198.45M
Bought sellback assets
-81.12%487.82M
-68.06%97.52M
----
----
323.86%2.58B
-82.28%305.32M
----
-65.81%100.01M
52.42%609.7M
-16.35%1.72B
Loan and advance
9.66%230.74B
11.34%229.94B
15.07%226.4B
15.41%214.23B
16.90%210.42B
16.12%206.53B
18.38%196.75B
18.80%185.63B
15.46%180B
22.91%177.86B
Debt investment
9.14%48.83B
12.38%49.78B
12.90%51.65B
15.46%48.69B
32.38%44.74B
33.93%44.3B
41.48%45.75B
38.07%42.18B
6.16%33.79B
5.37%33.07B
Other debt investment
43.16%31.02B
32.45%27.83B
20.62%28.67B
38.73%24.18B
21.01%21.67B
16.50%21.01B
-1.84%23.77B
15.98%17.43B
5.88%17.91B
0.55%18.04B
Other equity investment
-7.20%751.13M
-25.60%600.25M
0.88%782.85M
-16.90%631.85M
-5.73%809.38M
-11.22%806.76M
-13.03%776.01M
-5.53%760.34M
-1.55%858.6M
3.43%908.77M
Long term equity investment
11.57%1.69B
7.03%1.62B
6.19%1.6B
6.01%1.6B
-0.08%1.51B
1.36%1.51B
4.18%1.51B
4.18%1.51B
6.48%1.51B
6.76%1.49B
Fixed assets
----
18.24%1.43B
----
----
----
-3.32%1.21B
----
-3.57%1.25B
----
7.36%1.25B
Constru in process
----
5.07%437.87M
----
----
----
14.02%416.73M
----
135.92%350.83M
----
55.47%365.5M
Intangible assets
-0.54%311.01M
2.00%271.12M
2.09%285.14M
1.46%297.45M
87.72%312.68M
59.14%265.81M
60.55%279.29M
64.38%293.15M
-7.01%166.57M
3.18%167.03M
Goodwill
88.25%17.77M
88.25%17.77M
88.25%17.77M
0.00%9.44M
--9.44M
--9.44M
--9.44M
--9.44M
----
----
Deferred tax assets
23.53%2.36B
18.86%2.33B
17.85%2.23B
14.05%2.21B
13.52%1.91B
21.57%1.96B
30.16%1.89B
28.87%1.94B
18.66%1.68B
10.30%1.62B
Other assets
53.05%979.84M
43.57%1.19B
45.47%1.29B
72.76%1.1B
-39.80%640.2M
-33.39%827.33M
-17.06%885.52M
-38.53%638.02M
9.29%1.06B
-47.09%1.24B
Total assets
10.44%362.74B
15.57%367.3B
15.05%364.68B
16.18%334.46B
15.61%328.46B
15.61%317.81B
17.96%316.97B
16.75%287.88B
17.66%284.1B
18.77%274.89B
Liabilities
Borrowing from the central bank
3.79%8.14B
17.84%8.41B
10.16%8.39B
8.34%8.18B
2.97%7.84B
-5.53%7.14B
11.12%7.61B
14.14%7.55B
19.49%7.61B
40.86%7.56B
Deposit of interbank
26.73%642.88M
1,730.69%1.55B
-59.42%1.34B
34.12%1.19B
-77.37%507.29M
-95.30%84.64M
414.62%3.3B
-67.44%890.02M
316.77%2.24B
752.61%1.8B
Deposit
17.30%292.22B
16.99%289.47B
18.12%289.41B
16.09%254.45B
17.38%249.12B
16.63%247.44B
17.52%245.01B
16.86%219.18B
14.35%212.23B
14.49%212.16B
Borrowing capital
-17.70%7.39B
2.91%9.23B
40.11%9.71B
40.71%9.37B
24.53%8.97B
38.21%8.97B
59.97%6.93B
136.88%6.66B
176.94%7.21B
157.78%6.49B
Transactional financial liabilities
-63.33%1.36B
21.61%3.82B
308.60%6.43B
130.43%3.98B
113.16%3.72B
253.17%3.14B
106.00%1.57B
1,182.09%1.73B
--1.75B
100.22%890.04M
Derivative liabilities
