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Commercial International Bank (Egypt) S.A.E. |
Unconsolidated Financial Statements |
June 30, 2016 |
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COMMERCIAL INTERNATIONAL BANK (EGYPT) S.A.E |
FINANCIAL POSITION | | | | |
As of June 30, 2016 | | | | |
Amounts in EGP Thousands | Note | June 30, 2016 | | Dec. 31, 2015 |
Assets | | | | |
Cash and balances with central bank | 15 | 11,251,951 | | 9,848,954 |
Due from banks | 16 | 36,100,865 | | 21,002,305 |
Treasury bills and other governmental notes | 17 | 16,949,949 | | 22,130,170 |
Trading financial assets | 18 | 3,797,869 | | 5,848,377 |
Loans and advances to banks, net | 19 | 81,541 | | 38,443 |
Loans and advances to customers, net | 20 | 60,985,486 | | 57,172,705 |
Derivative financial instruments | 21 | 95,073 | | 80,995 |
Financial investments | | | | |
- Available for sale* | 22 | 31,068,016 | | 46,289,075 |
- Held to maturity* | 22 | 25,802,904 | | 9,261,220 |
Investments in associates | 23 | 12,600 | | 12,600 |
Non-current assets held for sale | 42 | 428,011 | | 503,066 |
Other assets | 24 | 4,367,023 | | 4,799,937 |
Goodwill | 41 | 188,134 | | 209,842 |
Intangible assets | 41 | 564,236 | | 629,340 |
Deferred tax assets (Liabilities) | 32 | 263,050 | | 258,157 |
Property, plant and equipment | 25 | 1,188,289 | | 1,107,905 |
Total assets | | 193,144,997 | | 179,193,091 |
Liabilities and equity | | | | |
Liabilities | | | | |
Due to banks | 26 | 1,363,861 | | 1,600,769 |
Due to customers | 27 | 169,687,945 | | 155,369,922 |
Derivative financial instruments | 21 | 66,855 | | 145,735 |
Current tax liabilities | | 957,424 | | 1,949,694 |
Other liabilities | 29 | 2,841,614 | | 2,622,269 |
Long term loans | 28 | 144,852 | | 131,328 |
Other provisions | 30 | 932,697 | | 861,761 |
Total liabilities | | 175,995,248 | | 162,681,478 |
Equity | | | | |
Issued and paid up capital | 31 | 11,538,660 | | 11,470,603 |
Reserves | 34 | 2,627,911 | | 152,144 |
Reserve for employee stock ownership plan (ESOP) | | 253,781 | | 248,148 |
Total equity | | 14,420,352 | | 11,870,895 |
Net profit for the period/year | | 2,729,397 | | 4,640,718 |
Total equity and net profit for the period/year | | 17,149,749 | | 16,511,613 |
Total liabilities and equity | | 193,144,997 | | 179,193,091 |
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COMMERCIAL INTERNATIONAL BANK (EGYPT) S.A.E |
INCOME STATEMENT | | | | |
As of June 30, 2016 | | | | |
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Amounts in EGP Thousands | Note | June 30, 2016 | | June 30, 2015 |
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Interest and similar income | | 8,595,146 | | 6,917,409 |
Interest and similar expense | | (4,061,260) | | (3,109,039) |
Net interest income | 6 | 4,533,886 | | 3,808,370 |
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Fee and commission income | | 937,206 | | 924,302 |
Fee and commission expense | | (173,523) | | (122,286) |
Net fee and commission income | 7 | 763,683 | | 802,016 |
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Dividend income | 8 | 28,911 | | 14,367 |
Net trading income | 9 | 408,523 | | 190,441 |
Profits on financial investments | 22 | 59,058 | | 158,424 |
Administrative expenses | 10 | (1,204,462) | | (952,386) |
Other operating (expenses) income | 11 | (316,881) | | (144,456) |
Goodwill amortization | 41 | (21,707) | | - |
Intangible assets amortization | 41 | (65,104) | | - |
Impairment charge for credit losses | 12 | (503,979) | | (648,442) |
Profit before income tax | | 3,681,928 | | 3,228,334 |
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Income tax expense | 13 | (957,424) | | (1,130,674) |
Deferred tax assets (Liabilities) | 32 & 13 | 4,893 | | 101,087 |
Net profit for the period | | 2,729,397 | | 2,198,747 |
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Earnings per share | 14 | | | |
Basic | | 2.09 | | 1.69 |
Diluted | | 2.06 | | 1.66 |
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COMMERCIAL INTERNATIONAL BANK (EGYPT) S.A.E |
CASH FLOW STATEMENT 1a | | | | |
As of June 30, 2016 | | | | |
Amounts in EGP Thousands | | June 30, 2016 | | June 30, 2015 |
