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Modra Pyramida Stavebni Sporitelna

Created with Highcharts 6.0.4Sales and Profits (CZK mil)Total RevenuesNet ProfitSep 2019Dec 2019Mar 2020Jun 2020Sep 2020Dec 2020Mar 2021Jun 2021Sep 2021Dec 2021Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 20242003004005000100200300

MPSS's mortgage loans rose 10.9% yoy to CZK 99,132 mil in 2Q2024

By Helgi Library - September 9, 2024

Modra Pyramida Stavebni Sporitelna's mortgage loans reached CZK 99,132 mil in 2Q2024, up 1.03% compared to the previous year. C...

MPSS's mortgage loans rose 10.9% yoy to CZK 99,132 mil in 2Q2024

By Helgi Library - September 9, 2024

Modra Pyramida Stavebni Sporitelna's mortgage loans reached CZK 99,132 mil in 2Q2024, up 1.03% compared to the previous year. C...

MPSS's customer loans rose 8.80% yoy to CZK 94,756 mil in 1Q2024

By Helgi Library - September 9, 2024

Modra Pyramida Stavebni Sporitelna's customer loans reached CZK 94,756 mil in 2024-03-31, up 1.30% compared to the previous year. ...

Profit Statement Dec 2023 Mar 2024 Jun 2024
Net Interest Income CZK mil 297 320 291
Net Fee Income CZK mil 40.7 46.2 49.0
Other Income CZK mil 84.1 103 102
Total Revenues CZK mil 421 469 442
Staff Cost CZK mil 161 149 158
Operating Profit CZK mil 117 163 167
Provisions CZK mil 55.6 2.98 34.3
Net Profit CZK mil 45.2 125 104
Balance Sheet Dec 2023 Mar 2024 Jun 2024
Interbank Loans CZK mil 2.94 3,361 3,039
Customer Loans CZK mil 93,537 94,756 96,094
Investments CZK mil 9,833 7,983 6,002
Total Assets CZK mil 107,983 107,403 106,144
Shareholders' Equity CZK mil 8,032 8,157 8,372
Interbank Borrowing CZK mil 46,936 47,130 46,302
Customer Deposits CZK mil 52,296 51,231 50,729
Issued Debt Securities CZK mil 0 0 0
Ratios Dec 2023 Mar 2024 Jun 2024
ROE % 2.42 6.20 5.05
ROA % 0.170 0.466 0.391
Costs (As % Of Assets) % 1.14 1.14 1.03
Costs (As % Of Income) % 72.3 65.2 62.3
Capital Adequacy Ratio % 33.5 30.7 38.1
Net Interest Margin % 1.11 1.19 1.09
Loans (As % Of Deposits) % 179 185 189
NPLs (As % Of Loans) % 1.12 1.11 1.11
Provisions (As % Of NPLs) % 53.1 53.2 53.9
Growth Rates Dec 2023 Mar 2024 Jun 2024
Total Revenue Growth % 51.7 85.7 52.8
Operating Cost Growth % 65.7 47.5 29.6
Operating Profit Growth % 24.3 261 117
Net Profit Growth % -45.3 199 26.7
Customer Loan Growth % 8.36 8.80 7.86
Total Asset Growth % 6.19 5.76 0.934
Customer Deposit Growth % -6.57 -5.25 -5.75
Shareholders' Equity Growth % 20.9 22.1 23.7
Employees 602 571 572

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