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REG - Commercial Int Bank - CIB1Q2022 Condensed Consolidated Financial results

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RNS Number : 4912I  Commercial Intnl Bank (Egypt) SAE  15 April 2022

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 Commercial International Bank (Egypt) S.A.E.
 Consolidated Financial Statements
 March 31, 2022

 

 Condensed Consolidated Interim Balance Sheet as at March 31, 2022
                                                                                  Notes       Mar. 31, 2022                        Dec. 31, 2021
                                                                                                          EGP Thousands                     EGP Thousands
     Assets
     Cash and balances at the central bank                                        8           30,581,505                           43,492,248
     Due from  banks                                                              9           121,082,311                          80,141,769
     Loans and advances to banks, net                                             11          364,470                              312,216
     Loans and advances to customers, net                                         12          158,490,232                          145,575,243
     Derivative financial instruments                                                         884,030                              225,376
     Investments
     - Financial Assets at Fair Value through P&L                                 13          1,648                                240,987
     - Financial Assets at Fair Value through OCI                                 13          180,352,612                          193,198,894
     - Amortized cost                                                             13          20,412,726                           20,547,465
     - Investments in associates                                                  14          208,156                              205,315
     Other assets                                                                 15          9,618,567                            11,207,128
     Goodwill                                                                     26          127,211                              137,525
     Intangible assets                                                            27          31,963                               34,554
     Deferred tax assets (Liabilities)                                                        308,421                              456,002
     Property and equipment                                                       16          2,352,247                            2,461,116
     Total assets                                                                             524,816,099                          498,235,838
     Liabilities and equity
     Liabilities
     Due to banks                                                                 17          3,725,995                            866,056
     Due to customers                                                             18          429,022,053                          407,241,538
     Derivative financial instruments                                                         243,629                              265,470
     Current tax liabilities                                                                  1,113,423                            2,234,985
     Other liabilities                                                            19          12,181,434                           8,085,545
     Issued debt instruments                                                      20          1,810,601                            1,557,263
     Other loans                                                                              6,176,776                            5,140,782
     Other Provisions                                                             21          4,855,636                            3,541,462
     Total liabilities                                                                        459,129,547                          428,933,101
     Equity
     Issued and paid up capital                                                               19,825,134                           19,702,418
     Reserves                                                                                 39,481,063                           33,774,990
     Reserve for employee stock ownership plan (ESOP)                                         1,346,705                            1,674,392
     Retained earnings *                                                                      4,524,449                            13,696,402
     Total equity and net profit for the period / year                                        65,177,351                           68,848,202
     Minority interest                                                                                    509,201                           454,535
     Total minority interest, equity and net profit for the period / year                     65,686,552                           69,302,737
     Total liabilities and equity                                                             524,816,099                          498,235,838

     The accompanying notes are an integral part of these financial statements .
     (Review report attached)
 *Including net profit for the current period

     Hussein Abaza                                                                                        Sherif Samy
     CEO & Managing Director                                                                                                Chairman

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 
 
 
 
 
 
 
 
 
 
 
 

 

 

 

 

 

 

 

 

 Condensed Consolidated Interim Income Statement for the period ended March 31,
 2022

                                                 Notes
                                          Mar. 31, 2022             Mar. 31, 2021

                                                                                  EGP Thousands             EGP Thousands

 Interest and similar income                                                      12,006,043                10,121,709
 Interest and similar expense                                                     (5,288,771)               (4,444,196)
 Net interest income                                                              6,717,272                 5,677,513

 Fee and commission income                                                        1,203,252                 844,263
 Fee and commission expense                                                       (515,125)                 (333,668)
 Net fee and commission income                                                    688,127                   510,595

 Dividend income                                                                  37,800                    91
 Net trading income                              5                                732,821                   112,718
 Profits (Losses) on financial investments       13                               1,040,297                 493,655
 Administrative expenses                                                          (1,670,887)               (1,475,077)
 Other operating (expenses) income               6                                (1,431,967)               (526,620)
 Goodwill amortization                           26                               (10,314)                  (10,314)
 Intangible assets amortization                  27                               (2,591)                   (2,591)
 Impairment release (charges) for credit losses                                   38,692                    (702,082)
 Bank's share in the profits of associates                                        2,841                     11,061
 Profit before income tax                                                         6,142,091                 4,088,949

