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中信金融資產:盈利預告

CITIC FAMC: PROFIT ALERT

HKEX ·  Jan 16 12:39

Summary by Moomoo AI

根據初步核算數據,中國中信金融資產管理股份有限公司2024年度歸屬於股東的淨利潤預計達人民幣90億元至100億元,較2023年度的人民幣17.66億元同比大幅增長410%至466%。業績增長主要得益於公司加快主業轉型升級,優化資產結構和行業佈局,同時受益於資本市場全面回暖,資產回報穩步增長。公司深化全面風險管理體系建設,紮實推進風險處置化解,資產質量大幅改善,風險抵禦能力顯著增強。展望2025年,集團將堅定不移推進「一三五」戰略,緊抓不良資產行業發展機遇,聚焦主責主業,提高主業能力,提升發展質效,依託中信集團產融並舉優勢,積極參與風險化解,打造中信特色協同風險化解品牌。
根據初步核算數據,中國中信金融資產管理股份有限公司2024年度歸屬於股東的淨利潤預計達人民幣90億元至100億元,較2023年度的人民幣17.66億元同比大幅增長410%至466%。業績增長主要得益於公司加快主業轉型升級,優化資產結構和行業佈局,同時受益於資本市場全面回暖,資產回報穩步增長。公司深化全面風險管理體系建設,紮實推進風險處置化解,資產質量大幅改善,風險抵禦能力顯著增強。展望2025年,集團將堅定不移推進「一三五」戰略,緊抓不良資產行業發展機遇,聚焦主責主業,提高主業能力,提升發展質效,依託中信集團產融並舉優勢,積極參與風險化解,打造中信特色協同風險化解品牌。
According to preliminary accounting data, China CITIC Financial Asset Management Co., Ltd. is expected to achieve a net profit attributable to Shareholders of 9 billion to 10 billion RMB in 2024, which represents a significant year-on-year increase of 410% to 466% compared to 1.766 billion RMB in 2023. The growth in performance is mainly attributed to the company's acceleration in the transformation and upgrading of its core businesses, optimization of asset structure, and industry layout, while also benefiting from a comprehensive recovery in the Capital Markets, leading to steady growth in asset returns.The company deepens the construction of its comprehensive risk management system, steadily promotes risk resolution, significantly improves asset quality, and enhances its risk resistance capability. Looking ahead to 2025, the group will...Show More
According to preliminary accounting data, China CITIC Financial Asset Management Co., Ltd. is expected to achieve a net profit attributable to Shareholders of 9 billion to 10 billion RMB in 2024, which represents a significant year-on-year increase of 410% to 466% compared to 1.766 billion RMB in 2023. The growth in performance is mainly attributed to the company's acceleration in the transformation and upgrading of its core businesses, optimization of asset structure, and industry layout, while also benefiting from a comprehensive recovery in the Capital Markets, leading to steady growth in asset returns.The company deepens the construction of its comprehensive risk management system, steadily promotes risk resolution, significantly improves asset quality, and enhances its risk resistance capability. Looking ahead to 2025, the group will unwaveringly promote the "135" strategy, seize opportunities in the development of non-performing assets, focus on core responsibilities, enhance main business capabilities, improve development quality and efficiency, rely on the advantages of CITIC Group's integration of finance and industry, actively participate in risk resolution, and create a distinctive CITIC collaborative risk resolution brand.
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
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