Samata Gharelu Laghubitta Bittiya Sanstha Limited (SMATA) - Quarterly Financial Report & Nepse Stock Data

Samata Gharelu Laghubitta Bittiya Sanstha Limited (SMATA)

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
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS13.51
ROE9.98
ROA14.18
PE Ratio79.87
NPL %6.87
Net Worth135.37
CD Ratio112.11
PEG Value0.33

🏦 Fundamental Overview

Paid-up Capital629,051,560
Net Profit84,998,100
Prev. Quarter Profit24,933,040
Net Profit Growth Rate240.91%
Reserve153,866,190
Operating Profit148,564,370
Distributable Profit68,600,360
Retained Earnings68,600,360
Total Assets599,548,382
Total Liabilities5,143,965,700
Deposit1,601,860,960
Loan5,496,406,080
Net Interest Income337,796,500
Fee & Commission Income43,535,410

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS5.54
ROE4.38
ROA0.62
PE Ratio177.98
NPL %6.53
Net Worth126.46
CD Ratio112.81
PEG Value-13.65

🏦 Fundamental Overview

Paid-up Capital629,051,570
Net Profit26,148,920
Prev. Quarter Profit30,070,900
Net Profit Growth Rate-13.04%
Reserve152,634,200
Operating Profit37,355,600
Distributable Profit13,792,590
Retained Earnings13,792,590
Total Assets5,636,647,660
Total Liabilities4,841,169,300
Deposit1,544,707,870
Loan5,190,994,730
Net Interest Income208,582,200
Fee & Commission Income31,499,840

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS-5.24
ROE-4.16
ROA-0.58
PE Ratio-188.17
NPL %7.83
Net Worth125.89
CD Ratio108.00
PEG Value0.88

🏦 Fundamental Overview

Paid-up Capital599,096,730
Net Profit-15,683,770
Prev. Quarter Profit13,916,640
Net Profit Growth Rate-212.70%
Reserve134,507,990
Operating Profit-15,683,770
Distributable Profit20,574,270
Retained Earnings20,574,270
Total Assets5,389,105,910
Total Liabilities4,634,926,920
Deposit1,446,841,660
Loan4,701,920,160
Net Interest Income113,878,020
Fee & Commission Income20,470,390

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS-29.32
PE Ratio-33.63
NPL %4.58
Net Worth123.58
CD Ratio106.27
PEG Value0.03

🏦 Fundamental Overview

Paid-up Capital564,006,300
Net Profit-41,336,040
Prev. Quarter Profit4,795,180
Net Profit Growth Rate-962.03%
Reserve153,923,420
Operating Profit-41,336,040
Distributable Profit-20,902,780
Retained Earnings-20,902,780
Total Assets4,959,634,350
Total Liabilities4,262,607,400
Deposit1,435,578,950
Loan4,482,113,380
Net Interest Income49,776,420
Fee & Commission Income10,275,110

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS4.42
ROE4.81
ROA0.78
PE Ratio156.51
NPL %10.48
Net Worth130.97
CD Ratio117.95
PEG Value-4.10

🏦 Fundamental Overview

Paid-up Capital564,006,300
Net Profit24,933,040
Prev. Quarter Profit57,407,230
Net Profit Growth Rate-56.57%
Reserve139,204,810
Operating Profit50,738,230
Distributable Profit35,455,170
Retained Earnings35,455,170
Total Assets4,545,027,070
Total Liabilities3,806,360,780
Deposit1,369,128,610
Loan4,246,438,090
Net Interest Income192,259,970
Fee & Commission Income19,071,660

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS9.65
ROE6.86
ROA1.06
PE Ratio102.18
NPL %4.89
Net Worth140.68
CD Ratio112.11
PEG Value0.32