 Income tax expense                                                               (1,372,939)               (1,209,247)
 Deferred tax assets (Liabilities)                                                (509,534)                 (6,239)
 Net profit for the period                                                        4,259,618                 2,873,463
 Minority interest                                                                15,387                    419
 Bank shareholders                                                                4,244,231                 2,873,044

 Earning per share                               7
 Basic                                                                            1.90                      1.29
 Diluted                                                                          1.87                      1.27

                                                 Hussein Abaza                                              Sherif Samy
                                                 CEO & Managing Director                                    Chairman

 Mar. 31, 2021

 EGP Thousands

 EGP Thousands

 Interest and similar income

 12,006,043

 10,121,709

 Interest and similar expense

 (5,288,771)

 (4,444,196)

 Net interest income

 6,717,272

 5,677,513

 Fee and commission income

 1,203,252

 844,263

 Fee and commission expense

 (515,125)

 (333,668)

 Net fee and commission income

 688,127

 510,595

 Dividend income

 37,800

 91

 Net trading income

 5

 732,821

 112,718

 Profits (Losses) on financial investments

 13

 1,040,297

 493,655

 Administrative expenses

 (1,670,887)

 (1,475,077)

 Other operating (expenses) income

 6

 (1,431,967)

 (526,620)

 Goodwill amortization

 26

 (10,314)

 (10,314)

 Intangible assets amortization

 27

 (2,591)

 (2,591)

 Impairment release (charges) for credit losses

 38,692

 (702,082)

 Bank's share in the profits of associates

 2,841

 11,061

 Profit before income tax

 6,142,091

 4,088,949

 Income tax expense

 (1,372,939)

 (1,209,247)

 Deferred tax assets (Liabilities)

 (509,534)

 (6,239)

 Net profit for the period

 4,259,618

 2,873,463

 Minority interest

 15,387

 419

 Bank shareholders

 4,244,231

 2,873,044

 Earning per share

 7

 Basic

 1.90

 1.29

 Diluted

 1.87

 1.27

 Hussein Abaza

 Sherif Samy

 CEO & Managing Director

 Chairman

 

 

 

 

 Mar. 31, 2021

 

 

 

 

 

EGP Thousands

 

 

EGP Thousands

 

 

 

 

 

 

 

 

 

Interest and similar income

 

 

12,006,043

 

 

10,121,709

 

Interest and similar expense

 

 

(5,288,771)

 

 

(4,444,196)

 

Net interest income

 

 

6,717,272

 

 

5,677,513

 

 

 

 

 

 

 

 

 

Fee and commission income

 

 

1,203,252

 

 

844,263

 

Fee and commission expense

 

 

(515,125)

 

 

(333,668)

 

Net fee and commission income

 

 

688,127

 

 

510,595

 

 

 

 

 

 

 

 

 

Dividend income

 

 

37,800

 

 

91

 

Net trading income

5

 

732,821

 

 

112,718

 

Profits (Losses) on financial investments

13

 

1,040,297

 

 

493,655

 

Administrative expenses

 

 

(1,670,887)

 

 

(1,475,077)

 

Other operating (expenses) income

6

 

(1,431,967)

 

 

(526,620)

 

Goodwill amortization

26

 

(10,314)

 

 

(10,314)

 

Intangible assets amortization

27

 

(2,591)

 

 

(2,591)

 

Impairment release (charges) for credit losses

 

 

38,692

 

 

(702,082)

 

Bank's share in the profits of associates

 

 

2,841

 

 

11,061

 

Profit before income tax

 

 

6,142,091

 

 

4,088,949

 

 

 

 

 

 

 

 

 

Income tax expense

 

 

(1,372,939)

 

 

(1,209,247)

 

Deferred tax assets (Liabilities)

 

 

(509,534)

 

 

(6,239)

 

Net profit for the period

 

 

4,259,618

 

 

2,873,463

 

Minority interest

 

 

15,387

 

 

419

 

Bank shareholders

 

 

4,244,231

 

 

2,873,044

 

 

 

 

 

 

 

 

 

Earning per share

7

 

 

 

 

 

 

Basic

 

 

1.90

 

 

1.29

 

Diluted

 

 

1.87

 

 

1.27

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Hussein Abaza

 

 

 

 

Sherif Samy

 

 

CEO & Managing Director

 

 

 

 

Chairman

 

 
 
 
 
 
 
 
 
 

 

 

 

 

 

 

 

 

 Condensed Consolidated Interim statement of Comprehensive Income for the
 period ended March 31 2022

