(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 | 10.95%221.13B | 10.95%221.13B | 40.92%136.65B | 33.94%199.31B | 33.94%199.31B | 14.84%96.98B | 14.89%148.81B | --148.81B | -21.38%84.44B | 23.29%129.52B |
-Cash and cash equivalents | 19.70%141.16B | 19.70%141.16B | 40.92%136.65B | 24.00%117.93B | 24.00%117.93B | 14.84%96.98B | 7.41%95.11B | --95.11B | -21.38%84.44B | 14.91%88.55B |
-Money market investments | -1.73%79.97B | -1.73%79.97B | ---- | 51.54%81.38B | 51.54%81.38B | ---- | 31.08%53.7B | --53.7B | ---- | 46.36%40.97B |
Receivables | -9.92%20.95B | -9.92%20.95B | ---- | 77.80%23.25B | 77.80%23.25B | ---- | -28.29%13.08B | --13.08B | ---- | 16.17%18.24B |
Prepaid assets | 22.71%5.53B | 22.71%5.53B | ---- | -48.60%4.5B | -48.60%4.5B | ---- | 13.48%8.76B | --8.76B | ---- | 158.69%7.72B |
Net loan | 6.90%1.61T | 6.90%1.61T | 5.57%1.57T | 5.66%1.5T | 5.66%1.5T | 12.92%1.48T | 12.04%1.42T | --1.42T | -2.30%1.31T | 7.64%1.27T |
-Allowance for loans and lease losses | 14.63%64B | 14.63%64B | 14.38%61.49B | 8.62%55.83B | 8.62%55.83B | 4.25%53.75B | 2.82%51.4B | --51.4B | 11.45%51.56B | 41.69%49.99B |
-Trading securities | 3.66%228.69B | 3.66%228.69B | 14.59%324.07B | --220.61B | --220.61B | 11.26%282.81B | ---- | ---- | -30.58%254.19B | ---- |
-Available for sale securities | 10.34%338.9B | 10.34%338.9B | 3.19%315.96B | 4.65%307.13B | 4.65%307.13B | 94.21%306.2B | 3.39%293.5B | --293.5B | -60.91%157.66B | 42.79%283.89B |
Long term equity investment | 22.27%12.17B | 22.27%12.17B | 35.03%12.13B | 36.76%9.96B | 36.76%9.96B | 29.23%8.98B | 12.03%7.28B | --7.28B | -72.26%6.95B | 19.82%6.5B |
Derivative assets | 30.92%97.42B | 30.92%97.42B | 12.20%92.91B | 16.84%74.41B | 16.84%74.41B | 14.05%82.81B | -46.16%63.69B | --63.69B | -38.82%72.61B | 65.66%118.29B |
Net PPE | -0.21%20.3B | -0.21%20.3B | 0.43%19.88B | -1.35%20.34B | -1.35%20.34B | 0.64%19.79B | -0.40%20.62B | --20.62B | -9.08%19.67B | -5.98%20.7B |
-Gross PPE | 4.72%46.17B | 4.72%46.17B | ---- | 4.43%44.09B | 4.43%44.09B | ---- | 5.53%42.22B | --42.22B | ---- | -4.97%40.01B |
-Accumulated depreciation | -8.95%-25.88B | -8.95%-25.88B | ---- | -9.95%-23.75B | -9.95%-23.75B | ---- | -11.89%-21.6B | ---21.6B | ---- | 3.87%-19.31B |
Assets held for sale | -57.66%235M | -57.66%235M | -69.58%289M | -45.85%555M | -45.85%555M | 90.00%950M | 365.91%1.03B | --1.03B | -51.74%500M | -91.54%220M |
Goodwill and other intangible assets | -15.85%12.72B | -15.85%12.72B | -12.10%14B | -10.58%15.12B | -10.58%15.12B | -9.26%15.93B | -7.37%16.91B | --16.91B | -12.47%17.56B | -18.18%18.26B |
-Goodwill | -27.88%1.61B | -27.88%1.61B | ---- | -2.23%2.23B | -2.23%2.23B | ---- | 3.40%2.28B | --2.28B | ---- | -3.33%2.21B |
-Other intangible assets | -13.77%11.11B | -13.77%11.11B | ---- | -11.88%12.89B | -11.88%12.89B | ---- | -8.85%14.63B | --14.63B | ---- | -19.87%16.05B |
Deferred costs | -8.61%520M | -8.61%520M | ---- | -27.05%569M | -27.05%569M | ---- | -0.51%780M | --780M | ---- | -0.76%784M |
Defined pension benefit | 16.29%1.63B | 16.29%1.63B | ---- | -2.57%1.4B | -2.57%1.4B | ---- | 22.51%1.44B | --1.44B | ---- | 7.61%1.17B |
Other assets | -72.57%1.32B | -72.57%1.32B | -13.59%44.44B | 229.36%4.8B | 229.36%4.8B | 25.71%51.42B | 53.64%1.46B | --1.46B | 1,681.62%40.91B | 45.78%949M |
