Financial Highlights

 

Particulars

1-Jul-17

1-Jul-16

1-Jul-15

1-Jan-16

1-Jan-15

to

To

to

to

to

30-Jun-18

30-Jun-17

30-Jun-16

30-Jun-16

31-Dec-15

Period

(12 Months)

(12 Months)

(12Months)

(6 Months)

(12 Months)

Authorized Capital

5,000,000,000

5,000,000,000

2,000,000,000

2,000,000,000

2,000,000,000

Paid-up Capital

2,187,937,900

1,093,968,950

968,114,120

968,114,120

968,114,120

No of Shares (Face value 10 Tk each)

218,793,790

109,396,895

96,811,412

96,811,412

96,811,412

Reserve & Surplus

1,122,594,567

987,214,696

903,826,851

903,826,851

843,077,768

Current Assets

1,567,443,758

704,814,474

474,568,005

474,568,005

389,125,803

Current Liabilities

140,788,842

121,269,055

106,905,802

106,905,802

100,789,849

Total Assets

3,521,729,898

2,269,519,516

2,009,887,119

2,009,887,119

1,944,823,923

Net Fixed Assets

1,949,490,335

1,560,075,241

1,530,846,812

1,530,846,812

1,551,225,818

Book Value of Equity

3,310,532,467

2,081,183,646

2,081,183,646

1,870,661,964

1,811,191,888

Turnover

720,369,383

687,563,854

473,341,841

206,956,026

461,350,017

Gross Profit

322,124,920

287,247,379

186,566,113

85,296,655

194,317,789

Operating Profit

285,167,818

259,299,485

162,355,774

74,026,571

172,641,268

Net Profit

266,862,111

210,521,682

132,220,414

60,011,427

140,525,353

Earnings per Share (EPS)

1.73*

1.92

1.21

0.62

1.45

Net Asset Value per Share (NAV/Share)

15.13

19.02

17.1

17.1

18.71

Gross Margin

44.72%

41.80%

39.40%

41.20%

42.12%

Operating Margin

39.59%

37.70%

34.30%

35.80%

37.42%

Net Profit Margin

37.05%

30.60%

27.90%

29.00%

30.46%

Current Ratio

11.13

5.81

4.44

4.44

3.86

Acid Test Ratio

9.85

0.77

0.62

1.43

2.06

Return on Assets

9.22%

9.30%

6.60%

3.00%

7.41%

Return on Equity

9.90%

10.10%

6.40%

6.40%

8.07%

Dividend (%)

Stock 10%**

Cash 11%

Stock 13%