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首页 公告 601398:工商银行H股-2014年度业绩公告

601398:工商银行H股-2014年度业绩公告

公告日期:2015-03-27

香港交易及结算所有限公司及香港联合交易所有限公司对本公告之内容概不负责,对其准确性或完整性亦不发表任何声明,并明确表示,概不就因本公告全部或任何部份内容而产生或因倚赖该等内容而引致之任何损失承担任何责任。
                                           股份代号:1398
                                    美元优先股股份代号:4603
                                    欧元优先股股份代号:4604
                                  人民币优先股股份代号:84602
                                   2014年度业绩公告
中国工商银行股份有限公司董事会宣布本行及其子公司截至2014年12月31日止经审计的年度业绩。本行董事会及董事会审计委员会已审阅并确认经审计的年度业绩。本公告中亦载列根据中国银监会《商业银行资本管理办法(试行)》披露的资本充足率报告摘要信息。
1.  公司基本情况简介
1.1基本情况简介
    股票简称                         股份代号             上市交易所
    工商银行(A股)                 601398                 上海证券交易所
    工商银行(H股)                 1398                   香港联合交易所有限公司
    ICBCUSDPREF        1                 4603                   香港联合交易所有限公司
    ICBCEURPREF    1                 4604                   香港联合交易所有限公司
    ICBCCNHPREF    1-R               84602                  香港联合交易所有限公司
1.2联系人和联系方式
    董事会秘书、公司秘书
    姓名                       胡浩
    联系地址                 中国北京市西城区复兴门内大街55号
    电话                       86-10-66108608
    传真                       86-10-66107571
    电子信箱                 ir@icbc.com.cn
2.  财务概要
   (本年度报告所载财务数据及指标按照国际财务报告准则编制,除特别说明外,为本行及本行所属子公司合并数据,以人民币列示。)
2.1财务数据
                                            2014         2013         2012         2011         2010
    全年经营成果(人民币百万元)
    利息净收入                          493,522       443,335       417,828      362,764       303,749
    手续费及佣金净收入                 132,497       122,326       106,064      101,550        72,840
    营业收入                            634,858       578,901       529,720      470,601       380,748
    营业费用                            218,674       204,140       189,940      169,613       139,480
    资产减值损失                         56,729        38,321        33,745        31,121        27,988
    营业利润                            359,455       336,440       306,035      269,867       213,280
    税前利润                            361,612       338,537       308,687      272,311       215,426
    净利润                              276,286       262,965       238,691      208,445       166,025
    归属於母公司股东的净利润          275,811       262,649       238,532      208,265       165,156
    经营活动产生的现金流量净额        201,457        (1,947)      533,508      348,123       278,176
    於报告期末(人民币百万元)
    资产总额                          20,609,953    18,917,752    17,542,217    15,476,868    13,458,622
    客户贷款及垫款总额              11,026,331     9,922,374     8,803,692     7,788,897     6,790,506
    贷款减值准备                        257,581       240,959       220,403      194,878       167,134
    投资                               4,433,237     4,322,244     4,083,887     3,915,902     3,732,268
    负债总额                          19,072,649    17,639,289    16,413,758    14,519,045    12,636,965
    客户存款                          15,556,601    14,620,825    13,642,910    12,261,219    11,145,557
    同业及其他金融机构存放和
     拆入款项                        1,539,239     1,269,255     1,486,805     1,341,290     1,048,002
    归属於母公司股东的权益           1,530,859     1,274,134     1,124,997       956,742       820,430
    股本                                 353,495       351,390      349,620       349,084       349,019
                      (1)
    核心一级资本净额                  1,486,733     1,266,841           —           —           —
                 (1)
    一级资本净额                      1,521,233     1,266,859           —           —           —
               (1)
    总资本净额                        1,812,137     1,572,265     1,299,014     1,112,463       872,373
                 (1)
    风险加权资产                     12,475,939    11,982,187     9,511,205     8,447,263     7,112,357
    每股计(人民币元)
               (2)
    每股净资产                             4.33          3.63          3.22          2.74          2.35
    基本每股收益                           0.78          0.75          0.68          0.60          0.48
    稀释每股收益                           0.78          0.74          0.67          0.59          0.48
    信用评级
                  (3)
    标准普尔(S&P)                         A╱稳定     A╱稳定    A╱稳定     A╱稳定     A╱稳定
                  (3)
    穆迪(Mody    s)                     A1╱稳定    A1╱稳定    A1╱稳定    A1╱稳定    A1╱稳定
2.2财务指标
                                         2014         2013         2012         2011         2010
    盈利能力指标(%)
                          (4)
    平均总资产回报率              1.40          1.44          1.45         1.44          1.32
                             (5)
    加权平均权益回报率          19.96        21.92        23.02        23.44        22.79
               (6)
    净利息差                          2.46          2.40          2.49         2.49          2.35
                     (7)
    净利息收益率                    2.66          2.57          2.66         2.61          2.44
                             (8)
    风险加权资产收益率            2.26          2.45          2.66         2.68          2.55