Multipurpose Finance Company Limited (MPFL) - Quarterly Financial Report & Nepse Stock Data

Multipurpose Finance Company Limited (MPFL)

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
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS3.82
ROE0.58
ROA3.03
PE Ratio160.57
NPL %5.47
Net Worth126.01
CD Ratio59.51
PEG Value10.96

🏦 Fundamental Overview

Paid-up Capital610,200,000
Net Profit23,324,317
Prev. Quarter Profit20,343,029
Net Profit Growth Rate14.66%
Reserve13,059,870
Operating Profit33,862,248
Retained Earnings12,109,240
Total Assets3,974,124,725
Total Liabilities3,205,217,896
Deposit3,172,739,554
Loan1,888,125,981
Net Interest Income87,602,554
Fee & Commission Income15,505,518

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS4.73
ROE0.76
ROA4.05
PE Ratio142.19
NPL %5.36
Net Worth116.59
CD Ratio60.08
PEG Value3.96

🏦 Fundamental Overview

Paid-up Capital610,200,000
Net Profit21,647,420
Prev. Quarter Profit15,932,892
Net Profit Growth Rate35.87%
Reserve72,811,048
Operating Profit32,544,931
Retained Earnings17,881,736
Total Assets3,754,355,274
Total Liabilities3,042,921,771
Deposit3,004,813,172
Loan1,805,333,581
Net Interest Income64,894,854
Fee & Commission Income11,116,795

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS6.57
PE Ratio102.37
NPL %5.45
Net Worth116.33
CD Ratio61.45
PEG Value1.31

🏦 Fundamental Overview

Paid-up Capital610,200,000
Net Profit20,038,242
Prev. Quarter Profit11,249,566
Net Profit Growth Rate78.12%
Reserve72,489,213
Operating Profit28,626,060
Retained Earnings16,594,393
Total Assets3,562,753,303
Total Liabilities2,852,928,977
Deposit2,815,669,577
Loan1,730,358,237
Net Interest Income46,666,452
Fee & Commission Income6,987,881

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS9.69
ROE8.37
ROA1.94
PE Ratio69.41
NPL %4.97
Net Worth115.73
CD Ratio66.97
PEG Value0.56

🏦 Fundamental Overview

Paid-up Capital610,200,000
Net Profit14,774,873
Prev. Quarter Profit6,580,480
Net Profit Growth Rate124.53%
Reserve66,114,936
Operating Profit21,106,961
Retained Earnings19,350,576
Total Assets3,040,539,343
Total Liabilities2,334,333,112
Deposit2,298,487,059
Loan1,539,408,433
Net Interest Income23,120,886
Fee & Commission Income3,590,428

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS5.06
ROE2.91
ROA1.56
PE Ratio132.92
NPL %4.60
Net Worth114.50
CD Ratio77.30
PEG Value0.55

🏦 Fundamental Overview

Paid-up Capital610,200,000
Net Profit20,343,029
Prev. Quarter Profit5,992,226
Net Profit Growth Rate239.49%
Reserve62,968,098
Operating Profit26,816,465
Retained Earnings14,956,968
Total Assets2,608,866,811
Total Liabilities1,910,201,026
Deposit1,870,250,257
Loan292,861,888
Net Interest Income90,242,852
Fee & Commission Income12,238,877

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS3.48
ROE3.06
ROA0.84
PE Ratio193.26
NPL %3.44
Net Worth113.77
CD Ratio78.19
PEG Value0.98

🏦 Fundamental Overview

Paid-up Capital610,200,000
Net Profit15,932,892
Prev. Quarter Profit5,366,903
Net Profit Growth Rate196.87%
Reserve62,038,162
Operating Profit20,720,230
Retained Earnings11,428,858
Total Assets2,520,863,385
Total Liabilities1,826,660,646
Deposit1,786,108,147
Loan1,396,523,282
Net Interest Income62,085,214
Fee & Commission Income12,239,833

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS3.69
ROE3.26
ROA0.96
PE Ratio182.27
NPL %1.48
Net Worth113.08
CD Ratio83.24
PEG Value0.48

