Quote

Last
Change (0.00%)
Volume0
Var
Haircut
Free Float0
O/S0
IPO Date2016-07-04
Inc. Date2007-02-14
ISINPK0110601017
Day's Range
High
Low
Trades
0
Price Return Adjusted Price Data
Term Ch %Ch
MTD Price Return2.2411.01
QTD Price Return2.2411.01
3M Price Return-0.22-0.96
6M Price Return-1.45-6.03
9M Price Return1.115.17
YTD Price Return-3.03-11.83
1Y Price Return16.78288.81
3Y Price Return17.78369.65
5Y Price Return16.06245.94
Life Time
Life Time High
40.36
Life Time Low
1.86
Quick Snapshot
Details FY-1 FY-2 FY-3
EPS0.352.073.65
EPS 5Y Average1.831.821.76
Revenue Per Share2.071.821.69
Revenue Per Share 5Y Average1.741.561.19
ROE1.7910.8721.56
ROE 5Y Average10.0910.614.18
ROA1.117.1613.7
ROA 5Y Average6.346.396.85
Equity to Asset %61.8765.8663.52
Equity to Asset % 5Y Average62.5556.4349.87
Book Value19.351916.94
Book Value 5Y Average16.4513.8610.06
Net Margin %16.69113.24216.12
Net Margin % 5Y Average97.3698.79189.99

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 Revenue438,390,850.00678,368,220.00597,206,250.00553,192,540.00542,269,990.00
Cost of Revenue, Total124,430,430.00216,976,810.00174,332,790.00162,750,610.00149,374,660.00
Gross Profit313,960,420.00461,391,410.00422,873,460.00390,441,930.00392,895,330.00
Operating Income-320,227,970.00320,031,050.00283,482,140.00243,847,850.00241,217,260.00
Total Premiums Earned----------
Net Investment Income----------
Updated at 22:47:53----------
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, Cumulative7,667,320.003,611,320.0042,748,220.0039,261,060.002,459,700.00
Updated at 22:48:12----------
Accumulated Depreciation, Total----------
Net Income Before Extraordinary Items70,409,090.00113,632,320.00676,473,570.001,195,681,880.00331,301,140.00
Normalized Income Before Taxes59,191,900.00218,447,310.00702,305,930.001,215,868,670.00346,749,440.00
Net Income Before Extraordinary Items70,409,090.00113,632,320.00676,473,570.001,195,681,880.00331,301,140.00
Net Income Incl Extra Before Distributions70,409,090.00113,632,320.00676,473,570.001,195,681,880.00331,301,140.00
Income Avail to Cmn Shareholders Excl Extra70,409,090.00113,632,320.00676,473,570.001,195,681,880.00331,301,140.00
Income Avail to Cmn Shareholders Incl Extra70,409,090.00113,632,320.00676,473,570.001,195,681,880.00331,301,140.00
Net Income Before Taxes59,191,900.00218,447,310.00702,305,930.001,215,868,670.00346,749,440.00
Provision for Income Taxes-10,838,240.00105,240,630.0026,052,000.0020,285,430.0016,403,710.00
Net Income After Taxes70,030,140.00113,206,680.00676,253,920.001,195,583,240.00330,345,730.00
Updated at 22:48:28----------
Basic Normalized EPS0.140.291.723.041.10
Cash and Short Term Investments3,738,192,000.00281,525,520.00262,933,540.00658,786,590.00344,332,620.00
Total Assets, Reported9,545,515,740.0010,238,753,270.009,446,604,440.008,729,870,030.006,716,907,750.00
Total Long Term Debt2,321,570,400.002,657,437,440.002,131,011,990.002,288,901,050.001,660,693,980.00
Total Debt2,871,296,020.003,248,555,230.002,696,011,990.002,787,901,050.001,865,443,980.00
Total Liabilities3,387,156,620.003,903,850,130.003,225,333,610.003,185,072,780.002,093,719,110.00
Total Equity6,158,359,130.006,334,903,140.006,221,270,830.005,544,797,260.004,623,188,640.00
Total Liabilities And Shareholders' Equity9,545,515,740.0010,238,753,270.009,446,604,440.008,729,870,030.006,716,907,750.00
Total Common Shares Outstanding392,871,730.00392,871,730.00392,871,730.00392,873,460.00392,871,730.00
Updated at 22:48:48----------
Cash from Operating Activities, Cumulative-864,860,900.00298,127,490.00-119,460,140.00-152,031,350.00-50,014,900.00
Net Cash - Beginning Balance231,668,160.00217,035,020.00558,786,590.00353,630,170.00850,576,010.00
Net Cash - Ending Balance3,103,839,210.00231,668,160.00217,035,020.00558,786,590.00344,332,620.00
Net Change in Cash, Cumulative2,872,171,060.0014,633,140.00-341,751,580.00205,156,430.00-506,243,390.00
Net Income/Starting Line, Cumulative59,191,900.00218,447,310.00702,305,930.001,215,868,670.00375,078,750.00
Capital Expenditures, Cumulative-462,098,420.00-173,803,840.00-208,580,030.00-56,804,350.00-3,653,000.00
Capital Expenditures - Actual----------

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