Mero Microfinance Bittiya Sanstha Ltd. (MERO) - Quarterly Financial Report & Nepse Stock Data

Mero Microfinance Bittiya Sanstha Ltd. (MERO)

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
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS15.23
ROE9.63
ROA1.39
PE Ratio57.37
NPL %9.99
Net Worth158.10
CD Ratio123.20
PEG Value1.19

🏦 Fundamental Overview

Paid-up Capital1,419,000,000
Net Profit216,090,214
Prev. Quarter Profit145,717,638
Net Profit Growth Rate48.29%
Reserve711,441,492
Operating Profit330,244,823
Distributable Profit113,159,873
Retained Earnings113,159,873
Total Assets15,521,553,814
Total Liabilities13,277,952,449
Deposit3,980,898,800
Loan15,017,884,501
Net Interest Income1,050,319,373
Fee & Commission Income100,751,554

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS12.15
ROE7.95
ROA1.11
PE Ratio75.02
NPL %9.49
Net Worth152.91
CD Ratio118.70
PEG Value16.85

🏦 Fundamental Overview

Paid-up Capital1,419,000,000
Net Profit129,355,514
Prev. Quarter Profit123,842,452
Net Profit Growth Rate4.45%
Reserve764,301,392
Operating Profit184,680,391
Distributable Profit-13,476,504
Retained Earnings-13,476,504
Total Assets15,521,359,050
Total Liabilities13,351,534,163
Deposit3,783,862,126
Loan14,685,913,815
Net Interest Income738,212,696
Fee & Commission Income69,217,257

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS12.05
ROE7.49
ROA1.05
PE Ratio75.65
NPL %7.78
Net Worth160.99
CD Ratio117.55
PEG Value3.19

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit79,553,878
Prev. Quarter Profit64,309,839
Net Profit Growth Rate23.70%
Reserve728,976,254
Operating Profit117,996,745
Distributable Profit76,035,042
Retained Earnings76,035,042
Total Assets15,112,877,118
Total Liabilities12,987,865,822
Deposit3,628,504,394
Loan14,143,645,016
Net Interest Income506,363,001
Fee & Commission Income42,112,604

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS1.11
ROE0.69
ROA0.10
PE Ratio821.21
NPL %9.39
Net Worth160.89
CD Ratio120.82
PEG Value-7.76

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit3,650,447
Prev. Quarter Profit-62,547,308
Net Profit Growth Rate-105.84%
Reserve652,611,734
Operating Profit5,474,671
Distributable Profit151,085,767
Retained Earnings151,085,777
Total Assets14,542,186,190
Total Liabilities12,418,488,679
Deposit3,431,338,807
Loan13,899,214,267
Net Interest Income221,897,544
Fee & Commission Income20,255,728

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS11.04
ROE10.36
ROA1.49
PE Ratio54.81
NPL %7.68
Net Worth160.53
CD Ratio118.02
PEG Value0.27

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit145,717,638
Prev. Quarter Profit71,931,641
Net Profit Growth Rate102.58%
Reserve602,744,048
Operating Profit313,117,521
Distributable Profit196,231,934
Retained Earnings196,231,934
Total Assets14,758,936,378
Total Liabilities12,639,960,397
Deposit3,407,984,072
Loan13,850,160,504
Net Interest Income874,847,974
Fee & Commission Income117,886,905

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS12.51
ROE8.14
ROA1.14
PE Ratio72.86
NPL %7.61
Net Worth153.72
CD Ratio412.47
PEG Value0.09

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit123,842,452
Prev. Quarter Profit13,087,134
Net Profit Growth Rate846.29%
Reserve615,410,367
Operating Profit175,884,971
Distributable Profit93,725,478
Retained Earnings93,725,133
Total Assets14,538,966,145
Total Liabilities8,192,559,650
Deposit3,396,809,173
Loan13,997,272,011
Net Interest Income609,258,082
Fee & Commission Income90,048,494

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS9.74
ROE6.53
ROA0.90
PE Ratio93.59
NPL %7.87
Net Worth149.22
CD Ratio409.80
PEG Value-18.20