🏦 Fundamental Overview

Paid-up Capital415,527,890
Net Profit30,070,900
Prev. Quarter Profit7,135,920
Net Profit Growth Rate321.40%
Reserve162,019,350
Operating Profit42,958,420
Distributable Profit7,007,860
Retained Earnings7,007,860
Total Assets3,768,537,410
Total Liabilities3,183,982,310
Deposit1,018,216,820
Loan3,409,962,850
Net Interest Income145,128,330
Fee & Commission Income13,689,830

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS7.03
ROE4.87
ROA0.80
PE Ratio140.26
NPL %6.02
Net Worth144.88
CD Ratio113.14
PEG Value-2.73

🏦 Fundamental Overview

Paid-up Capital394,155,820
Net Profit13,916,640
Prev. Quarter Profit28,597,060
Net Profit Growth Rate-51.34%
Reserve146,930,210
Operating Profit19,880,910
Distributable Profit902,410
Retained Earnings29,965,210
Total Assets3,480,001,590
Total Liabilities2,908,950,350
Deposit988,788,050
Loan3,108,841,430
Net Interest Income89,669,140
Fee & Commission Income8,064,980

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS-4.87
PE Ratio-202.46
NPL %7.23
Net Worth129.99
CD Ratio107.40
PEG Value-13.32

🏦 Fundamental Overview

Paid-up Capital394,155,820
Net Profit4,795,180
Prev. Quarter Profit4,162,320
Net Profit Growth Rate15.20%
Reserve103,244,770
Operating Profit41,895,980
Distributable Profit-16,647,860
Retained Earnings14,978,780
Total Assets3,366,643,320
Total Liabilities2,854,263,960
Deposit947,490,770
Loan2,835,445,800
Net Interest Income33,922,150
Fee & Commission Income2,764,810

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS14.56
ROE11.09
ROA1.82
PE Ratio67.72
NPL %4.51
Net Worth131.36
CD Ratio296.00
PEG Value-2.42

🏦 Fundamental Overview

Paid-up Capital394,155,820
Net Profit57,407,230
Prev. Quarter Profit79,726,660
Net Profit Growth Rate-27.99%
Reserve Surplus123,626,420
Operating Profit-18,813,120
Total Assets3,156,123,990
Total Liabilities2,505,090,620
Deposit981,405,400
Loan2,904,982,410
Net Interest Income192,003,780

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS2.63
ROE2.22
ROA0.30
PE Ratio374.90
NPL %5.82
Net Worth118.81
CD Ratio269.85
PEG Value-4.32

🏦 Fundamental Overview

Paid-up Capital394,155,820
Net Profit7,135,920
Prev. Quarter Profit53,633,480
Net Profit Growth Rate-86.70%
Reserve Surplus74,128,050
Operating Profit12,350,010
Total Assets3,422,737,470
Total Liabilities2,505,090,620
Deposit1,146,307,100
Loan3,093,326,310
Net Interest Income128,037,180

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS16.69
ROE9.43
ROA1.64
PE Ratio59.08
NPL %4.57
Net Worth176.98
CD Ratio272.47
PEG Value-3.03

🏦 Fundamental Overview

Paid-up Capital342,744,190
Net Profit28,597,060
Prev. Quarter Profit35,527,390
Net Profit Growth Rate-19.51%
Reserve Surplus263,844,250
Operating Profit36,073,590
Total Assets3,485,341,090
Total Liabilities177,059,800
Deposit1,179,182,310
Loan3,212,913,870
Net Interest Income96,146,070
Fee & Commission Income18,468,160

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS4.86
ROE2.86
ROA0.47
PE Ratio202.88
NPL %3.41
Net Worth169.97
CD Ratio284.97
PEG Value-3.18

🏦 Fundamental Overview

Paid-up Capital342,744,190
Net Profit4,162,320
Prev. Quarter Profit11,473,680
Net Profit Growth Rate-63.72%
Reserve Surplus239,819,640
Operating Profit-2,555,910
Total Assets3,575,268,730
Total Liabilities150,904,930
Deposit1,153,272,150
Loan3,286,462,660
Net Interest Income49,067,470

