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股票

兰州银行: 2024年一季度报告

来源:证券之星

2024-04-27 00:00:00

证券代码:001227     证券简称:兰州银行     公告编号:2024-012
      兰州银行股份有限公司
     BANK OF LANZHOU CO.,LTD.
              (股票代码:001227)
              二〇二四年四月
                   重要内容提示
理人员保证季度报告的真实、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。
准确、完整的情况
  是  否
控股子公司甘肃兰银金融租赁股份有限公司的合并报表数据,货币币种为人民币。
度报告》。会议应出席董事 14 名,实际出席董事 14 名。本行监事、高级管理人员列席会议。
度报告中财务报告的真实、准确、完整。
  是  否
  适用  不适用
                      第一节主要财务数据
   一、主要会计数据和财务指标
   公司是否需追溯调整或重述以前年度会计数据
   是  否
                                                               单位:人民币千元
          项目               本报告期             上年同期          本报告期比上年同期增减(%)
营业总收入                         1,972,918       1,999,546                   -1.33
归属于母公司股东的净利润                   545,701         540,911                     0.89
归属于母公司股东的扣除非经常性损益的
净利润
经营活动产生的现金流量净额                -1,393,541       3,129,783                 -144.53
基本每股收益(元/股)                     0.0853          0.0844                     1.07
稀释每股收益(元/股)                             -             -                       -
加权平均净资产收益率(%)                        1.71          1.79        下降 0.08 个百分点
扣除非经常性损益后的加权平均净资产收
益率(%)
          项目              本报告期末             上年度末          本报告期末比上年度末增减(%)
资产总额                        462,822,780     453,410,501                    2.08
负债总额                        428,620,609     420,128,899                    2.02
股东权益                         34,202,171      33,281,603                    2.77
其中:归属于母公司股东的所有者权益            33,862,876      32,956,632                    2.75
    归属于母公司普通股股东的权益           28,864,146      27,957,902                    3.24
    归属于母公司普通股股东的每股净
    资产(元/股)
  注:1.营业收入包括利息净收入、手续费及佣金净收入、投资收益、公允价值变动损益、汇兑损益、其他业务收入、资
产处置收益和其他收益。2.每股收益和加权平均净资产收益率根据《公开发行证券的公司信息披露编报规则第 9 号——净资
产收益率和每股收益的计算及披露(2010 年修订)》计算。本行于 2020 年 12 月发行了 50 亿元无固定期限资本债券,在计
算当期“加权平均净资产收益率”及“每股收益”时,扣除了已发放的无固定期限资本债券利息 0.60 亿元。
   截止披露前一交易日的公司总股本:
截止披露前一交易日的公司总股本(股)                                                 5,695,697,168
用最新股本计算的全面摊薄每股收益(元/股)                                                    0.0853
补充披露
                                                                    单位:人民币千元
                                                                   本报告期末比上年
             规模指标           2024 年 3 月 31 日    2023 年 12 月 31 日
                                                                    末增减(%)
发放贷款及垫款                          248,127,268         238,067,756                  4.23
其中:公司贷款及垫款                       198,506,708         186,509,761                  6.43
    个人贷款及垫款                       56,494,310          58,666,758                  -3.70
    加:应计利息                         1,656,169           1,251,699                 32.31
    减:以摊余成本计量的发放贷款及垫款减值准备          8,529,919           8,360,462                  2.03
吸收存款                             342,486,938         337,347,290                  1.52
其中:公司存款                           89,330,256          87,636,706                  1.93
    个人存款                         231,424,660         226,098,087                  2.36
    保证金存款                         12,297,054          13,926,629                 -11.70
    其他存款                           1,275,177            920,596                  38.52
    加:应计利息                         8,159,792           8,765,271                  -6.91
  二、非经常性损益项目和金额
   适用 不适用
                                                                    单位:人民币千元
                      项目                                 2024 年 1-3 月
    非流动资产处置损益(包括已计提资产减值准备的冲销部分)                                         8,609
    计入当期损益的政府补助(与公司正常经营业务密切相关,符合国家政策规
    定、按照一定标准定额或定量持续享受的政府补助除外)
    除同公司正常经营业务相关的有效套期保值业务外,持有金融资产和金融负
                                                                        -2,936
    债产生的公允价值变动损益以及处置金融资产和金融负债产生的损益
    除上述各项之外的其他营业外收入和支出                                                    965
    非经常性损益合计                                                            6,641
    减:所得税影响额                                                            1,660
    减:少数股东权益影响额(税后)                                                          -
    归属于母公司股东的非经常性损益净额                                                   4,981
  注:根据《公开发行证券的公司信息披露解释性公告第 1 号——非经常性损益(2023 年修订)》(中国证券监督管理
委员会公告〔2023〕65 号)的规定执行。本行不存在将《公开发行证券的公司信息披露解释性公告第 1 号——非经常性损