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit64,309,839
Prev. Quarter Profit67,795,070
Net Profit Growth Rate-5.14%
Reserve524,547,907
Operating Profit91,841,282
Distributable Profit69,720,750
Retained Earnings125,140,329
Total Assets14,273,060,874
Total Liabilities12,303,372,638
Deposit3,381,091,259
Loan13,787,272,159
Net Interest Income396,312,032
Fee & Commission Income53,234,587

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS-18.95
PE Ratio-48.10
NPL %11.50
Net Worth141.18
CD Ratio409.70
PEG Value0.14

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit-62,547,308
Prev. Quarter Profit25,585,610
Net Profit Growth Rate-344.46%
Reserve555,819,671
Operating Profit-62,575,525
Distributable Profit-108,872,944
Retained Earnings-12,204,424
Total Assets14,301,253,304
Total Liabilities12,437,638,056
Deposit3,379,096,891
Loan13,750,670,457
Net Interest Income159,311,299
Fee & Commission Income26,711,006

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS5.45
ROE3.73
ROA0.49
PE Ratio167.26
NPL %5.84
Net Worth146.16
CD Ratio409.62
PEG Value-2.00

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit71,931,641
Prev. Quarter Profit442,228,634
Net Profit Growth Rate-83.73%
Reserve506,663,162
Operating Profit93,430,831
Distributable Profit24,495,912
Retained Earnings75,621,750
Total Assets14,729,859,017
Total Liabilities12,793,295,698
Deposit3,424,775,872
Loan13,933,260,356
Net Interest Income761,941,813
Fee & Commission Income103,683,493

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS1.32
ROE0.93
ROA0.12
PE Ratio690.56
NPL %9.10
Net Worth141.98
CD Ratio404.84
PEG Value-7.18

🏦 Fundamental Overview

Paid-up Capital1,320,000,000
Net Profit13,087,134
Prev. Quarter Profit341,574,680
Net Profit Growth Rate-96.17%
Reserve496,473,435
Operating Profit13,667,206
Distributable Profit-14,092,790
Retained Earnings57,679,655
Total Assets14,910,296,982
Total Liabilities895,129,300
Deposit3,570,896,736
Loan14,327,926,172
Net Interest Income527,282,724
Fee & Commission Income77,402,884

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS11.30
ROE6.60
ROA0.87
PE Ratio80.67
NPL %4.96
Net Worth171.19
CD Ratio419.93
PEG Value-1.08

🏦 Fundamental Overview

Paid-up Capital1,200,000,000
Net Profit67,795,070
Prev. Quarter Profit266,562,070
Net Profit Growth Rate-74.57%
Reserve489,312,830
Operating Profit94,824,400
Distributable Profit46,644,960
Retained Earnings364,977,572
Total Assets15,666,676,639
Total Liabilities13,612,386,237
Deposit3,597,998,328
Loan15,031,273,463
Net Interest Income391,748,081
Fee & Commission Income53,327,752

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS8.53
ROE4.95
ROA0.62
PE Ratio106.86
NPL %4.89
Net Worth172.18
CD Ratio462.09
PEG Value-1.33

🏦 Fundamental Overview

Paid-up Capital1,200,000,000
Net Profit25,585,610
Prev. Quarter Profit128,541,340
Net Profit Growth Rate-80.10%
Reserve493,929,095
Operating Profit34,504,371
Distributable Profit11,983,727
Retained Earnings372,290,671
Total Assets16,463,103,075
Total Liabilities14,396,883,310
Deposit3,457,829,654
Loan15,961,326,738
Net Interest Income201,655,568
Fee & Commission Income33,195,545

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS36.85
ROE21.30
ROA2.52
PE Ratio24.74
NPL %2.94
Net Worth177.99
CD Ratio479.72
PEG Value-22.08

🏦 Fundamental Overview

Paid-up Capital1,200,000,000
Net Profit442,228,634
Prev. Quarter Profit447,239,870
Net Profit Growth Rate-1.12%
Reserve442,639,707
Operating Profit110,767,644
Distributable Profit260,729,158
Retained Earnings433,239,234
Total Assets17,543,271,040
Total Liabilities15,040,198,693
Deposit3,419,084,456
Loan16,422,402,280
Net Interest Income243,227,381
Fee & Commission Income49,609,307

