Unit: 1.000.000đ
  2019 2020 2021 2022 2023
ASSETS
I. Cash and precious metals 4,820,627 3,663,615 3,578,643 4,215,721 3,620,695
II. Balances with the State Bank of Vietnam 3,192,256 10,253,324 4,908,529 11,475,590
III. TreasuryBill 0 0 27,140,592
IV. Placements with and loans to other credit institutions 47,990,224 28,994,954 70,584,154 82,873,754 104,072,320
1. Cash and gold deposits at other credit institutions 38,596,420 21,112,630 39,519,623 69,925,143 80,126,897
2. Loans to other credit istitutions 9,393,804 7,882,324 31,064,531 13,049,711 24,046,523
3. Provision for losses on loans to other credit institutions 0 0 -101,100 -101,100
V. Trading securities 10,041,556 8,347,576 5,070,812 961,034 4,432,778
1. Trading securities 10,052,963 8,357,447 5,074,479 961,034 4,432,778
2. Provision for diminution in value of trading securities -11,407 -9,871 -3,667
VI. Derivatives and other financial assets 0 0 293,768 143,611
VII. Loans and advances to customers 227,885,283 275,310,367 343,605,581 415,752,256 512,513,672
1. Loans and advances to customers 230,802,027 277,524,615 347,341,244 420,523,705 518,641,568
2. Provision for losses on loans and advances to customers -2,916,744 -2,214,248 -3,735,663 -4,771,449 -6,127,896
VIII. Investment securities 66,054,597 84,447,241 97,586,088 103,651,920 104,993,945
1. Available - for - sales securities 66,158,709 84,632,952 98,092,062 104,031,921 105,356,248
2. Held - to - maturity securities 202,006 200,000 200,000
3. Provision for diminution in value of investment securities -306,118 -385,711 -705,974 -380,001 -362,303
IX. Investment in other entities and long-term investments 12,223 11,806 12,813 120,538 3,128,278
1. Investment in subsidiaries 0 0
2. Investment in joint-ventures 0 0
3. Investment in associate cmpanies 0 0
4. Other long-term investment 12,883 12,466 13,962 121,687 3,129,427
5. Provision for diminution in value of long-term investment -660 -660 -1,149 -1,149 -1,149
X. Fixed assets 3,207,777 4,613,423 7,224,480 8,411,382 8,892,697
1. Tangible fixed assets 793,484 1,470,942 3,628,729 3,696,812 3,527,586
- Cost 1,761,468 2,416,349 4,824,092 5,156,346 5,492,566
- Accumulated depreciation -967,984 -945,407 -1,195,363 -1,459,534 -1,964,980
2. Leased assets 0 0
- Cost 0 0
- Accumulated depreciation 0 0
3. Intangible fixed assets 2,414,293 3,142,481 3,595,751 4,714,570 5,365,111
- Cost 3,086,148 3,923,203 4,542,177 5,913,538 7,198,784
- Accumulated depreciation -671,855 -780,722 -946,426 -1,198,968 -1,833,673
4. Construction in progress expense 0 0
XI. Investment properties 1,160,524 1,124,724 1,088,924 1,053,124
- Cost 1,435,699 1,435,699 1,435,699 1,435,699
- Accumulated amortization -275,175 -310,975 -346,775 -382,575
XII. Other assets 19,334,394 22,835,903 34,857,643 70,517,225 80,543,424
1. Receivables 12,954,103 16,572,411 28,148,180 61,609,133 69,834,157
2. Interests and fee receivables 5,553,724 5,184,822 5,807,801 8,028,730 9,681,140
3. Deferred income tax assets 0 0 61,050 70,409
4. Other assets 1,055,475 1,268,562 1,582,085 1,616,735 1,650,584
- In which: Good will 0 0
5. Provision for losses on other assets -228,908 -189,892 -680,423 -798,423 -692,866
TOTAL ASSETS 383,699,461 439,602,933 568,811,435 699,032,544 849,482,012
LIABILITIES AND SHAREHOLDERS' EQUITY
I. Due to Government and borrowings from the State Bank of Vietnam 0 0 842 7,826 131
II. Deposits and borrowings from other credit institutions 61,266,635 47,484,812 112,458,691 167,562,969 153,173,002
1. Deposits form other credit institutions 38,632,337 21,232,089 45,606,142 61,293,738 50,619,678
2. Borrowings form other credit institutions 22,634,298 26,252,723 66,852,549 106,269,231 102,553,324
III. Depostis from customers 231,296,761 277,458,651 314,752,525 358,403,785 454,660,779
IV. Derivatives and other debts 434,008 266,926 1,851,213
V. Funds received from Government, international and other institutions 0 0
VI. Certificate of deposits 17,460,634 27,899,640 33,679,824 34,006,619 84,703,300
VII. Other liabilities 11,168,656 11,878,118 14,863,716 23,775,166 25,316,735
1. Intersest and fee payables 3,479,310 3,252,009 3,098,242 6,144,022 9,418,750
2. Deferred income tax payables 0 0 0
3. Other payables 7,689,346 8,626,109 11,765,474 17,631,144 15,897,985
4. Other Provisions 0 0
VIII. Shareholders' equity 61,782,042 74,130,917 92,211,009 112,296,051 130,311,232
1. Capital 35,477,967 35,525,569 35,585,622 36,204,797 36,257,461
- Paid-up capital 35,001,400 35,049,062 35,109,148 35,172,385 35,225,108
- Construction capital 0 0
- Share capital surplus 476,567 476,507 476,474 476,415 476,356
- Treasury stocks 0 0
- Prefered Stocks 0 0
- Other equity resources 0 0 555,997 555,997
2. Reserves 5,172,684 6,789,643 9,155,896 11,608,569 45,725,637
3. Foreign exchange differences 0 0
4. Asset revaluation differences 0 0
5. Retained earning 21,131,391 31,815,705 47,469,491 64,482,685 48,328,134
6. Other funds and expenses 0 0
IX. Benefits of minority shareholader 290,725 483,869 844,828 1,128,915 1,316,833
TOTAL RESOURCES 383,699,461 439,602,933 568,811,435 699,032,544 849,482,012