🏦 Fundamental Overview

Paid-up Capital610,200,000
Net Profit11,249,566
Prev. Quarter Profit2,331,609
Net Profit Growth Rate382.48%
Reserve61,600,204
Operating Profit12,614,178
Retained Earnings7,682,197
Total Assets2,334,302,670
Total Liabilities1,644,279,549
Deposit1,602,505,968
Loan1,333,868,843
Net Interest Income38,425,348
Fee & Commission Income44,223,151

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS4.42
ROE3.98
ROA120.00
PE Ratio152.16
NPL %1.22
Net Worth110.95
CD Ratio76.69
PEG Value0.10

🏦 Fundamental Overview

Paid-up Capital595,922,700
Net Profit6,580,480
Prev. Quarter Profit418,114
Net Profit Growth Rate1,473.85%
Reserve62,323,509
Operating Profit6,297,913
Retained Earnings2,933,624
Total Assets2,198,985,829
Total Liabilities1,537,805,996
Deposit1,522,163,169
Loan1,167,288,924
Net Interest Income19,509,084
Fee & Commission Income1,909,647

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS1.33
ROE1.17
ROA0.29
PE Ratio505.68
NPL %0.79
Net Worth113.55
CD Ratio76.85
PEG Value10.85

🏦 Fundamental Overview

Paid-up Capital452,000,000
Net Profit5,992,226
Prev. Quarter Profit4,087,747
Net Profit Growth Rate46.59%
Reserve64,358,631
Operating Profit8,933,855
Retained Earnings-1,317,455
Total Assets2,055,339,279
Total Liabilities1,542,101,112
Deposit1,530,875,586
Loan1,182,546,329
Net Interest Income48,308,387
Fee & Commission Income11,178,321

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS1.58
ROE1.42
ROA0.37
PE Ratio425.67
NPL %1.13
Net Worth111.59
CD Ratio80.21
PEG Value0.44

🏦 Fundamental Overview

Paid-up Capital452,000,000
Net Profit5,366,903
Prev. Quarter Profit507,479
Net Profit Growth Rate957.56%
Reserve55,989,416
Operating Profit6,440,271
Retained Earnings-3,620,723
Total Assets1,908,971,179
Total Liabilities1,404,602,486
Deposit1,391,465,740
Loan1,116,113,413
Net Interest Income30,214,332
Fee & Commission Income8,181,975

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS1.03
ROE0.94
ROA0.26
PE Ratio652.97
NPL %0.39
Net Worth110.11
CD Ratio74.85
PEG Value-13.84

🏦 Fundamental Overview

Paid-up Capital452,000,000
Net Profit2,331,609
Prev. Quarter Profit4,414,055
Net Profit Growth Rate-47.18%
Reserve36,317,326
Operating Profit2,733,565
Retained Earnings9,369,953
Total Assets1,808,080,904
Total Liabilities1,310,393,626
Deposit1,296,537,029
Loan970,468,797
Net Interest Income11,776,455
Fee & Commission Income3,190,704

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS0.37
ROE0.34
ROA0.11
PE Ratio1817.73
NPL %0.22
Net Worth109.86
CD Ratio77.59
PEG Value19.04

🏦 Fundamental Overview

Paid-up Capital452,000,000
Net Profit418,114
Prev. Quarter Profit213,899
Net Profit Growth Rate95.47%
Reserve35,851,004
Operating Profit578,305
Retained Earnings8,709,530
Total Assets1,543,426,293
Total Liabilities1,046,865,759
Deposit1,032,644,977
Loan789,091,626
Net Interest Income4,906,483
Fee & Commission Income1,983,771

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS0.90
ROE0.83
ROA0.30
PE Ratio747.29
NPL %0.87
Net Worth109.98
CD Ratio85.98
PEG Value-11.11