益(2023 年修订)》中列举的非经常性损益项目界定为经常性损益的项目情形。
  三、主要会计数据和财务指标发生变动的情况及原因
                                                                                              单位:人民币千元
       项目        2024 年 3 月 31 日       2023 年 12 月 31 日        比上年末增减(%)                       主要原因
应付债券                   21,483,883             15,751,754                     36.39     发行同业存单增加。
                                                                                       其他债权投资公允价值变
其他综合收益                  1,155,381               794,838                      45.36
                                                                                       动所致。
       项目         2024 年 1-3 月          2023 年 1-3 月                 比上年同期(%)                  主要原因
                                                                       增减
                                                                                       交易性金融资产投资收益
投资收益                      254,792               383,102                      -33.49
                                                                                       增加。
                                                                                       交易性金融资产公允价值
公允价值变动收益                  -45,161                   21,019                  -314.86
                                                                                       变动所致。
                                                                                       主要是受到汇率波动影响
汇兑损益                              34                  424                    -91.98
                                                                                       所致。
资产处置损益                      8,606                    1,094                  686.65     处置资产增加。
营业外收入                       1,348                    3,198                   -57.85    正常变动,绝对金额较小。
营业外支出                            381                  800                    -52.38    正常变动,绝对金额较小。
归属于母公司股东的其                                                                             其他债权投资公允价值变
他综合收益的税后净额                                                                             动所致。
经营活动产生的现金流                                                                             客户存款和同业存放款项
                        -1,393,541             3,129,783                    -144.53
量净额                                                                                    现金流入减少。
投资活动产生的现金流
量净额
  四、补充财务指标
            指标           监管指标             2024 年 3 月 31 日             2023 年 12 月 31 日        2022 年 12 月 31 日
核心一级资本充足率(%)               ≥7.5                               8.48                     8.41                8.47
一级资本充足率(%)                 ≥8.5                               9.94                     9.92               10.07
资本充足率(%)                   ≥10.5                             11.17                    11.12               11.27
流动性比例(%)                    ≥25                              58.37                    51.07               54.26
流动性覆盖率(%)                  ≥100                         118.58                    119.89                 121.10
存贷款比例(本外币)(%)                -                               76.63                    74.15               71.41
不良贷款率(%)                    ≤5                                1.83                     1.73                1.71
拨备覆盖率(%)                   ≥140                         183.18                    197.51                 194.99
拨贷比(%)                     ≥2.1                               3.35                     3.41                3.33
单一客户贷款集中度(%)                ≤10                               6.46                     6.71                6.86
单一集团客户授信集中度(%)              ≤15                              12.74                    12.31               13.36
最大十家客户贷款集中度(%)              ≤50                              46.38                    48.53               48.47
正常类贷款迁徙率(%)                  -                                1.05                     4.23                4.83
           指标           监管指标           2024 年 3 月 31 日              2023 年 12 月 31 日        2022 年 12 月 31 日
关注类贷款迁徙率(%)                -                              8.13                      14.42               15.58
次级类贷款迁徙率(%)                -                             27.83                      72.17               83.85
可疑类贷款迁徙率(%)                -                             94.60                      98.85                6.24
