Aviyan Laghubitta bittiya Sanstha limited (AVYAN) - Quarterly Financial Report & Nepse Stock Data

Aviyan Laghubitta bittiya Sanstha limited (AVYAN)

Latest Fiscal Report: Q4 081/082

*Data updates daily at 4:00 PM after market close

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS26.42
ROE20.81
ROA1.80
PE Ratio43.27
NPL %4.00
Net Worth126.98
CD Ratio103.35
PEG Value-0.12

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit66,050,203
Prev. Quarter Profit-24,466,692
Net Profit Growth Rate-369.96%
Reserve107,493,739
Operating Profit102,424,640
Distributable Profit-40,043,040
Retained Earnings-40,043,040
Total Assets3,665,346,065
Total Liabilities3,347,895,366
Deposit358,574,675
Loan3,450,125,602
Net Interest Income189,044,688
Fee & Commission Income54,965,441

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS12.00
ROE10.32
ROA0.89
PE Ratio93.61
NPL %6.84
Net Worth116.20
CD Ratio100.52
PEG Value-0.47

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit22,502,882
Prev. Quarter Profit-22,333,829
Net Profit Growth Rate-200.76%
Reserve99,870,249
Operating Profit31,727,654
Distributable Profit-59,127,201
Retained Earnings-59,127,201
Total Assets3,379,911,797
Total Liabilities3,089,168,749
Deposit320,973,697
Loan3,123,770,250
Net Interest Income110,394,365
Fee & Commission Income33,244,163

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS3.03
ROE2.78
ROA0.25
PE Ratio370.74
NPL %4.14
Net Worth108.81
CD Ratio99.03
PEG Value-3.50

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit3,786,920
Prev. Quarter Profit-62,468,678
Net Profit Growth Rate-106.06%
Reserve87,021,435
Operating Profit4,653,120
Distributable Profit-64,987,819
Retained Earnings-64,987,819
Total Assets3,045,225,900
Total Liabilities2,773,192,284
Deposit295,853,976
Loan2,759,679,113
Net Interest Income63,158,013
Fee & Commission Income21,241,441

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-52.76
PE Ratio-21.29
NPL %8.33
Net Worth94.12
CD Ratio100.01
PEG Value-1.31

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit-32,974,989
Prev. Quarter Profit-28,358,379
Net Profit Growth Rate16.28%
Reserve87,390,643
Operating Profit-32,974,989
Distributable Profit-52,696,277
Retained Earnings-102,066,665
Total Assets2,582,125,070
Total Liabilities2,346,801,093
Deposit245,906,828
Loan2,347,832,598
Net Interest Income24,152,844
Fee & Commission Income11,210,714

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-9.79
ROE20.81
ROA1.80
PE Ratio-649.33
NPL %4.98
Net Worth107.31
CD Ratio893.15
PEG Value1.42

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit-24,466,692
Prev. Quarter Profit971,959
Net Profit Growth Rate-2,617.26%
Reserve67,669,354
Operating Profit-4,314,480
Distributable Profit-38,799,296
Retained Earnings-49,370,388
Total Assets2,314,276,301
Total Liabilities2,045,977,335
Deposit237,964,499
Loan2,155,918,851
Net Interest Income89,723,646
Fee & Commission Income33,376,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-22.98
PE Ratio-48.88
NPL %4.92
Net Worth99.78
CD Ratio881.67
PEG Value-0.59

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit-22,333,829
Prev. Quarter Profit-12,180,560
Net Profit Growth Rate83.36%
Reserve72,101,586
Operating Profit-22,333,829
Distributable Profit-62,079,626
Retained Earnings-72,650,718
Total Assets2,211,869,278
Total Liabilities1,962,445,411
Deposit234,490,711
Loan2,078,272,038
Net Interest Income58,698,320
Fee & Commission Income21,310,626

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-49.97
PE Ratio-22.48
NPL %6.88
Net Worth74.62
CD Ratio841.25
PEG Value0.04

