2019 ANNUAL REPORT
PDF BNP PARIBAS GROUP CONTACT TÜRKÇE

FIVE-YEAR SUMMARY OF FINANCIAL INFORMATION INCLUDING THE REPORTING PERIOD

(TL thousand)

31.12.2015

2015-
2014 Change

31.12.2016

2016-2015 Change

31.12.2017

2017-2016 Change

31.12.2018

2018-2017 Change

31.12.2019

2019-2018 Change

Liquid Assets

11,237,316

14.43%

15,237,022

35.59%

13,489,109

-11.47%

19,852,854

47.18%

21,336,601

7.47%

Securities

4,673,796

-0.93%

4,668,068

-0.12%

5,558,278

19.07%

6,699,383

20.53%

11,740,554

75.25%

Loans

53,212,833

17.23%

56,363,829

5.92%

63,290,777

12.29%

63,998,823

1.12%

65,577,143

2.47%

Other Assets

2,836,397

-7.37%

3,458,471

21.93%

3,420,65

-1.11%

6,446,104

88.48%

8,695,870

34.90%

Total Assets

71,960,342

14.24%

79,727,390

10.79%

85,758,229

7.56%

96,997,164

13.11%

107,350,168

10.67%

Demand Deposits

6,981,476

27.01%

7,628,600

9.27%

9,504,405

24.59%

11,644.855

22.52%

16,786,665

44.16%

Time Deposits

37,414,384

10.23%

42,204,058

12.80%

46.072,311

9.17%

52,572,309

14.11%

55,407,662

5.39%

Funds Borrowed

15,919,560

26.30%

16,596,691

4.25%

15,186,301

-8.50%

14,671,854

-3.39%

13,412,150

-8.59%

Other Liabilities

4,683,098

-7.19%

5,498,640

17.41%

5,975,535

8.67%

8,369,638

40.07%

12,023,117

43.65%

Equity (Exl, profit)

6,079,371

15.13%

6,857,602

12.80%

7,950,838

15.94%

8,736,805

9.89%

8,650,220

-0.99%

Net Income

882,453

41.75%

941,799

6.73%

1,068,839

13.49%

1,001,703

-6.28%

1,070,354

6.85%

Total Liabilities

71,960,342

14.24%

79,727,390

10.79%

85,758,229

7.56%

96,997,164

13.11%

107,350,168

10.67%

NPL Ratio

2.28%

-0.15%

3.08%

0.80%

3.02%

-0.06%

4.15%

1.13%

5.99%

1.84%

Return on Equity

14.68%

2.65%

13.53%

-1.15%

13.38%

-0.15%

11.18%

-2.20%

11.50%

0.32%

Return on Assets

1.31%

0.24%

1.24%

-0.07%

1.29%

0.05%

1.10%

-0.20%

1.05%

-0.05%

Capital Adequacy Ratio

13.94%

-0.02%

14.37%

0.43%

16.12%

1.74%

16.93%

0.81%

16.95%

0.02%