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单位:万元
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a
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b
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c
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d
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e
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2025/3/31
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2024/12/31
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2024/9/30
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2024/6/30
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2024/3/31
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| 可用资本(数额)
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| 1
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核心一级资本净额
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1,671,164
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1,594,713
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1,534,244
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1,470,748
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1,408,263
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| 2
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一级资本净额
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1,671,164
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1,594,713
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1,534,244
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1,470,748
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1,408,263
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| 3
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资本净额
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1,830,265
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1,743,238
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1,678,295
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1,612,906
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1,546,355
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| 风险加权资产(数额)
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| 4
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风险加权资产合计
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13,759,839
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12,903,197
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12,348,018
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12,194,653
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11,865,312
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| 4a
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风险加权资产合计(应用资本底线前)
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13,759,839
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12,903,197
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12,348,018
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12,194,653
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11,865,312
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| 资本充足率
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| 5
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核心一级资本充足率(%)
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12.15%
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12.36%
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12.43%
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12.06%
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11.87%
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| 5a
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核心一级资本充足率(%)(应用资本底线前)
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12.15%
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12.36%
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12.43%
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12.06%
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11.87%
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| 6
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一级资本充足率(%)
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12.15%
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12.36%
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12.43%
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12.06%
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11.87%
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| 6a
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一级资本充足率(%)(应用资本底线前)
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12.15%
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12.36%
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12.43%
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12.06%
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11.87%
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| 7
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资本充足率(%)
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13.30%
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13.51%
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13.59%
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13.23%
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13.03%
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| 7a
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资本充足率(%)(应用资本底线前)
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13.30%
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13.51%
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13.59%
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13.23%
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13.03%
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| 其他各级资本要求
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| 8
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储备资本要求(%)
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2.50%
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2.50%
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2.50%
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2.50%
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2.50%
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| 9
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逆周期资本要求(%)
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| 10
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全球系统重要性银行或国内系统重要性银行附加资本要求(%)
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| 11
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其他各级资本要求(%)(8+9+10)
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2.50%
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2.50%
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2.50%
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2.50%
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2.50%
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| 12
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满足最低资本要求后的可用核心一级资本净额占风险加权资产的比例(%)
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7.15%
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7.36%
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7.43%
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7.06%
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6.87%
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| 杠杆率
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| 13
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调整后表内外资产余额
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14,265,159
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13,640,209
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12,908,283
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12,938,005
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12,497,737
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| 14
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杠杆率(%)
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11.72%
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11.69%
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11.89%
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11.37%
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11.27%
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| 14a
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杠杆率a(%)
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11.72%
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11.69%
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11.89%
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11.37%
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11.27%
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| 14b
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杠杆率b(%)
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11.72%
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11.69%
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11.89%
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11.37%
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11.27%
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| 14c
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杠杆率c(%)
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11.72%
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11.69%
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11.89%
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11.37%
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11.27%
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| 流动性覆盖率
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| 15
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合格优质流动性资产
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281,221
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676,701
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209,995
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444,662
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388,325
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| 16
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现金净流出量
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629,463
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802,646
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1,266,493
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926,323
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621,510
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| 17
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流动性覆盖率(%)
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44.68%
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84.31%
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16.58%
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48.00%
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62.48%
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| 净稳定资金比例
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| 18
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可用稳定资金合计
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| 19
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所需稳定资金合计
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| 20
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净稳定资金比例(%)
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