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS37.95
ROE2.10
ROA1.99
PE Ratio24.02
NPL %3.88
Net Worth160.41
CD Ratio511.67
PEG Value1.58

🏦 Fundamental Overview

Paid-up Capital1,200,000,000
Net Profit341,574,680
Prev. Quarter Profit296,509,340
Net Profit Growth Rate15.20%
Reserve Surplus724,912,520
Operating Profit541,034,850
Total Assets17,132,014,520
Total Liabilities888,703,930
Deposit3,174,394,530
Loan16,242,312,720
Net Interest Income809,151,800

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS44.43
ROE1.64
ROA1.55
PE Ratio20.52
NPL %3.55
Net Worth154.09
CD Ratio549.85
PEG Value0.23

🏦 Fundamental Overview

Paid-up Capital1,200,000,000
Net Profit266,562,070
Prev. Quarter Profit140,732,710
Net Profit Growth Rate89.41%
Reserve Surplus649,028,020
Operating Profit331,728,690
Total Assets17,116,804,340
Total Liabilities841,219,060
Deposit2,959,070,270
Loan16,270,453,780
Net Interest Income571,047,150
Fee & Commission Income265,130

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS51.42
ROE0.83
ROA0.79
PE Ratio17.73
NPL %4.96
Net Worth195.58
CD Ratio570.78
PEG Value0.06

🏦 Fundamental Overview

Paid-up Capital1,000,000,000
Net Profit128,541,340
Prev. Quarter Profit32,315,010
Net Profit Growth Rate297.78%
Reserve Surplus955,814,990
Operating Profit161,778,240
Total Assets16,252,149,140
Total Liabilities734,094,810
Deposit2,675,479,000
Loan15,271,149,980
Net Interest Income271,968,450

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS44.72
ROE3.13
ROA2.98
PE Ratio20.38
NPL %3.78
Net Worth163.12
CD Ratio564.75
PEG Value0.12

🏦 Fundamental Overview

Paid-up Capital1,000,000,000
Net Profit447,239,870
Prev. Quarter Profit162,268,130
Net Profit Growth Rate175.62%
Reserve Surplus631,210,940
Operating Profit590,518,590
Total Assets14,967,569,030
Total Liabilities671,659,790
Deposit2,416,290,630
Loan13,645,985,660
Net Interest Income901,037,890

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS39.53
ROE2.12
ROA2.04
PE Ratio23.06
NPL %1.70
Net Worth148.02
CD Ratio541.48
PEG Value0.11

🏦 Fundamental Overview

Paid-up Capital1,000,000,000
Net Profit296,509,340
Prev. Quarter Profit95,829,310
Net Profit Growth Rate209.41%
Reserve Surplus480,169,750
Operating Profit387,390,810
Total Assets14,566,026,040
Total Liabilities576,806,330
Deposit2,399,071,440
Loan12,990,533,020
Net Interest Income571,438,590

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS28.15
ROE1.30
ROA1.25
PE Ratio32.38
NPL %2.05
Net Worth134.54
CD Ratio495.48
PEG Value0.45

🏦 Fundamental Overview

Paid-up Capital1,000,000,000
Net Profit140,732,710
Prev. Quarter Profit81,995,020
Net Profit Growth Rate71.64%
Reserve Surplus345,351,940
Operating Profit166,276,130
Total Assets1,345,243,980
Total Liabilities525,720,220
Deposit2,114,666,320
Loan10,477,832,990
Net Interest Income302,613,070

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS15.12
ROE0.38
ROA0.35
PE Ratio60.29
NPL %3.08
Net Worth145.21
CD Ratio416.44
PEG Value-2.47

🏦 Fundamental Overview

Paid-up Capital855,140,000
Net Profit32,315,010
Prev. Quarter Profit42,729,590
Net Profit Growth Rate-24.37%
Reserve Surplus386,574,580
Operating Profit10,778,700
Total Assets9,250,056,840
Total Liabilities518,612,590
Deposit1,810,756,120
Loan7,540,661,800
Net Interest Income112,876,170

