分类
季度财务报告

年度 -2023 季度 – 2

(单位为100万蒙图)

资产负债 31/12/2022 30/06/2023
1 资产
1.1 现金及现金等价

                   483,493

                   225,711

1.2 存放于银行及其他金融机构款项

                     69,136

                     62,780

1.3 金融投

                     12,279

                     37,151

1.4 发放贷款(净值)

                   556,701

                   583,776

1.4.1 正常贷款

                   497,794

                   529,894

1.4.2 不良贷款

                      77,125

                      74,564

1.4.3 应收还款

                         (140)

                         (152)

1.4.4 应收利息

                      11,399

                      13,899

1.4.5 贷款损失准备金

                    (29,477)

                    (34,429)

1.5 衍生金融工具资产

                        3,813

                        1,197

1.6 其他金融资产

                           694

                           558

1.7 其他非金融资产

                        3,274

                     16,000

1.8 固定资产

                     22,125

                     21,710

1.9 待售资产

                              –  

                     14,184

1.10 无形资产

                     10,486

                     12,306

1.11 资产合计

                1,162,001

                   975,373

2 负债
2.1 往来账户

                   120,912

                      70,651

2.2 客户存款

                   400,133

                   422,334

2.3 银行及其他金融机构存放款项

                   404,291

                   233,108

2.4 其他吸收款项

                      20,560

                      21,290

2.5 衍生金融工具负债

                        5,840

                           662

2.6 其他负债

                      24,042

                      38,155

2.7 负债合计

                   975,778

                   786,200

3 东权
3.1 股本

                   146,474

                   146,474

3.2 资本公积

                      15,647

                      15,647

3.3 库存股

                      (7,032)

                      (7,032)

3.4 重估盈余

                              –

                              –

3.5 留存收益/损失/

                      30,030

                      34,026

3.6 其他权益工具

                        1,104

                             58

4 东权益合计

                   186,223

                   189,173

5 负债及股东权益总计

                1,162,001

                   975,373

 

(单位为100万蒙图)

31/12/2022 30/06/2023
1 利息收入

                     84,938

                     54,870

1.1 来自蒙古央行

                           415

                        1,604

1.2 来自其他银行和金融机构

                        2,582

                        1,666

1.3 证券收益

                        4,372

                        3,806

1.4 贷款收入

                      72,480

                      43,705

1.5 其他利息收入

                        5,089

                        4,089

2 利息支出

                     45,956

                     36,426

2.1 往来账户利息支出

                              –

                           943

2.2 存款账户利息支出

                      37,816

                      28,164

2.3 借入资金利息支出

                        2,378

                        1,027

2.4 证券利息支出

                        1,711

                           768

2.5 其他利息支出

                        4,051

                        5,524

3 利息净收入 (1-2)

                     38,982

                     18,444

4 拨备支出 (буцаалтын орлого)

                        9,190

                        4,992

4.1 在其他银行和金融机构的存款

                           768

                              –

4.2 证券

                             69

                              –

4.3 贷款

                        8,353

                        4,992

5 拨备后的净利息收入 [(3)-(4)]

                     29,792

                     13,452

6 其他收入

                     31,544

                     16,955

6.1 非利息收入

                     31,100

                     16,867

6.1.1 交易收入

                      19,213

                        8,252

6.1.2 汇兑及重估调整费用

                      10,497

                        7,929

6.1.3 手续费及佣金收入

                        1,390

                           641

6.1.4 其他非利息收入

                              –

                             45

6.2 其他收入

                           444

                             88

7 其他支出

                     47,704

                     27,248

7.1 非利息支出

                     47,157

                     27,088

7.1.1 其他拨备支出

                             58

                           230

7.1.2 交易支出

                      15,191

                        7,190

7.1.3 汇兑及重估调整费用

                        9,376

                        6,048

7.1.4 手续费及佣金支出

                        1,150

                           737

7.1.5 其他业务支出

                      21,382

                      12,883

7.2 其他支出

                           547

                           160

8 税前利 (5+6-7)

                     13,632

                        3,159

9 所得税费用

                        2,944

                           267

10 税后利 (8-9)

                     10,688

                        2,892

11 其他综合收

                           (76)

                              –

12 本期综合收益总额  

                     10,612

                        2,892

 

(单位为100万蒙图)

资产负债表 31/12/2022 30/06/2023
承付款项与或有负债(净)

                      11,078

                      12,164

 

 

审慎比率指标 适当比率 30/06/2023
一级权益与风险加权资产的适当比率

≥ 9%

26.0%

股东权益与风险加权资产的比率

≥ 12%

26.0%

流动性比率

≥ 25%

29.8%

外汇未平仓头寸与股东权益的比率/单位货币/

< ±15%

5.2%

外汇未平仓头寸与股东权益的比率/总计/

< ±30%

10.9%

 

(单位为100万蒙图)

银行关联方
(利害关系人)
资产形 占股东权益比
1 发放给一名银行关联方(利害关系人)的贷款以及等价于贷款的其他形式资产(不高于股东权益的5%

3.2%

1.1 银行股东

                                 –

                              –

0.0%

1.2 银行高管

                                 –

                              –

0.0%

1.3 其他银行关联方 贷款

                       6,143

3.2%

2 发放给所有银行关联方(利害关系人)贷款以及等价于贷款的其他形式资产(不高于股东权益的20%

13.9%

2.1 银行股东 贷款

                           100

0.1%

2.2 银行高管 贷款

                       426

0.2%

2.3 其他银行关联方 贷款

                     25,702

13.6%