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10-Q: Q2 2024 Earnings Report

10-Q: Q2 2024 Earnings Report

10-Q:2024財年二季報
美股SEC公告 ·  2024/08/06 04:12

牛牛AI助理已提取核心訊息

Morgan Stanley reported robust Q2 2024 financial results with net revenues of $15.0 billion, up 12% year-over-year, and net income of $3.1 billion, a 41% increase from Q2 2023. The firm delivered ROE of 13.0% and ROTCE of 17.5%. Investment banking revenues surged 51% to $1.6 billion, while trading revenues increased to $4.1 billion driven by strong performance in equities and fixed income.The Institutional Securities segment saw significant growth with net revenues up 23% to $7.0 billion, benefiting from higher equity trading and underwriting activity. Wealth Management maintained steady performance with net revenues of $6.8 billion and a pre-tax margin of 26.8%. The segment attracted $26 billion in fee-based asset flows and $36 billion in net new assets during the quarter. Investment Management generated net revenues of $1.4 billion, up 8% year-over-year.The firm...Show More
Morgan Stanley reported robust Q2 2024 financial results with net revenues of $15.0 billion, up 12% year-over-year, and net income of $3.1 billion, a 41% increase from Q2 2023. The firm delivered ROE of 13.0% and ROTCE of 17.5%. Investment banking revenues surged 51% to $1.6 billion, while trading revenues increased to $4.1 billion driven by strong performance in equities and fixed income.The Institutional Securities segment saw significant growth with net revenues up 23% to $7.0 billion, benefiting from higher equity trading and underwriting activity. Wealth Management maintained steady performance with net revenues of $6.8 billion and a pre-tax margin of 26.8%. The segment attracted $26 billion in fee-based asset flows and $36 billion in net new assets during the quarter. Investment Management generated net revenues of $1.4 billion, up 8% year-over-year.The firm maintained strong capital and liquidity positions, with a Standardized Common Equity Tier 1 capital ratio of 15.2%. Total assets reached $1.21 trillion, while deposits stood at $348.9 billion. The Board authorized a new $20 billion share repurchase program and increased the quarterly dividend to $0.925 per share, demonstrating confidence in the firm's financial strength and commitment to shareholder returns.
摩根士丹利在2024年第二季度報告了強勁的財務業績,淨收入爲150億美元,同比增長12%,凈利潤爲31億美元,比2023年第二季度增長41%。該公司交付了13.0%的ROE和17.5%的ROTCE。投行收入大幅飆升51%,達到了16億美元,而交易收入上升至41億美元,得益於股票和固收的強勁表現。機構證券部門也見證了顯著增長,淨收入增長23%至70億美元,受益於更高的股票交易和承銷活動。财富管理保持穩定表現,淨收入爲68億美元,稅前利潤率爲26.8%。該部門在本季度吸引了260億美元的基於費用的資產流入和360億美元的新淨資產。投資管理的淨收入爲14億美元,同比增長8%。該公司保持了強大的資本和流動性,標準化普通股一級資本比率爲15.2%。總資產達到了1.21萬億美元,存款爲3489億美元。董事會授權了一項新的200億美元股份回購計劃,並將季度股息提高至每股0.925美元,展現了對公司財務實力的信心以及對股東回報的承諾。
摩根士丹利在2024年第二季度報告了強勁的財務業績,淨收入爲150億美元,同比增長12%,凈利潤爲31億美元,比2023年第二季度增長41%。該公司交付了13.0%的ROE和17.5%的ROTCE。投行收入大幅飆升51%,達到了16億美元,而交易收入上升至41億美元,得益於股票和固收的強勁表現。機構證券部門也見證了顯著增長,淨收入增長23%至70億美元,受益於更高的股票交易和承銷活動。财富管理保持穩定表現,淨收入爲68億美元,稅前利潤率爲26.8%。該部門在本季度吸引了260億美元的基於費用的資產流入和360億美元的新淨資產。投資管理的淨收入爲14億美元,同比增長8%。該公司保持了強大的資本和流動性,標準化普通股一級資本比率爲15.2%。總資產達到了1.21萬億美元,存款爲3489億美元。董事會授權了一項新的200億美元股份回購計劃,並將季度股息提高至每股0.925美元,展現了對公司財務實力的信心以及對股東回報的承諾。

譯文內容由第三人軟體翻譯。


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