72.51%362.16M
7.88%239.37M
58.94%207.98M
-10.78%194.74M
-52.74%209.94M
-9.36%221.88M
-8.46%130.86M
33.22%218.26M
255.27%444.23M
130.41%244.81M
Funds from selling out and repurchasing financial assets
-26.61%9.38B
130.47%9.56B
-64.98%4.68B
32.45%12.25B
39.82%12.78B
-45.82%4.15B
74.56%13.37B
23.72%9.25B
42.99%9.14B
20.81%7.66B
Salaries payable
-13.96%590.7M
-23.42%407.96M
-9.95%302.6M
11.34%517.1M
19.40%686.56M
28.73%532.71M
28.21%336.01M
-10.55%464.44M
43.49%575.02M
58.27%413.82M
Taxs payable
32.53%330.24M
-12.41%224.83M
-2.54%350.42M
-28.07%333.93M
-40.56%249.18M
-18.63%256.69M
-16.50%359.54M
18.55%464.24M
10.03%419.23M
-4.05%315.48M
Estimate liabilities
28.17%210.43M
15.54%193.96M
89.75%184.12M
65.98%166.86M
95.94%164.18M
95.14%167.87M
15.71%97.03M
49.24%100.53M
47.15%83.79M
23.84%86.03M
Bonds payable
-35.08%9.37B
-31.90%11.67B
-14.65%9.15B
-16.32%12.36B
-9.22%14.43B
30.34%17.14B
-29.68%10.72B
-1.85%14.77B
-7.89%15.89B
33.99%13.15B
Absorbing deposits and interbank deposits
17.32%292.87B
17.57%291.02B
17.09%290.75B
16.16%255.65B
16.39%249.63B
15.69%247.52B
18.73%248.31B
15.65%220.07B
15.23%214.47B
15.33%213.96B
Other liabilitise
-13.78%2.8B
23.72%3.84B
167.26%6.03B
84.52%4.07B
28.36%3.24B
77.96%3.1B
50.45%2.25B
35.02%2.2B
181.99%2.53B
145.81%1.74B
Total liabilities
10.22%333.1B
15.82%338.91B
15.24%336.44B
16.51%307.33B
16.05%302.21B
15.75%292.62B
18.35%291.95B
17.00%263.77B
17.88%260.42B
19.36%252.8B
Shareholders equity
Paid-in capital
10.00%3.01B
10.00%3.01B
0.00%2.74B
0.00%2.74B
0.00%2.74B
0.00%2.74B
0.00%2.74B
0.00%2.74B
0.00%2.74B
0.00%2.74B
Other equity instruments
-0.00%719.66M
-0.00%719.66M
-0.00%719.67M
-0.00%719.67M
-0.00%719.67M
--719.67M
--719.69M
--719.7M
--719.7M
----
Capital reserve funds
-8.29%2.98B
-8.39%2.98B
0.05%3.25B
0.05%3.25B
-0.05%3.25B
0.01%3.25B
0.11%3.25B
0.11%3.25B
0.22%3.25B
0.21%3.25B
Surplus reserve funds
0.00%4.62B
0.00%4.62B
0.00%4.62B
0.00%4.62B
0.00%4.62B
0.00%4.62B
0.00%4.62B
0.00%4.62B
0.00%4.62B
0.00%4.62B
Retained profit
35.94%11.55B
38.77%10.31B
36.92%10.21B
38.96%9.26B
41.63%8.5B
45.08%7.43B
45.47%7.46B
49.14%6.66B
52.25%6B
56.07%5.12B
Other composite income
9.98%607.17M
-0.67%629.1M
33.16%641.63M
40.83%624.12M
-22.51%552.09M
-18.61%633.33M
-34.34%481.87M
-22.58%443.17M
34.48%712.51M
92.19%778.11M
Ordinary risk reserve funds
0.00%4.14B
0.00%4.14B
0.00%4.14B
0.00%4.14B
0.00%4.14B
0.00%4.14B
0.00%4.14B
0.00%4.14B
0.00%4.14B
0.00%4.14B
Shareholders equity without minority interests
12.70%27.63B
12.23%26.41B
12.45%26.33B
12.31%25.36B
10.53%24.52B
13.96%23.53B
13.60%23.41B
14.10%22.58B
15.45%22.18B
