瑞信:匯控(0005.HK)次季業績低於預期 予“遜於大市”評級
瑞信發表研究報告指,匯控(0005.HK)第二季度業績遜預期,包括淨利息收入、收費收入及信貸損失準備,其純利較市場預期低73%,而集團將全年信貸損失準備指引由70-110億美元,調高至80億至130億美元,將帶來不明朗因素,該行予其“遜於大市”投資評級。
瑞信表示,匯控業績遜預期主要由於營運支出和撥備增加。運營支出86.75億美元中包含一筆14.13億美元的一次性費用,主要包括非圍欄歐洲業務的資本化軟件減值。不過,該行認為其資本表現不錯,一級核心資本充足率為15%,較市場預期增加60個基點。

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