总资产收益率(年化)(%)              -                              0.49                       0.43                0.42
成本收入比(%)                  ≤45                            29.92                      30.42               31.24
资产负债率(%)                   -                             92.61                      92.66               92.68
净利差(年化)(%)                 -                              1.59                       1.49                1.65
净利息收益率(年化)(%)              -                              1.60                       1.46                1.58
  注:1.上述监管指标中,存贷款比例、不良贷款率、拨备覆盖率、拨贷比、单一客户贷款集中度、单一集团客户授信集
中度、最大十家客户贷款集中度、总资产收益率、成本收入比、资产负债率为按照监管口径根据合并财务报表数据计算,核
心一级资本充足率、一级资本充足率、资本充足率、流动性比例、流动性覆盖率为上报监管部门合并口径数据,正常类贷款
迁徙率、关注类贷款迁徙率、次级类贷款迁徙率、可疑类贷款迁徙率按照《商业银行风险监管核心指标(试行)》中的规定
计算。
态调整的拨备监管政策。
  五、资本充足率、杠杆率、流动性覆盖率情况
  (一)资本充足率
                                                                                             单位:人民币千元
           项目                  2024 年 3 月 31 日                   2023 年 12 月 31 日           2022 年 12 月 31 日
核心一级资本净额                                  29,192,239                       28,027,861                26,637,125
一级资本净额                                    34,236,104                       33,054,400                31,662,785
资本净额                                      38,454,126                       37,045,563                35,427,230
风险加权资产                                   344,307,204                      333,230,857               314,417,248
核心一级资本充足率(%)                                      8.48                           8.41                      8.47
一级资本充足率(%)                                        9.94                           9.92                     10.07
资本充足率(%)                                         11.17                          11.12                     11.27
  (二)杠杆率
                                                                                             单位:人民币千元
      项目        2024 年 3 月 31 日        2023 年 12 月 31 日             2023 年 9 月 30 日          2023 年 6 月 30 日
杠杆率(%)                          6.96                     6.96                       6.74                   6.61
一级资本净额                  34,236,104               33,054,400                 32,686,220               32,199,591
调整后表内外资产余额             491,725,642            475,183,386                  484,773,128              486,877,412
  (三)流动性覆盖率情况
                                                                                          单位:人民币千元
        项目        2024 年 3 月 31 日           2023 年 12 月 31 日       2023 年 9 月 30 日         2023 年 6 月 30 日
流动性覆盖率(%)                        118.58                 119.89                  129.24                131.72
合格优质流动性资产                    58,865,958              53,719,643            60,618,147              65,893,635
未来 30 天现金净流出量                49,640,524              44,806,786            46,903,880              50,024,429
  六、贷款五级分类情况
                                                                                          单位:人民币千元
      项目
                 金额              占比(%)               金额            占比(%)             金额            占比(%)
正常类              234,819,325          92.09          224,209,226        91.45        10,610,099          0.64
关注类               15,524,546              6.09        16,733,851         6.83        -1,209,305         -0.74
次级类                  2,474,202            0.97         2,454,809         1.00             19,393        -0.03
可疑类                   536,177             0.21          622,230          0.25            -86,053        -0.04
损失类                  1,646,768            0.65         1,156,402         0.47            490,366         0.17
发放贷款及垫款总额        255,001,018         100.00          245,176,519      100.00          9,824,499              -
不良贷款及贷款率             4,657,147            1.83         4,233,442         1.73            423,705         0.10
  七、贷款损失准备计提与核销情况
  报告期内,以摊余成本计量的发放贷款和垫款减值准备变动情况如下:
                                                                                          单位:人民币千元
                项目                                                          金额
年初数                                                                                                 8,360,462
计提/回拨                                                                                                735,250