                                             Mar. 31, 2022             Mar. 31, 2021

                                                                                         EGP Thousands             EGP Thousands

 Net profit for the period                                                               4,259,618                 2,873,463

 Change in fair value of debt instruments measured at fair value through other           (3,961,167)               (1,674,309)
 comprehensive income after income tax
 Transferred from reserve on disposal of financial assets at fair value through          (4,201)                   (104,406)
 OCI
 Cumulative foreign currencies translation differences                                   52,636                    (3,320)
 Effect of ECL in fair value of debt instruments measured at fair value through          101,602                   (14,644)
 OCI
 Total other comprehensive income                                                        448,488                   1,076,784

 As follows:
 Bank's shareholders                                                                     433,101                   1,076,365
 Minority interest                                                                       15,387                    419
 Total comprehensive income for the period                                               448,488                   1,076,784

 Mar. 31, 2021

 EGP Thousands

 EGP Thousands

 Net profit for the period

 4,259,618

 2,873,463

 Change in fair value of debt instruments measured at fair value through other
 comprehensive income after income tax

 (3,961,167)

 (1,674,309)

 Transferred from reserve on disposal of financial assets at fair value through
 OCI

 (4,201)

 (104,406)

 Cumulative foreign currencies translation differences

 52,636

 (3,320)

 Effect of ECL in fair value of debt instruments measured at fair value through
 OCI

 101,602

 (14,644)

 Total other comprehensive income

 448,488

 1,076,784

 As follows:

 Bank's shareholders

 433,101

 1,076,365

 Minority interest

 15,387

 419

 Total comprehensive income for the period

 448,488

 1,076,784

 

 

 

 

 Mar. 31, 2021

 

 

 

 

 

 

EGP Thousands

 

 

EGP Thousands

 

 

 

 

 

 

 

 

 

 

 

Net profit for the period

 

 

4,259,618

 

 

2,873,463

 

 

 

 

 

 

 

 

 

 

 

Change in fair value of debt instruments measured at fair value through other
comprehensive income after income tax

 

 

(3,961,167)

 

 

(1,674,309)

 

 

Transferred from reserve on disposal of financial assets at fair value through
OCI

 

 

(4,201)

 

 

(104,406)

 

 

Cumulative foreign currencies translation differences

 

 

52,636

 

 

(3,320)

 

 

Effect of ECL in fair value of debt instruments measured at fair value through
OCI

 

 

101,602

 

 

(14,644)

 

 

Total other comprehensive income

 

 

448,488

 

 

1,076,784

 

 

 

 

 

 

 

 

 

 

 

As follows:

 

 

 

 

 

 

 

 

Bank's shareholders

 

 

433,101

 

 

1,076,365

 

 

Minority interest

 

 

15,387

 

 

419

 

 

Total comprehensive income for the period

 

 

448,488

 

 

1,076,784

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 Condensed Consolidated Interim Cash flows for the period ended March 31 2022

                                                                                Notes    Mar. 31, 2022      Mar. 31, 2021
                                                                                         EGP Thousands      EGP Thousands

 Cash flow from operating activities
 Profit before income tax from continued operations                                      6,142,091          4,088,949
 Adjustments to reconcile net profit to net cash provided by operating
 activities
 Fixed assets depreciation                                                      16       223,781            194,609
 Impairment charge for credit losses (Loans and advances to customers and                (145,266)          720,756
 banks)
 Other provisions charges                                                       21       1,036,252          114,109
 Impairment charge for credit losses (due from banks)                                    4,776              (4,030)
 Impairment (Released) charge for credit losses (financial investments)                  101,798            (14,644)
 Impairment (Released) charge for other assets                                           (277,768)          12,676
 Exchange revaluation differences for financial assets at fair value through             63                 23,042
 OCI
 Goodwill amortization                                                          26       10,314             37,819
 Intangible assets amortization                                                 27       2,591              9,502
 Impairment (Released) charge financial assets at fair value through OCI                 -                  (72,957)
 Utilization of other provisions                                                21       (156)              (43,518)
 Other provisions no longer used                                                21       (385)              (5,872)
 Exchange differences of  other provisions                                      21       278,463            (15,271)
 Profits from selling property and equipment                                             (50)               (1,250)
 Losses (profits) from selling financial investments                            13       (1,040,297)        (420,698)
 Shares based payments                                                                   175,235            162,451
 Bank's share in the profits of associates                                               (2,841)            (11,061)
 Operating losses (profits) before changes in operating assets and liabilities           6,508,601          4,774,612

