Quote

Last
Change (0.00%)
Volume0
Var
Haircut
Free Float0
O/S0
IPO Date1992-04-27
Inc. Date1982-07-18
ISINPK0053801012
Day's Range
High
Low
Trades
0
Price Return Adjusted Price Data
Term Ch %Ch
MTD Price Return-0.70-2.14
QTD Price Return-0.70-2.14
3M Price Return12.4663.80
6M Price Return14.4982.80
9M Price Return4.5816.71
YTD Price Return10.7850.83
1Y Price Return1.996.63
3Y Price Return14.9988.18
5Y Price Return24.69338.22
Life Time
Life Time High
40.99
Life Time Low
0.31
Quick Snapshot
Details FY-1 FY-2 FY-3
EPS1.16-2.341.04
EPS 5Y Average0.01-0.121.15
Revenue Per Share29.4520.6417.56
Revenue Per Share 5Y Average17.9414.0113.9
ROE3.75-7.855.66
ROE 5Y Average0.530.354.26
ROA2.16-4.573.26
ROA 5Y Average0.30.232.5
Equity to Asset %57.7458.2657.61
Equity to Asset % 5Y Average58.5759.6559.62
Book Value30.9229.7618.41
Book Value 5Y Average22.719.9120.76
Net Margin %3.93-11.325.93
Net Margin % 5Y Average0.050.256.47

Annual Financial Summary Last 5 Years (figures in Rupees)

Period End Date2021-06-302020-06-302019-06-302018-06-302017-06-30
Period End Date2021-06-302020-06-302019-06-302018-06-302017-06-30
Total Revenue2,828,952,430.001,115,223,680.00781,834,830.00664,996,430.00426,926,450.00
Cost of Revenue, Total2,556,869,400.001,002,502,030.00764,919,650.00559,337,590.00396,004,160.00
Gross Profit272,083,030.00112,721,650.0016,915,180.00105,658,840.0030,922,290.00
Operating Income177,793,170.0067,885,540.00-22,178,370.0054,647,390.005,731,700.00
Total Premiums Earned----------
Net Investment Income----------
Updated at 22:47:38----------
Net Interest Income----------
Loan Loss Provision----------
Net Interest Income After Loan Loss Provision----------
Non-Interest Income, Bank----------
Total Premiums Earned----------
Net Investment Income----------
Realized and Unrealized Gains (Losses)----------
Other Revenue, Total----------
Losses, Benefits, and Adjustments, Total----------
Depreciation / Depletion, Cumulative146,941,880.00115,967,230.0054,806,590.0053,273,730.0053,670,710.00
Updated at 22:48:05----------
Accumulated Depreciation, Total----------
Net Income Before Extraordinary Items100,692,210.0043,851,810.00-88,474,350.0039,423,520.004,709,190.00
Normalized Income Before Taxes149,415,060.0033,975,320.00-62,765,030.0063,395,190.005,404,830.00
Net Income Before Extraordinary Items100,692,210.0043,851,810.00-88,474,350.0039,423,520.004,709,190.00
Net Income Incl Extra Before Distributions100,692,210.0043,851,810.00-88,474,350.0039,423,520.004,709,190.00
Income Avail to Cmn Shareholders Excl Extra100,692,210.0043,851,810.00-88,474,350.0039,423,520.004,709,190.00
Income Avail to Cmn Shareholders Incl Extra100,692,210.0043,851,810.00-88,474,350.0039,423,520.004,709,190.00
Net Income Before Taxes149,415,060.0033,975,320.00-62,765,030.0063,395,190.005,404,830.00
Provision for Income Taxes48,722,850.00-9,876,490.0025,709,320.0023,971,680.00695,640.00
Net Income After Taxes100,692,210.0043,851,810.00-88,474,350.0039,423,520.004,709,190.00
Updated at 22:48:28----------
Basic Normalized EPS2.661.16-2.341.040.12
Cash and Short Term Investments43,950,000.0059,248,230.001,499,910.004,119,880.003,317,030.00
Total Assets, Reported3,091,707,520.002,027,913,700.001,934,586,350.001,210,196,300.001,089,392,550.00
Total Long Term Debt299,036,660.00168,248,650.00209,578,210.00185,246,740.0042,382,410.00
Total Debt299,036,660.00249,115,460.00280,560,620.00250,984,240.0071,460,190.00
Total Liabilities1,409,695,620.00856,997,590.00807,522,050.00513,061,530.00433,935,230.00
Total Equity1,682,011,900.001,170,916,100.001,127,064,290.00697,134,770.00655,457,320.00
Total Liabilities And Shareholders' Equity3,091,707,520.002,027,913,700.001,934,586,350.001,210,196,300.001,089,392,550.00
Total Common Shares Outstanding37,873,820.0037,873,820.0037,873,820.0037,873,820.0037,873,820.00
Updated at 22:48:44----------
Cash from Operating Activities, Cumulative355,743,970.00169,695,990.0018,369,980.0036,347,090.0037,118,240.00
Net Cash - Beginning Balance59,248,230.001,499,910.004,119,880.003,317,030.001,966,040.00
Net Cash - Ending Balance43,950,000.0059,248,230.001,499,910.004,119,880.003,317,030.00
Net Change in Cash, Cumulative-15,298,230.0057,748,320.00-2,619,970.00802,850.001,351,000.00
Net Income/Starting Line, Cumulative149,415,060.0033,975,320.00-62,765,030.0063,395,190.005,404,830.00
Capital Expenditures, Cumulative-248,153,940.00-62,720,320.00-32,397,980.00-179,469,920.00-49,088,940.00
Capital Expenditures - Actual----------

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