🏦 Fundamental Overview

Paid-up Capital452,000,000
Net Profit4,087,747
Prev. Quarter Profit12,481,198
Net Profit Growth Rate-67.25%
Reserve36,802,144
Operating Profit5,060,670
Retained Earnings8,291,417
Total Assets1,343,721,475
Total Liabilities846,627,914
Deposit840,983,470
Loan709,033,300
Net Interest Income16,827,472
Fee & Commission Income2,534,909

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS0.15
ROE0.14
ROA0.06
PE Ratio4483.73
NPL %1.76
Net Worth124.76
CD Ratio97.59
PEG Value9.78

🏦 Fundamental Overview

Paid-up Capital452,000,000
Net Profit507,479
Prev. Quarter Profit90,843
Net Profit Growth Rate458.63%
Reserve40,922,108
Operating Profit-3,899,375
Retained Earnings5,528,697
Total Assets1,113,634,006
Total Liabilities615,183,201
Deposit590,560,653
Loan560,087,811
Net Interest Income3,688,615
Fee & Commission Income2,127,312

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS2.31
ROE1.80
ROA0.92
PE Ratio291.15
NPL %2.38
Net Worth122.95
CD Ratio99.57
PEG Value4.97

🏦 Fundamental Overview

Paid-up Capital400,000,000
Net Profit4,414,055
Prev. Quarter Profit2,783,286
Net Profit Growth Rate58.59%
Reserve13,675,538
Operating Profit5,755,797
Retained Earnings56,799,130
Total Assets960,832,918
Total Liabilities469,016,796
Deposit442,062,174
Loan425,880,486
Net Interest Income10,028,752
Fee & Commission Income2,296,551

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS0.21
ROE0.04
ROA0.02
PE Ratio3202.67
NPL %1.25
Net Worth121.32
CD Ratio121.05
PEG Value-40.05

🏦 Fundamental Overview

Paid-up Capital400,000,000
Net Profit213,899
Prev. Quarter Profit1,068,188
Net Profit Growth Rate-79.98%
Reserve12,869,488
Operating Profit32,190
Retained Earnings51,054,370
Total Assets880,300,337
Total Liabilities395,035,026
Deposit356,518,105
Loan431,549,411
Net Interest Income5,088,380
Fee & Commission Income2,554,950

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS3.88
ROE2.46
ROA1.37
PE Ratio173.34
NPL %0.98
Net Worth115.18
CD Ratio50.67
PEG Value-35.11

🏦 Fundamental Overview

Paid-up Capital400,000,000
Net Profit12,481,198
Prev. Quarter Profit13,129,328
Net Profit Growth Rate-4.94%
Reserve45,525,920
Operating Profit17,830,283
Retained Earnings41,065,571
Total Assets912,919,799
Total Liabilities404,986,855
Deposit369,730,643
Loan42,883,694
Net Interest Income16,426,641
Fee & Commission Income6,601,880

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS4.80
ROE0.02
ROA0.01
PE Ratio140.12
NPL %1.23
Net Worth116.73
CD Ratio48.60
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital4,000,000,000
Net Profit90,843
Net Profit Growth Rate0.00%
Reserve46,738,341
Operating Profit129,776
Retained Earnings30,964,992
Total Assets929,571,788
Total Liabilities430,527,002
Deposit394,990,887
Loan362,623,299
Net Interest Income235,606
Fee & Commission Income1,644,197

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS8.04
ROE1.84
ROA0.80
PE Ratio83.65
NPL %2.09
Net Worth122.79
CD Ratio57.22
PEG Value1.95

🏦 Fundamental Overview

Paid-up Capital224,037,900
Net Profit2,783,286
Prev. Quarter Profit1,947,382
Net Profit Growth Rate42.92%
Reserve46,127,565
Operating Profit3,976,123
Retained Earnings30,785,220
Total Assets693,612,283
Total Liabilities391,283,539
Deposit36,451,465,081
Loan343,866,609
Net Interest Income8,565,733
Fee & Commission Income687,967

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS3.00
ROE1.42
ROA0.65
PE Ratio224.19
NPL %3.78
Net Worth122.79
CD Ratio59.20
PEG Value-4.38

