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Unaudited Half Year Results

21st Jul 2010 15:45

RNS Number : 6426P
Bank Audi SAL- Audi Saradar Group
21 July 2010
 



 

Bank Audi sal - Audi Saradar Group

 

 

Consolidated Activity Highlights in the First Half of 2010

 

• US$ 27.3 billion in total assets

• US$ 23.8 billion in customers' deposits

• US$ 2.3 billion of shareholders' equity

• US$ 161.4 million of consolidated profits in the first half of 2010

27% contribution of foreign entities to consolidated net profits

 

• 49.2% primary liquidity to customers deposits ratio

• 11.8% capital adequacy ratio as per Basle II

• 0.79% net doubtful to gross loans ratio

• 74.1% loan loss provisions to gross doubtful loans ratio

• 15.3% return on average common equity

 

- US$ 798 million increase in customer deposits in the first half of 2010

- 21.4% growth in net earnings relative to the 2009 corresponding period

- In addition to specific provisions, collective provisions reached US$ 53

million, the equivalent of 0.69% of net loans

 

 

Consolidated Statement of Financial Position (Unaudited)

 

(LBP million)

Assets

30/06/2010

31/12/2009

Cash and balances with Central Banks

5,886,742

6,206,156

Due from banks & financial institutions

6,068,604

7,737,364

Due from head office, sister, related banks and financial institutions

Financial assets given as collateral and reverse repurchase agreements

Derivative financial instruments

51,145

38,436

Financial assets held for trading (2)

957,988

835,042

Financial assets designated at fair value through profit & loss

Net loans & advances to customers (1)

11,434,266

9,930,856

Net loans & advances to related parties

257,521

239,824

Debtors by acceptances

271,441

284,423

Available for sale financial instruments (2)

7,535,945

6,003,316

Financial assets classified as loans and receivables (2) (3)

7,347,219

7,298,527

Held to maturity financial instruments (2)

364,797

367,379

Investments in associates

30,282

31,697

Investment properties

Property & equipment

496,414

503,490

Intangible fixed assets

24,863

25,906

Non current assets held for sale

21,807

29,261

Deferred taxes assets

2,067

2,417

Other assets

219,434

174,833

Goodwill

215,417

218,747

Total Assets

41,185,952

39,927,674

(1) After deduction of provisions amounting to LBP (million) 267,175 from loans and advances to customers as per IAS 39, of which LBP (million) 80,193 representing provisions on collective assessment

(2) Includes

(a) an amount of LBP (billion) 4,535 representing Local Currency Lebanese Treasury Bills

(b) an amount of LBP (billion) 2,362 representing Lebanese Eurobonds of which LBP (billion) 526 risk ceded

(3) Includes an amount of LBP (billion) 4,427 representing Local Currency Certificates of Deposits

 

 

 

Consolidated Statement of Financial Position (Unaudited)

(LBP million)

Liabilities

30/06/2010

31/12/2009

Due to Central Banks

133,342

133,359

Due to banks & financial institutions

777,216

775,059

Due to head office, sister, related banks and financial institutions

Financial assets taken as collateral & repurchase agreement

Derivative financial instruments

61,055

28,631

Financial liabilities held for trading

Financial liabilities designated at fair value through profit & loss

Customers deposits

35,593,788

34,382,301

Deposits from related parties

258,868

267,874

Debt issued & other borrowed funds

153,148

Engagements by acceptances

271,441

284,423

Current tax liabilities

28,945

45,721

Deferred tax liabilities

26,592

21,263

Other liabilities

573,013

467,548

Liabilities related to non-current assets held for sale

Provisions for risks & charges

24,361

24,127

End of service benefits

41,223

38,461

Subordinated loans & similar debts

Total Liabilities

37,789,844

36,621,915

Shareholders' Equity - Group Share

3,229,028

3,103,325

Capital - Common shares

421,632

421,632

Capital - Preferred shares

16,844

15,313

Issue premium - Common shares

693,902

843,902

Issue premium - Preferred shares

360,031

173,125

Merger premium

36,006

Cash contribution to capital

72,586

72,586

Capital reserves

1,118,579

782,672

Treasury shares

(122,716)

(74,390)

Retained earnings

161,179

124,368

Revaluation reserve of real estate

18,600

18,600

Reserve on revaluation of financial Instruments

279,897

243,772

Reserve for cash flow hedges

Foreign currency translation reserve

(28,977)

22,641

Other reserves

4,307

3,645

Result of the year

233,164

419,453

Minority Interest

167,080

202,434

Profit & Loss Accounts

Total Shareholders' Equity

3,396,108

3,305,759

Total Liabilities & Shareholders' Equity

41,185,952

39,927,674

 

 

Consolidated Off Balance Sheet (Unaudited)

 

(LBP million)

OFF Balance Sheet

30/06/2010

31/12/2009

Financing Commitments

- Financing commitments given to banks & financial institutions

815,302

778,181

- Financing commitments received from banks & financial institutions

- Engagement to customers

456,430

487,834

Bank guarantees :

- Guarantees given to banks & financial institutions

324,013

294,932

of which: credit derivatives

- Guarantees received from banks & financial institutions

507,621

697,490

of which: credit derivatives

- Guarantees given to customers

2,345,378

2,453,686

- Guarantees received from customers

8,183,305

8,033,876

Financial Notes Commitments

- Financial notes commitments to be received

of which: financial instruments sold with a buy back option

- Financial notes commitments to be delivered

of which: financial instruments purchased with a buy back option

Foreign Currencies Forwards

- Foreign currencies to receive

1,976,042

1,275,714

- Foreign currencies to deliver

1,991,486

1,269,292

Engagements on term financial instruments

326,185

631,714

Claims from legal cases

Fiduciary assets

1,417,229

1,493,915

Assets under management

9,755,743

9,006,903

Mutual funds

224,709

137,623

Structured financial products

Engagements unlikely to be executed

Bad debts fully provided for

290,063

359,735

 

 

(LBP million)

Consolidated Income statement (Unaudited)

30/06/2010

30/06/2009

Interest & similar income

992,724

882,383

Interest & similar expenses

(647,155)

(577,020)

Net Interest Income

345,569

305,363

Fees & commissions income

154,907

122,692

Fees & commissions expenses

(24,653)

(20,252)

Net Fees & Commissions Income

130,254

102,440

Net trading income/loss

48,713

43,693

Net gain or loss on financial assets or liabilities designated at fair value through profit & loss

(341)

8,042

Net gain or loss on financial investments

78,895

27,155

Other operating Income

33,174

38,434

Total Operating Income

636,264

525,127

Net provisions for credit losses

(33,345)

(24,322)

Provisions for doubtful loans

(43,817)

(31,056)

Recoveries of provisions for doubtful loans

10,472

6,734

Provision on impairment of financial instruments

(564)

(51)

Net Operating income

602,355

500,754

Personnel expenses

(165,841)

(143,035)

Depreciation of property & equipment

(18,667)

(17,491)

Amortization of intangible assets

(3,240)

(2,984)

Goodwill Impairment

Other operating expenses

(109,548)

(95,026)

Total Operating Expenses

(297,296)

(258,536)

Operating Profits

305,059

242,218

Share of profits of associates under equity method

830

301

Net gain (loss) on sale or disposal of other assets

(120)

375

Profits Before Tax

305,769

242,894

Income tax

(62,451)

(44,056)

Profits After Tax from Operating Activities

243,318

198,838

Result of discontinued operations

Net Profits

243,318

198,838

Minority Interest

10,155

7,768

Net Profits - Group share

233,164

191,070

Basic earnings per share LL

663

552

Diluted earnings per share LL

645

541

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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