-- 澳大利亚国民银行(ASX:NAB)周一向澳大利亚证券交易所提交的文件显示,由于提振拨备以反映中东冲突带来的风险,预计上半年将计提7.06亿澳元的信贷减值准备。 该行还计划对上半年的股息再投资计划进行折价和部分承销,并已调整其软件资本化政策,以适应快速技术变革的环境。 该行表示,前瞻性集体拨备净增加3亿澳元,其中包括与经济调整相关的1.52亿澳元增加、为应对可能受燃料供应和成本问题影响的行业潜在压力而增加的2.01亿澳元前瞻性调整,以及5300万澳元的前瞻性调整释放。 截至3月,该公司集体拨备与信用风险加权资产的比率预计为1.35%,高于2025年12月的1.31%,预计相关拨备费用为4.06亿澳元。 该公司表示,由于第二财季利率波动和新西兰元走弱,加上拨备增加,截至3月31日,该行的普通股一级资本充足率下降了约20个基点。该行预计,计入股息再投资计划1.5%的折扣后,其备考集团普通股一级资本充足率将超过12%。 该行表示,旨在加强资本状况和资产负债表的各项举措预计将在下半年筹集至多18亿澳元,并使普通股一级资本充足率提高至多约40个基点。 澳大利亚国民银行将于 5 月 4 日公布半年业绩,并确认 2026 财年现金运营支出增长预期将低于 4.6%。
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