Quote

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Change (0.00%)
Volume0
Var
Haircut
Free Float0
O/S0
IPO Date2003-07-14
Inc. Date2002-12-02
ISINPK0079201015
Day's Range
High
Low
Trades
0
Price Return Adjusted Price Data
Term Ch %Ch
MTD Price Return5.557.21
QTD Price Return5.557.21
3M Price Return-11.43-12.16
6M Price Return-47.43-36.48
9M Price Return-87.44-51.43
YTD Price Return-35.33-29.97
1Y Price Return-79.93-49.19
3Y Price Return62.12303.77
5Y Price Return35.0673.79
Life Time
Life Time High
0.00
Life Time Low
0.00
Quick Snapshot
Details FY-1 FY-2 FY-3
EPS0.144.18-0.44
EPS 5Y Average-0.54-1.24-2.81
Revenue Per Share0.43128.8389.95
Revenue Per Share 5Y Average68.378.4361.64
ROE0.3966.58128.68
ROE 5Y Average87.66-38.87-163.46
ROA0.33-7.63-21.09
ROA 5Y Average-15.74-19.09-21
Equity to Asset %83.06-11.47-16.39
Equity to Asset % 5Y Average10.33-5.76-2.85
Book Value35.58-15.16-9.65
Book Value 5Y Average1.95-5.02-1.82
Net Margin %32.11-7.83-13.81
Net Margin % 5Y Average-4.35-12.49-13.05

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 Revenue154,443,000.00237,176,000.0070,260,264,000.0049,056,553,000.0035,990,660,000.00
Cost of Revenue, Total----5,612,006,000.00----
Gross Profit----64,648,258,000.00----
Operating Income122,085,000.002,739,000.00-350,674,000.00-4,768,642,000.00-7,968,557,000.00
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, Cumulative42,000.0042,000.005,518,854,000.003,879,812,000.002,271,730,000.00
Updated at 22:48:12----------
Accumulated Depreciation, Total-1,379,000.00-1,337,000.00-15,128,471,000.00-7,645,560,000.00-5,776,742,000.00
Net Income Before Extraordinary Items25,852,427,000.0076,165,000.00-1,468,632,000.00-2,936,815,000.00-4,378,217,000.00
Normalized Income Before Taxes30,434,728,000.0089,688,000.00693,421,000.00-2,594,015,000.00-7,208,376,000.00
Net Income Before Extraordinary Items25,852,427,000.0076,165,000.00-1,468,632,000.00-2,936,815,000.00-4,378,217,000.00
Net Income Incl Extra Before Distributions25,852,427,000.0076,165,000.00-1,468,632,000.00-2,936,815,000.00-4,378,217,000.00
Income Avail to Cmn Shareholders Excl Extra25,852,427,000.0076,165,000.00-1,468,632,000.00-2,936,815,000.00-4,378,217,000.00
Income Avail to Cmn Shareholders Incl Extra25,852,427,000.0076,165,000.00-1,468,632,000.00-2,936,815,000.00-4,378,217,000.00
Net Income Before Taxes30,434,728,000.0089,688,000.00-5,076,727,000.00-6,744,524,000.00-9,688,372,000.00
Provision for Income Taxes4,582,301,000.0013,523,000.00427,049,000.0028,900,000.00-46,939,000.00
Net Income After Taxes25,852,427,000.0076,165,000.00-5,503,776,000.00-6,773,424,000.00-9,641,433,000.00
Updated at 22:48:28----------
Basic Normalized EPS47.400.144.18-0.44-5.07
Cash and Short Term Investments598,429,000.003,308,000.0014,021,555,000.006,189,004,000.003,073,986,000.00
Total Assets, Reported50,229,593,000.0023,362,682,000.0072,099,642,000.0032,114,561,000.0022,160,300,000.00
Total Long Term Debt----56,236,531,000.0019,367,003,000.0010,085,726,000.00
Total Debt----65,865,669,000.0026,450,788,000.0015,127,757,000.00
Total Liabilities8,720,984,000.003,958,310,000.0080,366,438,000.0037,378,537,000.0025,305,983,000.00
Total Equity41,508,609,000.0019,404,372,000.00-8,266,796,000.00-5,263,976,000.00-3,145,683,000.00
Total Liabilities And Shareholders' Equity50,229,593,000.0023,362,682,000.0072,099,642,000.0032,114,561,000.0022,160,300,000.00
Total Common Shares Outstanding545,390,670.00545,390,670.00545,390,670.00545,390,670.00545,390,670.00
Updated at 22:48:48----------
Cash from Operating Activities, Cumulative121,855,000.001,623,000.00-9,413,096,000.00-4,845,558,000.00-4,864,627,000.00
Net Cash - Beginning Balance3,308,000.001,685,000.006,189,004,000.003,073,986,000.005,259,909,000.00
Net Cash - Ending Balance598,429,000.003,308,000.0014,021,555,000.006,189,004,000.003,073,986,000.00
Net Change in Cash, Cumulative595,121,000.001,623,000.007,832,551,000.003,115,018,000.00-2,185,923,000.00
Net Income/Starting Line, Cumulative30,434,728,000.0089,688,000.00-5,076,727,000.00-6,744,524,000.00-9,688,372,000.00
Capital Expenditures, Cumulative-----7,975,969,000.00-3,114,477,000.00-2,183,735,000.00
Capital Expenditures - Actual----------

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