HSBC HOLDINGS PLCHSBC

Market cap
P/E ratio
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Profit before tax17,16719,89013,3478,77718,90617,52830,34832,309
Depreciation, amortisation and impairment1,8621,93310,5195,2414,2863,8733,4664,080
Net loss from investing activities1,152126399541647-11-1,213-180
Share of profit in associates and joint ventures2,3752,5362,3541,5973,0462,7232,8072,912
Impairment of interest in associate------3,000-
(Gain)/loss on acquisition/disposal of subsidiaries, businesses, associates and joint ventures79-929---2,639--1,704
Change in expected credit losses gross of recoveries and other credit impairment charges2,6032,2803,0129,096-5193,9073,7173,674
Adjustments for provisions9171,9442,4231,1641,063635266299
Share-based payment expense500450478433467400482529
Other adjustments for non-cash items-381-1,303-2,297-906510-1,084-4,299-5,290
Elimination of exchange differences-21,2897,299-3,742-25,74918,93749,127-10,67826,734
Change in net trading securities and derivatives-10,90110,716-18,91013,150-9,22620,181-63,247-41,385
Change in loans and advances to banks and customers-------7,275
Change in reverse repurchase agreements – non-trading-37,281-40,499-7,3909,950552-23,405-2,095-4,227
Change in financial assets designated and otherwise mandatorily measured at fair value--------20,662
Change in other assets-6,5704,047-21,863-19,61019,899-10,771-10,2547,685
Adjustments for increase (decrease) in deposits-------44,237
Change in repurchase agreements – non-trading41,04435,882-25,540-28,44314,7694,34443,3668,700
Change in debt securities in issue-------11,942
Change in financial liabilities designated at fair value-4,50020,068-6,630-11,425-13,64710,097-2,248
Change in other liabilities13,514-2,64423,12420,323-10,93515,9788,742-1,603
Dividends received from associates7409106337618089441,0671,062
Contributions paid to defined benefit plans685332533495509194208167
Tax paid3,1753,4172,2674,2593,0772,7764,1176,611
Net cash from operating activities-10,4786,46929,743182,220104,31226,43439,11165,305
Purchase of financial investments357,264383,454445,907496,669493,042520,600563,561523,454
Proceeds from the sale and maturity of financial investments418,352370,357413,186476,990521,190495,049504,174453,502
Net cash flows from the purchase and sale of property, plant and equipment1,1671,1961,3431,4461,0861,2851,1451,344
Net cash flows from disposal of loan portfolio and customer accounts6,756-2041,1181,3623,059-3,530623-
Net investment in intangible assets1,2851,8482,2892,0642,4793,1252,5502,542
Net cash inflow on acquisition/disposal of subsidiaries, businesses, associates and joint ventures-------4539,891
Net cash outflow on acquisition/disposal of subsidiaries, businesses, associates and joint ventures-------12,617
Net cash from investing activities65,557-16,341-35,318-22,43027,536-34,480-62,912-76,564
Proceeds From Issuing Shares And Other Equity Instruments5,1966,001-1,4971,996-1,9963,602
Cancellation of shares3,0001,9981,000----11,348
Proceeds (Payments) From Sale (Purchase) Of Treasury Shares--141-181-1,386-91-614-541
Net cash flow from change in stake of subsidiaries-----19719-
Redemption of preference shares and other equity instruments-6,078-3983,4502,2664,0033,433
Subordinated loan capital issued-----7,3005,2374,361
Subordinated loan capital repaid3,5744,0774,2103,5388641,7772,1472,000
Dividends paid to shareholders of the parent company and non-controlling interests9,00510,7629,7732,0236,3836,97012,19617,100
Net cash from financing activities-10,450-16,781-14,842-4,643-10,794-6,286-17,558-26,459
Net decrease in cash and cash equivalents44,629-26,653-20,417155,147121,054-14,332-41,359-37,718
Exchange differences in respect of cash and cash equivalents18,233-9,6771,24819,434-15,345-38,02910,621-18,275