| Financial Year |
March 31 2023 |
| Cash and Deposits In Other Banks |
4,189,781,000.00 |
| Currency Capital |
-- |
| Among:Customer Fund Deposits |
-- |
| Deposit Payment In the Central Bank |
29,792,472,000.00 |
| Salttlement Reserve |
-- |
| Among: Customer Reserve |
-- |
| Noble Metal |
112,690,000.00 |
| Lending Funds |
10,708,195,000.00 |
| Trading Financial Assets |
44,886,001,000.00 |
| Derivative Financial Assets |
97,633,000.00 |
| Redemptory Monetary Capital For Sale |
-- |
| Interest Receivable |
-- |
| Premiums Receivable |
-- |
| Subrogation Receivables |
-- |
| Reinsurance Accounts Receivable |
-- |
| Receivable Deposit for Undue Duty of Reinsurance |
-- |
| The Receivable Reserve for Outstanding Reinsurance Claims |
-- |
| The Receivable Reserve for Reinsurance Life Insurance Liabilities |
-- |
| The Receivable Reserve for The Reinsurance of Long-Term Health Insurance Liabilities |
-- |
| Protecting A Pledge Loan |
-- |
| Time Deposit |
-- |
| Issue Loan and Advance |
276,262,198,000.00 |
| Refundable Deposits |
-- |
| Capital In Vicarious Business |
-- |
| Accounts Receivable |
-- |
| Prepayment |
-- |
| Available-for-Sale Financial Assets |
-- |
| The Held-to-maturity Investment |
-- |
| Long Term Equity Investments |
-- |
| Deposit For Capital Recognizance |
-- |
| Investing Real Estate |
-- |
| Inventories |
-- |
| Fixed Assets |
3,337,225,000.00 |
| Construction In Progress |
99,733,000.00 |
| Intangible Assets |
351,555,000.00 |
| Transaction Seat Fee |
-- |
| Long Term Prepayments |
-- |
| Disposal of Fixed Assets |
-- |
| Independent Account Assets |
-- |
| Deferred Income Tax Assets |
3,624,977,000.00 |
| Other Assets |
177,974,711,000.00 |
| Total Assets |
552,287,242,000.00 |
| Borrowing from The Central Bank |
15,390,870,000.00 |
| Deposits With Banks and Other Financial Institutions |
2,376,486,000.00 |
| Short Term Borrowing |
-- |
| Among: Pledge Loan |
-- |
| Borrowing Funds |
18,283,202,000.00 |
| Trading Financial Debt |
-- |
| Derivative Financial Debt |
145,126,000.00 |
| Financial Assets Sold for Repurchase |
33,504,909,000.00 |
| Deposit Taking |
364,923,271,000.00 |
| Acting Trading Securities |
-- |
| Acting Underwriting Secur |
-- |
| Account Payable |
-- |
| Notes Payable |
-- |
| Advance Receipts |
-- |
| Premiums Received In Advance |
-- |
| Fees and Commissions Payable |
-- |
| Reinsurance Receivable Payable |
-- |
| Employee Compensation Payable |
326,992,000.00 |
| Taxes Payable |
1,250,244,000.00 |
| Interest Payable |
-- |
| Liabilities from Vicarious Business |
-- |
| Estimatied Liabilities |
287,212,000.00 |
| Payments Payable |
-- |
| Bonus Payable |
-- |
| Protecting Saving and Investment |
-- |
| Unearned Premium Reserve |
-- |
| Reserve for Outstanding Losses |
-- |
| Reserves for Life Insurance Liabilities |
-- |
| Reserves for Long Term Health Insurance Liabilities |
-- |
| Long Term Borrowings |
-- |
| Bonds Payable |
74,662,797,000.00 |
| Independent Account Liabilities |
-- |
| Deferred Income Tax Liabilities |
-- |
| Other Liabilities |
3,064,273,000.00 |
| Total Liabilities |
514,749,581,000.00 |
| Paid-in Capital(Capital Stock) |
5,820,355,000.00 |
| Capital Surplus |
10,687,634,000.00 |
| LESS:Treasury Stock |
-- |
| Surplus Reserves |
2,388,248,000.00 |
| General Risk Preparation |
6,618,047,000.00 |
| Undistributed Profits |
4,732,585,000.00 |
| Minority Equity |
814,092,000.00 |
| Currency Translation Differences |
-- |
| Abnormal Management Project Income Adjusted |
-- |
| Belong To The Parent Company Owner's Equity(Or Stockholder's Equity) |
36,723,569,000.00 |
| Total Owner's Equity(Stockholder's Equity) |
37,537,661,000.00 |
| Total Liabilities and Owner's Equity(Stockholder's Equity) |
552,287,242,000.00 |