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NIO Inc
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Balance Sheet
Balance Sheet Decomposition
Standard Chartered PLC
Net Loans | 275.9B |
Investments | 380.8B |
PP&E | 2.2B |
Intangibles | 6.1B |
Other Assets | 170.4B |
Total Deposits | 518.2B |
Short Term Debt | 65.9B |
Long Term Debt | 96.4B |
Other Liabilities | 104B |
Balance Sheet
Standard Chartered PLC
Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
Assets | |||||||||||
Net Loans |
284 695
|
257 356
|
226 693
|
248 707
|
256 557
|
268 523
|
281 699
|
298 468
|
310 647
|
286 975
|
|
Investments |
201 524
|
190 540
|
229 428
|
248 380
|
263 957
|
283 119
|
311 045
|
341 819
|
325 374
|
358 605
|
|
PP&E Net |
7 984
|
7 209
|
7 252
|
7 211
|
6 490
|
6 220
|
6 515
|
5 616
|
5 522
|
2 274
|
|
PP&E Gross |
7 984
|
7 209
|
7 252
|
7 211
|
6 490
|
6 220
|
6 515
|
5 616
|
5 522
|
2 274
|
|
Accumulated Depreciation |
1 910
|
2 209
|
2 546
|
2 772
|
2 669
|
2 615
|
3 248
|
3 400
|
3 192
|
2 159
|
|
Intangible Assets |
966
|
1 026
|
1 263
|
1 761
|
1 940
|
2 211
|
2 446
|
2 876
|
3 398
|
3 785
|
|
Goodwill |
4 224
|
3 616
|
3 456
|
3 252
|
3 116
|
3 079
|
2 617
|
2 595
|
2 471
|
2 429
|
|
Long-Term Investments |
1 962
|
1 937
|
1 929
|
2 307
|
2 307
|
1 908
|
2 162
|
2 147
|
1 631
|
966
|
|
Customer Acceptances Liabilities |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Other Long-Term Assets |
3 755
|
1 408
|
2 548
|
1 722
|
2 375
|
3 158
|
1 365
|
1 193
|
2 459
|
1 511
|
|
Other Assets |
98 208
|
90 143
|
89 908
|
71 962
|
71 889
|
80 865
|
106 077
|
93 767
|
102 444
|
88 311
|
|
Total Assets |
725 914
N/A
|
640 483
-12%
|
646 692
+1%
|
663 501
+3%
|
688 762
+4%
|
720 398
+5%
|
789 050
+10%
|
827 818
+5%
|
819 922
-1%
|
822 844
+0%
|
|
Liabilities | |||||||||||
Accrued Liabilities |
5 915
|
5 451
|
5 223
|
5 493
|
5 393
|
5 369
|
4 546
|
4 651
|
5 895
|
6 975
|
|
Short-Term Debt |
0
|
0
|
37 692
|
39 783
|
54 724
|
56 042
|
60 701
|
73 740
|
63 020
|
61 981
|
|
Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
2 562
|
795
|
898
|
293
|
272
|
248
|
|
Total Deposits |
469 512
|
397 375
|
378 222
|
407 427
|
448 746
|
464 189
|
500 760
|
539 150
|
526 695
|
532 123
|
|
Other Interest Bearing Liabilities |
5 212
|
3 949
|
4 479
|
5 096
|
4 923
|
5 518
|
5 868
|
4 930
|
5 264
|
5 386
|
|
Other Current Liabilities |
891
|
769
|
327
|
376
|
676
|
703
|
660
|
348
|
583
|
811
|
|
Total Current Liabilities |
6 806
|
6 220
|
43 242
|
45 652
|
63 355
|
62 909
|
66 805
|
79 032
|
69 770
|
70 015
|
|
Long-Term Debt |
103 735
|
90 649
|
71 893
|
70 578
|
45 349
|
56 000
|
57 492
|
60 583
|
67 935
|
77 244
|
|
Deferred Income Tax |
246
|
293
|
353
|
404
|
563
|
611
|
695
|
800
|
769
|
770
|
|
Minority Interest |
306
|
321
|
321
|
341
|
273
|
313
|
325
|
371
|
350
|
396
|
|
Other Liabilities |
93 665
|
93 485
|
99 845
|
82 537
|
75 474
|
80 510
|
106 701
|
90 687
|
99 473
|
86 953
|
|
Total Liabilities |
679 482
N/A
|
592 292
-13%
|
598 355
+1%
|
612 035
+2%
|
638 683
+4%
|
670 050
+5%
|
738 646
+10%
|
775 553
+5%
|
770 256
-1%
|
772 887
+0%
|
|
Equity | |||||||||||
Common Stock |
1 236
|
1 639
|
1 642
|
1 648
|
1 654
|
1 598
|
1 578
|
1 539
|
2 941
|
2 826
|
|
Retained Earnings |
42 919
|
44 188
|
43 167
|
43 907
|
43 670
|
43 261
|
43 295
|
44 415
|
45 342
|
46 012
|
|
Additional Paid In Capital |
5 482
|
5 449
|
5 449
|
5 449
|
5 457
|
5 480
|
5 480
|
5 483
|
3 989
|
3 989
|
|
Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
41
|
347
|
677
|
352
|
910
|
360
|
|
Other Equity |
3 205
|
3 085
|
1 921
|
462
|
661
|
338
|
626
|
476
|
1 696
|
2 510
|
|
Total Equity |
46 432
N/A
|
48 191
+4%
|
48 337
+0%
|
51 466
+6%
|
50 079
-3%
|
50 348
+1%
|
50 404
+0%
|
52 265
+4%
|
49 666
-5%
|
49 957
+1%
|
|
Total Liabilities & Equity |
725 914
N/A
|
640 483
-12%
|
646 692
+1%
|
663 501
+3%
|
688 762
+4%
|
720 398
+5%
|
789 050
+10%
|
827 818
+5%
|
819 922
-1%
|
822 844
+0%
|
|
Shares Outstanding | |||||||||||
Common Shares Outstanding |
2 598
|
3 444
|
3 284
|
3 296
|
3 308
|
3 196
|
3 156
|
3 079
|
2 895
|
2 665
|
|
Preferred Shares Outstanding |
195
|
195
|
195
|
195
|
195
|
195
|
195
|
195
|
195
|
195
|