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Company Overview More
Industrial and Commercial Bank of China Co., Ltd. is a Chinese company mainly engaged in banking and related financial business. The bank is mainly engaged in three departments: corporate financial business, personal financial business and capital business. The company's financial business department provides financial products and services to corporate customers, government agencies and financial institutions, including loans, trade finance, deposits, public finance and trusteeship, etc. The personal financial business department provides financial products and services to individual customers, including personal loans, deposits, bank card business and personal finance. Capital business departments include money market business, securities investment business, proprietary and valet foreign exchange trading and derivative financial instruments business. The company operates in both domestic and overseas markets.
CEO: Siqing Chen
Market: Hong Kong motherboard
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Futubull > Quotes > 01398 ICBC > Key Indicators
01398 ICBC
4.680-0.040-0.85%
YOY
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(Q9)2021/09/30(Q6)2021/06/30(Q3)2021/03/31(FY)2020/12/31
Per Share IndicaTor
Operating Cash Flow Per Share
-49.54% 3.255 -77.88% 1.2731 -66.02% 2.0339 138.7% 5.1926
Cash Flow Per Share
-46.17% 1.6831 -81.85% 0.6786 -58.53% 2.0113 682.93% 1.252
Operating Income Per Share
13.15% 2.1687 16.34% 1.4378 12.27% 0.7108 9.73% 2.6672
Net Asset Per Share
28.6% 10.5962 31.74% 10.2168 16.31% 9.1355 14.95% 8.8933
Basic Earning Per Share
13.74% 0.828 20.22% 0.553 7.98% 0.284 6.46% 1.022
Diluted  Earning Per Share
13.74% 0.828 20.22% 0.553 7.98% 0.284 6.46% 1.022
Profitability
Gross Profit Ratio
3.53% 48.872% 3.3% 48.514% -2.73% 50.346% -2.62% 48.848%
Operating Profit Ratio
3.53% 48.872% 3.3% 48.514% -2.73% 50.346% -2.62% 48.848%
Net Profit Ratio
2.6% 39.343% 3.63% 38.580% -2.25% 40.303% -1.67% 39.707%
Earning Before Tax Ratio
3.85% 49.157% 3.69% 48.796% -2.54% 50.635% -2.93% 49.011%
ROE
-0.48% 8.380% 1.83% 5.550% -5.26% 2.914% -5.26% 11.683%
ROA
1.44% 0.736% 2.95% 0.480% -6.08% 0.253% -3.98% 1.025%
Yield Quality
Operating Profit To Total Profits
-0.31% 99.421% -0.37% 99.422% -0.19% 99.429% 0.31% 99.667%
Tax To Total Profits
5.13% 19.963% 0.22% 20.936% -1.13% 20.405% -5.17% 18.984%
Operating Cash To Total Revenue
-55.41% 150.094% -80.99% 88.541% -69.73% 286.133% 117.52% 194.684%
Capital Structure
Debt Assets Ratio
-0.55% 91.064% -0.41% 91.329% -0.05% 91.288% 0.24% 91.275%
Equity Multipler
-5.67% 11.2514 -4.36% 11.5966 -0.61% 11.5417 2.43% 11.5241
Debt Equity Ratio
-6.17% 1019.029% -4.73% 1053.217% -0.62% 1047.792% 2.71% 1046.069%
Solvency
Share Equity Without Minority Interest To Total Liabilities
6.6% 0.0976 4.99% 0.0944 0.67% 0.0949 -2.6% 0.0951
Operating Cash Flow To Total Liabilities
-54.52% 0.03 -80.93% 0.0118 -70.63% 0.0195 102.04% 0.0512
Operating Profit To Total Liabilities
5.59% 0.0098 3.6% 0.0064 -5.6% 0.0034 -9.56% 0.0128
Operating Capacity
Fixed Assets Turnover(T)
6.28% 2.2754 8.29% 1.5055 5.11% 0.7472 8.42% 2.8805
Total Assets Turnover(T)
-1.19% 0.0188 -0.7% 0.0125 -3.88% 0.0063 -2.15% 0.026
Growth Ability
Operating Revenue GR 3Y
73.97% 25.985% 44.74% 19.581% -44.58% 10.596% -18.34% 17.102%
Gross Income GR 3Y
333.57% 12.880% 187.73% 7.004% -81.31% 1.060% -13.62% 6.856%
Operating Profit GR 3Y
333.57% 12.880% 187.73% 7.004% -81.31% 1.060% -13.62% 6.856%
EBT GR 3Y
315.56% 12.756% 181.76% 6.900% -82.74% 0.923% -19.24% 6.345%
Net Profit GR 3Y
540.34% 11.445% 150.79% 3.753% -62.22% 3.267% -24.35% 9.293%
Net Profit Attributable To The Parent Company GR 3Y
497.2% 11.009% 142.63% 3.237% -64.75% 2.936% -24.61% 9.213%
Total Assets GR 3Y
25.7% 32.605% 30.37% 30.393% -9.82% 22.737% 6.67% 26.405%
Share Equity Without Minority Interest GR 3Y
54.15% 46.598% 43.25% 40.915% -7.37% 29.744% -3.84% 34.498%
Equity GR 3Y
53.96% 46.501% 43.11% 40.823% -7.59% 29.666% -4.2% 34.385%
Total Liabilities GR 3Y
22.78% 31.382% 28.96% 29.482% -10.09% 22.115% 8.14% 25.692%
Basic Earning Per Share GR 3Y
387.48% 8.804% 150.32% 3.558% -70.17% 3.273% -33.85% 7.692%
Net Assets Per Share GR 3Y
110.3% 52.383% 93.4% 46.710% -10.19% 24.842% -6.24% 29.204%
Other Indicators
Currency Unit
HKDHKDHKDHKD

Q6, Q9, and FY are cumulative quarterly reports: Q6 is the interim report; Q9 is third quarter report; FY is the annual report.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

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