12.04%20.65B
Minority interests
16.32%2.01B
19.37%1.98B
19.27%1.91B
15.37%1.77B
15.42%1.72B
14.92%1.66B
14.31%1.6B
14.04%1.54B
13.11%1.49B
17.72%1.44B
Total shareholder equity
12.94%29.64B
12.70%28.39B
12.89%28.24B
12.50%27.13B
10.84%26.24B
14.03%25.19B
13.65%25.01B
14.09%24.12B
15.30%23.68B
12.40%22.09B
Total liabilities and equity
10.44%362.74B
15.57%367.3B
15.05%364.68B
16.18%334.46B
15.61%328.46B
15.61%317.81B
17.96%316.97B
16.75%287.88B
17.66%284.1B
18.77%274.89B
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
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Unqualified opinion
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Unqualified opinion
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Auditor
--
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Deloitte Huayong Certified Public Accountants (Special General Partnership)
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Deloitte Huayong Certified Public Accountants (Special General Partnership)
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(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 (Q6)Jun 30, 2022
Assets
Money funds 15.95%21.11B 17.31%22.41B 10.80%21.68B 14.11%19.35B 13.70%18.21B 14.95%19.1B 21.84%19.56B -0.71%16.95B 13.69%16.02B 9.90%16.62B
Deposit in interbank 41.19%3.79B 78.09%4.02B 66.58%3.84B 3.20%2.65B 0.80%2.68B 22.70%2.26B -15.74%2.31B 26.49%2.57B 73.92%2.66B 0.30%1.84B
Lending capital -3.93%3.86B -5.76%4.19B -30.42%2.28B -10.72%3.25B -38.93%4.01B -7.19%4.45B -41.68%3.28B -22.94%3.64B 250.89%6.57B 396.70%4.79B
Transactional financial assets -13.51%14.36B 66.22%20.48B 18.49%21.5B 14.82%13.93B -12.66%16.6B -7.98%12.32B 25.29%18.15B -11.45%12.13B 56.46%19.01B 43.59%13.39B
Derivative assets -9.94%274.08M 46.87%343.5M 115.65%289.31M 10.29%207.96M 14.38%304.33M 17.85%233.88M -37.74%134.16M -2.83%188.56M 61.15%266.07M 64.39%198.45M
Bought sellback assets -81.12%487.82M -68.06%97.52M ---- ---- 323.86%2.58B -82.28%305.32M ---- -65.81%100.01M 52.42%609.7M -16.35%1.72B
Loan and advance 9.66%230.74B 11.34%229.94B 15.07%226.4B 15.41%214.23B 16.90%210.42B 16.12%206.53B 18.38%196.75B 18.80%185.63B 15.46%180B 22.91%177.86B
Debt investment 9.14%48.83B 12.38%49.78B 12.90%51.65B 15.46%48.69B 32.38%44.74B 33.93%44.3B 41.48%45.75B 38.07%42.18B 6.16%33.79B 5.37%33.07B
Other debt investment 43.16%31.02B 32.45%27.83B 20.62%28.67B 38.73%24.18B 21.01%21.67B 16.50%21.01B -1.84%23.77B 15.98%17.43B 5.88%17.91B 0.55%18.04B
Other equity investment -7.20%751.13M -25.60%600.25M 0.88%782.85M -16.90%631.85M -5.73%809.38M -11.22%806.76M -13.03%776.01M -5.53%760.34M -1.55%858.6M 3.43%908.77M
