Raport okresowy roczny skonsolidowany za 2018 RS
WYBRANE DANE FINANSOWE
w tys.
zł
w tys.
EUR
2018
2017
2018
2017
Selected consolidated financial data
INCOME STATEMENT
PLN thousand
EUR thousand
2018
2017
2018
2017
Net interest income
4 993 966
4 593 496
1 170 397
1 082 172
Net fee and commission income
2 462 584
2 353 045
577 137
554 349
Profit before income tax
3 047 344
3 153 031
714 182
742 816
Net profit for the period
2 287 810
2 475 708
536 176
583 246
Net profit attributable to equity holders of the Bank
2 287 160
2 475 129
536 024
583 110
Net profit attributable to non-controlling interest
650
579
152
136
Basic earnings per share (in PLN\EUR)
8.71
9.43
2.04
2.22
Diluted earnings per share (in PLN\EUR)
8.71
9.43
2.04
2.22
Declared/paid dividend per share (in PLN\EUR)
6.60
7.90
1.55
1.86
CASH FLOW STATEMENT
PLN thousand
EUR thousand
2018
2017
2018
2017
Net cash flows from operating activities
(6 096 600)
869 888
(1 428 812)
204 935
Net cash flows from investing activities
11 926 723
(2 285 528)
2 795 173
(538 443)
Net cash flows from financing activities
2 064 103
94 590
483 748
22 284
Net change in cash and cash equivalents
7 894 226
(1 321 050)
1 850 109
(311 224)
STATEMENT OF FINANCIAL POSITION
PLN thousand
EUR thousand
31.12.2018
31.12.2017
31.12.2018
31.12.2017
Total assets
191 089 805
185 465 570
44 439 490
44 466 559
Amounts due to Central Bank
5 067
6 079
1 178
1 457
Amounts due to other banks
5 615 631
4 981 291
1 305 961
1 194 296
Amounts due to customers
149 491 059
146 186 268
34 765 363
35 049 094
Non-controlling interest
11 491
-
2 672
-
Equity attributable to equity holders of the Bank
22 796 726
23 267 814
5 301 564
5 578 607
Share capital
262 470
262 470
61 040
62 929
Number of shares
262 470 034
262 470 034
262 470 034
62 928 872
Book value per share (in PLN\EUR)
86.85
88.65
20.20
21.25
Diluted book value per share (in PLN\EUR)
86.85
88.65
20.20
21.25
CAPITAL ADEQUACY
PLN thousand
EUR thousand
31.12.2018
31.12.2017
31.12.2018
31.12.2017
Capital adequacy ratio (%) (Bazylea III)
17.4
17.1
17.4
17.1
Risk weighted assets
125 179 118
119 779 594
29 111 423
28 717 925
Core funds (Tier 1)
19 796 894
19 252 010
4 603 929
4 615 793
Supplementary funds (Tier 2)
2 000 000
1 250 000
465 116
299 696
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