2021 INTEGRATED ANNUAL REPORT
RATIOS

(%)

Capital

2020

2021

Capital Adequacy Ratio

18.2

16.5

Shareholders’ Equity/Total Assets

9.9

7.1

Shareholders’ Equity/(Total Assets+Non-cash Loans)

8.6

5.9

Shareholders’ Equity/(Deposits+Non-Deposit Sources)

11.5

7.9

 

Asset Quality

2020

2021

Cash Loans/Total Assets

63.7

56.8

NPL (Gross)/Cash Loans

2.3

1.9

NPL (Gross)/(Non-Cash Loans+Cash Loans)

1.9

1.5

Loans/Deposits

95.4

82.1

FC Assets/FC Liabilities

81.4

92.6

 

Liquidity

2020

2021

Liquid Assets/Total Assets

9.7

16.2

Liquid Assets/(Deposits+Non-Deposit Sources)

11.2

18.0

 

Profitability

2020

2021

Net Profit/Average Total Assets

1.0

0.6

Net Profit/Average Shareholders’ Equity

9.7

6.9

Interest Income/Interest Expenses

199.3

163.9

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