Particulars

31.12.2016

31.12.2015

Paid-up Capital 6,788,738,880 6,788,738,880
Total Capital Fund 14,218,151,190 12,535,040,708
Capital Surplus / (deficit) 692,045,336 329,934,482
Total Assets 301,228,474,940 255,480,341,218
Total Deposits 274,252,894,129 231,274,244,689
Total Investments 226,065,271,502 187,680,007,932
Total Contingent Liabilities and Commitments 33,568,776,518 25,847,300,235
Investment Deposit Ratio (in %) 82.43% 81.15%
Percentage of Classified Investment against total Investment(in %) 2.58% 2.76%
Profit after tax & provision 1,404,982,582 798,394,989
Amount of Classified Investments during the year 5,839,243,414 5,187,236,103
Provision kept against Classified Investments 2,513,635,000 1,707,935,000
Provision Surplus / (deficit) 3,380,701 3,928,783
Cost of Fund 9.21% 10.81%
Profit Earning Assets 255,875,394,343 215,983,531,077
Non-profit Earning Assets 45,353,080,597 39,496,810,141
Return on Investment in Shares & securities (ROI) (in %) 0.19% 0.80%
Return on Assets (ROA) (in %) 0.50% 0.35%
Income from Investment in Shares and Securities 27,074,196 93,221,217
Earning Per Share (Tk.) 2.07 1.18
Net Income Per Share (Tk) 2.07 1.18
Price Earning Ratio (Times) 6.72 7.40
Here is the Graphical Representation of the Financial Highlights