China Life Insurance Company Limited

HKEX:2628.HK

15.98 (HKD) • At close May 30, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) HKD.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operating Activities:
Net Income 108,94021,11024,04750,49554,48859,79513,92141,67123,84245,93140,40229,45110,96818,33133,62632,88121,27745,387.67719,934.2259,3067,171-1,428
Depreciation & Amortization 5,0294,7585,2915,2875,1614,3792,6382,2402,0832,0362,1242,0261,9491,9091,8021,5601,34914,53111,1718,7146,9216,310
Deferred Income Tax 0000000000000000004,6961,3732,2011,041
Stock Based Compensation 0000000000000000000000
Change In Working Capital -15,95494,13243,1551,12421,64258,69340,932116,27649,687-29,20437,33622,851-14,586-18,1372,18916,35225,85286,69165,41311,82634,989.18432,365
Accounts Receivables 243,53910,4663,627-1,551-8,615-8,070-1,674-4,090-1,9533,674-3,352-5,208000031,188.5078,936.843,098.957-2,507.78140.704
Inventory 0000000000000000041,573.64933,859.12318,012.607020,191.722
Accounts Payables 0000000000000000045,343.85356,735.27243,175.5733,478.44343,659.593
Other Working Capital -15,97890,59332,689-2,50323,19367,30840,932116,27649,687-29,20437,33622,851-14,586-18,1372,18916,35225,852-31,415.008-34,118.234-52,461.1334,018.521-31,627.019
Other Non Cash Items 280,780268,232279,475229,542222,733163,16590,06140,80313,486-37,574-1,61513,964133,851131,850140,98398,90736,301-23,755.677-20,595.225739-18,368.184222
Operating Cash Flow 378,795388,232351,968286,448304,024286,032147,552200,99089,098-18,81178,24768,292132,182133,953178,600149,70084,779122,85480,35231,82832,91438,510
Investing Activities:
Investments In Property Plant And Equipment -3,979-4,171-3,076-5,475-7,467-11,415-19,546-9,619-5,310-8,384-5,048-3,724-5,293-4,850-4,849-3,261-2,825-3,177.284-2,684.954-1,484-970-2,242
Acquisitions Net -5,060-34,043-1,041-6,513-12,767-21,957-34,928-37,304-65,1693,109-5,671-2,386-1,339-8,344-9,9064201880-6,064.5633167263
Purchases Of Investments -2,750,929-1,791,554-1,339,280-1,155,649-932,223-1,049,949-629,539-1,016,788-710,640-576,127-428,352-346,401-298,853-248,294-342,305-414,793-170,669-222,968-177,038-160,641-124,504-85,115
Sales Maturities Of Investments 2,413,5041,382,842991,807619,612543,820695,715437,370679,691569,024453,803329,296267,731162,077155,845179,555222,04783,03982,47554,18062,05729,73943,867
Other Investing Activites -8,15618,824186,635154,294115,840140,0918,270210,344107,392194,64640,51824,547-60,396-27,94841,56831,836-66,2045,156.284-9,430.4838,697-24,858-61,939
Investing Cash Flow -354,620-428,102-164,955-393,731-292,797-247,515-238,373-173,676-104,70367,047-69,257-60,233-203,804-133,591-135,937-163,751-156,471-138,514-141,038-91,340-120,526-105,166
Financing Activities:
Debt Repayment -73-1,683-7,58710531733,524727-34,879-16,16902,871037,98829,990000-9,4083,22600-2
Common Stock Issued 00000000000000000027,8100024,705.95
Common Stock Repurchased 0000-9,06000000000000000000
Dividends Paid -26,915-22,189-26,386-26,680-24,774-4,916-11,690-7,164-12,257-11,491-8,479-3,957-6,501-11,306-19,785-6,605-11,964-42-1,346000
Other Financing Activities -59,77184,145-86,122137,79425,757-61,352108,0652,25439,738-3,33627,021-47,98553,602-10,693-10,89622,77292,712-3,88353,62360,71772,21370,039.051
Financing Cash Flow -86,75960,273-120,095111,139-7,760-36,07592,963-45,5956,270-19,41516,704-56,10585,0897,991-30,68116,16780,748-8,72983,31360,71772,21394,743
Other Information:
Effect Of Forex Changes On Cash 2864217-71-1445581-17928524110-760-222-325-4-288-507-465-37100
Net Change In Cash -62,55620,46767,1353,7853,3232,4972,223-18,460-9,05029,06225,704-48,12213,4678,13111,6572,1128,768-24,89622,162834-15,39928,087
Cash At End Of Period 85,505148,061127,59460,44056,62953,30650,80948,58667,04676,09647,03421,33069,45255,98547,85436,19734,08525,31750,21328,05127,21742,616