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首页 公告 苏州银行:2025年三季度报告

苏州银行:2025年三季度报告

公告日期:2025-10-31


证券代码:002966          证券简称:苏州银行          公告编号:2025-081

          苏州银行股份有限公司 2025 年第三季度报告

    本行及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记载、误导性陈述或重大遗漏。

    重要内容提示:

    一、苏州银行股份有限公司(以下简称“本行”)董事会、监事会及董事、监事、高级管理人员保证季度报告的真实、准确、完整,不存在虚假记载、误导性陈述或重大遗漏,并承担个别和连带的法律责任。

    二、本行于 2025 年 10 月 29 日召开第五届董事会第二十九次会议,会议应出席董事 12 名,实际出席董事 12 名,审议
通过了《苏州银行股份有限公司 2025 年第三季度报告》。

    三、本行董事长崔庆军先生、行长王强先生、财务部门负责人徐峰先生声明:保证季度报告中财务信息的真实、准确、完整。

    四、第三季度财务会计报告未经会计师事务所审计。

    五、本报告中“本行”指苏州银行股份有限公司;“本集团”指苏州银行股份有限公司及控股子公司。
一、主要财务数据

    公司是否需追溯调整或重述以前年度会计数据

    □ 是 √ 否

(一)主要会计数据和财务指标

                                                                                          单位:人民币千元

                                  本报告期          本报告期比      年初至报告期末    年初至报告期末比

            项目

                                  (7-9 月)          上年同期增减        (1-9 月)        上年同期增减

营业收入                              2,973,541              2.49%          9,477,267              2.02%

归属于上市公司股东的净利润            1,342,724              9.45%          4,477,086              7.12%

归属于上市公司股东的扣除非经

常性损益的净利润                      1,347,096              9.91%          4,447,320              7.27%

经营活动产生的现金流量净额                  —                —          28,071,464            15.98%

基本每股收益(元/股)                      0.30            -9.09%              0.96            -11.11%

稀释每股收益(元/股)                      0.30              3.45%              0.95              2.15%

加权平均净资产收益率(%)                  2.28  下降 0.66 个百分点              9.02  下降 0.62 个百分点

扣除非经常性损益后的加权平均                      下降 0.65 个百分点                      下降 0.61 个百分点
净资产收益率(%)                          2.29                                  8.95


                                                                                      本报告期末比

            项目                    本报告期末                上年度末

                                                                                      上年度末增减

总资产                                      776,039,980                693,714,073                  11.87%

归属于上市公司股东的净资产                  59,153,099                52,911,051                  11.80%

    注:每股收益和加权平均净资产收益率根据《公开发行证券的公司信息披露编报规则第 9 号——净资产收益率和每股
收益的计算及披露》(2010 年修订)计算。
截至披露前一交易日的公司总股本:

截至披露前一交易日的公司总股本(股)                                                          4,470,662,011

用最新股本计算的全面摊薄每股收益

支付的永续债利息(元)                                                                        233,100,000

用最新股本计算的全面摊薄每股收益(元/股)                                                            0.95

补充披露

                                                                                          单位:人民币千元

              规模指标                    2025 年 9 月 30 日      2024 年 12 月 31 日    本报告期末比上年末
                                                                                              增减

发放贷款和垫款                                      356,224,443            320,502,301              11.15%

公司贷款和垫款                                      281,821,331            241,482,801              16.70%

个人贷款和垫款                                      86,730,948              91,875,740              -5.60%

加:应计利息                                          466,688                459,300                1.61%

减:以摊余成本计量的发放贷款和垫款减值

准备                                                12,794,524              13,315,540              -3.91%

吸收存款                                            482,422,584            427,396,838              12.87%

公司存款                                            215,480,659            193,551,398              11.33%

个人存款                                            256,033,872            223,413,333              14.60%

加:应计利息                                        10,908,053              10,432,107                4.56%

    注:根据财政部颁布的《关于修订印发 2018 年度金融企业财务报表格式的通知》 (财会[2018]36 号)要求,基于实际利
率法计提的利息计入发放贷款和垫款及吸收存款。
(二)非经常性损益项目和金额

                                                                                          单位:人民币千元

                        项目                                2025 年 7-9 月              2025 年 1-9 月

资产处置损益                                                                  -                      267

与资产相关的政府补助                                                        288                      863

与收益相关的政府补助                                                        142                    39,188


捐赠及赞助费                                                              -2,066                    -4,646

除上述各项之外的其他营业外收入和支出                                      -4,604                      5,427

非经常性损益合计                                                          -6,240                    41,099

所得税影响额                                                              1,631                    -10,122

减:少数股东权益影响额(税后)                                              -237                      1,211

非经常性损益净额                                                          -4,372                    29,766

    注:本集团对非经常性损益项目的确认是根据《公开发行证券的公司信息披露解释性公告第 1 号——非经常性损益(202