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS23.26
ROE2.29
ROA2.18
PE Ratio42.39
NPL %3.76
Net Worth154.49
CD Ratio283.52
PEG Value-1.60

🏦 Fundamental Overview

Paid-up Capital342,744,190
Net Profit79,726,660
Prev. Quarter Profit108,361,340
Net Profit Growth Rate-26.43%
Reserve Surplus186,772,610
Operating Profit41,632,630
Total Assets3,659,005,320
Total Liabilities180,211,900
Deposit1,202,655,740
Loan3,409,759,110
Net Interest Income224,733,880

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS20.86
ROE14.16
ROA2.08
PE Ratio47.27
NPL %3.73
Net Worth147.39
CD Ratio305.65
PEG Value-0.50

🏦 Fundamental Overview

Paid-up Capital342,744,190
Net Profit53,633,480
Prev. Quarter Profit1,083,613,340
Net Profit Growth Rate-95.05%
Reserve Surplus162,422,030
Operating Profit18,304,160
Total Assets3,446,123,460
Total Liabilities3,446,123,460
Deposit1,046,439,930
Loan3,198,425,440
Net Interest Income159,191,610

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS20.73
ROE2.18
ROA2.07
PE Ratio47.56
NPL %2.09
Net Worth142.26
CD Ratio310.16
PEG Value-19.55

🏦 Fundamental Overview

Paid-up Capital342,744,190
Net Profit35,527,390
Prev. Quarter Profit36,413,150
Net Profit Growth Rate-2.43%
Reserve Surplus144,831,320
Operating Profit19,744,810
Total Assets3,426,771,450
Total Liabilities163,591,320
Deposit1,036,323,110
Loan3,214,295,570
Net Interest Income117,144,330

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS16.07
ROE146.93
ROA138.30
PE Ratio61.36
NPL %3.51
Net Worth165.62
CD Ratio306.62
PEG Value24.27

🏦 Fundamental Overview

Paid-up Capital285,620,160
Net Profit11,473,680
Prev. Quarter Profit11,190,750
Net Profit Growth Rate2.53%
Reserve187,412,870
Operating Profit18,212,190
Total Assets3,318,318,110
Total Liabilities195,032,990
Deposit994,582,060
Loan2,710,772,170
Net Interest Income52,044,980

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS37.94
ROE3.87
ROA3.65
PE Ratio25.99
NPL %2.83
Net Worth161.43
CD Ratio289.30
PEG Value0.23

🏦 Fundamental Overview

Paid-up Capital285,620,160
Net Profit108,361,340
Prev. Quarter Profit51,328,770
Net Profit Growth Rate111.11%
Reserve Surplus175,445,920
Operating Profit172,002,120
Total Assets2,966,105,970
Total Liabilities162,699,980
Deposit937,000,200
Loan2,710,772,170
Net Interest Income204,903,050

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS38.38
ROE5.15
ROA4.87
PE Ratio25.69
NPL %2.83
Net Worth158.76
CD Ratio289.30
PEG Value0.01

🏦 Fundamental Overview

Paid-up Capital285,620,160
Net Profit1,083,613,340
Prev. Quarter Profit33,845,660
Net Profit Growth Rate3,101.63%
Reserve175,445,920
Operating Profit172,002,120
Total Assets2,966,105,970
Total Liabilities162,699,980
Deposit937,000,200
Loan2,070,418,020
Net Interest Income204,903,050

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS31.75
ROE3.32
ROA3.15
PE Ratio31.06
NPL %3.42
Net Worth146.25
CD Ratio187.36
PEG Value0.76

🏦 Fundamental Overview

Paid-up Capital229,340,160
Net Profit36,413,150
Prev. Quarter Profit25,826,490
Net Profit Growth Rate40.99%
Reserve106,470,340
Operating Profit46,501,470
Total Assets2,310,605,570
Total Liabilities115,456,650
Deposit771,734,460
Loan1,833,441,490
Net Interest Income62,321,850

