Unit: 1.000.000đ
  2020 2021 2022 2023 2024
ASSETS
I. Cash and precious metals 985,235 1,001,628 1,062,738 1,132,969 1,148,489
II. Balances with the State Bank of Vietnam 4,428,378 5,131,299 1,975,334 16,268,047 13,632,932
III. TreasuryBill 0
IV. Placements with and loans to other credit institutions 11,893,543 17,770,233 23,905,527 22,591,302 36,809,783
1. Cash and gold deposits at other credit institutions 11,654,314 17,540,348 23,220,381 20,801,417 36,519,898
2. Loans to other credit istitutions 239,229 229,885 685,146 1,789,885 289,885
3. Provision for losses on loans to other credit institutions 0
V. Trading securities 127,921 127,921
1. Trading securities 144,141 144,141
2. Provision for diminution in value of trading securities -16,220 -16,220
VI. Derivatives and other financial assets 0 104,949 39,455
VII. Loans and advances to customers 88,320,271 101,370,504 118,294,112 139,894,641 165,672,890
1. Loans and advances to customers 89,171,618 102,653,266 119,538,340 141,438,441 167,737,997
2. Provision for losses on loans and advances to customers -851,347 -1,282,762 -1,244,228 -1,543,800 -2,065,107
VIII. Investment securities 20,286,783 22,858,438 25,658,747 24,068,777 20,841,857
1. Available - for - sales securities 7,141,959 9,990,857 13,492,370 13,110,808 10,289,877
2. Held - to - maturity securities 13,150,962 13,173,557 12,853,817 10,976,814 10,566,774
3. Provision for diminution in value of investment securities -6,138 -305,976 -687,440 -18,845 -14,794
IX. Investment in other entities and long-term investments 114,348 125,800 85,320 85,320 142,759
1. Investment in subsidiaries 0
2. Investment in joint-ventures 0 10,520
3. Investment in associate cmpanies 0
4. Other long-term investment 115,280 115,280 85,320 85,320 224,011
5. Provision for diminution in value of long-term investment -932 -81,252
X. Fixed assets 1,001,748 981,992 1,042,529 1,586,997 2,188,108
1. Tangible fixed assets 516,217 507,454 518,209 901,069 1,528,846
- Cost 947,469 1,024,684 1,105,795 1,554,014 2,307,181
- Accumulated depreciation -431,252 -517,230 -587,586 -652,945 -778,335
2. Leased assets 53,656 58,928 100,696 104,336 79,745
- Cost 82,504 81,614 134,573 158,913 159,317
- Accumulated depreciation -28,848 -22,686 -33,877 -54,577 -79,572
3. Intangible fixed assets 431,875 415,610 423,624 581,592 579,517
- Cost 556,094 556,094 575,554 744,439 755,607
- Accumulated depreciation -124,219 -140,484 -151,930 -162,847 -176,090
4. Construction in progress expense 0
XI. Investment properties 33,936 15,971 15,971 15,971 30,439
- Cost 33,936 15,971 15,971 15,971 30,439
- Accumulated amortization 0
XII. Other assets 7,123,032 3,853,720 5,433,507 4,212,760 4,661,726
1. Receivables 4,196,219 687,321 2,260,617 1,466,711 919,497
2. Interests and fee receivables 2,631,737 2,811,443 2,727,847 2,076,285 3,001,116
3. Deferred income tax assets 0
4. Other assets 342,197 371,500 471,666 702,787 780,289
- In which: Good will 0
5. Provision for losses on other assets -47,121 -16,544 -26,623 -33,023 -39,176
TOTAL ASSETS 134,315,195 153,237,506 177,578,734 209,896,239 245,128,983
LIABILITIES AND SHAREHOLDERS' EQUITY
I. Due to Government and borrowings from the State Bank of Vietnam 1,254 996 612 345 2,577,611
II. Deposits and borrowings from other credit institutions 19,087,757 15,622,295 21,344,036 24,021,674 39,196,315
1. Deposits form other credit institutions 13,256,856 13,071,047 20,279,048 22,816,967 37,715,294
2. Borrowings form other credit institutions 5,830,901 2,551,248 1,064,988 1,204,707 1,481,021
III. Depostis from customers 98,254,031 115,319,388 124,993,335 145,428,945 158,334,003
IV. Derivatives and other debts 5,571 3,112 6,768
V. Funds received from Government, international and other institutions 472,367 464,623 951,230 1,066,465 1,076,174
VI. Certificate of deposits 6,957,313 10,360,103 12,383,663 18,458,868 20,006,940
VII. Other liabilities 2,938,132 3,442,147 5,256,078 5,678,150 4,642,639
1. Intersest and fee payables 2,409,958 2,371,244 3,158,821 4,282,773 3,395,608
2. Deferred income tax payables 0 0 0
3. Other payables 528,174 1,070,903 2,097,257 1,395,377 1,247,031
4. Other Provisions 0
VIII. Shareholders' equity 6,598,770 8,024,842 12,649,780 15,241,792 19,288,533
1. Capital 4,735,774 5,305,711 10,036,613 10,580,866 13,725,604
- Paid-up capital 4,564,468 5,134,405 8,464,347 10,580,416 13,725,506
- Construction capital 10 10 10 10 10
- Share capital surplus 171,271 171,271 1,572,231 415 63
- Treasury stocks 0
- Prefered Stocks 0
- Other equity resources 25 25 25 25 25
2. Reserves 561,281 777,795 1,051,414 1,447,731 2,174,392
3. Foreign exchange differences 0
4. Asset revaluation differences 0
5. Retained earning 1,301,715 1,941,336 1,561,753 3,213,195 3,388,537
6. Other funds and expenses 0
IX. Benefits of minority shareholader 0
TOTAL RESOURCES 134,315,195 153,237,506 177,578,734 209,896,239 245,128,983