 Net decrease (increase) in assets and  liabilities
 Due from banks                                                                          25,468,271         (12,278,859)
 Financial assets at fair value through P&L                                     13       239,339            18,839
 Derivative financial instruments                                                        (680,085)          (66,183)
 Loans and advances to banks and customers                                      11 - 12  (12,821,977)       (2,178,284)
 Other assets                                                                            1,844,416          (371,049)
 Due to banks                                                                   17       2,859,939          (6,304,086)
 Due to customers                                                               18       21,780,515         25,079,066
 Income tax obligations paid                                                             (259,516)          (29,046)
 Other liabilities                                                                       1,860,904          (25,774)
 Net cash used in (generated from) operating activities                                  46,800,407         8,619,236

 Cash flow from investing activities
 Proceeds (payments) for investment in associates.                                       -                  (158,360)
 Payment for purchases of property, equipment and branches  constructions                (92,999)           (348,974)
 Proceeds from selling property and equipment                                            50                 1,250
 Proceeds from redemption of financial assets at amortized cost                          2,609,283          452,910
 Payment for purchases of financial assets at amortized cost                             (2,474,553)        (237,609)
 Payment for purchases of financial assets at fair value through OCI                     (68,625,535)       (55,600,830)
 Proceeds from selling financial assets at fair value through OCI                        78,456,150         33,585,657
 Net cash generated from (used in) investing activities                                  9,872,396          (22,305,956)

 Condensed Consolidated Interim Cash flows for the period ended March 31, 2022
 (Cont.)

                                                                                         Mar. 31, 2022      Mar. 31, 2021
                                                                                         EGP Thousands      EGP Thousands

 Cash flow from financing activities
 Received (Repaid) in long term loans                                                    1,035,994          (14,410)
 Dividend paid                                                                           (4,410,322)        (1,360,652)
 Issued debt instruments                                                                 253,338            -
 Capital increase                                                                        122,716            -
 Net cash generated from (used in) financing activities                                  (2,998,274)        (1,375,062)

 Net (decrease) increase in cash and cash equivalent during the priod                    53,674,529         (15,061,782)
 Beginning balance of cash and cash equivalent                                           61,065,822         75,796,375
 Cash and cash equivalent at the end of the period                                       114,740,351        60,734,593

 Cash and cash equivalent comprise:
 Cash and balances at the central bank                                                   30,581,505         21,800,293
 Due from banks                                                                          121,128,084        97,518,428
 Treasury bills and other governmental  notes                                   10       40,379,000         52,371,207
 Obligatory reserve balance with CBE                                                     (26,188,639)       (15,805,888)
 Due from banks with maturities more than three months                                   (10,245,456)       (42,484,048)
 Treasury bills with maturity more than three months                                     (40,914,143)       (52,665,399)
 Total cash and cash equivalent                                                          114,740,351        60,734,593

'

 

 

 

 

 

 Condensed Consolidated Interim statement of changes in shareholders' equity
 for the period ended March 31, 2021