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit-62,468,678
Prev. Quarter Profit15,484,570
Net Profit Growth Rate-503.43%
Reserve64,771,714
Operating Profit22,120,830
Distributable Profit-72,255,363
Retained Earnings-128,232,258
Total Assets2,071,913,101
Total Liabilities1,885,373,644
Deposit227,104,173
Loan1,912,821,903
Net Interest Income44,058,180
Fee & Commission Income18,987,020

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-45.37
PE Ratio-24.76
NPL %6.88
Net Worth99.60
CD Ratio841.25
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit-28,358,379
Prev. Quarter Profit315,640
Net Profit Growth Rate-9,084.41%
Reserve54,985,029
Operating Profit-28,358,379
Distributable Profit-49,615,375
Retained Earnings-55,976,895
Total Assets2,251,572,830
Total Liabilities2,002,564,696
Deposit217,884,243
Loan1,833,328,271
Net Interest Income11,210,714
Fee & Commission Income4,034,054

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS0.13
ROE0.12
ROA0.02
PE Ratio8641.08
NPL %4.89
Net Worth110.95
CD Ratio856.55
PEG Value-94.72

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit971,959
Prev. Quarter Profit11,074,850
Net Profit Growth Rate-91.22%
Reserve32,335,788
Operating Profit-413,053
Distributable Profit-10,925,753
Retained Earnings-10,571,092
Total Assets1,962,143,529
Total Liabilities1,704,872,596
Deposit208,425,262
Loan1,722,384,398
Net Interest Income73,494,003
Fee & Commission Income36,656,861

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-6.50
ROE-5.97
ROA-0.76
PE Ratio-172.82
NPL %4.61
Net Worth108.79
CD Ratio726.67
PEG Value0.83

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit-12,180,560
Prev. Quarter Profit11,183,290
Net Profit Growth Rate-208.92%
Reserve Surplus21,972,240
Operating Profit-12,425,950
Total Assets2,137,678,900
Total Liabilities1,704,872,596
Deposit263,316,600
Loan1,913,437,470
Net Interest Income32,883,220

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS12.38
ROE10.33
ROA1.39
PE Ratio90.74
NPL %3.53
Net Worth119.51
CD Ratio687.09
PEG Value7.92

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit15,484,570
Prev. Quarter Profit13,892,700
Net Profit Growth Rate11.46%
Reserve Surplus49,769,310
Operating Profit60,918,960
Total Assets2,226,892,500
Total Liabilities78,757,510
Deposit302,183,230
Loan2,076,271,930
Net Interest Income44,058,180

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS0.51
ROE0.44
ROA0.05
PE Ratio2202.63
NPL %4.91
Net Worth113.85
CD Ratio663.52
PEG Value-20.87

🏦 Fundamental Overview

Paid-up Capital250,000,000
Net Profit315,640
Prev. Quarter Profit-5,679,160
Net Profit Growth Rate-105.56%
Reserve Surplus34,616,970
Operating Profit-17,060,280
Total Assets2,349,474,840
Total Liabilities91,952,150
Deposit321,714,750
Loan2,134,646,410
Net Interest Income18,996,280

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS7.27
ROE0.50
ROA0.49
PE Ratio154.52
NPL %2.60
Net Worth112.56
CD Ratio666.19
PEG Value-3.85

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit11,074,850
Prev. Quarter Profit18,500,350
Net Profit Growth Rate-40.14%
Reserve Surplus19,146,520
Operating Profit17,579,130
Total Assets2,257,197,400
Total Liabilities78,361,190
Deposit311,574,390
Loan2,075,681,890
Net Interest Income90,291,490

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS7.34
PE Ratio153.04
NPL %3.34
CD Ratio728.94
PEG Value0.15

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit11,183,290
Prev. Quarter Profit1,027,080
Net Profit Growth Rate988.84%
Reserve Surplus19,288,920
Operating Profit17,751,250
Total Assets2,285,036,710
Total Liabilities71,511,490
Deposit291,998,050
Loan2,128,483,140
Net Interest Income73,524,070