转让(核销)                                                                                               -666,599
收回的已核销贷款                                                                                             121,677
已减值贷款利息回转                                                                                             -20,872
期末数                                                                                                 8,529,919
  报告期内,以公允价值计量且其变动计入其他综合收益的发放贷款和垫款减值准备变动
情况如下:
                                                                                          单位:人民币千元
                项目                                                              金额
年初数                                                                                                      939
计提/回拨                                                                                                        -
期末数                                                                                                      939
  八、经营情况讨论与分析
略部署为抓手,以“提质增效”为中心,以“化险降本、动能焕新、扩面增量、强基固本”为重
点,强化责任、精准施策、协同发力、创新实干,各项工作妥善安排、有序推进。报告期内,
本行总体情况如下:
  (一)业务规模稳定增长。截至报告期末,本行资产总额 4,628.23 亿元,较上年末增长
年末增长 4.23%;吸收存款 3,424.87 亿元,较上年末增长 1.52%。
  (二)盈利能力有所提升。强化资产负债管理,妥善处理好负债量与价的关系,全行存
款付息率较年初下降 30 个 BP,净息差达到 1.60%,较年初提升 14 个 BP。2024 年一季度实
现净利润 5.60 亿元,较上年同期增长 0.90%; 归属于本行股东的净利润 5.46 亿元,较上年
同期增长 0.89%。利息净收入 16.57 亿元,较上年同期增长 12.87%。
   (三)创新转型步伐加快。报告期内,公司业务方面,推广知识产权质押融资,强化科
技创新企业支持力度,一季度末全行科技型企业贷款余额 100.72 亿元,净增 6.91 亿元;完善
绿色金融制度体系,优化绿色金融综合服务方案,一季度末绿色贷款余额 134.29 亿元,净增
(AUM)达到 2,841.48 亿元,较年初增加 51.48 亿元。交易银行方面,进一步拓展电子保函
业务应用场景,推动供应链业务扩面上量,截至一季度末,新增供应链融资业务 5.74 亿元。
   (四)普惠金融深入推进。深耕民营、小微、个体工商户与农户,积极履行社会责任,
降低企业融资成本。截至报告期末,普惠型小微贷款余额 130.06 亿元,较年初净增 4.48 亿元,
普惠型小微贷款平均利率 5.15%,较年初下降 28BP;涉农贷款余额 345.59 亿元,较年初增加
入选“银行业普惠金融十年发展实例”名单,是西北地区唯一一家入选银行。
                       第二节 股东信息
      一、普通股股东总数和表决权恢复的优先股股东数量及前十名股东持股情况表
                                                                                    单位:股
                                 报告期末表决权恢复的优先股股东
报告期末普通股股东总数(户)         112,193                                                  0
                                 总数(如有)
                            前 10 名股东持股情况
                                 持股比例                      持有有限售条 质押、标记或冻结情况
         股东名称         股东性质                   持股数量
                                  (%)                      件的股份数量 股份状态  数量
兰州市财政局               国有法人             8.74   498,058,901    498,058,901
兰州国资投资(控股)建设集团有限公司 国有法人               7.11   405,202,500    403,381,000 司法冻结         70,679,476
华邦控股集团有限公司           境内非国有法人          5.25   298,769,700    297,451,000    质押       297,450,000
兰州天庆房地产开发有限公司        境内非国有法人          4.90   278,828,000    277,600,000
甘肃盛达集团有限公司           境内非国有法人          4.85   276,242,500    275,000,000    质押       106,200,000
                                                                          质押并司
深圳正威(集团)有限公司         境内非国有法人          4.32   245,805,000    245,805,000             245,805,000
                                                                           法冻结
甘肃天源温泉大酒店集团有限责任公司    境内非国有法人          3.09   176,000,000    176,000,000    质押       176,000,000
甘肃省国有资产投资集团有限公司      国有法人             3.07   174,680,000    174,680,000
盛达金属资源股份有限公司         境内非国有法人          2.72   155,000,000    155,000,000
甘肃省电力投资集团有限责任公司      国有法人             1.85   105,600,000    105,600,000
                       前 10 名无限售条件股东持股情况
                                                                   股份种类及数量
              股东名称               持有无限售条件股份数量
                                                             股份种类                   数量
甘肃省旅游投资集团有限公司                                100,000,000    人民币普通股                  100,000,000
兰州海鸿房地产有限公司                                   83,227,635    人民币普通股                   83,227,635
甘肃省瑞鑫源进出口贸易股份有限公司                             55,000,000    人民币普通股                   55,000,000
兰州东岭物资有限责任公司                                  54,025,300    人民币普通股                   54,025,300
光大兴陇信托有限责任公司                                  52,159,612    人民币普通股                   52,159,612
兰州亚太实业(集团)股份有限公司                              45,000,000    人民币普通股                   45,000,000
中铁第一勘察设计院集团有限公司                               43,170,499    人民币普通股                   43,170,499
上海大发房地产集团有限公司                                 40,000,000    人民币普通股                   40,000,000
