1658
COM:PSBC
中国邮政储蓄银行
- Stock
Last Close
4.52
25/11 08:08
Market Cap
452.15B
Beta: -
Volume Today
104.03M
Avg: -
Preview
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Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|---|---|---|---|
net income | 41.39B - | 42.93B 3.72% | 51.11B 19.06% | 53.49B 4.65% | 63.74B 19.18% | 68.14B 6.89% | 81.45B 19.55% | 91.36B 12.17% | 91.60B 0.26% | |
depreciation and amortization | 4.82B - | 4.69B 2.64% | 4.56B 2.86% | 4.61B 1.21% | 7.22B 56.69% | 8.08B 11.81% | 9.04B 11.87% | 11.41B 26.29% | 12.13B 6.27% | |
deferred income tax | ||||||||||
stock based compensation | ||||||||||
change in working capital | 949.82B - | 275.65B 70.98% | -330.68B 219.96% | 191.85B 158.02% | 57.88B 69.83% | 177.79B 207.14% | 136.06B 23.47% | 501.60B 268.65% | 305.06B 39.18% | |
accounts receivables | ||||||||||
inventory | ||||||||||
accounts payables | ||||||||||
other working capital | ||||||||||
other non cash items | -66.60B - | -102.81B 54.36% | -90.04B 12.43% | -65.44B 27.32% | -102.41B 56.50% | -92.23B 9.94% | -117.00B 26.85% | -129.46B 10.65% | -145.45B 12.35% | |
net cash provided by operating activities | 929.42B - | 220.46B 76.28% | -365.05B 265.59% | 184.50B 150.54% | 26.44B 85.67% | 161.77B 511.78% | 109.56B 32.28% | 474.91B 333.49% | 263.34B 44.55% | |
investments in property plant and equipment | -5.71B - | -7.41B 29.68% | -8.85B 19.57% | -6.33B 28.53% | -6.73B 6.42% | -7.57B 12.43% | -13.85B 82.97% | -12.40B 10.47% | -12.96B 4.52% | |
acquisitions net | ||||||||||
purchases of investments | -1.97T - | -2.38T 20.94% | -1.02T 57.11% | -963.88B 5.74% | -989.32B 2.64% | -1.23T 24.14% | -1.47T 19.29% | -2.09T 42.61% | -1.99T 4.54% | |
sales maturities of investments | 584.11B - | 1.94T 232.85% | 1.36T 29.92% | 758.34B 44.34% | 700.57B 7.62% | 984.24B 40.49% | 1.30T 31.66% | 1.59T 22.70% | 1.76T 11.01% | |
other investing activites | 81.61B - | 112.07B 37.33% | 114.03B 1.76% | 122.53B 7.45% | 121.77B 0.63% | 129.42B 6.29% | 150M 99.88% | 177M 18% | 55M 68.93% | |
net cash used for investing activites | -1.31T - | -335.36B 74.43% | 445.04B 232.71% | -89.33B 120.07% | -173.71B 94.47% | -122.08B 29.73% | -182.92B 49.84% | -511.51B 179.64% | -242.43B 52.61% | |
debt repayment | -500M - | -7.75B 1,450% | -32.16B 314.97% | -98.49B 206.26% | -42.65B 56.69% | -20.00B 53.10% | -335.10B 1,575.25% | |||
common stock issued | 45.14B - | 50.10B 10.99% | 28.02B - | 4.20B 85% | 30B 613.78% | 45B - | ||||
common stock repurchased | -1M - | -15M 1,400% | -51.27B 341,720% | |||||||
dividends paid | -9B - | -5.97B 33.64% | -14.31B 139.63% | -18.20B 27.15% | -20.87B 14.67% | -26.53B 27.15% | -32.56B 22.73% | -38.04B 16.82% | ||
other financing activites | 25.28B - | 28.81B 13.95% | 66.20B 129.80% | 5.20B 92.15% | 46.19B 788.69% | 131.91B 185.55% | 91.47B 30.66% | 66.10B 27.73% | ||
net cash used provided by financing activities | 70.42B - | 69.91B 0.73% | 59.73B 14.56% | -16.86B 128.23% | 23.86B 241.48% | 16.75B 29.80% | 52.26B 212.07% | -37.74B 172.21% | 192.25B 609.44% | |
effect of forex changes on cash | 1.02B - | 2.52B 146.33% | -1.68B 166.79% | 1.17B 169.40% | 1.34B 14.90% | -1.27B 194.34% | -665M 47.47% | 546M 182.11% | 91M 83.33% | |
net change in cash | -310.58B - | -42.47B 86.33% | 138.04B 425.05% | 79.48B 42.42% | -122.07B 253.58% | 55.18B 145.20% | -21.76B 139.44% | -73.78B 239.05% | 213.25B 389.02% | |
cash at beginning of period | 537.94B - | 227.36B 57.73% | 184.89B 18.68% | 322.94B 74.66% | 402.42B 24.61% | 280.35B 30.33% | 335.53B 19.68% | 313.76B 6.49% | 239.98B 23.52% | |
cash at end of period | 227.36B - | 184.89B 18.68% | 322.94B 74.66% | 402.42B 24.61% | 280.35B 30.33% | 335.53B 19.68% | 313.76B 6.49% | 239.98B 23.52% | 453.23B 88.86% | |
operating cash flow | 929.42B - | 220.46B 76.28% | -365.05B 265.59% | 184.50B 150.54% | 26.44B 85.67% | 161.77B 511.78% | 109.56B 32.28% | 474.91B 333.49% | 263.34B 44.55% | |
capital expenditure | -5.71B - | -7.41B 29.68% | -8.85B 19.57% | -6.33B 28.53% | -6.73B 6.42% | -7.57B 12.43% | -13.85B 82.97% | -12.40B 10.47% | -12.96B 4.52% | |
free cash flow | 923.71B - | 213.05B 76.94% | -373.90B 275.50% | 178.18B 147.65% | 19.71B 88.94% | 154.20B 682.39% | 95.70B 37.94% | 462.51B 383.27% | 250.37B 45.87% |
All numbers in (except ratios and percentages)