Quote

Last
Change (0.00%)
Volume0
Var
Haircut
Free Float0
O/S0
IPO Date1994-05-31
Inc. Date1977-01-22
ISINPK0022801010
Day's Range
High
Low
Trades
0
Price Return Adjusted Price Data
Term Ch %Ch
MTD Price Return1.965.76
QTD Price Return1.965.76
3M Price Return-5.03-12.27
6M Price Return-7.54-17.33
9M Price Return-25.39-41.39
YTD Price Return-5.54-13.35
1Y Price Return8.5631.24
3Y Price Return17.5695.43
5Y Price Return-23.49-39.51
Life Time
Life Time High
169.91
Life Time Low
0.80
Quick Snapshot
Details FY-1 FY-2 FY-3
EPS-13.69-12.77-4.05
EPS 5Y Average-5.55-2.280.82
Revenue Per Share65.4372.3653.44
Revenue Per Share 5Y Average59.0660.7262.07
ROE-29.78-20.95-7.24
ROE 5Y Average-10.63-3.881.39
ROA-9.73-8.1-3
ROA 5Y Average-3.58-1.131.12
Equity to Asset %32.6838.6941.46
Equity to Asset % 5Y Average46.8152.9856.97
Book Value46.4761.3349.45
Book Value 5Y Average54.6860.2957.63
Net Margin %-21.15-17.75-6.7
Net Margin % 5Y Average-8.05-3.011.19

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 Revenue14,194,739,000.0011,111,578,000.0011,972,060,000.009,410,276,000.008,418,188,000.00
Cost of Revenue, Total11,647,808,000.009,801,986,000.0010,725,170,000.007,652,896,000.006,403,304,000.00
Gross Profit2,546,931,000.001,309,592,000.001,246,890,000.001,757,380,000.002,014,884,000.00
Operating Income401,329,000.00-365,917,000.00-793,193,000.00-93,357,000.00511,999,000.00
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, Cumulative697,758,000.00721,544,000.00667,935,000.00345,523,000.00222,683,000.00
Updated at 22:48:12----------
Accumulated Depreciation, Total----------
Net Income Before Extraordinary Items-39,569,000.00-2,204,497,000.00-2,070,587,000.00-629,139,000.00223,399,000.00
Normalized Income Before Taxes523,792,000.00-2,184,490,000.00-1,968,577,000.00-499,183,000.00287,650,000.00
Net Income Before Extraordinary Items-39,569,000.00-2,204,497,000.00-2,070,587,000.00-629,139,000.00223,399,000.00
Net Income Incl Extra Before Distributions559,075,000.00-2,574,987,000.00-2,070,587,000.00-629,139,000.00223,399,000.00
Income Avail to Cmn Shareholders Excl Extra-39,569,000.00-2,204,497,000.00-2,070,587,000.00-629,139,000.00223,399,000.00
Income Avail to Cmn Shareholders Incl Extra559,075,000.00-2,574,987,000.00-2,070,587,000.00-629,139,000.00223,399,000.00
Net Income Before Taxes523,792,000.00-2,184,490,000.00-1,948,764,000.00-478,835,000.00304,576,000.00
Provision for Income Taxes574,551,000.00100,911,000.00176,482,000.00151,677,000.0088,666,000.00
Net Income After Taxes-50,759,000.00-2,285,401,000.00-2,125,246,000.00-630,512,000.00215,910,000.00
Updated at 22:48:28----------
Basic Normalized EPS-0.23-13.24-12.77-4.051.37
Cash and Short Term Investments1,215,637,000.00721,615,000.00794,338,000.001,580,694,000.001,573,900,000.00
Total Assets, Reported26,090,249,000.0022,723,219,000.0024,731,935,000.0021,001,871,000.0017,777,635,000.00
Total Long Term Debt266,179,000.00179,558,000.00--178,166,000.00414,009,000.00
Total Debt10,721,302,000.0013,267,976,000.0013,267,693,000.0010,169,147,000.006,717,687,000.00
Total Liabilities16,020,508,000.0016,155,901,000.0015,972,465,000.0012,294,211,000.008,688,315,000.00
Total Equity10,069,741,000.006,567,318,000.008,759,470,000.008,707,660,000.009,089,320,000.00
Total Liabilities And Shareholders' Equity26,090,249,000.0022,723,219,000.0024,731,935,000.0021,001,871,000.0017,777,635,000.00
Total Common Shares Outstanding174,834,320.00169,831,320.00165,450,940.00176,093,330.00156,358,190.00
Updated at 22:48:48----------
Cash from Operating Activities, Cumulative630,052,000.00421,419,000.00-2,489,941,000.00-1,541,469,000.00-258,342,000.00
Net Cash - Beginning Balance-10,123,967,000.00-9,965,049,000.00-5,852,073,000.00-2,954,339,000.00113,015,000.00
Net Cash - Ending Balance-6,534,701,000.00-10,123,967,000.00-9,965,049,000.00-5,852,073,000.00-2,954,339,000.00
Net Change in Cash, Cumulative3,589,266,000.00-158,918,000.00-4,112,976,000.00-2,897,734,000.00-3,067,354,000.00
Net Income/Starting Line, Cumulative1,122,436,000.00-2,554,980,000.00-1,948,764,000.00-478,835,000.00304,576,000.00
Capital Expenditures, Cumulative-212,310,000.00-473,886,000.00-1,778,045,000.00-2,343,476,000.00-3,880,492,000.00
Capital Expenditures - Actual----------

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