2025/06 - 中期 美元(千$) | 與去年末期 比較 | 2024/12 美元(千$) | 2023/12 美元(千$) | 2022/12 美元(千$) | 2021/12 美元(千$) | |
現金及短期資金 | 246,360,000 | -7.963% | 267,674,000 | 285,868,000 | 327,002,000 | 403,018,000 |
銀行同業存放及貸款 | 0 | -- | 0 | 6,342,000 | 7,297,000 | 4,136,000 |
政府負債證明書 | 42,592,000 | 0.707% | 42,293,000 | 42,024,000 | 43,787,000 | 42,578,000 |
客戶貸款 | 981,722,000 | 5.487% | 930,658,000 | 938,535,000 | 923,561,000 | 1,045,814,000 |
按公平值列入損益帳的金融資產 | 462,687,000 | 7.449% | 430,611,000 | 399,802,000 | 318,194,000 | 298,646,000 |
證券投資 | 547,955,000 | 11.110% | 493,166,000 | 442,763,000 | 364,726,000 | 446,274,000 |
衍生金融資產 | 249,672,000 | -7.060% | 268,637,000 | 229,714,000 | 284,159,000 | 196,882,000 |
聯營公司及共同控制公司權益 | 28,202,000 | -2.446% | 28,909,000 | 27,344,000 | 29,254,000 | 29,609,000 |
無形資產 | 13,022,000 | 5.152% | 12,384,000 | 12,487,000 | 11,419,000 | 20,622,000 |
投資物業 | 0 | -- | 0 | 0 | 0 | 0 |
物業、廠房、設備及其他 | -- | -- | 9,407,000 | 10,478,000 | 10,365,000 | 10,255,000 |
土地及其他租賃資產 | -- | -- | 2,205,000 | 2,456,000 | 2,219,000 | 2,985,000 |
其他資產 | 642,159,000 | 20.910% | 531,104,000 | 640,864,000 | 627,303,000 | 457,120,000 |
3,214,371,000 | 6.540% | 3,017,048,000 | 3,038,677,000 | 2,949,286,000 | 2,957,939,000 |
2025/06 - 中期 美元(千$) | 與去年末期 比較 | 2024/12 美元(千$) | 2023/12 美元(千$) | 2022/12 美元(千$) | 2021/12 美元(千$) | ||
紙幣流通額 | 42,592,000 | 0.707% | 42,293,000 | 42,024,000 | 43,787,000 | 42,578,000 | |
同業存款 | 97,782,000 | 32.143% | 73,997,000 | 73,163,000 | 66,722,000 | 101,152,000 | |
客戶存款 | 1,718,604,000 | 3.846% | 1,654,955,000 | 1,611,647,000 | 1,570,303,000 | 1,710,574,000 | |
已發行存款證及其他債務證券 | 102,129,000 | -3.456% | 105,785,000 | 93,917,000 | 78,149,000 | 78,557,000 | |
按公平值列入損益帳的金融負債 | 234,242,000 | 14.427% | 204,709,000 | 214,576,000 | 199,674,000 | 230,406,000 | |
衍生金融負債 | 257,601,000 | -2.589% | 264,448,000 | 234,772,000 | 285,762,000 | 191,064,000 | |
後償負債 | 27,569,000 | 6.206% | 25,958,000 | 24,954,000 | 22,290,000 | 20,487,000 | |
其他負債 | 533,983,000 | 17.973% | 452,630,000 | 551,014,000 | 497,402,000 | 376,344,000 | |
3,014,502,000 | 6.717% | 2,824,775,000 | 2,846,067,000 | 2,764,089,000 | 2,751,162,000 |
2025/06 - 中期 美元(千$) | 與去年末期 比較 | 2024/12 美元(千$) | 2023/12 美元(千$) | 2022/12 美元(千$) | 2021/12 美元(千$) | |||
股本 | 8,739,000 | -2.608% | 8,973,000 | 9,631,000 | 10,147,000 | 10,316,000 | ||
儲備 | 163,099,000 | 3.931% | 156,930,000 | 157,979,000 | 147,940,000 | 165,520,000 | ||
其他 | 20,716,000 | 8.631% | 19,070,000 | 17,719,000 | 19,746,000 | 22,414,000 | ||
股東資金 | 192,554,000 | 4.098% | 184,973,000 | 185,329,000 | 177,833,000 | 198,250,000 | ||
非控股權益 | 7,315,000 | 0.205% | 7,300,000 | 7,281,000 | 7,364,000 | 8,527,000 | ||
其他 | 0 | -- | 0 | 0 | 0 | 0 | ||
199,869,000 | 3.951% | 192,273,000 | 192,610,000 | 185,197,000 | 206,777,000 |
2025/06 - 中期 美元(千$) | 與去年末期 比較 | 2024/12 美元(千$) | 2023/12 美元(千$) | 2022/12 美元(千$) | 2021/12 美元(千$) | |
承擔及或然負債 | -- | -- | -- | 897,786,000 | 1,000,353,000 | 993,161,000 |
備註: | 即時報價更新時間為01/08/2025 17:59 |
港股即時基本市場行情由香港交易所提供; 香港交易所指定免費發放即時基本市場行情的網站 | |
股東應佔溢利/(虧損) (千) | USD 11,510,000 |
增長率 | -30.604% |
每股盈利/(虧損) | USD 0.650 |
每股帳面資產淨值 ($) | USD 9.832 |