🏦 Fundamental Overview

Paid-up Capital224,057,900
Net Profit1,068,188
Prev. Quarter Profit2,188,863
Net Profit Growth Rate-51.20%
Reserve47,531,035
Operating Profit1,525,983
Retained Earnings27,651,085
Total Assets652,412,625
Total Liabilities351,814,547
Deposit305,700,970
Loan318,585,828
Net Interest Income1,714,062
Fee & Commission Income517,956

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS5.86
ROA2.25
PE Ratio114.78
NPL %1.50
Net Worth133.74
CD Ratio63.48
PEG Value0.90

🏦 Fundamental Overview

Paid-up Capital224,057,900
Net Profit13,129,328
Prev. Quarter Profit5,760,465
Net Profit Growth Rate127.92%
Reserve47,602,267
Operating Profit18,060,474
Retained Earnings26,635,818
Total Assets583,137,634
Total Liabilities2,834,835,911
Deposit230,283,778
Net Interest Income19,762,450
Fee & Commission Income1,170,232

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
PE Ratio0.00
PEG Value0.00

🏦 Fundamental Overview

Prev. Quarter Profit2,499,494
Net Profit Growth Rate0.00%

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS4.59
ROE0.59
ROA0.54
PE Ratio146.53
NPL %4.88
Net Worth115.69
CD Ratio55.31
PEG Value-3.19

🏦 Fundamental Overview

Paid-up Capital199,962,200
Net Profit1,947,382
Prev. Quarter Profit3,603,094
Net Profit Growth Rate-45.95%
Reserve Surplus31,379,322
Operating Profit3,060,171
Total Assets521,136,884
Total Liabilities45,862,400
Deposit242,958,855
Loan288,895,340
Net Interest Income7,443,086

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS9.11
ROE1.98
ROA1.82
PE Ratio73.83
NPL %2.85
Net Worth120.36
CD Ratio55.31
PEG Value0.27

🏦 Fundamental Overview

Paid-up Capital151,093,441
Net Profit2,188,863
Prev. Quarter Profit593,664
Net Profit Growth Rate268.70%
Reserve30,755,456
Operating Profit1,096,731
Total Assets480,294,790
Total Liabilities37,024,296
Deposit257,751,482
Loan243,152,767
Net Interest Income1,827,965
Fee & Commission Income1,166,036

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS13.89
ROE13.89
ROA1.78
PE Ratio48.42
NPL %4.51
Net Worth152.44
CD Ratio78.28
PEG Value-4.39

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit5,760,465
Prev. Quarter Profit6,474,020
Net Profit Growth Rate-11.02%
Reserve Surplus30,799,206
Operating Profit9,052,160
Total Assets323,503,459
Total Liabilities38,219,675
Deposit213,198,459
Loan219,474,198
Net Interest Income15,730,954

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS8.40
ROE1.15
ROA1.03
PE Ratio80.07
NPL %3.69
Net Worth156.33
CD Ratio78.58
PEG Value-1.95

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit2,499,494
Prev. Quarter Profit4,233,250
Net Profit Growth Rate-40.96%
Reserve Surplus27,328,102
Operating Profit3,967,450
Total Assets324,514,067
Total Liabilities35,946,461
Deposit219,765,904
Loan223,643,578
Net Interest Income10,019,203

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS12.01
ROE2.48
ROA2.22
PE Ratio56.00
NPL %7.00
Net Worth156.33
CD Ratio76.00
PEG Value0.30

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit3,603,094
Prev. Quarter Profit1,267,950
Net Profit Growth Rate184.17%
Reserve Surplus27,312,405
Operating Profit3,951,754
Total Assets324,791,396
Total Liabilities34,639,844
Deposit221,365,547
Loan218,048,032
Net Interest Income7,111,037
Fee & Commission Income1,355,953

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS1.43
ROE3.57
ROA0.89
PE Ratio469.85
NPL %4.49
Net Worth162.69
CD Ratio75.97
PEG Value-17.71

