600015 华夏银行
2026/06 - 中期2025/122024/122023/122022/12

盈利能力分析
净资产收益率 ROE (%)2.3537.1798.1338.2518.092
总资产报酬率 ROA (%)0.1880.5740.6320.6200.642
投入资产回报率 ROIC (%)0.1930.6440.6950.6490.664

基本指标
净利差率 (%)1.6201.6301.6101.7702.070
资本充足率 (%)12.36013.16013.44012.23013.270
核心资本充足率 (%)8.8409.3809.7709.1609.240
流动性比率 (人民币) (%)74.43085.21081.87068.72065.490
流动性比率(外币) (%)139.470164.280175.340162.920303.330
成本收入比率 (%)25.22030.61029.80031.37030.130

贷款及存款指针
存贷比率(人民币) (%)--90.60092.170--93.810
存贷比率(本外币) (%)--89.79091.610----
不良贷款比例 (%)1.5001.5501.6001.6701.750
拨备覆盖率 (%)144.800143.300161.890160.060159.880