Oct 31 (Reuters) - BRD Groupe Societe Generale SA
ROBRD.BX :
* 9-MONTH NET PROFIT 1.09 BILLION LEI VERSUS 1.23 BILLION
LEI YEAR
AGO
* 9-MONTH NET BANKING INCOME 2.98 BILLION LEI VERSUS 2.83
BILLION
LEI YEAR AGO
* 9-MONTH ROE AT 16.1% VERSUS 20.9% IN 9M 2023
* NET LOANS OUTSTANDING INCLUDING LEASING FINANCING AT
END-SEPT AT
47.6 BILLION LEI UP 15.1% YOY
* 9-MONTH NET COST OF RISK REGISTERED 136 MILLION LEI NET
PROVISION ALLOCATION
* END-SEPT NPL RATIO AT 2.37% VERSUS 2.1% AT END-SEPT 2023
* STANDALONE CAPITAL ADEQUACY RATIO REACHED 27.6% AS OF
SEPTEMBER
2024 END
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