Cash flow from operating activities | | | | |
Profit before income tax | | 3,681,928 | | 3,228,334 |
Adjustments to reconcile net profit to net cash provided by operating activities | | | | |
Fixed assets depreciation | | 134,956 | | 107,181 |
Impairment charge for credit losses | | 503,979 | | 648,442 |
Other provisions charges | | 51,547 | | 44,094 |
Trading financial investments revaluation differences | | 124,229 | | 270,246 |
Available for sale and held to maturity investments exchange revaluation differences | | (263,567) | | (69,351) |
Goodwill amortization | | 21,707 | | - |
Intangible assets amortization | | 65,104 | | - |
Financial investments impairment charge | | 52,614 | | (17,226) |
Utilization of other provisions | | (1,800) | | (538) |
Other provisions no longer used | | (37,312) | | - |
Exchange differences of other provisions | | 58,501 | | 9,542 |
Profits from selling property, plant and equipment | | (537) | | (798) |
Profits from selling financial investments | | (16,243) | | (177,395) |
Profits from selling associates | | (84,948) | | - |
Shares based payments | | 97,321 | | 85,218 |
Real estate investments revaluation | | - | | (24,299) |
Operating profits before changes in operating assets and liabilities | | 4,387,479 | | 4,103,450 |
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Net decrease (increase) in assets and liabilities | | | | |
Due from banks | | (13,870,856) | | (3,812,236) |
Treasury bills and other governmental notes | | 5,366,184 | | 2,116,239 |
Trading financial assets | | 1,926,279 | | (2,500,163) |
Derivative financial instruments | | (92,958) | | (20,771) |
Loans and advances to banks and customers | | (4,359,858) | | (6,499,446) |
Other assets | | 551,657 | | (35,440) |
Due to banks | | (236,908) | | (532,131) |
Due to customers | | 14,318,023 | | 20,770,469 |
Due to customers | (1,949,694) | | (1,814,609) |
Income tax obligations paid | 219,345 | | (478,661) |
Other liabilities | 6,258,693 | | 11,296,701 |
Net cash provided from operating activities | | | |
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COMMERCIAL INTERNATIONAL BANK (EGYPT) S.A.E |
CASH FLOW STATEMENT 1b | | | | |
As of June. 30, 2016 | | June 30, 2016 | | June 30, 2015 |
| Cash flow from investing activities | | | | |
| Proceeds from selling subsidiary and associates | | 160,003 | | - |
| Payment for purchases of property, plant, equipment and branches constructions | | (333,546) | | (164,549) |
| Proceeds from redemption of held to maturity financial investments | | 2,671 | | 3,416,433 |
| Payment for purchases of held to maturity financial investments | | (1,856,288) | | (4,019,548) |
| Payment for purchases of available for sale financial investments | | (2,703,756) | | (13,050,692) |
| Proceeds from selling available for sale financial investments | | 2,670,755 | | 2,672,674 |
| Net cash used in investing activities | | (2,060,161) | | (11,145,682) |
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Cash flow from financing activities | | | | |
Increase (decrease) in long term loans | | 13,524 | | (36,904) |
Dividend paid | | (1,463,450) | | (1,563,646) |
Capital increase | | 68,057 | | 94,748 |
Net cash used in financing activities | | (1,381,869) | | (1,505,802) |
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Net increase (decrease) in cash and cash equivalent during the period | | 2,816,663 | | (1,354,783) |
Beginning balance of cash and cash equivalent | | 12,622,530 | | 14,811,360 |
Cash and cash equivalent at the end of the period | | 15,439,193 | | 13,456,577 |
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Cash and cash equivalent comprise: | | | | |
Cash and balances with central bank | | 11,251,951 | | 12,668,642 |
Due from banks | | 36,100,865 | | 8,426,970 |
Treasury bills and other governmental notes | | 16,949,949 | | 26,567,156 |
Obligatory reserve balance with CBE | | (8,412,172) | | (10,528,028) |
Due from banks with maturities more than three months | | (29,205,223) | | (3,684,216) |
Treasury bills with maturity more than three months | | (11,246,177) | | (19,993,947) |
Total cash and cash equivalent | | 15,439,193 | | 13,456,577 |
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