share_log

中信証券:2024年年度業績公告

CITIC SEC: 2024 ANNUAL RESULTS ANNOUNCEMENT

HKEX ·  Mar 26 13:41

Summary by Moomoo AI

中信證券公佈2024年度經審核業績,營業收入達637.89億元人民幣,同比增長6.20%;股東應佔淨利潤217.04億元人民幣,同比增長10.06%。公司總資產規模達1.71萬億元人民幣,同比增長17.71%。董事會建議派發末期股息每股0.28元人民幣,全年股息合計每股0.52元人民幣。公司持續完善三級風險管理體系,包括董事會風險管理委員會、執行管理層專業委員會及部門業務線層面控制。風險管理措施涵蓋全面的風險限額管理系統,由風險管理部門進行獨立監控,並定期進行風險評估及報告。在金融風險管理方面,採用VaR模型監控市場風險,債券總敞口為4,629.9億元人民幣。報告期後,公司積極開展融資活動,於...展開全部
中信證券公佈2024年度經審核業績,營業收入達637.89億元人民幣,同比增長6.20%;股東應佔淨利潤217.04億元人民幣,同比增長10.06%。公司總資產規模達1.71萬億元人民幣,同比增長17.71%。董事會建議派發末期股息每股0.28元人民幣,全年股息合計每股0.52元人民幣。公司持續完善三級風險管理體系,包括董事會風險管理委員會、執行管理層專業委員會及部門業務線層面控制。風險管理措施涵蓋全面的風險限額管理系統,由風險管理部門進行獨立監控,並定期進行風險評估及報告。在金融風險管理方面,採用VaR模型監控市場風險,債券總敞口為4,629.9億元人民幣。報告期後,公司積極開展融資活動,於2025年1月至3月期間發行短期公司債券50億元人民幣、公司債券20億元人民幣及永續次級債券30億元人民幣。在國際業務方面,通過海外子公司完成多筆中期票據發行,總額達7.626億美元及2.5億港元。公司戰略重點包括加強風險管理能力、推進國際業務發展、促進數字化轉型,並維持行業領先地位。
CITIC announced its audited performance for the year 2024, with revenue reaching 63.789 billion yuan, a year-on-year increase of 6.20%; the net profit attributable to shareholders was 21.704 billion yuan, a year-on-year increase of 10.06%. The company's total asset size reached 1.71 trillion yuan, a year-on-year increase of 17.71%. The Board of Directors recommended a final dividend of 0.28 yuan per share, with a total annual dividend of 0.52 yuan per share.The company continues to improve its three-tier risk management system, which includes the Board of Directors' Risk Management Committee, the Executive Management Professional Committee, and departmental business line controls. The risk management measures encompass a comprehensive risk limit management system, independently monitored by the risk management department, and regular...Show More
CITIC announced its audited performance for the year 2024, with revenue reaching 63.789 billion yuan, a year-on-year increase of 6.20%; the net profit attributable to shareholders was 21.704 billion yuan, a year-on-year increase of 10.06%. The company's total asset size reached 1.71 trillion yuan, a year-on-year increase of 17.71%. The Board of Directors recommended a final dividend of 0.28 yuan per share, with a total annual dividend of 0.52 yuan per share.The company continues to improve its three-tier risk management system, which includes the Board of Directors' Risk Management Committee, the Executive Management Professional Committee, and departmental business line controls. The risk management measures encompass a comprehensive risk limit management system, independently monitored by the risk management department, and regular risk assessments and reports are conducted. In terms of financial risk management, a VaR model is used to monitor market risks, with total bond exposure amounting to 462.99 billion yuan.After the reporting period, the company actively engaged in financing activities, issuing short-term corporate bonds of 5 billion yuan, corporate bonds of 2 billion yuan, and perpetual subordinated bonds of 3 billion yuan between January and March 2025. In terms of international business, several medium-term note issuances were completed through overseas subsidiaries, totaling 0.7626 billion USD and 0.25 billion HKD. The company's strategic priorities include strengthening risk management capabilities, advancing international business development, promoting digital transformation, and maintaining its leading position in the industry.
Disclaimer: This content is for informational and educational purposes only and does not constitute a recommendation or endorsement of any specific investment or investment strategy. Read more
Comment Comment · Views 370

Recommended

Statement

This page is machine-translated. Moomoo tries to improve but does not guarantee the accuracy and reliability of the translation, and will not be liable for any loss or damage caused by any inaccuracy or omission of the translation.