王浩洁                                           36,410,100    人民币普通股                   36,410,100
华龙证券股份有限公司                                    36,300,000    人民币普通股                   36,300,000
                 上述股东中盛达金属资源股份有限公司为甘肃盛达集团有限公司的控股子公司,甘肃省电力
上述股东关联关系或一致行动的说明 投资集团有限责任公司为甘肃省国有资产投资集团有限公司的全资子公司。本行未知上述其
                 他股东之间是否存在关联关系或是否属于《上市公司收购管理办法》规定的一致行动人。
前 10 名股东参与融资融券业务情况 上述前 10 名股东中,兰州东岭物资有限责任公司通过德邦证券股份有限公司客户信用交易担
说明(如有)             保证券账户持有本行 54,025,300 股股份。
      二、公司优先股股东总数及前 10 名优先股股东持股情况表
      适用  不适用
                  第三节 其他重要事项
  一、重要事项进展情况及其影响和解决方案的分析说明
  报告期内,除已披露的事项外,本行不存在其他重要事项。
  二、实际控制人、股东、关联方、收购人以及本行等承诺相关方在报告期内超期未履行
完毕的承诺事项
  本行不存在实际控制人、收购人。报告期内,本行及本行股东、关联方等承诺相关方不
存在超期未履行完毕的承诺事项。
  三、证券投资情况
  截至报告期末,本行持有的前十大金融债券余额的情况如下表列示:
                                                         单位:人民币千元
  债券名称       面额             票面利率(%)       到期日              减值准备
  债券 1       2,220,000.00          3.12    2031-09-13           476.30
  债券 2       2,060,000.00          3.86    2029-05-20           441.97
  债券 3       1,630,000.00          2.96    2032-07-18           349.20
  债券 4       1,420,000.00          4.65    2028-05-11           299.00
  债券 5       1,360,000.00          2.77    2032-10-24           279.43
  债券 6       1,240,000.00          2.85    2033-07-07           257.39
  债券 7       1,200,000.00          3.74    2030-11-16           250.66
  债券 8       1,030,000.00          3.74    2029-07-12           220.99
  债券 9       1,030,000.00          2.98    2032-04-22           219.96
  债券 10       980,000.00           3.75    2029-01-25           204.08
            第四节   季度财务报表
一、财务报表
详见后附财务报表。
二、2024 年起首次执行新会计准则调整首次执行当年年初财务报表相关项目情况
适用  不适用
三、审计报告
第一季度报告是否经过审计
是  否
                           兰州银行股份有限公司董事会
                       合并及公司资产负债表
编制单位:兰州银行股份有限公司                                                 (除特别注明外,金额单位均为人民币元)
                                   期末余额                                          上期期末余额
        项目              本集团                     本行                    本集团                    本行
资产:
 现金及存放中央银行款项          21,308,505,286.37    21,308,505,286.37       20,845,871,205.60       20,845,871,205.60
 存放同业及其他金融机构款项         7,796,020,036.38     7,596,020,036.38        8,510,123,533.79        8,360,123,533.79
 贵金属
 拆出资金                 35,878,223,181.00    37,307,043,697.38       36,603,425,608.70       38,276,001,194.53
 衍生金融资产
 买入返售金融资产              4,840,169,954.37     4,840,169,954.37        4,037,088,381.41        4,037,088,381.41
 发放贷款和垫款             248,127,268,407.45   248,127,268,407.45      238,067,756,336.30      238,067,756,336.30
 应收融资租赁款               6,287,345,515.81                             6,126,927,670.51
 金融投资:
 交易性金融资产              33,636,407,288.25    33,636,407,288.25       32,979,948,231.43       32,979,948,231.43
 债权投资                 67,531,496,628.62    67,531,496,628.62       69,278,869,410.73       69,278,869,410.73
 其他债权投资               30,520,432,528.59    30,520,432,528.59       29,836,024,044.27       29,836,024,044.27
 其他权益工具投资               535,932,735.37         535,932,735.37        535,932,735.37          535,932,735.37
 长期股权投资                   49,440,348.10        349,440,348.10          49,440,348.10         349,440,348.10
 投资性房地产                   28,793,806.79         28,793,806.79          29,498,472.16           29,498,472.16
 固定资产                  1,040,494,410.78     1,004,289,962.90        1,060,534,594.51        1,023,612,524.25
 在建工程                       341,606.77            341,606.77             341,606.77               341,606.77
 使用权资产                  125,400,861.95         121,271,534.55        114,094,082.05          109,964,754.65
 无形资产                   127,592,671.78         126,795,966.84        137,921,814.22          137,006,394.09
 开发支出
 商誉
 递延所得税资产               3,178,477,407.42     3,088,374,228.75        3,162,279,045.30        3,072,175,866.63
 其他资产                  1,810,437,499.52     1,785,719,893.31        2,034,424,195.31        2,024,899,132.01
资产总计                 462,822,780,175.32   457,908,303,910.79      453,410,501,316.53      448,964,554,172.09
       企业法定代表人:许建平              主管会计工作负责人:蒲五斤                                     会计机构负责人:高雪梅
                  合并及公司资产负债表(续)
编制单位:兰州银行股份有限公司                                               (除特别注明外,金额单位均为人民币)
