《大行報告》匯控(00005.HK)投資評級及目標價(表)(更新)
匯豐控股(00005.HK)將於下周二(21日)將公布去年業績,受全球經濟疲弱、金融市場波動及新冠疫情影響,本網綜合8間券商預測,匯控2022年列賬基準除稅前利潤料介乎148.49億至176.86億美元,較2021年189.06億美元,按年下跌6.5%至21.5%;中位數164.86億美元,按年跌12.8%。
綜合8間券商預測,匯控2022年列賬基準純利料介乎120.02億至151.74億美元,較2021年126.07億美元,按年下跌4.8%至上升20.4%;中位數127.28億美元,按年增加1%。本網綜合9間券商預測,匯控2022年全年每股派息料介乎0.271至0.34美元,較2021年每股派息0.25美元,按年升8.4%至36%;中位數0.3美元,按年升20%。
就匯控去年11月公布出售加拿大業務,料出售錄稅前利潤約57億美元,曾指董事會將積極考慮通過派發一次性股息(額外分紅)或股份回購;市場將關注匯控管理層最新營運指引、2023年起平均有形股本回報至少達到12%為目標的目標會否更新。
下表列出13間券商對其評級及目標價:
券商│投資評級│目標價(港元)
法國巴黎銀行│買入│75元
富瑞│買入│73.1元(770便士)
高盛│買入│70元
中金│中性│69.66元
美銀證券│買入│67.39元->69.53元
瑞銀│買入│67.1元
摩根大通│增持│66元
星展│買入│63.9元
中信証券│增持│63元
花旗│買入│62.9元
國泰君安│買入│59.82元
摩根士丹利│增持│59.8元->58元
瑞信│中性│55.52元(585便士)
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