Long term equity investment 11.57%1.69B 7.03%1.62B 6.19%1.6B 6.01%1.6B -0.08%1.51B 1.36%1.51B 4.18%1.51B 4.18%1.51B 6.48%1.51B 6.76%1.49B
Fixed assets ---- 18.24%1.43B ---- ---- ---- -3.32%1.21B ---- -3.57%1.25B ---- 7.36%1.25B
Constru in process ---- 5.07%437.87M ---- ---- ---- 14.02%416.73M ---- 135.92%350.83M ---- 55.47%365.5M
Intangible assets -0.54%311.01M 2.00%271.12M 2.09%285.14M 1.46%297.45M 87.72%312.68M 59.14%265.81M 60.55%279.29M 64.38%293.15M -7.01%166.57M 3.18%167.03M
Goodwill 88.25%17.77M 88.25%17.77M 88.25%17.77M 0.00%9.44M --9.44M --9.44M --9.44M --9.44M ---- ----
Deferred tax assets 23.53%2.36B 18.86%2.33B 17.85%2.23B 14.05%2.21B 13.52%1.91B 21.57%1.96B 30.16%1.89B 28.87%1.94B 18.66%1.68B 10.30%1.62B
Other assets 53.05%979.84M 43.57%1.19B 45.47%1.29B 72.76%1.1B -39.80%640.2M -33.39%827.33M -17.06%885.52M -38.53%638.02M 9.29%1.06B -47.09%1.24B
Total assets 10.44%362.74B 15.57%367.3B 15.05%364.68B 16.18%334.46B 15.61%328.46B 15.61%317.81B 17.96%316.97B 16.75%287.88B 17.66%284.1B 18.77%274.89B
Liabilities
Borrowing from the central bank 3.79%8.14B 17.84%8.41B 10.16%8.39B 8.34%8.18B 2.97%7.84B -5.53%7.14B 11.12%7.61B 14.14%7.55B 19.49%7.61B 40.86%7.56B
Deposit of interbank 26.73%642.88M 1,730.69%1.55B -59.42%1.34B 34.12%1.19B -77.37%507.29M -95.30%84.64M 414.62%3.3B -67.44%890.02M 316.77%2.24B 752.61%1.8B
Deposit 17.30%292.22B 16.99%289.47B 18.12%289.41B 16.09%254.45B 17.38%249.12B 16.63%247.44B 17.52%245.01B 16.86%219.18B 14.35%212.23B 14.49%212.16B
Borrowing capital -17.70%7.39B 2.91%9.23B 40.11%9.71B 40.71%9.37B 24.53%8.97B 38.21%8.97B 59.97%6.93B 136.88%6.66B 176.94%7.21B 157.78%6.49B
Transactional financial liabilities -63.33%1.36B 21.61%3.82B 308.60%6.43B 130.43%3.98B 113.16%3.72B 253.17%3.14B 106.00%1.57B 1,182.09%1.73B --1.75B 100.22%890.04M
Derivative liabilities 72.51%362.16M 7.88%239.37M 58.94%207.98M -10.78%194.74M -52.74%209.94M -9.36%221.88M -8.46%130.86M 33.22%218.26M 255.27%444.23M 130.41%244.81M
Funds from selling out and repurchasing financial assets -26.61%9.38B 130.47%9.56B -64.98%4.68B 32.45%12.25B 39.82%12.78B -45.82%4.15B 74.56%13.37B 23.72%9.25B 42.99%9.14B 20.81%7.66B
Salaries payable -13.96%590.7M -23.42%407.96M -9.95%302.6M 11.34%517.1M 19.40%686.56M 28.73%532.71M 28.21%336.01M -10.55%464.44M 43.49%575.02M 58.27%413.82M
Taxs payable 32.53%330.24M -12.41%224.83M -2.54%350.42M -28.07%333.93M -40.56%249.18M -18.63%256.69M -16.50%359.54M 18.55%464.24M 10.03%419.23M -4.05%315.48M
