Period End Date | 2021-12-31 | 2020-12-31 | 2019-12-31 | 2018-12-31 | 2017-12-31 |
Total Revenue | -- | -- | -- | -- | -- |
Cost of Revenue, Total | -- | -- | -- | -- | -- |
Gross Profit | -- | -- | -- | -- | -- |
Operating Income | -- | -- | -- | -- | -- |
Total Premiums Earned | -- | -- | -- | -- | -- |
Net Investment Income | -- | -- | -- | -- | -- |
Updated at 22:47:38 | -- | -- | -- | -- | -- |
Net Interest Income | 25,839,432,000.00 | 24,547,742,000.00 | 21,126,534,000.00 | 16,276,300,000.00 | 13,935,195,000.00 |
Loan Loss Provision | 365,850,000.00 | 2,238,660,000.00 | 552,226,000.00 | -546,563,000.00 | -684,507,000.00 |
Net Interest Income After Loan Loss Provision | 25,473,582,000.00 | 22,309,082,000.00 | 20,574,308,000.00 | 16,822,863,000.00 | 14,619,702,000.00 |
Non-Interest Income, Bank | 8,916,040,000.00 | 8,351,906,000.00 | 7,350,648,000.00 | 6,623,076,000.00 | 5,639,264,000.00 |
Total Premiums Earned | -- | -- | -- | -- | -- |
Net Investment Income | -- | -- | -- | -- | -- |
Realized and Unrealized Gains (Losses) | -- | -- | -- | -- | -- |
Other Revenue, Total | -- | -- | -- | -- | -- |
Losses, Benefits, and Adjustments, Total | -- | -- | -- | -- | -- |
Depreciation / Depletion, Cumulative | 2,926,306,000.00 | 2,754,209,000.00 | 2,427,619,000.00 | 882,711,000.00 | 783,471,000.00 |
Updated at 22:48:05 | -- | -- | -- | -- | -- |
Accumulated Depreciation, Total | -14,721,335,000.00 | -11,893,502,000.00 | -9,428,952,000.00 | -7,410,937,000.00 | -6,548,785,000.00 |
Net Income Before Extraordinary Items | 8,353,057,000.00 | 6,680,617,000.00 | 6,004,046,000.00 | 4,827,611,000.00 | 4,514,785,000.00 |
Normalized Income Before Taxes | 13,294,194,000.00 | 10,797,294,000.00 | 10,445,605,000.00 | 8,325,221,000.00 | 7,436,439,000.00 |
Net Income Before Extraordinary Items | 8,353,057,000.00 | 6,680,617,000.00 | 6,004,046,000.00 | 4,827,611,000.00 | 4,514,785,000.00 |
Net Income Incl Extra Before Distributions | 8,353,057,000.00 | 6,680,617,000.00 | 6,004,046,000.00 | 4,827,611,000.00 | 4,514,785,000.00 |
Income Avail to Cmn Shareholders Excl Extra | 8,353,057,000.00 | 6,680,617,000.00 | 6,004,046,000.00 | 4,827,611,000.00 | 4,514,785,000.00 |
Income Avail to Cmn Shareholders Incl Extra | 8,353,057,000.00 | 6,680,617,000.00 | 6,004,046,000.00 | 4,827,611,000.00 | 4,514,785,000.00 |
Net Income Before Taxes | 13,692,421,000.00 | 10,890,736,000.00 | 10,158,487,000.00 | 8,212,244,000.00 | 7,269,311,000.00 |
Provision for Income Taxes | 5,339,341,000.00 | 4,210,115,000.00 | 4,154,446,000.00 | 3,384,633,000.00 | 2,754,526,000.00 |
Net Income After Taxes | 8,353,080,000.00 | 6,680,621,000.00 | 6,004,041,000.00 | 4,827,611,000.00 | 4,514,785,000.00 |
Updated at 22:48:28 | -- | -- | -- | -- | -- |
Basic Normalized EPS | 5.34 | 4.36 | 4.07 | 3.22 | 3.04 |
Cash and Short Term Investments | -- | -- | -- | -- | -- |
Total Assets, Reported | 869,968,496,000.00 | 710,064,202,000.00 | 629,860,533,000.00 | 599,937,944,000.00 | 494,919,688,000.00 |
Total Long Term Debt | 12,464,436,000.00 | 32,689,910,000.00 | 11,650,785,000.00 | 2,861,923,000.00 | 18,311,711,000.00 |
Total Debt | 120,907,145,000.00 | 66,971,769,000.00 | 81,056,647,000.00 | 98,351,921,000.00 | 54,788,547,000.00 |
Total Liabilities | 803,838,134,000.00 | 649,846,115,000.00 | 574,655,117,000.00 | 556,463,195,000.00 | 455,687,412,000.00 |
Total Equity | 66,130,362,000.00 | 60,218,087,000.00 | 55,205,416,000.00 | 43,474,749,000.00 | 39,232,276,000.00 |
Total Liabilities And Shareholders' Equity | 869,968,496,000.00 | 710,064,202,000.00 | 629,860,533,000.00 | 599,937,944,000.00 | 494,919,688,000.00 |
Total Common Shares Outstanding | 1,517,696,530.00 | 1,517,696,530.00 | 1,517,696,530.00 | 1,517,696,530.00 | 1,517,696,530.00 |
Updated at 22:48:44 | -- | -- | -- | -- | -- |
Cash from Operating Activities, Cumulative | 81,694,052,000.00 | 101,049,740,000.00 | 6,572,514,000.00 | 43,249,000,000.00 | -16,825,604,000.00 |
Net Cash - Beginning Balance | 61,126,589,000.00 | 62,765,354,000.00 | 44,881,236,000.00 | 39,488,907,000.00 | 37,855,935,000.00 |
Net Cash - Ending Balance | 59,488,821,000.00 | 61,126,589,000.00 | 62,765,354,000.00 | 44,881,236,000.00 | 39,488,907,000.00 |
Net Change in Cash, Cumulative | -1,637,768,000.00 | -1,638,765,000.00 | 17,884,118,000.00 | 5,392,329,000.00 | 1,632,972,000.00 |
Net Income/Starting Line, Cumulative | 13,692,421,000.00 | 10,890,736,000.00 | 10,158,487,000.00 | 8,302,244,000.00 | 7,269,312,000.00 |
Capital Expenditures, Cumulative | -3,536,928,000.00 | -1,800,246,000.00 | -2,990,659,000.00 | -1,209,662,000.00 | -1,255,243,000.00 |
Capital Expenditures - Actual | 3,102,686,000.00 | -- | -- | -- | -- |