Past Five Years at a Glance (2013- 2017) In Million US$
Sl. No. |
Particulars |
2013 |
2014 |
2015 |
2016 |
2017 |
|
Exchange Rate: 1US$=Taka |
77.75 |
77.51 |
78.78 |
78.54 |
82.55 |
1.0 |
Authorised Capital |
128.62 |
129.02 |
126.94 |
127.32 |
121.14 |
2.0 |
Own Fund : |
|
|
|
|
2.1 |
Paid-up Capital |
9.44 |
10.27 |
10.61 |
10.87 |
10.44 |
2.2 |
Capital and Other Reserve |
124.32 |
127.04 |
131.90 |
146.32 |
162.65 |
2.3 |
Miscellaneous |
74.74 |
76.53 |
73.53 |
73.19 |
66.58 |
2.4 |
Total : |
208.50 |
213.84 |
216.04 |
230.38 |
239.67 |
3.0 |
Deposits |
1910.56 |
2193.28 |
2409.29 |
2544.02 |
2523.90 |
4.0 |
Other Sources of Fund |
164.32 |
168.29 |
162.25 |
130.42 |
122.54 |
5.0 |
Borrowings |
18.05 |
17.30 |
16.24 |
15.49 |
16.60 |
6.0 |
Assets : |
|
|
|
|
6.1 |
Loan and Advances (Before Provision) |
1128.07 |
1182.34 |
1283.14 |
1576.64 |
1841.84 |
6.2 |
Investment |
3.43 |
3.44 |
3.39 |
3.32 |
3.16 |
6.3 |
Cash and Bank Balance |
1014.41 |
1233.12 |
1350.74 |
1198.15 |
934.79 |
6.4 |
Fixed Assets |
19.42 |
19.70 |
19.20 |
19.06 |
18.18 |
6.5 |
Other Assets |
136.10 |
154.11 |
147.35 |
123.14 |
104.74 |
6.6 |
Total Assets |
2301.43 |
2592.71 |
2803.82 |
2920.31 |
2902.71 |
7.0 |
Own Fund as Percentage of Loan & Advances |
18% |
18% |
17% |
15% |
13% |
8.0 |
Own Fund and Deposits as Percentage of Loan & Advances |
188% |
204% |
205% |
176% |
150% |
9.0 |
Total Income |
350.02 |
374.44 |
397.97 |
408.90 |
425.62 |
|
|
|
10.0 |
Expenses : |
|
|
|
|
10.1 |
Salaries & Other Related Expenses |
72.24 |
79.23 |
96.11 |
140.40 |
141.29 |
10.2 |
Interest Expenses |
175.36 |
193.61 |
203.38 |
193.29 |
191.64 |
10.3 |
Other Expenses |
32.39 |
34.43 |
32.23 |
32.15 |
33.40 |
10.4 |
Provision Expenses |
52.89 |
61.54 |
65.94 |
25.34 |
31.73 |
10.5 |
Total Expenses: |
332.88 |
368.81 |
397.66 |
391.18 |
398.06 |
11.0 |
Net Profit |
17.14 |
5.63 |
0.31 |
17.72 |
27.56 |
12.0 |
Provision Balance |
122.66 |
128.22 |
127.95 |
97.34 |
90.07 |
13.0 |
Bad Debt |
40.91 |
56.38 |
64.13 |
56.35 |
34.25 |
14.0 |
Bad Debt Recovery |
5.00 |
8.09 |
27.90 |
13.37 |
13.95 |
15.0 |
Accumulated Disbursement (including housing loans) |
12188.23 |
13946.02 |
15615.42 |
18050.88 |
20017.33 |
16.0 |
Number of Employees |
21851 |
21807 |
21651 |
21043 |
18185 |
17.0 |
Number of Members |
8543977 |
8640225 |
8806779 |
8901610 |
8934874 |
18.0 |
Number of Centres |
143057 |
142613 |
142573 |
142087 |
140262 |
19.0 |
Number of Villages |
81389 |
81390 |
81392 |
81395 |
81400 |
20.0 |
Number of Branches |
2567 |
2568 |
2568 |
2568 |
2568 |
Note: Please visit our web site www.grameen-bank.com and www.grameen.com for more information.
Financial Intermediation Indicators (2013-2017) (In Billion US$)
Particulars |
Years |
2012 |
2013 |
2014 |
2015 |
2016 |
Balance of Deposits |
1.91 |
2.19 |
2.41 |
2.55 |
2.52 |
Balance of Loan and Advances |
1.13 |
1.18 |
1.28 |
1.58 |
1.84 |
Balance of Borrowings |
0.02 |
0.02 |
0.02 |
0.02 |
0.02 |
Deposit to Loan Ratio |
169% |
186% |
188% |
162% |
137% |
Deposit to Borrowings Ratio |
10611% |
12687% |
14844% |
16393% |
15208% |
Pension Benefits Paid to Retiring Staff (2013-2017) (In Million US$)
Period |
Number of Retiring Staff |
Payment of Pension Benefit |
Yearly total |
Cumulative |
Yearly Total |
Cumulative |
2013 |
176 |
9498 |
3.55 |
125.22 |
2014 |
145 |
9643 |
3.63 |
128.85 |
2015 |
85 |
9728 |
2.40 |
131.25 |
2016 |
416 |
10144 |
20.26 |
151.51 |
2017 |
419 |
10563 |
18.86 |
170.37 |
Sources of Fund As on 31st December, 2017
Sl. No. |
Particulars |
Amount (In Million US$) |
1.0 |
Borrowings |
1.1 |
Domestic Borrowings |
|
1.1.1 |
Commercial Bank |
2.62 |
2.62 |
1.2 |
Foreign Borrowings |
|
1.2.1 |
Term Loans |
7.30 |
|
1.2.2 |
Loans at Perpetuity |
6.68 |
13.98 |
Total : |
|
16.60 |
2.0 |
Deposits |
2.1 |
Borrowers’ Deposits |
1708.73 |
|
2.2 |
Non-Borrowers’ Deposits |
815.17 |
2523.90 |
3.0 |
Own Fund |
3.1 |
Paid up Capital |
10.44 |
|
3.2 |
Capital & Other Reserve |
162.65 |
|
3.3 |
Miscellaneous |
66.58 |
239.67 |
|
4.0 |
Other Sources |
122.54 |
|
Total : |
|
2902.71 |
|
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