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS18.98
ROE2.39
ROA2.25
PE Ratio48.03
NPL %3.65
Net Worth141.32
CD Ratio368.39
PEG Value-15.03

🏦 Fundamental Overview

Paid-up Capital855,140,000
Net Profit162,268,130
Prev. Quarter Profit167,622,570
Net Profit Growth Rate-3.19%
Reserve Surplus353,354,170
Operating Profit191,326,360
Total Assets7,191,478,520
Total Liabilities382,205,060
Deposit1,586,049,840
Loan5,842,801,030
Net Interest Income504,753,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS14.94
ROE1.48
ROA1.37
PE Ratio61.01
NPL %1.99
Net Worth133.36
CD Ratio354.56
PEG Value-4.27

🏦 Fundamental Overview

Paid-up Capital855,140,000
Net Profit95,829,310
Prev. Quarter Profit111,825,920
Net Profit Growth Rate-14.30%
Reserve Surplus285,249,690
Operating Profit121,524,950
Total Assets6,944,981,000
Total Liabilities441,726,910
Deposit1,580,307,100
Loan5,603,066,170
Net Interest Income314,168,500

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS19.18
ROE1.33
ROA1.26
PE Ratio47.53
NPL %1.80
Net Worth131.35
CD Ratio352.30
PEG Value1.46

🏦 Fundamental Overview

Paid-up Capital855,140,000
Net Profit81,995,020
Prev. Quarter Profit61,858,340
Net Profit Growth Rate32.55%
Reserve Surplus268,072,680
Operating Profit110,715,360
Total Assets6,503,224,040
Total Liabilities315,763,080
Deposit1,456,180,090
Loan5,130,115,560
Net Interest Income241,908,460

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS25.98
ROE0.77
ROA0.73
PE Ratio35.09
NPL %1.60
Net Worth164.84
CD Ratio372.04
PEG Value0.63

🏦 Fundamental Overview

Paid-up Capital657,800,000
Net Profit42,729,590
Prev. Quarter Profit27,404,620
Net Profit Growth Rate55.92%
Reserve Surplus426,523,640
Operating Profit57,612,320
Total Assets5,789,292,540
Total Liabilities298,443,900
Deposit1,312,229,330
Loan4,882,074,120
Net Interest Income119,721,010

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS25.48
ROE3.19
ROA3.00
PE Ratio35.77
NPL %1.20
Net Worth126.07
CD Ratio389.68
PEG Value0.46

🏦 Fundamental Overview

Paid-up Capital657,800,000
Net Profit167,622,570
Prev. Quarter Profit94,734,120
Net Profit Growth Rate76.94%
Reserve Surplus339,083,330
Operating Profit229,337,620
Total Assets5,584,928,250
Total Liabilities328,483,320
Deposit1,210,633,440
Loan4,717,575,780
Net Interest Income369,878,950

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS45.33
ROE2.54
ROA2.28
PE Ratio20.11
NPL %2.04
Net Worth157.34
CD Ratio407.46
PEG Value0.23

🏦 Fundamental Overview

Paid-up Capital657,800,000
Net Profit111,825,920
Prev. Quarter Profit59,933,760
Net Profit Growth Rate86.58%
Reserve Surplus188,595,460
Operating Profit175,726,440
Total Assets4,921,482,060
Total Liabilities530,919,450
Deposit1,073,688,220
Loan4,374,885,810
Net Interest Income258,110,950

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS37.62
ROE1.50
ROA1.33
PE Ratio24.23
NPL %1.87
Net Worth142.15
CD Ratio416.10
PEG Value0.31

🏦 Fundamental Overview

Paid-up Capital328,900,000
Net Profit61,858,340
Prev. Quarter Profit34,543,280
Net Profit Growth Rate79.07%
Reserve Surplus138,627,880
Operating Profit97,205,960
Total Assets4,632,988,110
Total Liabilities525,933,700
Deposit960,042,450
Loan3,994,736,820
Net Interest Income150,768,020

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS33.33
ROE0.68
ROA0.65
PE Ratio27.35
NPL %1.48
Net Worth131.68
CD Ratio429.55
PEG Value0.62

