(FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q2)Jun 30, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | (Q2)Jun 30, 2021 | (FY)Dec 31, 2020 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -8.80%91.1B | -8.80%91.1B | 0.55%44.64B | 124.03%99.89B | 124.03%99.89B | 15.12%44.39B | 7.74%44.59B | --44.59B | 0.47%38.56B | 9.96%41.38B |
-Cash and cash equivalents | 8.18%73.34B | 8.18%73.34B | 0.55%44.64B | 52.05%67.79B | 52.05%67.79B | 15.12%44.39B | 7.74%44.59B | --44.59B | 0.47%38.56B | 9.96%41.38B |
-Money market investments | -44.67%17.76B | -44.67%17.76B | ---- | --32.1B | --32.1B | ---- | ---- | ---- | ---- | ---- |
Receivables | 29.85%10.94B | 29.85%10.94B | ---- | --8.42B | --8.42B | ---- | ---- | ---- | ---- | ---- |
Net loan | 2.53%861.37B | 2.53%861.37B | 6.59%913.3B | 1.01%840.1B | 1.01%840.1B | 5.13%856.81B | -1.37%831.74B | --831.74B | -1.08%814.98B | 2.25%843.3B |
-Allowance for loans and lease losses | 8.79%29.6B | 8.79%29.6B | ---- | --27.21B | --27.21B | ---- | ---- | ---- | ---- | ---- |
-Trading securities | 26.99%24.65B | 26.99%24.65B | ---- | --19.41B | --19.41B | ---- | ---- | ---- | ---- | ---- |
-Available for sale securities | 10.79%15.98B | 10.79%15.98B | 9.69%109.23B | -83.13%14.43B | -83.13%14.43B | 22.60%99.58B | 8.23%85.54B | --85.54B | -11.69%81.22B | -15.40%79.03B |
Long term equity investment | 7.37%9.78B | 7.37%9.78B | -16.36%3.02B | 168.28%9.11B | 168.28%9.11B | 17.42%3.61B | 2.20%3.4B | --3.4B | -11.14%3.07B | -15.19%3.32B |
Derivative assets | 158.71%12.26B | 158.71%12.26B | -66.16%14.95B | -87.91%4.74B | -87.91%4.74B | -5.29%44.18B | -51.22%39.18B | --39.18B | -39.26%46.65B | 127.92%80.33B |
Net PPE | -1.36%10.91B | -1.36%10.91B | -0.90%10.86B | 3.03%11.06B | 3.03%11.06B | 0.40%10.96B | -5.25%10.74B | --10.74B | -7.74%10.92B | -5.37%11.33B |
-Gross PPE | -4.54%15.82B | -4.54%15.82B | ---- | --16.58B | --16.58B | ---- | ---- | ---- | ---- | ---- |
-Accumulated depreciation | 10.88%-4.91B | 10.88%-4.91B | ---- | ---5.51B | ---5.51B | ---- | ---- | ---- | ---- | ---- |
Assets held for sale | 102.05%493M | 102.05%493M | -29.93%206M | -61.76%244M | -61.76%244M | 326.09%294M | 824.64%638M | --638M | -23.33%69M | -90.61%69M |
Goodwill and other intangible assets | -5.31%11.98B | -5.31%11.98B | -3.99%12.41B | -4.33%12.65B | -4.33%12.65B | -6.49%12.92B | -3.85%13.22B | --13.22B | 0.91%13.82B | 2.88%13.75B |
-Goodwill | -6.55%4.01B | -6.55%4.01B | ---- | --4.29B | --4.29B | ---- | ---- | ---- | ---- | ---- |
-Other intangible assets | -4.68%7.97B | -4.68%7.97B | ---- | --8.36B | --8.36B | ---- | ---- | ---- | ---- | ---- |
Defined pension benefit | 18.07%4.85B | 18.07%4.85B | -27.44%4.63B | -5.35%4.11B | -5.35%4.11B | 0.35%6.38B | -24.89%4.34B | --4.34B | 13.11%6.36B | 3.12%5.78B |
Other assets | 7.18%194M | 7.18%194M | 2.38%39.78B | -99.39%181M | -99.39%181M | 18.11%38.86B | 121.71%29.74B | --29.74B | 154.10%32.9B | -12.87%13.41B |
