Shine Resunga Development Bank Ltd. (SHINE) - Quarterly Financial Report & Nepse Stock Data

Shine Resunga Development Bank Ltd. (SHINE)

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
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS14.12
ROE9.33
ROA0.86
PE Ratio30.50
NPL %4.24
Net Worth151.42
CD Ratio82.60
PEG Value-24.13

🏦 Fundamental Overview

Paid-up Capital4,875,701,680
Net Profit688,629,944
Prev. Quarter Profit697,445,828
Net Profit Growth Rate-1.26%
Reserve1,826,624,929
Operating Profit953,729,007
Distributable Profit680,460,819
Retained Earnings680,460,819
Total Assets80,263,619,933
Total Liabilities72,880,832,506
Deposit71,767,128,445
Loan56,934,168,967
Net Interest Income2,667,001,239
Fee & Commission Income301,851,047

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS14.06
ROE9.72
ROA0.91
PE Ratio31.28
NPL %4.76
Net Worth147.70
CD Ratio82.40
PEG Value-249.72

🏦 Fundamental Overview

Paid-up Capital4,875,701,680
Net Profit514,014,417
Prev. Quarter Profit514,659,153
Net Profit Growth Rate-0.13%
Reserve1,942,583,641
Operating Profit747,171,410
Distributable Profit387,194,211
Retained Earnings387,194,211
Total Assets77,002,024,734
Total Liabilities69,796,545,202
Deposit69,084,125,620
Loan54,727,801,238
Net Interest Income1,931,256,602
Fee & Commission Income209,207,342

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS13.57
ROE9.52
ROA0.88
PE Ratio32.41
NPL %4.40
Net Worth143.74
CD Ratio82.46
PEG Value-2.98

🏦 Fundamental Overview

Paid-up Capital4,875,701,680
Net Profit330,856,563
Prev. Quarter Profit371,207,896
Net Profit Growth Rate-10.87%
Reserve1,904,501,718
Operating Profit483,021,882
Retained Earnings228,218,607
Total Assets77,083,993,896
Total Liabilities70,075,571,891
Deposit69,303,795,107
Loan54,835,689,104
Net Interest Income1,299,875,565
Fee & Commission Income151,459,141

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS20.23
ROE13.39
ROA1.28
PE Ratio21.74
NPL %3.50
Net Worth151.03
CD Ratio83.24
PEG Value0.87

🏦 Fundamental Overview

Paid-up Capital4,733,690,951
Net Profit239,363,863
Prev. Quarter Profit191,654,460
Net Profit Growth Rate24.89%
Reserve2,021,678,383
Operating Profit352,079,452
Distributable Profit394,068,201
Retained Earnings394,068,200
Total Assets74,824,237,350
Total Liabilities67,674,799,816
Deposit66,716,856,285
Loan53,738,864,686
Net Interest Income658,880,687
Fee & Commission Income74,514,915

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS14.73
ROE10.13
ROA0.95
PE Ratio29.86
NPL %3.43
Net Worth145.43
CD Ratio82.05
PEG Value-2.58

🏦 Fundamental Overview

Paid-up Capital4,733,690,951
Net Profit697,445,828
Prev. Quarter Profit788,826,078
Net Profit Growth Rate-11.58%
Reserve1,766,008,381
Operating Profit1,098,082,728
Distributable Profit384,296,003
Retained Earnings384,296,003
Total Assets73,635,923,561
Total Liabilities66,751,928,226
Deposit65,945,662,001
Loan52,170,668,580
Net Interest Income2,247,231,672
Fee & Commission Income300,265,068

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS14.50
ROE10.25
ROA0.98
PE Ratio30.33
NPL %3.41
Net Worth141.40
CD Ratio85.12
PEG Value-4.22

🏦 Fundamental Overview

Paid-up Capital4,733,690,951
Net Profit514,659,153
Prev. Quarter Profit554,501,413
Net Profit Growth Rate-7.19%
Reserve1,810,628,307
Operating Profit812,725,610
Distributable Profit148,885,907
Retained Earnings148,885,908
Total Assets70,250,721,738
Total Liabilities63,557,516,572
Deposit62,776,430,109
Loan51,677,052,534
Net Interest Income16,311,011,991
Fee & Commission Income234,269,054

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS15.68
ROE11.31
ROA1.08
PE Ratio28.05
NPL %2.62
Net Worth138.68
CD Ratio85.27
PEG Value-2.06

