Financial Highlights

Particulars

31.12.2015

31.12.2014

Paid-up Capital 6,788,738,880 4,114,387,200
Total Capital Fund 12,535,040,708 12,259,905,618
Capital Surplus / (deficit) 329,934,482 1,809,636,515
Total Assets 255,480,341,218 204,512,653,030
Total Deposits 231,274,244,689 182,511,812,854
Total Investments 187,680,007,932 152,792,319,038
Total Contingent Liabilities and Commitments 25,847,300,235 23,664,959,439
Investment Deposit Ratio (in %) 81.15% 83.72%
Percentage of Classified Investment against total Investment(in %) 2.76% 2.22%
Profit after tax & provision 798,394,989 649,295,628
Amount of Classified Investments during the year 5,187,236,103 3,396,898,471
Provision kept against Classified Investments 1,707,935,000 1,255,000,000
Provision Surplus / (deficit) 3,928,783 20,374,740
Cost of Fund 10.81% 11.76%
Profit Earning Assets 215,983,531,077 177,810,956,975
Non-profit Earning Assets 39,496,810,141 26,701,696,055
Return on Investment in Shares & securities (ROI) (in %) 0.80% 3.36%
Return on Assets (ROA) (in %) 0.35% 0.35%
Income from Investment in Shares and Securities 93,221,217 291,550,797
Earning Per Share (Tk.) 1.18 0.96
Net Income Per Share (Tk) 1.18 0.96
Price Earning Ratio (Times) 7.40 6.91