Total assets | 4.67%1.31T | 4.67%1.31T | 3.84%1.31T | 3.13%1.25T | 3.13%1.25T | 5.92%1.26T | -0.81%1.21T | --1.21T | -2.79%1.19T | 7.12%1.22T |
Liabilities | ||||||||||
Total deposits | 4.68%1.04T | 4.68%1.04T | 7.76%1.09T | 3.13%998.26B | 3.13%998.26B | 7.73%1.01T | 1.85%967.93B | --967.93B | -0.88%935.72B | 5.08%950.33B |
Payables | 35.84%12.93B | 35.84%12.93B | 137.61%259M | 2,784.85%9.52B | 2,784.85%9.52B | -34.73%109M | -44.07%330M | --330M | -6.70%167M | 266.46%590M |
-Accounts payable | 37.19%12.62B | 37.19%12.62B | ---- | --9.2B | --9.2B | ---- | ---- | ---- | ---- | ---- |
-Total tax payable | -2.80%313M | -2.80%313M | 137.61%259M | -2.42%322M | -2.42%322M | -34.73%109M | -44.07%330M | --330M | -6.70%167M | 266.46%590M |
Long term debt and capital lease obligation | -7.48%50.42B | -7.48%50.42B | -6.20%49.87B | -6.29%54.5B | -6.29%54.5B | -10.15%53.17B | -2.70%58.16B | --58.16B | -4.92%59.17B | 0.10%59.77B |
Derivative product liabilities | 68.89%14.14B | 68.89%14.14B | -65.05%14.75B | -76.77%8.37B | -76.77%8.37B | 13.20%42.2B | -44.66%36.04B | --36.04B | -41.09%37.28B | 132.68%65.13B |
Other liabilities | 0.44%13.99B | 0.44%13.99B | ---- | --13.93B | --13.93B | ---- | ---- | ---- | ---- | ---- |
Total liabilities | 4.86%1.19T | 4.86%1.19T | 3.90%1.19T | 2.86%1.14T | 2.86%1.14T | 5.93%1.15T | -1.69%1.11T | --1.11T | -3.82%1.08T | 7.60%1.12T |
Shareholders'equity | ||||||||||
Share capital | 5.69%594M | 5.69%594M | -3.14%525M | 3.12%562M | 3.12%562M | -85.40%542M | -85.06%545M | --545M | 1.53%3.71B | -1.49%3.65B |
-common stock | -4.50%488M | -4.50%488M | -4.52%465M | 5.14%511M | 5.14%511M | 0.41%487M | 0.41%486M | --486M | 0.21%485M | 0.62%484M |
-Preferred stock | 107.84%106M | 107.84%106M | 9.09%60M | -13.56%51M | -13.56%51M | -98.30%55M | -98.14%59M | --59M | 1.73%3.23B | -1.80%3.16B |
Paid-in capital | -25.39%14.33B | -25.39%14.33B | -24.86%14.44B | 2.34%19.21B | 2.34%19.21B | 2.64%19.22B | 1.00%18.77B | --18.77B | 0.77%18.73B | 2.69%18.58B |
Less: Treasury stock | -4.17%23M | -4.17%23M | ---- | --24M | --24M | ---- | ---- | ---- | ---- | ---- |
Other equity interest | 2.45%10.47B | 2.45%10.47B | 8.72%11.22B | 9.66%10.22B | 9.66%10.22B | 17.68%10.32B | 19.14%9.32B | --9.32B | 28.01%8.77B | 14.19%7.82B |
Total stockholders'equity | 2.67%118.32B | 2.67%118.32B | 3.20%116.13B | 5.80%115.25B | 5.80%115.25B | 5.81%112.53B | 8.95%108.93B | --108.93B | 9.04%106.35B | 2.36%99.98B |
Non controlling interests | 27.08%887M | 27.08%887M | 17.03%742M | 12.58%698M | 12.58%698M | 20.76%634M | 33.05%620M | --620M | 8.47%525M | -40.26%466M |
Total equity | 2.82%119.21B | 2.82%119.21B | 3.28%116.87B | 5.84%115.94B | 5.84%115.94B | 5.88%113.16B | 9.06%109.55B | --109.55B | 9.03%106.88B | 2.03%100.44B |
Currency Unit | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR |
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