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首页 公告 601229:上海银行2020年半年度报告摘要

601229:上海银行2020年半年度报告摘要

公告日期:2020-08-22

601229:上海银行2020年半年度报告摘要 PDF查看PDF原文

              上海银行股份有限公司

              2020年半年度报告摘要

  1 重要提示

  1.1 本半年度报告摘要来自2020年半年度报告全文,为全面了解本公司的经营成果、财务状况及未来发展规划,投资者应当仔细阅读同时刊载于上海证券交易所网站(www.sse.com.cn)及本公司网站(www.bosc.cn)上的2020年半年度报告全文。

  1.2 本公司董事会、监事会及董事、监事、高级管理人员保证半年度报告内容的真实、准确、完整,不存在虚假记载、误导性陈述或重大遗漏,并承担个别和连带的法律责任。

  1.3 本公司董事会五届十五次会议于2020年8月21日审议通过了《关于上海银行股份有限公司2020年半年度报告及摘要的议案》。会议应出席董事18人,实际出席董事18人。本公司4名监事列席了本次会议。

  1.4 本报告期不进行利润分配或资本公积金转增股本。

  1.5 本公司2020年半年度财务报告未经审计,但经普华永道中天会计师事务所(特殊普通合伙)审阅并出具审阅报告。

  2 公司基本情况

  2.1 公司简介

                                    公司股票简况

股票种类              股票上市交易所        股票简称              股票代码

普通股A股            上海证券交易所        上海银行              601229

优先股                上海证券交易所        上银优1              360029

联系人和联系方式            董事会秘书                  证券事务代表

姓名                        李晓红                      杜进朝

联系地址                    中国(上海)自由贸易试验区银城中路168号

联系电话                    8621-68476988

传真                        8621-68476215

电子信箱                    ir@bosc.cn


  2.2 主要会计数据和财务指标

  2.2.1 主要会计数据

                                                                                  单位:人民币千元

                                                                          本报告

 经营业绩                                2020 年 1-6 月    2019 年 1-6 月    期较上    2018 年 1-6 月
                                                                          年同期

                                                                            增减

 利息净收入                                17,046,696      14,293,675    19.26%      12,764,512

 手续费及佣金净收入                        3,688,959        3,404,260      8.36%        3,120,772

 其他营业收入                              4,676,127        7,452,650    -37.26%        3,864,534

 营业收入                                  25,411,782      25,150,585      1.04%      19,749,818

 业务及管理费                              4,376,578        4,613,373    -5.13%        4,002,081

 信用减值损失                              8,578,676        8,306,100      3.28%          不适用

 资产减值损失                                  不适用          不适用    不适用        5,619,128

 营业利润                                  12,189,579      12,004,756      1.54%        9,929,881

 利润总额                                  12,255,369      12,068,558      1.55%      10,007,323

 净利润                                    11,148,126      10,739,685      3.80%        9,388,824

 归属于母公司股东的净利润                  11,131,242      10,713,567      3.90%        9,371,747

 归属于母公司股东的扣除非经常性损益      11,050,050      10,647,854      3.78%        9,311,289
 的净利润

 经营活动产生/(使用)的现金流量净额      71,584,846      51,028,508    40.28%      -79,780,074

 每股计(人民币元/股)

 基本每股收益                                    0.78            0.75      4.00%            0.66

 稀释每股收益                                    0.78            0.75      4.00%            0.66

 扣除非经常性损益后的基本每股收益                0.78            0.75      4.00%            0.66

 每股经营活动产生的现金流量净额                  5.04            3.59    40.28%            -5.62

                                                                          本报告

资产负债                                      2020 年          2019 年    期末较          2018 年
                                            6 月 30 日      12 月 31 日    上年末      12 月 31 日
                                                                            增减

资产总额                                2,388,229,360    2,237,081,943      6.76%    2,027,772,399

客户贷款和垫款总额                      1,028,865,086      972,504,678      5.80%      850,695,655

公司贷款和垫款                          612,050,298      583,798,130      4.84%      534,269,554

个人贷款和垫款                          323,824,793      321,778,839      0.64%      276,821,216

票据贴现                                92,989,995      66,927,709    38.94%      39,604,885

贷款应计利息                                4,260,039        3,706,345    14.94%          不适用


  以摊余成本计量的贷款预期信用减值          -36,847,331      -34,990,396      5.31%      -32,335,459

  准备

  负债总额                                2,205,052,909    2,059,855,312      7.05%    1,866,003,791

  存款总额                                1,284,108,320    1,186,071,412      8.27%    1,042,489,605

    公司存款                                965,009,231      894,275,533      7.91%      812,176,365

    个人存款                                319,099,089      291,795,879      9.36%      230,313,240

  存款应计利息                              17,573,817      17,480,140      0.54%          不适用

  股东权益                                  183,176,451      177,226,631      3.36%      161,768,608

  归属于母公司股东的净资产                  182,648,247      176,708,612      3.36%      161,276,549

  归属于母公司普通股股东的净资产            162,691,077      156,751,442      3.79%      141,319,379

  股本                                      14,206,529      14,206,529          -      10,928,099

  归属于母公司普通股股东的每股净资产              11.45            11.03      3.81%            9.95

  (人民币元/股)

  资本净额                                  219,551,060      219,243,258      0.14%      186,679,181

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