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit593,664
Prev. Quarter Profit808,000
Net Profit Growth Rate-26.53%
Reserve Surplus26,000,573
Operating Profit942,324
Total Assets313,724,662
Total Liabilities35,286,614
Deposit210,963,876
Loan210,801,064
Net Interest Income3,889,279
Fee & Commission Income699,295

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS15.60
ROE2.54
ROA2.27
PE Ratio43.11
NPL %4.63
CD Ratio78.62
PEG Value4.22

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit6,474,020
Prev. Quarter Profit5,874,000
Net Profit Growth Rate10.21%
Reserve Surplus21,256,050
Operating Profit10,276,220
Total Assets285,077,320
Total Liabilities29,891,620
Deposit189,681,480
Loan193,120,970
Net Interest Income16,081,390

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS10.21
ROE2.17
ROA1.90
PE Ratio65.89
NPL %4.97
Net Worth130.67
CD Ratio79.34
PEG Value-27.29

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit4,233,250
Prev. Quarter Profit4,338,000
Net Profit Growth Rate-2.41%
Reserve Surplus12,720,260
Operating Profit6,719,440
Total Assets297,284,280
Total Liabilities37,264,460
Deposit204,011,710
Loan209,986,910
Net Interest Income10,148,900

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS3.06
ROE1.01
ROA0.89
PE Ratio219.99
NPL %5.08
Net Worth143.34
CD Ratio78.63
PEG Value-3.54

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit1,267,950
Prev. Quarter Profit3,344,001
Net Profit Growth Rate-62.08%
Reserve Surplus17,976,780
Operating Profit1,267,950
Total Assets283,573,430
Total Liabilities32,209,810
Deposit190,913,240
Loan196,514,110
Net Interest Income3,963,240

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS1.95
ROE1.32
ROA1.20
PE Ratio345.22
NPL %3.80
Net Worth142.23
CD Ratio78.62
PEG Value-23.10

🏦 Fundamental Overview

Paid-up Capital41,473,600
Net Profit808,000
Prev. Quarter Profit950,001
Net Profit Growth Rate-14.95%
Reserve Surplus17,516,820
Operating Profit808,000
Total Assets270,085,900
Total Liabilities270,085,900
Deposit185,856,890
Loan191,869,750
Net Interest Income2,377,190

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS14.16
ROA25.47
PE Ratio47.49
NPL %4.29
Net Worth131.97
CD Ratio73.93
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital41,473,001
Net Profit5,874,000
Net Profit Growth Rate0.00%
Reserve13,258,001
Operating Profit8,417,001
Total Assets23,065,001
Total Liabilities23,065,001
Deposit154,934,001
Loan155,316,000
Net Interest Income12,545,001

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS10.46
ROE2.89
ROA2.56
PE Ratio64.30
NPL %6.21
Net Worth128.26
CD Ratio77.26
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital41,473,001
Net Profit4,338,000
Net Profit Growth Rate0.00%
Reserve11,722,000
Operating Profit6,047,001
Total Assets226,278,000
Total Liabilities25,929,000
Deposit145,294,000
Loan168,298,001
Net Interest Income8,300,001

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS16.13
ROE3.27
ROA2.89
PE Ratio41.71
NPL %5.92
Net Worth125.87
CD Ratio84.37
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital41,473,001
Net Profit3,344,001
Net Profit Growth Rate0.00%
Reserve10,729,000
Operating Profit4,463,001
Total Assets231,760,000
Total Liabilities27,515,000
Deposit150,609,000
Loan155,065,001
Net Interest Income6,433,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP568.90 (6.90)
Change %1.23%
Share Outstanding6102000
EPS0.10
ROE1.93
ROA1.72
PE Ratio6553.91
NPL %6.97
Net Worth100.45
CD Ratio78.66
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital3,703,000,000
Net Profit950,001
Net Profit Growth Rate0.00%
Reserve16,641,001
Operating Profit348,001
Total Assets221,548,001
Total Liabilities24,566,001
Deposit143,902,000
Net Interest Income1,726,001