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS9.10
ROE0.64
ROA0.62
PE Ratio123.44
NPL %2.73
Net Worth114.46
CD Ratio811.64
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit13,892,700
Prev. Quarter Profit13,892,700
Net Profit Growth Rate0.00%
Reserve Surplus22,060,290
Operating Profit22,051,910
Total Assets2,226,964,550
Total Liabilities69,725,260
Deposit246,294,940
Loan1,999,028,960
Net Interest Income54,389,490

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-3.73
PE Ratio-301.16
NPL %2.88
CD Ratio907.77
PEG Value-2.56

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit-5,679,160
Prev. Quarter Profit-2,607,990
Net Profit Growth Rate117.76%
Reserve Surplus2,488,430
Operating Profit-5,679,160
Total Assets1,899,099,690
Total Liabilities68,166,330
Deposit189,973,370
Loan1,724,520,270
Net Interest Income25,836,920

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS12.13
PE Ratio92.61
NPL %0.54
CD Ratio1032.31
PEG Value-0.28

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit18,500,350
Prev. Quarter Profit-7,956,630
Net Profit Growth Rate-332.51%
Reserve Surplus8,971,830
Operating Profit15,035,780
Total Assets1,790,142,530
Total Liabilities43,349,130
Deposit149,664,970
Loan1,545,013,020
Net Interest Income77,180,790

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS6.69
PE Ratio167.91
NPL %0.45
CD Ratio898.74
PEG Value-1.42

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit1,027,080
Prev. Quarter Profit-5,508,930
Net Profit Growth Rate-118.64%
Reserve Surplus815,240
Operating Profit11,974,320
Total Assets1,666,026,470
Total Liabilities41,672,550
Deposit168,909,050
Loan1,518,056,330
Net Interest Income40,229,290

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS9.11
PE Ratio123.31
NPL %2.73
CD Ratio811.64
PEG Value-0.13

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit13,892,700
Prev. Quarter Profit-1,678,960
Net Profit Growth Rate-927.46%
Reserve Surplus22,060,290
Operating Profit22,051,910
Total Assets2,226,964,550
Total Liabilities69,725,260
Deposit246,294,940
Loan1,999,028,960
Net Interest Income54,389,490

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-1.72
PE Ratio-653.10
CD Ratio804.13
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit-2,607,990
Net Profit Growth Rate0.00%
Reserve Surplus-11,999,820
Operating Profit-2,656,980
Total Assets456,499,620
Total Liabilities11,743,230
Deposit47,153,460
Loan379,173,690
Net Interest Income6,734,770

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-5.22
PE Ratio-215.20
NPL %18.97
CD Ratio1253.33
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit-7,956,630
Net Profit Growth Rate0.00%
Reserve Surplus-8,881,820
Operating Profit-8,001,660
Total Assets199,535,840
Total Liabilities7,650,460
Deposit13,863,970
Loan173,761,260
Net Interest Income11,273,400

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-3.62
PE Ratio-310.31
CD Ratio1375.45
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit-5,508,930
Net Profit Growth Rate0.00%
Reserve Surplus-6,434,120
Operating Profit-5,521,590
Total Assets205,023,920
Total Liabilities8,766,040
Deposit10,192,000
Loan140,186,020
Net Interest Income5,650,720

Overview

As of Sep 28, 2025 | 03:00 PM
LTP1007.90 (2.90)
Change %0.29%
Share Outstanding2500000
EPS-1.10
PE Ratio-1021.22
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital152,500,000
Net Profit-1,678,960
Net Profit Growth Rate0.00%
Reserve Surplus-2,604,150
Operating Profit-1,678,960
Total Assets155,153,940
Total Liabilities2,964,010
Deposit2,294,090
Loan24,586,130
Net Interest Income2,797,680