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首页 公告 建设银行:截至2012年6月30日止六个月中期业绩公告

建设银行:截至2012年6月30日止六个月中期业绩公告

公告日期:2012-08-28

            香港交及结算所有限公司及香港合交所有限公司对本文件的内容概负责,对其准确性或            

            完整性亦发表任何声明,幷明确表示,概对因本文件全部或任何部分内容而産生或因倚赖该           

            等内容而引致的任何损失承担任何责任。   

                                     中国建设银股份有限公司                   

                                China   Construction     Bank   Corporation     

                             (於中华人民共和国注册成的股份有限公司)                  

                                              (股份代号:939)         

               截至20126月30日止个月中期业绩公告                                                  

            中国建设银股份有限公司(「本」)董事会欣然宣布,本及所属子公司(「本集                         

            团」)截至20126月30日止个月,根据适用的《香港合交所有限公司证券上市规                      

            则》(「港交所上市规则」)披要求及《国际会计准则》第34号「中期财务报告」编制                       

            的未经审核综合中期业绩。本的审计委员会及外部审计师已审阅此中期业绩。               

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            2012中期业绩摘要              

            本中期业绩公告所载财务资按照国际财务报告准则编制,除特别注明外,为本集团                   

            据,以人民币示。      

             (除特别注明外,以人民币百万元    截至20126月      截至20116                  截至2011

               示)                             30日止个月   月30日止个月    变动(%)  12月31日止 

            当期

             息净收入                               169,692          145,706      16.46          304,572

             手续费及佣净收入                         49,243           47,671       3.30           86,994

             经营收入                                 227,812          197,246      15.50          399,403

             税前润                                 138,512          120,789      14.67          219,107

             净润                                   106,494           92,953      14.57          169,439

             归属於本股东的净润                     106,283           92,825      14.50          169,258

             每股计(人民币元)

             基本和稀释每股收益                           0.43             0.37      16.22            0.68

             盈能指标(%)                                                     变动+/(-)

             化平均资産回报                           1.65             1.65          -            1.47

             化平均股东权益回报                       24.56            24.98     (0.42)            22.51

             净差                                      2.53             2.55     (0.02)            2.57

             净息收益                                2.71             2.66       0.05            2.70

             手续费及佣净收入对经营收入比              21.62            24.17     (2.55)            21.78

             成本对收入比                              32.73            31.72       1.01            36.19

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                                                      於2012      於2011                     於2010 

             (除特别注明外,以人民币百万元示)          6月30日     12月31日     变动(%)       12月31日

            於期末

             客户贷款和垫款净额                         6,876,580     6,325,194        8.72        5,526,026

             资産总额                                 13,505,745    12,281,834        9.97       10,810,317

             客户存款                                 10,940,837     9,987,450        9.55        9,075,369

             负债总额                                 12,636,340    11,465,173       10.21       10,109,412

             归属於本股东权益                           863,526       811,141        6.46          696,792

             股本                                        250,011       250,011          -          250,011

             核心资本                                    819,734       750,660        9.20          634,683

             资本净额                                    999,776       924,506        8.14          762,449

             加权风险资産                               7,236,586     6,760,117        7.05        6,015,329

             每股计(人民币元)

             每股净资産                                     3.48          3.27        6.42            2.80

            资本充足指标(%)                                                     变动+/(-)

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             核心资本充足                                11.19        10.97        0.22           10.40

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             资本充足                                    13.82         13.68        0.14           12.68

             总权益对资産总额比                            6.44          6.65      (0.21)            6.48

             资産质指标(%)

             贷款                                      1.00          1.09      (0.09)            1.14

             减值准备对贷款比                        262.38        241.44       20.94          221.14

             减值准备对贷款总额比                          2.62          2.64      (0.02)            2.52

            1.按照银监会颁布的《商业银资本充足管办法》及相关规定计算。

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              合并综合收益表

              (除特别注明外,以人民币百万元列示)