FIVE-YEAR SUMMARY OF FINANCIAL INFORMATION INCLUDING THE REPORTING PERIOD
(thousand TL) |
31.12.2010 |
31.12.2011 |
2010-2011 change |
31.12.2012 |
2012-2011 change |
31.12.2013 |
2013-2012 change |
31.12.2014 |
2014-2013 change |
---|---|---|---|---|---|---|---|---|---|
Liquid Assets |
2,730,780 |
4,869.639 |
%78,32 |
6,858.891 |
%40,85 |
7,135.898 |
%4,04 |
9,820.075 |
%37,62 |
Securities |
3,725,750 |
5,581.519 |
%49,81 |
4,708.275 |
%-15,65 |
5,205.234 |
%10,56 |
4,717.696 |
%-9,37 |
Loans |
11,753,255 |
25,652.425 |
%118,26 |
29,685.734 |
%15,72 |
38,134.957 |
%28,46 |
45,392.210 |
%19,03 |
Other Assets |
821,320 |
1,,988.155 |
%142,07 |
2,279.435 |
%14,65 |
2,932.539 |
%28,65 |
3,061.908 |
%4,41 |
Total Assets |
19,031,105 |
38,091.738 |
%100,16 |
43,532.335 |
%14,28 |
53,408.628 |
%22,69 |
62,991.889 |
%17,94 |
Demand Deposits |
2,,436,586 |
4,026.090 |
%65,23 |
4,339.298 |
%7,78 |
5,424.318 |
%25,00 |
5,496.768 |
%1,34 |
Time Deposits |
9,562,564 |
18,860.522 |
%97,23 |
24,387.267 |
%29,30 |
28,863.656 |
%18,36 |
33,941.793 |
%17,59 |
Funds Borrowed |
4,151,017 |
8,396.293 |
%102,27 |
6,257.178 |
%-25,48 |
9,633.738 |
%53,96 |
12,604.468 |
%30,84 |
Other Liabilities |
1,068,075 |
2,595.522 |
%143,01 |
3,743.010 |
%44,21 |
4,200.478 |
%12,22 |
5,045.881 |
%20,13 |
Equity (Exl.profit) |
1,512,562 |
4,006.636 |
%164,89 |
4,309.604 |
%7,56 |
4,751.390 |
%10,25 |
5,280.419 |
%11,13 |
Net Income |
300,301 |
206,675 |
%-31,18 |
495,978 |
%139,98 |
535,048 |
%7,88 |
622,560 |
%16,36 |
Total Liabilities |
19,031.105 |
38,091,738 |
%100,16 |
43,532.335 |
%14,28 |
53,408.628 |
%22,69 |
62,991.889 |
%17,94 |
Selected Ratios |
|||||||||
NPL |
%3.00 |
-%35.34 |
%2.78 |
%-7.49 |
%2.14 |
%-22.93 |
%2.25 |
%2,43 |
%8,21 |
Return on Equity |
%17.35 |
%26.83 |
%6.86 |
%-60.47 |
%12.41 |
%138.15 |
%11.50 |
%11,76 |
%2,30 |
Return on Assets |
%1.76 |
%24.82 |
%0.72 |
%-58.89 |
%1.19 |
%64.44 |
%1.10 |
%1.07 |
%-3,10 |
Capital Adequacy Ratio |
%14,43 |
%14,23 |
%-1,39 |
%15,24 |
%7,10 |
%14,23 |
%-6,63 |
%13,96 |
%-1,90 |