🏦 Fundamental Overview

Paid-up Capital4,733,690,951
Net Profit371,207,896
Prev. Quarter Profit429,678,912
Net Profit Growth Rate-13.61%
Reserve1,763,604,587
Operating Profit593,032,650
Distributable Profit67,466,592
Retained Earnings67,466,592
Total Assets68,514,715,765
Total Liabilities61,949,953,635
Deposit60,624,394,515
Loan50,415,682,631
Net Interest Income1,041,361,916
Fee & Commission Income169,100,231

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS17.90
ROE12.08
ROA1.16
PE Ratio24.57
NPL %2.59
Net Worth148.14
CD Ratio81.14
PEG Value-2.94

🏦 Fundamental Overview

Paid-up Capital4,283,883,210
Net Profit191,654,460
Prev. Quarter Profit209,136,009
Net Profit Growth Rate-8.36%
Reserve1,619,235,830
Operating Profit293,310,620
Retained Earnings442,965,920
Total Assets65,828,213,300
Total Liabilities59,482,128,350
Deposit57,871,031,001
Loan46,195,593,180
Net Interest Income511,388,330
Fee & Commission Income79,597,400

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS18.37
ROE12.70
ROA1.24
PE Ratio23.94
NPL %1.81
Net Worth144.62
CD Ratio81.04
PEG Value1.08

🏦 Fundamental Overview

Paid-up Capital4,283,883,213
Net Profit788,826,078
Prev. Quarter Profit645,289,144
Net Profit Growth Rate22.24%
Reserve1,424,658,909
Operating Profit1,133,827,336
Distributable Profit486,799,062
Retained Earnings486,799,061
Total Assets63,419,184,351
Total Liabilities57,223,843,167
Deposit56,132,086,299
Loan43,743,814,204
Net Interest Income2,109,987,198
Fee & Commission Income256,095,277

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS17.26
ROE12.47
ROA1.25
PE Ratio25.48
NPL %2.11
Net Worth138.41
CD Ratio84.85
PEG Value1.77

🏦 Fundamental Overview

Paid-up Capital4,283,883,213
Net Profit554,501,413
Prev. Quarter Profit484,755,840
Net Profit Growth Rate14.39%
Reserve1,448,024,971
Operating Profit796,227,822
Distributable Profit197,334,179
Retained Earnings197,334,179
Total Assets59,366,843,898
Total Liabilities53,437,601,535
Deposit52,451,199,187
Loan42,580,158,107
Net Interest Income1,543,655,392
Fee & Commission Income194,611,384

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS20.06
ROE14.73
ROA1.52
PE Ratio21.93
NPL %1.31
Net Worth136.21
CD Ratio86.08
PEG Value0.95

🏦 Fundamental Overview

Paid-up Capital4,283,883,213
Net Profit429,678,912
Prev. Quarter Profit348,830,506
Net Profit Growth Rate23.18%
Reserve1,438,389,756
Operating Profit617,909,420
Distributable Profit109,402,465
Retained Earnings112,895,259
Total Assets56,396,553,369
Total Liabilities50,561,385,141
Deposit49,484,583,098
Loan40,457,165,773
Net Interest Income1,054,572,610
Fee & Commission Income133,805,100

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS22.12
ROE14.94
ROA1.57
PE Ratio19.88
NPL %1.09
Net Worth148.05
CD Ratio85.61
PEG Value0.47

🏦 Fundamental Overview

Paid-up Capital3,781,009,014
Net Profit209,136,009
Prev. Quarter Profit147,363,336
Net Profit Growth Rate41.92%
Reserve1,281,770,054
Operating Profit298,766,156
Distributable Profit12,352,092
Retained Earnings479,767,713
Total Assets53,397,599,277
Total Liabilities47,799,942,891
Deposit45,574,469,993
Loan37,388,627,027
Net Interest Income502,977,673
Fee & Commission Income67,296,118

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS17.07
ROE11.94
ROA1.28
PE Ratio25.77
NPL %0.96
Net Worth143.03
CD Ratio84.83
PEG Value1.01

🏦 Fundamental Overview

Paid-up Capital3,781,009,014
Net Profit645,289,144
Prev. Quarter Profit514,525,968
Net Profit Growth Rate25.41%
Reserve1,100,017,761
Operating Profit247,418,910
Distributable Profit470,002,664
Retained Earnings471,876,851
Total Assets50,692,129,485
Total Liabilities45,284,116,254
Deposit43,276,547,753
Loan34,496,611,418
Net Interest Income465,150,114
Fee & Commission Income29,893,593