                                  期末余额                                       上期期末余额
          项目           本集团                     本行                 本集团                   本行
负债:
  向中央银行借款           11,111,531,757.52    11,111,531,757.52     11,439,425,863.21       11,439,425,863.21
  同业及其他金融机构存放款项     14,573,879,979.17    10,626,700,651.14     16,424,872,591.12       13,385,651,457.57
  拆入资金               2,351,196,999.99     2,101,141,166.66      2,603,329,444.45        2,101,511,111.11
  交易性金融负债
  衍生金融负债
  卖出回购金融资产款         33,983,612,003.00    33,983,612,003.00     34,240,383,871.65       34,240,383,871.65
  吸收存款             342,486,938,445.09   342,893,847,608.09    337,347,289,688.15      337,463,927,631.30
  应付职工薪酬                75,238,482.06         55,866,579.40        88,121,922.87           63,884,655.55
  应交税费                 242,472,667.34        229,959,991.39      193,007,663.72          190,405,334.78
  应付债券              21,483,883,024.46    21,483,883,024.46     15,751,754,229.29       15,751,754,229.29
  租赁负债                 103,734,121.03        101,965,852.90        95,125,062.76           93,356,794.63
  预计负债                 255,992,183.92        255,992,183.92      255,992,183.92          255,992,183.92
  递延所得税负债              679,746,706.15        679,127,307.04      548,147,711.89          547,528,312.78
  其他负债               1,272,382,495.83        730,977,356.75     1,141,448,534.31         661,791,212.08
负债合计              428,620,608,865.56    424,254,605,482.27    420,128,898,767.34      416,195,612,657.87
股东权益:
  股本                 5,695,697,168.00     5,695,697,168.00      5,695,697,168.00        5,695,697,168.00
  其他权益工具             4,998,730,566.03     4,998,730,566.03      4,998,730,566.03        4,998,730,566.03
      其中:优先股
       永续债           4,998,730,566.03     4,998,730,566.03      4,998,730,566.03        4,998,730,566.03
  资本公积               5,558,141,637.62     5,558,141,637.62      5,558,141,637.62        5,558,141,637.62
  减:库存股
  其他综合收益             1,155,380,668.89     1,155,380,668.89       794,837,842.04          794,837,842.04
  盈余公积               2,056,639,522.61     2,056,639,522.61      2,056,639,522.61        2,056,639,522.61
  一般风险准备             5,857,760,258.50     5,856,500,046.32      5,857,760,258.50        5,856,500,046.32
  未分配利润              8,540,526,430.70     8,332,608,819.05      7,994,825,235.49        7,808,394,731.60
归属于上市公司股东权益合计       33,862,876,252.35    33,653,698,428.52     32,956,632,230.29       32,768,941,514.22
少数股东权益                 339,295,057.41                            324,970,318.90
股东权益合计              34,202,171,309.76    33,653,698,428.52     33,281,602,549.19       32,768,941,514.22
负债和股东权益总计          462,822,780,175.32   457,908,303,910.79    453,410,501,316.53      448,964,554,172.09
  企业法定代表人:许建平                主管会计工作负责人:蒲五斤                                     会计机构负责人:高雪梅
                              合并及公司利润表
编制单位:兰州银行股份有限公司                                                              (除特别注明外,金额单位均为人民币元)
               项目                      本集团                     本行                 本集团                   本行
一、营业收入                              1,972,917,652.61    1,917,034,836.98       1,999,545,918.93   1,937,853,473.12
 利息净收入                              1,656,764,399.75    1,605,499,403.37       1,468,378,375.92   1,418,261,709.69
    利息收入                            4,481,348,251.26    4,399,054,413.31       4,546,785,480.51   4,471,434,097.56
    利息支出                            2,824,583,851.51    2,793,555,009.94       3,078,407,104.59   3,053,172,387.87
 手续费及佣金净收入                            95,638,957.00       91,021,137.75         123,430,149.30     111,972,248.98
    手续费及佣金收入                         119,795,902.84      115,125,232.36         157,328,413.85     145,868,210.89
    手续费及佣金支出                          24,156,945.84       24,104,094.61          33,898,264.55      33,895,961.91
    其他收益                                   948,061.49          948,061.49          1,071,322.57          953,443.31
    投资收益(损失以“-”号填列)                  254,791,772.65      254,791,772.65         383,101,730.54     383,101,730.54
     其中:对联营企业和合营企业的投资收益                                                           -2,126,613.78      -2,126,613.78
         以摊余成本计量的金融资产终止确认收益
    汇兑收益(损失以“-”号填列)                         33,799.62           33,799.62           423,779.43           423,779.43