 Mar. 31, 2021                                                                    Issued and paid up capital  Legal reserve  General reserve  General risk reserve  Reserve for transactions under common control  Capital reserve  Reserve for financial assets at fair value through OCI  Banking risks reserve  Retained earnings  Reserve for employee stock ownership plan  Cumulative foreign currencies translation differences  Total Shareholders' Equity  Minority Interest  Total
                                                                                                                                                                                                                                                                                                                                                                                                                                                                                       EGP Thousands
 Beginning balance                                                                14,776,813                  2,778,135      24,765,658       1,549,445             8,183                                          14,906           3,975,514                                               6,423                  10,539,715         1,064,648                                  (3,684)                                                59,475,756                  483,055            59,958,811
 Transferred to reserves                                                          -                           514,939        8,420,479        -                     -                                              1,094            -                                                       -                      (8,936,512)        -                                          -                                                      -                           -                  -
 Dividend paid                                                                    -                           -              -                -                     -                                              -                -                                                       -                      (1,360,652)        -                                          -                                                      (1,360,652)                 -                  (1,360,652)
 Net profit of the year                                                           -                           -              -                -                     -                                              -                -                                                       -                      2,873,044          -                                          -                                                      2,873,044                   419                2,873,463
 Transferred from reserve of financial assets at fair value through OCI           -                           -              -                -                     -                                              -                (104,406)                                               -                      104,406            -                                          -                                                      -                           -                  -
 Transferred from previous years' outstanding balances                            -                           -              -                -                     -                                              -                -                                                       -                      8,333              -                                          -                                                      8,333                       -                  8,333
 Net unrealised gain/(loss) on financial assets at fair value through OCI after   -                           -              -                -                     -                                              -                (1,674,309)                                             -                      -                  -                                          -                                                      (1,674,309)                 -                  (1,674,309)
 tax
 Transferred (from) to banking risk reserve                                       -                           -              -                -                     -                                              -                -                                                       2,718                  (2,718)            -                                          -                                                      -                           -                  -
 ECL for impairment of debt instruments investments                               -                           -              -                -                     -                                              -                (14,644)                                                -                      -                  -                                          -                                                      (14,644)                    -                  (14,644)
 Cost of employees stock ownership plan (ESOP)                                    -                           -              -                -                     -                                              -                -                                                       -                      -                  162,451                                    -                                                      162,451                     -                  162,451
 Cumulative foreign currencies translation differences                            -                           -              -                -                     -                                              -                -                                                       -                      -                  -                                          364                                                    364                         -                  364
 Balance at the end of the period                                                 14,776,813                  3,293,074      33,186,137       1,549,445             8,183                                          16,000           2,182,155                                               9,141                  3,225,616          1,227,099                                  (3,320)                                                59,470,343                  483,474            59,953,817

 Condensed Consolidated Interim statement of changes in shareholders' equity
 for the period ended March 31, 2022

 Mar. 31, 2022                                                                    Issued and paid up capital  Legal reserve  General reserve  General risk reserve  Reserve for transactions under common control  Capital reserve  Reserve for financial assets at fair value through OCI  Banking risks reserve  Retained earnings  Reserve for employee stock ownership plan  Cumulative foreign currencies translation differences  Total Shareholders' Equity  Minority Interest  Total
                                                                                                                                                                                                                                                                                                                                                                                                                                                                                       EGP Thousands
 Beginning balance                                                                19,702,418                  3,293,074      28,260,532       1,550,906             8,183                                          16,000           641,372                                                 9,141                  13,696,402         1,674,392                                  (4,218)                                                68,848,202                  454,535            69,302,737
 Capital increase                                                                 122,716                     -              502,922          -                     -                                              -                -                                                       -                      -                  (502,922)                                  -                                                      122,716                     -                  122,716
 Transferred to reserves                                                          -                           670,872        8,333,404        -                     -                                              2,947            -                                                       -                      (9,007,223)        -                                          -                                                      -                           -                  -
 Dividend paid                                                                    -                           -              -                -                     -                                              -                -                                                       -                      (4,410,322)        -                                          -                                                      (4,410,322)                 -                  (4,410,322)
 Net profit of the year                                                           -                           -              -                -                     -                                              -                -                                                       -                      4,244,231          -                                          -                                                      4,244,231                   15,387             4,259,618
 Transferred from reserve on disposal of financial assets at fair value through   -                           -              -                -                     -                                              -                (4,201)                                                 -                      4,201              -                                          -                                                      -                           -                  -
 OCI
                                                                                  -                           -              -                -                     -                                              -                (3,961,167)                                             -                      -                  -                                          -                                                      (3,961,167)                 -                  (3,961,167)

 Net unrealised gain/(loss) on financial assets at fair value through OCI after
 tax
                                                                                  -                           -              -                -                     -                                              -                -                                                       2,840                  (2,840)            -                                          -                                                      -                           -                  -

 Transferred (from) to banking risk reserve
                                                                                  -                           -              -                -                     -                                              -                101,602                                                 -                      -                  -                                          -                                                      101,602                     -                  101,602

 Effect of ECL in fair value of debt instruments measured at fair value through
 OCI
                                                                                  -                           -              -                -                     -                                              -                -                                                       -                      -                  175,235                                    -                                                      175,235                     -                  175,235

 Cost of employees stock ownership plan (ESOP)
                                                                                  -                           -              -                -                     -                                              -                -                                                       -                      -                  -                                          56,854                                                 56,854                      39,279             96,133

 Cumulative foreign currencies translation differences
 Balance at the end of the period                                                 19,825,134                  3,963,946      37,096,858       1,550,906             8,183                                          18,947           (3,222,394)                                             11,981                 4,524,449          1,346,705                                  52,636                                                 65,177,351                  509,201            65,686,552

 

 

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