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS17.09
ROE12.27
ROA1.31
PE Ratio25.74
NPL %1.24
Net Worth139.32
CD Ratio86.93
PEG Value3.17

🏦 Fundamental Overview

Paid-up Capital3,781,009,010
Net Profit484,755,840
Prev. Quarter Profit448,341,022
Net Profit Growth Rate8.12%
Reserve1,173,436,050
Operating Profit693,099,320
Distributable Profit256,412,031
Retained Earnings258,286,220
Total Assets49,353,344,950
Total Liabilities4,408,550,406
Deposit41,025,886,630
Loan34,569,742,760
Net Interest Income1,200,335,250
Fee & Commission Income141,787,600

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS18.45
ROE13.53
ROA1.44
PE Ratio23.84
NPL %0.99
Net Worth136.33
CD Ratio87.22
PEG Value0.71

🏦 Fundamental Overview

Paid-up Capital3,781,009,014
Net Profit348,830,506
Prev. Quarter Profit261,111,922
Net Profit Growth Rate33.59%
Reserve1,098,590,377
Operating Profit287,816,672
Distributable Profit218,058,500
Retained Earnings219,932,687
Total Assets48,338,688,221
Total Liabilities43,184,046,527
Deposit39,671,269,061
Loan33,683,661,717
Net Interest Income428,793,974
Fee & Commission Income40,658,640

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS17.29
ROE4.32
ROA0.31
PE Ratio25.44
NPL %1.01
Net Worth146.38
CD Ratio89.13
PEG Value0.06

🏦 Fundamental Overview

Paid-up Capital3,408,463,909
Net Profit147,363,336
Prev. Quarter Profit28,878,784
Net Profit Growth Rate410.28%
Reserve1,145,488,708
Operating Profit210,519,051
Distributable Profit432,886,570
Retained Earnings432,886,571
Total Assets205,050,060
Total Liabilities42,056,203,293
Deposit40,271,163,696
Loan29,157,407,522
Net Interest Income379,743,254
Fee & Commission Income66,641,477

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS15.10
ROE10.66
ROA1.22
PE Ratio29.14
NPL %0.99
Net Worth141.66
CD Ratio80.01
PEG Value3.46

🏦 Fundamental Overview

Paid-up Capital3,408,463,909
Net Profit514,525,968
Prev. Quarter Profit474,516,302
Net Profit Growth Rate8.43%
Reserve1,034,081,925
Operating Profit117,586,866
Distributable Profit378,957,393
Retained Earnings383,681,925
Total Assets42,200,494,201
Total Liabilities37,372,221,149
Deposit35,415,474,790
Loan28,709,664,169
Net Interest Income387,520,033
Fee & Commission Income36,458,509

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS13.15
ROE12.66
ROA1.50
PE Ratio33.44
NPL %1.16
Net Worth138.50
CD Ratio82.16
PEG Value12.62

🏦 Fundamental Overview

Paid-up Capital3,408,463,909
Net Profit448,341,022
Prev. Quarter Profit436,770,930
Net Profit Growth Rate2.65%
Reserve997,297,071
Operating Profit267,441,419
Distributable Profit308,177,425
Retained Earnings312,481,796
Total Assets39,917,319,131
Total Liabilities35,196,610,900
Deposit33,875,132,470
Loan27,183,106,249
Net Interest Income358,183,787
Fee & Commission Income53,870,244

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS15.32
ROE11.55
ROA1.35
PE Ratio28.71
NPL %1.27
Net Worth132.68
CD Ratio79.46
PEG Value-2.18

🏦 Fundamental Overview

Paid-up Capital3,408,463,909
Net Profit261,111,922
Prev. Quarter Profit300,794,600
Net Profit Growth Rate-13.19%
Reserve937,209,138
Operating Profit331,193,400
Distributable Profit169,883,272
Retained Earnings174,187,550
Total Assets38,638,261,250
Total Liabilities34,115,935,199
Deposit32,721,660,431
Loan25,688,202,057
Net Interest Income297,490,125
Fee & Commission Income51,620,877

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS3.39
ROE2.74
ROA0.31
PE Ratio129.78
NPL %2.68
Net Worth139.76
CD Ratio74.68
PEG Value-1.69

🏦 Fundamental Overview

Paid-up Capital3,408,463,909
Net Profit28,878,784
Prev. Quarter Profit125,392,071
Net Profit Growth Rate-76.97%
Reserve890,717,184
Operating Profit40,489,840
Distributable Profit92,561,976
Retained Earnings306,227,023
Total Assets36,840,235,756
Total Liabilities32,624,486,352
Deposit32,093,531,650
Loan24,357,037,994
Net Interest Income273,777,592
Fee & Commission Income39,512,141

