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Ceska Sporitelna

Created with Highcharts 6.0.4Sales and Profits (CZK mil)Total RevenuesNet ProfitJun 2019Sep 2019Dec 2019Mar 2020Jun 2020Sep 2020Dec 2020Mar 2021Jun 2021Sep 2021Dec 2021Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 202435k40k45k50k55k010k20k30k

CS's net profit rose 68.6% yoy to CZK 6,803 mil in 4Q2024

By Helgi Library - March 12, 2025

Ceska Sporitelna made a net profit of CZK 6,803 mil in the fourth quarter of 2024, up 68.6% when compared to the same period of l...

CS's net profit rose 68.6% yoy to CZK 6,803 mil in 4Q2024

By Helgi Library - March 12, 2025

Ceska Sporitelna made a net profit of CZK 6,803 mil under revenues of CZK 14,784 mil in the fourth quarter of 2024, up 68.6% and ...

CS's mortgage loans rose 8.27% yoy to CZK 459,939 mil in 4Q2024

By Helgi Library - March 12, 2025

Ceska Sporitelna's mortgage loans reached CZK 459,939 mil in 4Q2024, up 2.62% compared to the previous year. Czech banking sect...

Profit Statement Sep 2023 Dec 2023 Mar 2024
Net Interest Income CZK mil 34,534 34,583 36,026
Net Fee Income CZK mil 10,144 10,894 11,317
Other Income CZK mil 3,092 2,888 3,018
Total Revenues CZK mil 47,770 48,365 50,361
Staff Cost CZK mil 12,161 12,685 12,712
Operating Profit CZK mil 25,253 25,221 27,116
Provisions CZK mil 990 825 667
Net Profit CZK mil 19,778 18,680 21,102
Balance Sheet Sep 2023 Dec 2023 Mar 2024
Interbank Loans CZK mil 393,444 304,007 502,005
Customer Loans CZK mil 971,557 996,818 1,013,575
Investments CZK mil 438,332 426,191 433,226
Total Assets CZK mil 1,878,174 1,797,820 2,021,742
Shareholders' Equity CZK mil 138,735 144,501 150,652
Interbank Borrowing CZK mil 191,320 122,287 286,990
Customer Deposits CZK mil 1,391,248 1,352,755 1,457,324
Issued Debt Securities CZK mil 89,799 121,451 78,315
Ratios Sep 2023 Dec 2023 Mar 2024
ROE % 14.5 13.4 14.9
ROA % 1.08 1.03 1.12
Costs (As % Of Assets) % 1.23 1.27 1.23
Costs (As % Of Income) % 47.1 47.9 46.2
Capital Adequacy Ratio % 19.2 19.6 19.1
Net Interest Margin % 1.89 1.90 1.90
Loans (As % Of Deposits) % 69.8 73.7 69.6
NPLs (As % Of Loans) % 1.82 1.83 1.82
Provisions (As % Of NPLs) % 116 111 112
Growth Rates Sep 2023 Dec 2023 Mar 2024
Total Revenue Growth % -2.75 -3.03 3.69
Operating Cost Growth % 5.18 8.48 6.26
Operating Profit Growth % -8.88 -11.6 1.58
Net Profit Growth % 7.16 -7.47 13.8
Customer Loan Growth % 8.12 10.7 12.1
Total Asset Growth % 2.33 9.63 9.47
Customer Deposit Growth % 2.31 10.4 6.63
Shareholders' Equity Growth % 5.33 4.93 5.84

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