Citic Ltd. (CTPCY)

Last Closing Price: --

Debt to Capital Ratio (Annual)

Debt to Capital Ratio: A measurement of a company's financial leverage, calculated as the company's long-term debt divided by its total capital. Calculated as: Total Long-Term Debt / (Total Long-Term Debt + Shareholders Equity)

Citic Ltd. (CTPCY) had Debt to Capital Ratio of 0.57 for the most recently reported fiscal year, ending 2025-12-31.

Figures for fiscal year ending 2025-12-31
Income Statement Financials
$107.00B
$8.17B
$59.82B
$47.19B
$76.83B
$30.18B
$-10.06B
$20.11B
$20.13B
$16.11B
$16.11B
$16.11B
$16.13B
$30.18B
$33.90B
5.82B
5.82B
$1.41
$1.40
Balance Sheet Financials
$318.98B
$34.14B
$1492.26B
$1811.24B
$1316.27B
$274.90B
$286.78B
$1603.06B
$208.19B
$201.31B
$208.19B
5.82B
Cash Flow Statement Financials
$59.89B
$-45.90B
$-5.72B
$53.61B
$60.86B
$7.26B
--
$-5.08B
--
Fundamental Metrics & Ratios
0.24
--
--
Debt to Capital Ratio
0.57
2.03
44.10%
28.20%
28.20%
31.68%
18.80%
7.63%
$52.46B
--
--
--
0.06
3.62
2.40
151.82
7.74%
8.00%
0.89%
3.33%
$35.78
$9.02
$10.29