法国巴黎银行(BNP Paribas)提出利润目标,推动回购,并针对最近的股票下跌和监管问题提高资本和回报率。
BNP Paribas raises profit goals, boosts buybacks, and targets higher capital and returns amid recent stock dip and regulatory issues.
BNP Paribas提高了盈利目标,启动了1.15亿欧元股票回购,目标是到2027年达到13%的共同股权1级资本比率,比2025年Q3的12.5%有所上升。
BNP Paribas has raised its profitability targets, launching a 1.15 billion-euro share buyback and aiming for a 13% common equity Tier 1 capital ratio by 2027, up from 12.5% in Q3 2025.
银行计划每年将风险加权资产增加2%,到2028年将成本与收入之比降低至58%,到2028年将有形资产回报率提高到13%。
The bank plans to grow risk-weighted assets by 2% annually, reduce costs to a 58% cost-to-income ratio by 2028, and boost return on tangible equity to 13% by 2028.
这些行动是继最近的股票下降和监管挑战之后采取的,将推出全面的长期展望,其2025年成果和中期战略预计将在2027年初发布。
These moves follow a recent stock decline and regulatory challenges, with a full long-term outlook to be released with its 2025 results and a medium-term strategy expected in early 2027.