Estimate liabilities 28.17%210.43M 15.54%193.96M 89.75%184.12M 65.98%166.86M 95.94%164.18M 95.14%167.87M 15.71%97.03M 49.24%100.53M 47.15%83.79M 23.84%86.03M
Bonds payable -35.08%9.37B -31.90%11.67B -14.65%9.15B -16.32%12.36B -9.22%14.43B 30.34%17.14B -29.68%10.72B -1.85%14.77B -7.89%15.89B 33.99%13.15B
Absorbing deposits and interbank deposits 17.32%292.87B 17.57%291.02B 17.09%290.75B 16.16%255.65B 16.39%249.63B 15.69%247.52B 18.73%248.31B 15.65%220.07B 15.23%214.47B 15.33%213.96B
Other liabilitise -13.78%2.8B 23.72%3.84B 167.26%6.03B 84.52%4.07B 28.36%3.24B 77.96%3.1B 50.45%2.25B 35.02%2.2B 181.99%2.53B 145.81%1.74B
Total liabilities 10.22%333.1B 15.82%338.91B 15.24%336.44B 16.51%307.33B 16.05%302.21B 15.75%292.62B 18.35%291.95B 17.00%263.77B 17.88%260.42B 19.36%252.8B
Shareholders equity
Paid-in capital 10.00%3.01B 10.00%3.01B 0.00%2.74B 0.00%2.74B 0.00%2.74B 0.00%2.74B 0.00%2.74B 0.00%2.74B 0.00%2.74B 0.00%2.74B
Other equity instruments -0.00%719.66M -0.00%719.66M -0.00%719.67M -0.00%719.67M -0.00%719.67M --719.67M --719.69M --719.7M --719.7M ----
Capital reserve funds -8.29%2.98B -8.39%2.98B 0.05%3.25B 0.05%3.25B -0.05%3.25B 0.01%3.25B 0.11%3.25B 0.11%3.25B 0.22%3.25B 0.21%3.25B
Surplus reserve funds 0.00%4.62B 0.00%4.62B 0.00%4.62B 0.00%4.62B 0.00%4.62B 0.00%4.62B 0.00%4.62B 0.00%4.62B 0.00%4.62B 0.00%4.62B
Retained profit 35.94%11.55B 38.77%10.31B 36.92%10.21B 38.96%9.26B 41.63%8.5B 45.08%7.43B 45.47%7.46B 49.14%6.66B 52.25%6B 56.07%5.12B
Other composite income 9.98%607.17M -0.67%629.1M 33.16%641.63M 40.83%624.12M -22.51%552.09M -18.61%633.33M -34.34%481.87M -22.58%443.17M 34.48%712.51M 92.19%778.11M
Ordinary risk reserve funds 0.00%4.14B 0.00%4.14B 0.00%4.14B 0.00%4.14B 0.00%4.14B 0.00%4.14B 0.00%4.14B 0.00%4.14B 0.00%4.14B 0.00%4.14B
Shareholders equity without minority interests 12.70%27.63B 12.23%26.41B 12.45%26.33B 12.31%25.36B 10.53%24.52B 13.96%23.53B 13.60%23.41B 14.10%22.58B 15.45%22.18B 12.04%20.65B
Minority interests 16.32%2.01B 19.37%1.98B 19.27%1.91B 15.37%1.77B 15.42%1.72B 14.92%1.66B 14.31%1.6B 14.04%1.54B 13.11%1.49B 17.72%1.44B
Total shareholder equity 12.94%29.64B 12.70%28.39B 12.89%28.24B 12.50%27.13B 10.84%26.24B 14.03%25.19B 13.65%25.01B 14.09%24.12B 15.30%23.68B 12.40%22.09B
Total liabilities and equity 10.44%362.74B 15.57%367.3B 15.05%364.68B 16.18%334.46B 15.61%328.46B 15.61%317.81B 17.96%316.97B 16.75%287.88B 17.66%284.1B 18.77%274.89B
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 -- --
Auditor -- -- -- Deloitte Huayong Certified Public Accountants (Special General Partnership) -- -- -- Deloitte Huayong 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.