🏦 Fundamental Overview

Paid-up Capital328,900,000
Net Profit27,404,620
Prev. Quarter Profit19,017,280
Net Profit Growth Rate44.10%
Reserve Surplus104,174,160
Operating Profit42,516,730
Total Assets4,280,590,030
Total Liabilities284,639,730
Deposit849,499,730
Loan3,649,024,360
Net Interest Income70,917,770

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS33.12
ROE2.50
ROA2.36
PE Ratio27.52
NPL %1.33
Net Worth155.45
CD Ratio431.87
PEG Value13.40

🏦 Fundamental Overview

Paid-up Capital286,000,000
Net Profit94,734,120
Prev. Quarter Profit92,827,000
Net Profit Growth Rate2.05%
Reserve Surplus158,575,820
Operating Profit148,527,200
Total Assets4,006,138,280
Total Liabilities204,609,490
Deposit783,791,720
Loan3,384,958,120
Net Interest Income238,740,260

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS27.94
ROE1.78
ROA1.67
PE Ratio32.62
NPL %1.39
Net Worth143.29
CD Ratio432.77
PEG Value-2.41

🏦 Fundamental Overview

Paid-up Capital286,000,000
Net Profit59,933,760
Prev. Quarter Profit69,302,000
Net Profit Growth Rate-13.52%
Reserve Surplus123,775,460
Operating Profit94,181,620
Total Assets3,595,463,960
Total Liabilities214,524,380
Deposit699,412,040
Loan3,026,849,020
Net Interest Income152,285,510

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS24.16
ROE1.12
ROA1.05
PE Ratio37.73
NPL %1.29
Net Worth134.40
CD Ratio427.65
PEG Value-1.48

🏦 Fundamental Overview

Paid-up Capital286,000,000
Net Profit34,543,280
Prev. Quarter Profit46,404,000
Net Profit Growth Rate-25.56%
Reserve Surplus98,384,990
Operating Profit54,282,300
Total Assets3,273,312,460
Total Liabilities187,087,470
Deposit623,005,350
Loan2,664,267,750
Net Interest Income102,860,090

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS26.60
ROE0.59
ROA0.56
PE Ratio34.27
NPL %1.31
Net Worth128.97
CD Ratio463.74
PEG Value-3.05

🏦 Fundamental Overview

Paid-up Capital286,000,000
Net Profit19,017,280
Prev. Quarter Profit21,427,000
Net Profit Growth Rate-11.25%
Reserve Surplus82,858,990
Operating Profit29,433,650
Total Assets3,398,522,540
Total Liabilities183,255,060
Deposit552,930,300
Loan2,564,162,100
Net Interest Income52,052,030

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS42.19
ROA3.33
PE Ratio21.60
NPL %0.98
Net Worth177.14
CD Ratio481.09
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital220,000,000
Net Profit92,827,000
Net Profit Growth Rate0.00%
Reserve169,712,000
Operating Profit142,212,000
Total Assets2,789,320,000
Deposit499,553,000
Loan2,215,920,000
Net Interest Income208,367,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS31.50
ROA3.45
PE Ratio28.94
NPL %1.36
Net Worth166.45
CD Ratio520.73
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital220,000,000
Net Profit69,302,000
Net Profit Growth Rate0.00%
Reserve146,187,000
Operating Profit108,904,000
Total Assets2,678,752,000
Deposit425,542,000
Loan1,832,782,000
Net Interest Income154,740,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS42.19
ROA3.72
PE Ratio21.61
NPL %1.64
Net Worth156.04
CD Ratio518.08
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital220,000,000
Net Profit46,404,000
Net Profit Growth Rate0.00%
Reserve123,289,000
Operating Profit72,921,000
Total Assets2,497,591,000
Deposit353,763,000
Loan1,575,433,000
Net Interest Income105,266,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP835.10 (-3.90)
Change %-0.46%
Share Outstanding13200000
EPS42.85
ROA3.85
PE Ratio21.27
NPL %2.02
Net Worth159.16
CD Ratio535.11
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital200,000,000
Net Profit21,427,000
Net Profit Growth Rate0.00%
Reserve118,311,000
Operating Profit33,670,000
Total Assets2,223,516,000
Deposit294,411,000
Net Interest Income49,819,000