    净敞口套期收益(损失以“-”号填列)
    公允价值变动收益(损失以“-”号填列)               -45,161,477.07      -45,161,477.07         21,018,885.80      21,018,885.80
    其他业务收入                              1,295,785.16          1,295,785.16         1,028,056.30         1,028,056.30
    资产处置收益(损失以“-”号填列)                   8,606,354.01          8,606,354.01         1,093,619.07         1,093,619.07
二、营业支出                              1,352,095,218.72    1,338,344,024.00       1,375,809,988.26   1,355,635,979.85
    税金及附加                             26,567,814.62       25,998,013.62          32,070,198.28      31,979,816.78
    业务及管理费                           589,662,423.95      576,481,030.23         628,966,666.68     616,383,039.77
    信用减值损失                           735,250,185.18      735,250,185.18         714,125,182.20     706,625,182.20
    其他资产减值损失
    其他业务成本                                 614,794.97          614,794.97           647,941.10           647,941.10
三、营业利润(亏损以“-”号填列)                    620,822,433.89      578,690,812.98         623,735,930.67     582,217,493.27
    加: 营业外收入                            1,348,045.32          1,348,046.32         3,198,175.43         3,198,175.43
    减: 营业外支出                               380,749.84          380,712.79           799,785.85           798,875.85
四、利润总额(亏损总额以“-”号填列)                  621,789,729.37      579,658,145.51         626,134,320.25     584,616,792.85
    减: 所得税费用                          61,763,795.65       55,444,058.06          71,107,479.07      64,879,849.96
                                                                                                             ,616
五、净利润(净亏损以“-”号填列)                    560,025,933.72      524,214,087.45         555,026,841.18     519,736,942.89
 其中:同一控制下企业合并被合并方在合并前实现的净利润
 (一)按经营持续性分类
   持续经营净利润(净亏损以“-”号填列)               560,025,933.72      524,214,087.45         555,026,841.18     519,736,942.89
   终止经营净利润(净亏损以“-”号填列)
 (二)按所有权归属分类
   归属于母公司所有者的净利润(净亏损以“-”号填列)         545,701,195.21      524,214,087.45         540,910,881.86     519,736,942.89
   少数股东损益(净亏损以“-”号填列)                 14,324,738.51                              14,115,959.32
  企业法定代表人:许建平                  主管会计工作负责人:蒲五斤                                       会计机构负责人:高雪梅
                          合并及公司利润表(续)
编制单位:兰州银行股份有限公司                                                          (除特别注明外,金额单位均为人民币元)
                 项目                      本集团                  本行               本集团                   本行
六、其他综合收益的税后净额                        360,542,826.85     360,542,826.85        -9,678,561.79     -9,678,561.79
 归属于母公司所有者的其他综合收益的税后净额               360,542,826.85     360,542,826.85        -9,678,561.79     -9,678,561.79
 (一)不能重分类进损益的其他综合收益
 (二)将重分类进损益的其他综合收益                   360,542,826.85     360,542,826.85        -9,678,561.79     -9,678,561.79
 归属于少数股东的其他综合收益的税后净额
七、综合收益总额                             920,568,760.57     884,756,914.30       545,348,279.39    510,058,381.10
 归属于母公司所有者的综合收益总额                    906,244,022.06     884,756,914.30       531,232,320.07    510,058,381.10
 归属于少数股东的综合收益总额                       14,324,738.51                           14,115,959.32
八、每股收益:
 (一)基本每股收益                                    0.0853                                0.0844
 (二)稀释每股收益
 企业法定代表人:许建平                  主管会计工作负责人:蒲五斤                                    会计机构负责人:高雪梅
                              合并及公司现金流量表
编制单位:兰州银行股份有限公司                                                              (除特别注明外,金额单位均为人民币元)
               项 目                 本集团                       本行                本集团                        本行
一、经营活动产生的现金流量:
  客户存款和同业存放款项净增加额                 9,671,416,338.7       9,090,821,725.21     20,632,078,752.64         20,541,224,084.47
  客户贷款及垫款净减少额
  融资租赁资产净减少额
  向中央银行借款净增加额                                                                  572,865,229.11            572,865,229.11
  存放中央银行和同业款项净减少额                 402,254,234.96            407,854,234.96     182,449,770.02            182,449,770.02
  拆入资金净增加额                                                                     150,000,000.00            500,000,000.00
  拆出资金净减少额                        769,134,166.66            990,000,000.00
  卖出回购金融资产净增加额                                                                1,803,566,756.91          1,803,566,756.91
