2018 ANNUAL REPORT
PDF BNP PARIBAS GROUP CONTACT TÜRKÇE

FIVE-YEAR SUMMARY OF FINANCIAL INFORMATION INCLUDING THE REPORTING PERIOD

(TL thousand)

31.12.2014

2014-2013 change

31.12.2015

2015-2014 change

31.12.2016

2016-2015 change

31.12.2017

2017-2016 change

31.12.2018

2018-

2017 change

Liquid Assets

9.820.075

37,62%

11.237.316

14,43%

15.237.022

35,59%

13.489.109

-11,47%

19.852.854

47,18%

Securities

4.717.696

-9,37%

4.673.796

-0,93%

4.668.068

-0,12%

5.558.278

19,07%

6.699.383

20,53%

Loans

45.392.210

19,03%

53.212.833

17,23%

56.363.829

5,92%

63.290.777

12,29%

63.998.823

1,12%

Other Assets

3.061.908

4,41%

2.836.397

-7,37%

3.458.471

21,93%

3.420.065

-1,11%

6.446.104

88,48%

Total Assets

62.991.889

17,94%

71.960.342

14,24%

79.727.390

10,79%

85.758.229

7,56%

96.997.164

13,11%

Demand Deposits

5.496.770

1,34%

6.981.476

27,01%

7.628.600

9,27%

9.504.405

24,59%

11.644.855

22,52%

Time Deposits

33.941.791

17,59%

37.414.384

10,23%

42.204.058

12,80%

46.072.311

9,17%

52.572.309

14,11%

Funds Borrowed

12.604.468

30,84%

15.919.560

26,30%

16.596.691

4,25%

15.186.301

-8,50%

14.671.854

-3,39%

Other Liabilities

5.045.881

20,13%

4.683.098

-7,19%

5.498.640

17,41%

5.975.535

8,67%

8.369.638

40,07%

Equity (Exl, profit)

5.280.419

11,13%

6.079.371

15,13%

6.857.602

12,80%

7.950.838

15,94%

8.736.805

9,89%

Net Income

622.560

16,36%

882.453

41,75%

941.799

6,73%

1.068.839

13,49%

1.001.703

-6,28%

Total Liabilities

62.991.889

17,94%

71.960.342

14,24%

79.727.390

10,79%

85.758.229

7,56%

96.997.164

13,11%

NPL Ratio

2,43%

0,18%

2,28%

-0,15%

3,08%

0,80%

3,02%

-0,06%

4,15%

1,13%

Return on Equity

12,03%

0,46%

14,68%

2,65%

13,53%

-1,15%

13,38%

-0,15%

11,18%

-2,20%

Return on Assets

1,07%

-0,03%

1,31%

0,24%

1,24%

-0,07%

1,29%

0,05%

1,10%

-0,20%

Capital Adequacy Ratio

13,96%

-0,27%

13,94%

-0,02%

14,37%

0,43%

16,12%

1,74%

16,93%

0,81%