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China Reinsurance (Group) Corp. Class H (HK:1508)
:1508
Hong Kong Market

China Reinsurance (Group) Corp. Class H (1508) Financial Statements

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China Reinsurance (Group) Corp. Class H Financial Overview

China Reinsurance (Group) Corp. Class H's market cap is currently HK$42.90B. The company's EPS TTM is HK$0.238; its P/E ratio is 4.23; and it has a dividend yield of 4.99%. China Reinsurance (Group) Corp. Class H is scheduled to report earnings on March 31, 2025, and the estimated EPS forecast is HK$―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 23Dec 22Dec 21Dec 20Dec 19
Income Statement
Total Revenue¥ 94.96B¥ 167.41B¥ 163.95B¥ 168.10B¥ 142.58B
Gross Profit¥ 88.28B¥ 167.41B¥ 163.95B¥ 168.10B¥ 142.58B
Operating Income¥ -6.68B¥ 4.89B¥ 8.82B¥ 8.38B¥ 8.52B
EBITDA¥ 171.29M¥ 1.85B¥ -1.65B¥ -1.30B¥ -1.05B
Net Income¥ 5.65B¥ 1.87B¥ 5.95B¥ 5.71B¥ 6.05B
Balance Sheet
Cash & Short-Term Investments¥ 10.30B¥ 10.97B¥ 18.74B¥ 10.22B¥ 18.29B
Total Assets¥ 459.73B¥ 520.69B¥ 499.80B¥ 453.58B¥ 396.64B
Total Debt¥ 15.43B¥ 17.96B¥ 27.23B¥ 27.79B¥ 25.06B
Net Debt¥ 5.14B¥ 6.99B¥ 8.49B¥ 17.57B¥ 6.77B
Total Liabilities¥ 357.55B¥ 426.02B¥ 397.71B¥ 350.68B¥ 299.66B
Stockholders' Equity¥ 93.25B¥ 86.02B¥ 92.71B¥ 93.03B¥ 87.14B
Cash Flow
Free Cash Flow¥ 15.86B¥ 11.31B¥ 9.12B¥ 32.34B¥ 14.70B
Operating Cash Flow¥ 16.29B¥ 11.71B¥ 9.56B¥ 33.24B¥ 16.88B
Investing Cash Flow¥ -14.83B¥ -6.80B¥ -15.57B¥ -47.34B¥ -14.57B
Financing Cash Flow¥ 999.20M¥ -12.20B¥ 14.01B¥ 7.96B¥ 3.97B
Currency in CNY

China Reinsurance (Group) Corp. Class H Earnings and Revenue History

China Reinsurance (Group) Corp. Class H Debt to Assets

China Reinsurance (Group) Corp. Class H Cash Flow

China Reinsurance (Group) Corp. Class H Forecast EPS vs Actual EPS

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