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Last update on 26/10/2021 14:37:46

   
 

 

Main indicators and ratios

 

 


UBI Banca Group - Profit indicators

                                  31/12/2010              30/09/2010             30/06/2010             31/03/2010


Normalised ROE - net of merger differences (annualized)2.6%3.2%2.9%3.0%

ROA0.13%0.20%0.15%0.12%

Cost/income ratio excluding PPA effects

67.3%67.2%69.4%68.8%

 

UBI Banca Group - Capital ratios

                                  31/12/2010                                             30/06/2010                          


Core Tier 16.95%7.34%

Tier 17.47%7.86%

Total capital ratio11.17%11.86%

 

UBI Banca Group - Risk Ratios

                                  31/12/2010              30/09/2010               30/06/2010             31/03/2010


Net bad loans ("sofferenze")/net loans to customers1.91%1.75%1.62%1.53%

 

UBI Banca Schemes