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2007 - Main indicators and ratios

2007 - Main indicators and ratios

The main performance indicators and ratios in the table below were calculated including the amounts related to the branches sold in 2007 (61 branches sold to Banca Popolare di Vicenza and 15 branches sold to Banca Popolare Pugliese).


 


UBI Banca Group - Profit Indicators

31/12/2007

30/09/2007

30/06/2007

      31/03/2007


Normalised ROE - net of merger differences (annualized)

                  11.6%

                  14.2%                 15.2%        10.8%

ROA

                    0.8%                    0.7%                   0.7%

              0.6%


Cost/income ratio net of non recurring items and excluding PPA effects

56.1%

     55.5%

    55.1%

             55.8%


UBI Banca Group - Capital Ratios

31/12/2007

30/09/2007

30/06/2007

      31/03/2007


Core capital/total weighted assets (tier1)

7.4%

6.8%

6.7%

              ~7%


Supervisory capital/total weighted assets
(total capital ratio)

10.2%

~10%

  >10%

      >10%


UBI Banca Group - Risk Ratios

31/12/2007

30/09/2007

30/06/2007

      31/03/2007


Net bad loans ("sofferenze")/net loans to costumers

0.75%

0.74%

0.70%

        0.70%


Net non performing/net loans to costumers

0.75%

  0.74%

    0.70%

       0.70%


UBI Banca Schemes