Total assets | 6.36%3.07T | 6.36%3.07T | 7.86%3.03T | 5.74%2.88T | 5.74%2.88T | 10.64%2.81T | 7.61%2.73T | --2.73T | -2.80%2.54T | 11.31%2.53T |
Liabilities | ||||||||||
Total deposits | 5.33%1.91T | 5.33%1.91T | 7.24%1.98T | 7.61%1.81T | 7.61%1.81T | 12.88%1.84T | 8.29%1.69T | --1.69T | -1.33%1.63T | 13.51%1.56T |
Payables | -6.09%20.72B | -6.09%20.72B | 19.36%10.22B | 31.54%22.07B | 31.54%22.07B | -2.59%8.57B | 19.79%16.78B | --16.78B | 32.78%8.79B | 2.77%14.01B |
-Accounts payable | 9.33%9.15B | 9.33%9.15B | ---- | -9.25%8.37B | -9.25%8.37B | ---- | 7.36%9.22B | --9.22B | ---- | 4.48%8.59B |
-Total tax payable | 2.82%8.06B | 2.82%8.06B | 19.36%10.22B | 3.77%7.84B | 3.77%7.84B | -2.59%8.57B | 39.51%7.56B | --7.56B | 32.78%8.79B | 0.18%5.42B |
-Other payable | -40.06%3.51B | -40.06%3.51B | ---- | --5.86B | --5.86B | ---- | ---- | ---- | ---- | ---- |
Trading liabilities | -9.53%59.1B | -9.53%59.1B | 13.95%105.32B | 12.99%65.33B | 12.99%65.33B | 14.13%92.43B | 13.76%57.81B | --57.81B | -6.86%80.99B | 5.30%50.82B |
Long term debt and capital lease obligation | 5.73%136.64B | 5.73%136.64B | 5.43%30.63B | -10.67%129.23B | -10.67%129.23B | 0.45%29.05B | 11.34%144.66B | --144.66B | -15.28%28.92B | 4.64%129.93B |
Derivative product liabilities | 21.55%103.37B | 21.55%103.37B | 13.92%107.28B | 26.45%85.05B | 26.45%85.05B | 31.97%94.17B | -39.72%67.26B | --67.26B | -42.22%71.35B | 60.55%111.58B |
Other liabilities | -4.35%36.79B | -4.35%36.79B | -9.21%139.05B | 148.26%38.46B | 148.26%38.46B | 0.99%153.15B | -24.11%15.49B | --15.49B | -11.31%151.66B | -12.79%20.42B |
Total liabilities | 6.30%2.79T | 6.30%2.79T | 7.58%2.76T | 5.66%2.62T | 5.66%2.62T | 10.71%2.56T | 7.13%2.48T | --2.48T | -3.26%2.31T | 12.18%2.32T |
Shareholders'equity | ||||||||||
Share capital | 0.00%5.67B | 0.00%5.67B | -1.40%27.11B | 0.11%5.67B | 0.11%5.67B | 52.63%27.5B | 0.00%5.67B | --5.67B | --18.02B | 0.00%5.67B |
-common stock | 0.00%168M | 0.00%168M | -1.40%27.11B | 3.70%168M | 3.70%168M | 52.63%27.5B | 0.00%162M | --162M | --18.02B | 0.00%162M |
-Preferred stock | 0.00%5.5B | 0.00%5.5B | ---- | 0.00%5.5B | 0.00%5.5B | ---- | 0.00%5.5B | --5.5B | ---- | 0.00%5.5B |
Paid-in capital | -1.47%26.94B | -1.47%26.94B | ---- | 53.09%27.34B | 53.09%27.34B | ---- | 0.03%17.86B | --17.86B | ---- | 0.18%17.85B |
Retained earnings | ---- | ---- | 10.35%201.29B | ---- | ---- | 7.24%182.4B | ---- | ---- | --170.09B | ---- |
Less: Treasury stock | ---- | ---- | -37.97%2.77B | ---- | ---- | 35.66%4.46B | ---- | ---- | --3.29B | ---- |
Other equity interest | 31.77%18.66B | 31.77%18.66B | 39.72%22.17B | 34.27%14.16B | 34.27%14.16B | 10.74%15.87B | 50.16%10.55B | --10.55B | -92.47%14.33B | 28.05%7.03B |
Total stockholders'equity | 9.56%260.61B | 9.56%260.61B | 12.21%253.1B | 10.69%237.86B | 10.69%237.86B | 14.39%225.55B | 13.76%214.88B | --214.88B | 3.65%197.18B | 3.67%188.9B |
Non controlling interests | -22.35%16.31B | -22.35%16.31B | -4.61%19.05B | -24.90%21B | -24.90%21B | -23.95%19.97B | 6.04%27.97B | --27.97B | -6.94%26.26B | -3.28%26.37B |
Total equity | 6.97%276.92B | 6.97%276.92B | 10.85%272.15B | 6.60%258.87B | 6.60%258.87B | 9.88%245.52B | 12.81%242.85B | --242.85B | 2.28%223.44B | 2.76%215.27B |
Currency Unit | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR | ZAR |
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