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS23.42
ROE2.24
ROA2.14
PE Ratio42.10
NPL %1.69
Net Worth185.49
CD Ratio179.11
PEG Value0.14

🏦 Fundamental Overview

Paid-up Capital229,340,160
Net Profit11,190,750
Prev. Quarter Profit2,836,490
Net Profit Growth Rate294.53%
Reserve125,167,070
Operating Profit-8,238,380
Total Assets2,087,121,440
Total Liabilities90,792,970
Deposit657,689,930
Loan1,715,937,570
Net Interest Income16,981,240

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS26.86
ROE2.85
ROA2.70
PE Ratio36.71
NPL %1.92
Net Worth164.15
CD Ratio183.33
PEG Value0.37

🏦 Fundamental Overview

Paid-up Capital191,116,800
Net Profit51,328,770
Prev. Quarter Profit25,797,860
Net Profit Growth Rate98.97%
Reserve126,656,310
Operating Profit35,587,380
Total Assets1,899,718,590
Total Liabilities100,756,150
Deposit606,325,210
Loan1,653,522,000
Net Interest Income123,479,210

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS33.61
ROE2.63
ROA2.44
PE Ratio29.34
NPL %2.11
Net Worth152.07
CD Ratio178.66
PEG Value0.23

🏦 Fundamental Overview

Paid-up Capital191,116,800
Net Profit33,845,660
Prev. Quarter Profit14,848,470
Net Profit Growth Rate127.94%
Reserve99,520,310
Operating Profit17,469,730
Total Assets1,849,639,480
Total Liabilities131,114,180
Deposit638,956,280
Loan1,534,340,400
Net Interest Income722,620,330

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS27.03
ROE0.28
ROA0.28
PE Ratio36.48
NPL %1.68
Net Worth147.88
CD Ratio173.59
PEG Value0.14

🏦 Fundamental Overview

Paid-up Capital191,116,800
Net Profit25,826,490
Prev. Quarter Profit7,217,990
Net Profit Growth Rate257.81%
Reserve91,501,140
Operating Profit14,630,490
Total Assets18,325,281,660
Total Liabilities98,042,450
Deposit602,332,040
Loan1,423,396,610
Net Interest Income54,808,100

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS18.70
ROE0.75
ROA0.71
PE Ratio52.73
NPL %2.22
Net Worth186.21
CD Ratio202.99
PEG Value0.04

🏦 Fundamental Overview

Paid-up Capital60,672,000
Net Profit2,836,490
Prev. Quarter Profit208,380
Net Profit Growth Rate1,261.21%
Reserve80,318,040
Operating Profit1,427,770
Total Assets1,604,800,150
Total Liabilities99,498,590
Deposit560,651,570
Loan1,309,705,800
Net Interest Income23,351,890

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS42.32
ROE1.79
ROA1.72
PE Ratio23.30
NPL %0.98
Net Worth238.87
CD Ratio235.96
PEG Value0.09

🏦 Fundamental Overview

Paid-up Capital60,672,000
Net Profit25,797,860
Prev. Quarter Profit7,385,090
Net Profit Growth Rate249.32%
Reserve84,256,450
Operating Profit58,590,330
Total Assets1,495,595,560
Total Liabilities53,460,173,350
Deposit495,909,220
Loan1,237,085,450
Net Interest Income70,729,900

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS34.81
ROE1.54
ROA1.47
PE Ratio28.33
NPL %1.41
Net Worth196.31
CD Ratio279.92
PEG Value0.18

🏦 Fundamental Overview

Paid-up Capital56,880,000
Net Profit14,848,470
Prev. Quarter Profit5,671,500
Net Profit Growth Rate161.81%
Reserve54,781,880
Operating Profit19,826,500
Total Assets1,344,349,370
Total Liabilities61,770,980
Deposit441,949,910
Loan1,025,181,850
Net Interest Income47,405,870