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS13.92
ROE11.32
ROA1.35
PE Ratio31.59
NPL %1.10
Net Worth138.95
CD Ratio70.38
PEG Value2.03

🏦 Fundamental Overview

Paid-up Capital3,408,463,909
Net Profit474,516,302
Prev. Quarter Profit410,502,336
Net Profit Growth Rate15.59%
Reserve806,745,942
Operating Profit55,720,033
Distributable Profit332,246,082
Retained Earnings365,747,478
Total Assets35,212,358,529
Total Liabilities31,021,059,913
Deposit30,209,159,247
Loan24,736,478,274
Net Interest Income288,330,840
Fee & Commission Income26,894,190

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS14.48
ROE14.11
ROA1.78
PE Ratio30.38
NPL %0.99
Net Worth157.36
CD Ratio75.33
PEG Value0.75

🏦 Fundamental Overview

Paid-up Capital3,016,339,742
Net Profit436,770,930
Prev. Quarter Profit310,904,000
Net Profit Growth Rate40.48%
Reserve1,403,221,211
Operating Profit194,967,158
Distributable Profit70,858,306
Retained Earnings98,836,319
Total Assets32,739,533,989
Total Liabilities28,612,106,881
Deposit27,591,488,269
Loan23,898,248,059
Net Interest Income355,807,034
Fee & Commission Income29,018,986

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS22.94
ROE14.92
ROA1.91
PE Ratio19.18
NPL %0.61
Net Worth153.71
CD Ratio75.99
PEG Value0.38

🏦 Fundamental Overview

Paid-up Capital2,622,904,124
Net Profit300,794,600
Prev. Quarter Profit199,034,840
Net Profit Growth Rate51.13%
Reserve535,274,324
Operating Profit244,991,237
Distributable Profit253,660,720
Retained Earnings873,555,939
Total Assets31,493,898,836
Total Liabilities27,462,164,451
Deposit26,775,630,121
Loan23,401,983,432
Net Interest Income359,105,450
Fee & Commission Income37,251,628

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS19.12
ROE13.05
ROA1.60
PE Ratio23.00
NPL %0.45
Net Worth146.50
CD Ratio77.49
PEG Value0.78

🏦 Fundamental Overview

Paid-up Capital2,622,904,124
Net Profit125,392,071
Prev. Quarter Profit96,743,690
Net Profit Growth Rate29.61%
Reserve597,287,667
Operating Profit182,101,303
Distributable Profit27,854,595
Retained Earnings622,276,071
Total Assets31,441,020,164
Total Liabilities27,598,552,302
Deposit26,857,677,892
Loan15,925,297,161
Net Interest Income327,567,227
Fee & Commission Income372,674,795

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS25.30
ROE17.29
ROA1.91
PE Ratio17.39
NPL %0.12
Net Worth146.31
CD Ratio74.00
PEG Value0.64

🏦 Fundamental Overview

Paid-up Capital1,622,665,260
Net Profit410,502,336
Prev. Quarter Profit322,599,360
Net Profit Growth Rate27.25%
Reserve420,015,682
Operating Profit165,020,880
Distributable Profit316,474,658
Retained Earnings331,456,521
Total Assets21,463,341,904
Total Liabilities19,089,204,441
Deposit18,850,015,766
Loan15,299,911,000
Net Interest Income258,469,075
Fee & Commission Income38,291,090

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS19.16
ROA2.12
PE Ratio22.96
NPL %0.19
Net Worth139.59
CD Ratio77.32
PEG Value0.74

🏦 Fundamental Overview

Paid-up Capital1,622,665,000
Net Profit310,904,000
Prev. Quarter Profit237,200,710
Net Profit Growth Rate31.07%
Reserve642,359,000
Operating Profit485,678,000
Total Assets19,552,315,000
Deposit16,986,993,000
Loan14,523,683,000
Net Interest Income639,815,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS24.53
ROA2.04
PE Ratio17.93
NPL %0.17
Net Worth132.69
CD Ratio78.08
PEG Value0.57

🏦 Fundamental Overview

Paid-up Capital1,622,665,260
Net Profit199,034,840
Prev. Quarter Profit151,434,940
Net Profit Growth Rate31.43%
Reserve Surplus530,490,320
Operating Profit310,883,340
Total Assets18,518,117,940
Total Liabilities256,310,420
Deposit16,102,372,050
Loan14,523,682,790
Net Interest Income409,980,710

