Skip to main content

Skjern Bank opjusterer forventningerne til 2020

Nasdaq OMX Copenhagen                                                     Skjern, 6. oktober 2020
Nikolaj Plads 6
1007 København K
Fondsbørsmeddelelse nr. 10/2020
Skjern Bank opjusterer forventningerne til 2020Bankens forventninger til årsresultatet før skat opjusteres til intervallet 125 – 140 mio. kr. fra det oprindelige interval på 115 – 130 mio. kr.Forventningerne til basisresultatet opjusteres til intervallet 140 – 155 mio. kr. fra det oprindelige interval på 125 – 140 mio. kr.De væsentligste årsager til opjusteringen er:Høj aktivitet på alle områder, herunder på formidlingen af realkreditlånFortsat stærk tilgang af nye kunder i alle bankens afdelingerTilfredsstillende kursreguleringer i 3. kvartal.Faldende nedskrivningsbehov i 3. kvartal, ved fastholdt ledelsesmæssigt skøn på 40 mio. kr. som følge af usikkerheden under Covid-19.Bankens 3. kvartalsrapport offentliggøres den 22. oktober 2020.Eventuelle spørgsmål kan rettes til undertegnede.Med venlig hilsen
Skjern Bank
Per Munck
Bankdirektør
munck@skjernbank.dk
Tlf. 2173 3004
Vedhæftet fil10_2020 Opjustering af forventninger

Disclaimer & Cookie Notice

Welcome to GOLDEA services for Professionals

Before you continue, please confirm the following:

Professional advisers only

I am a professional adviser and would like to visit the GOLDEA CAPITAL for Professionals website.

Important Notice for Investors:

The services and products offered by Goldalea Capital Ltd. are intended exclusively for professional market participants as defined by applicable laws and regulations. This typically includes institutional investors, qualified investors, and high-net-worth individuals who have sufficient knowledge, experience, resources, and independence to assess the risks of trading on their own.

No Investment Advice:

The information, analyses, and market data provided are for general information purposes only and do not constitute individual investment advice. They should not be construed as a basis for investment decisions and do not take into account the specific investment objectives, financial situation, or individual needs of any recipient.

High Risks:

Trading in financial instruments is associated with significant risks and may result in the complete loss of the invested capital. Goldalea Capital Ltd. accepts no liability for losses incurred as a result of the use of the information provided or the execution of transactions.

Sole Responsibility:

The decision to invest or not to invest is solely the responsibility of the investor. Investors should obtain comprehensive information about the risks involved before making any investment decision and, if necessary, seek independent advice.

No Guarantees:

Goldalea Capital Ltd. makes no warranties or representations as to the accuracy, completeness, or timeliness of the information provided. Markets are subject to constant change, and past performance is not a reliable indicator of future results.

Regional Restrictions:

The services offered by Goldalea Capital Ltd. may not be available to all persons or in all countries. It is the responsibility of the investor to ensure that they are authorized to use the services offered.

Please note: This disclaimer is for general information purposes only and does not replace individual legal or tax advice.