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS25.30
ROE1.38
ROA1.32
PE Ratio38.97
NPL %0.64
Net Worth166.47
CD Ratio279.20
PEG Value0.50

🏦 Fundamental Overview

Paid-up Capital56,880,000
Net Profit7,217,990
Prev. Quarter Profit4,047,310
Net Profit Growth Rate78.34%
Reserve37,808,700
Operating Profit10,000,860
Total Assets1,094,049,630
Total Liabilities47,977,470
Deposit367,187,190
Loan827,423,350
Net Interest Income28,368,940

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS21.98
ROE0.99
ROA0.91
PE Ratio44.86
NPL %0.41
Net Worth163.01
CD Ratio214.66
PEG Value-0.49

🏦 Fundamental Overview

Paid-up Capital37,920,000
Net Profit208,380
Prev. Quarter Profit2,262,870
Net Profit Growth Rate-90.79%
Reserve23,894,440
Operating Profit2,874,280
Total Assets916,669,420
Total Liabilities71,517,730
Deposit307,254,510
Loan698,370,750
Net Interest Income11,703,110

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS19.48
ROE0.98
ROA0.94
PE Ratio50.62
NPL %0.20
Net Worth157.59
CD Ratio210.86
PEG Value-1.07

🏦 Fundamental Overview

Paid-up Capital37,920,000
Net Profit7,385,090
Prev. Quarter Profit14,053,001
Net Profit Growth Rate-47.45%
Reserve21,836,980
Operating Profit5,269,100
Total Assets788,023,950
Total Liabilities37,653,200
Deposit259,095,920
Loan698,370,750
Net Interest Income39,565,480

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS19.94
ROE1.15
ROA1.10
PE Ratio49.45
NPL %0.71
Net Worth141.10
CD Ratio226.60
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital37,920,000
Net Profit5,671,500
Net Profit Growth Rate0.00%
Reserve15,903,330
Operating Profit3,633,160
Total Assets690,432,690
Total Liabilities33,070,670
Deposit220,088,970
Loan506,641,270
Net Interest Income27,890,370

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS21.35
ROE1.51
ROA1.44
PE Ratio46.18
NPL %1.32
Net Worth137.66
CD Ratio212.89
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital37,920,000
Net Profit4,047,310
Net Profit Growth Rate0.00%
Reserve14,279,140
Operating Profit2,679,220
Total Assets563,489,450
Total Liabilities25,685,570
Deposit185,785,020
Loan426,533,030
Net Interest Income17,323,500

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS28.64
ROE1.91
ROA1.84
PE Ratio34.43
NPL %0.70
Net Worth200.97
CD Ratio191.94
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital31,600,000
Net Profit2,262,870
Net Profit Growth Rate0.00%
Reserve31,907,170
Operating Profit2,040,130
Total Assets491,368,500
Total Liabilities18,740,490
Deposit158,709,170
Loan379,283,640
Net Interest Income8,379,790

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
EPS44.47
ROE3.35
ROA3.22
PE Ratio22.17
NPL %0.67
Net Worth193.57
CD Ratio192.64
PEG Value0.00

🏦 Fundamental Overview

Paid-up Capital31,600,000
Net Profit14,053,001
Net Profit Growth Rate0.00%
Reserve29,569,000
Operating Profit20,933,000
Total Assets436,605,001
Total Liabilities16,719,001
Deposit135,715,000
Net Interest Income36,891,000

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
PE Ratio0.00
PEG Value0.00

🏦 Fundamental Overview

Net Profit Growth Rate0.00%

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
PE Ratio0.00
PEG Value0.00

🏦 Fundamental Overview

Net Profit Growth Rate0.00%

Overview

As of Sep 28, 2025 | 03:00 PM
LTP937.00 (-6.10)
Change %-0.65%
Share Outstanding4155279
PE Ratio0.00
PEG Value0.00

🏦 Fundamental Overview

Net Profit Growth Rate0.00%