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS37.01
ROA3.40
PE Ratio11.88
NPL %0.11
Net Worth126.39
CD Ratio78.51
PEG Value0.24

🏦 Fundamental Overview

Paid-up Capital1,622,665,260
Net Profit96,743,690
Prev. Quarter Profit65,096,570
Net Profit Growth Rate48.62%
Reserve Surplus428,199,170
Operating Profit150,139,190
Total Assets17,663,613,090
Total Liabilities312,131,160
Deposit1,525,915,650
Loan13,571,942,080
Net Interest Income201,322,750

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS23.40
ROA1.92
PE Ratio18.80
NPL %0.07
Net Worth142.86
CD Ratio75.03
PEG Value-2.43

🏦 Fundamental Overview

Paid-up Capital1,378,615,400
Net Profit322,599,360
Prev. Quarter Profit349,621,000
Net Profit Growth Rate-7.73%
Reserve Surplus590,903,800
Operating Profit483,330,830
Total Assets16,786,386,440
Total Liabilities275,193,410
Deposit14,539,917,260
Loan12,387,422,590
Net Interest Income659,017,150

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS17.21
ROA2.11
PE Ratio25.56
NPL %0.16
Net Worth136.73
CD Ratio77.75
PEG Value-2.16

🏦 Fundamental Overview

Paid-up Capital1,378,615,400
Net Profit237,200,710
Prev. Quarter Profit269,006,000
Net Profit Growth Rate-11.82%
Reserve Surplus506,397,350
Operating Profit350,102,090
Total Assets14,959,066,420
Total Liabilities217,900,390
Deposit12,856,153,280
Loan11,460,573,600
Net Interest Income469,772,400

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS21.97
ROA2.17
PE Ratio20.02
NPL %0.17
Net Worth130.51
CD Ratio76.34
PEG Value-2.28

🏦 Fundamental Overview

Paid-up Capital1,378,615,400
Net Profit151,434,940
Prev. Quarter Profit165,983,000
Net Profit Growth Rate-8.76%
Reserve Surplus420,631,590
Operating Profit219,775,710
Total Assets13,976,227,730
Total Liabilities229,031,980
Deposit11,944,783,460
Loan10,492,602,310
Net Interest Income303,104,040

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS18.89
ROA2.01
PE Ratio23.29
NPL %0.53
Net Worth124.29
CD Ratio76.47
PEG Value-5.68

🏦 Fundamental Overview

Paid-up Capital1,378,615,400
Net Profit65,096,570
Prev. Quarter Profit67,880,000
Net Profit Growth Rate-4.10%
Reserve Surplus334,884,160
Operating Profit97,694,470
Total Assets12,950,638,360
Total Liabilities271,041,400
Deposit10,938,199,400
Loan9,659,301,810
Net Interest Income146,024,410

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS31.70
ROA2.89
PE Ratio13.87
NPL %0.22
Net Worth149.25
CD Ratio73.83
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital1,102,892,000
Net Profit349,621,000
Net Profit Growth Rate0.00%
Reserve543,146,000
Operating Profit540,091,000
Total Assets12,118,282,000
Deposit10,268,966,000
Loan8,638,245,000
Net Interest Income664,638,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS24.39
ROA3.25
PE Ratio18.03
NPL %0.26
Net Worth142.07
CD Ratio77.34
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital1,102,892,000
Net Profit269,006,000
Net Profit Growth Rate0.00%
Reserve464,033,000
Operating Profit415,098,000
Total Assets11,040,924,000
Deposit9,266,976,000
Loan8,175,694,000
Net Interest Income501,052,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS30.10
ROA3.05
PE Ratio14.61
NPL %0.35
Net Worth132.73
CD Ratio76.72
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital1,102,892,000
Net Profit165,983,000
Net Profit Growth Rate0.00%
Reserve361,010,000
Operating Profit254,317,000
Total Assets10,881,516,000
Deposit9,205,058,000
Loan8,025,270,000
Net Interest Income312,690,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP422.00 (4.10)
Change %0.98%
Share Outstanding47336910
EPS24.62
ROA2.55
PE Ratio17.87
NPL %0.24
Net Worth123.84
CD Ratio77.12
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital1,102,892,000
Net Profit67,880,000
Net Profit Growth Rate0.00%
Reserve262,908,000
Operating Profit102,845,000
Total Assets10,646,535,000
Deposit9,053,317,000
Net Interest Income135,044,000