  买入返售金融资产净减少额
  为交易目的持有的金融资产净减少额
  为交易目的持有的金融负债净增加额
  收取利息、手续费及佣金的现金                 4,427,497,845.55       4,354,736,101.42      4,383,910,404.83          4,400,068,779.23
  收到其他与经营活动有关的现金                  335,071,354.48            300,765,056.03     241,935,809.64            203,992,327.27
经营活动现金流入小计                      15,605,373,940.35      15,144,177,117.62     27,966,806,723.15         28,204,166,947.01
  客户存款和同业存放款项净减少额
  客户贷款及垫款净增加额                   10,675,369,716.59      10,675,369,716.59      4,073,674,294.59          4,073,674,294.59
  融资租赁资产净增加额                      136,100,310.84                                37,345,126.63
  向中央银行借款净减少额                     327,894,105.69            327,894,105.69
  存放中央银行和同业款项净增加额
  拆入资金净减少额                        250,000,000.00
  拆出资金净增加额                                                                    4,830,000,000.00          5,080,000,000.00
  卖出回购金融资产净减少额                    248,540,743.77            248,540,743.77
  买入返售金融资产净增加额                    803,249,093.21            803,249,093.21    6,220,814,447.50          6,220,814,447.50
  为交易目的持有的金融资产净增加额                314,826,546.90            314,826,546.90    4,925,475,692.90          4,925,475,692.90
  为交易目的持有的金融负债净减少额                                                             161,673,040.00            161,673,040.00
  支付利息、手续费及佣金的现金                 3,417,005,713.23       3,396,268,514.62      3,674,484,307.00          3,677,840,494.40
  支付给职工以及为职工支付的现金                 463,321,246.45            452,289,848.40     523,371,462.20            510,476,336.37
  支付的各项税费                         253,370,155.20            243,092,599.98     312,766,904.79            299,081,283.21
  支付其他与经营活动有关的现金                  109,237,433.20            106,187,073.19      77,418,054.34             75,352,831.20
经营活动现金流出小计                      16,998,915,065.08      16,567,718,242.35     24,837,023,329.95         25,024,388,420.17
经营活动产生的现金流量净额                   -1,393,541,124.73       -1,423,541,124.73     3,129,783,393.20          3,179,778,526.84
二、投资活动产生的现金流量:
  收回投资所收到的现金                     3,983,355,907.85       3,983,355,907.85      3,174,667,271.84          3,174,667,271.84
  取得投资收益收到的现金                        6,546,718.72             6,546,718.72      19,400,218.28             19,400,218.28
  处置固定资产、无形资产和其他长期资产收回的现金净额       106,541,922.52            106,541,922.52        1,093,619.07              1,093,619.07
  处置子公司及其他营业单位收到的现金净额
  收到其他与投资活动有关的现金
投资活动现金流入小计                       4,096,444,549.09       4,096,444,549.09      3,195,161,109.19          3,195,161,109.19
  购建固定资产、无形资产和其他长期资产支付的现金            1,491,961.15             1,491,961.15      19,560,546.59             19,555,680.23
  投资支付的现金                        2,560,000,000.00       2,560,000,000.00      8,204,000,000.00          8,204,000,000.00
  取得子公司及其他营业单位支付的现金净额
  支付其他与投资活动有关的现金
投资活动现金流出小计                       2,561,491,961.15       2,561,491,961.15      8,223,560,546.59          8,223,555,680.23
投资活动产生的现金流量净额                    1,534,952,587.94       1,534,952,587.94     -5,028,399,437.40         -5,028,394,571.04
三、筹资活动产生的现金流量:
  吸收投资收到的现金
  其中:子公司吸收少数股东投资收到的现金
  发行债券及其他权益工具收到的现金
  收到其他与筹资活动有关的现金
筹资活动现金流入小计
  偿还债务支付的现金
  分配股利、利润或偿付利息支付的现金                    43,868.95                 43,868.95         224,086.40                224,086.40
  其中:子公司支付给少数股东的股利、利润
  支付其他与筹资活动有关的现金                   12,893,652.48             12,893,652.48      13,535,204.11             13,535,204.11
筹资活动现金流出小计                         12,937,521.43             12,937,521.43      13,759,290.51             13,759,290.51
筹资活动产生的现金流量净额                      -12,937,521.43           -12,937,521.43      -13,759,290.51            -13,759,290.51
四、汇率变动对现金及现金等价物的影响                     -33,799.62               -33,799.62          -40,227.78                -40,227.78
五、现金及现金等价物净增加额                    128,440,142.16             98,440,142.16   -1,912,415,562.49         -1,862,415,562.49
  加:期初现金及现金等价物余额                 5,654,277,052.76       5,504,277,052.76      8,297,214,676.37          8,097,214,676.35
六、期末现金及现金等价物余额                   5,782,717,194.92       5,602,717,194.92      6,384,799,113.88          6,234,799,113.86
 企业法定代表人:许建平                  主管会计工作负责人:蒲五斤                                      会计机构负责人:高雪梅

证券之星资讯

2024-05-07

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