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Commercial Intnl Bank (Egypt) SAE

Interim / Quarterly Report Jul 22, 2025

14807_rns_2025-07-22_2a0547b7-6953-4d45-b51c-3ca245439ca0.html

Interim / Quarterly Report

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National Storage Mechanism | Additional information

RNS Number : 9511R

Commercial Intnl Bank (Egypt) SAE

22 July 2025

Click on, or paste the following link into your web browser, to view the associated PDF document.

http://www.rns-pdf.londonstockexchange.com/rns/9511R_1-2025-7-21.pdf 

Condensed Separate Interim Statement of Financial Position as at June 30, 2025

Notes

Jun. 30, 2025

Dec. 31, 2024

Assets

Cash and balances at the central bank

9

100,535,373

136,165,920

Due from banks

10

231,774,988

270,089,441

Loans and advances to banks, net

12

28,273,497

9,555,410

Loans and advances to customers, net

13

419,494,572

340,955,698

Derivative financial instruments

1,165,796

819,711

Financial investments

- Financial Assets at Fair Value through OCI

14

262,186,573

233,029,903

- Financial Assets at Amortized cost

14

210,324,232

167,276,956

Investments in subsidiaries and associates

15

853,165

871,525

Non-current assets held for sale

29

159,828

159,828

Other assets

16

52,719,250

44,175,232

Deferred tax assets

2,558,253

2,337,304

Property and equipment

17

4,577,331

3,881,620

Total assets

1,314,622,858

1,209,318,548

Liabilities and equity

Liabilities

Due to banks

18

2,975,504

2,317,715

Due to customers

19

1,040,233,344

967,895,387

Derivative financial instruments

510,278

100,571

Current income tax liabilities

11,373,107

18,327,968

Other liabilities

20

27,329,336

21,347,499

Issued debt instruments

21

4,948,964

5,067,781

Other loans

31,250,581

23,962,389

Other provisions

22

19,927,608

18,613,060

Total liabilities

1,138,548,722

1,057,632,370

Equity

Issued and paid capital

30,708,510

30,431,580

Reserves

90,421,708

63,125,912

Reserve for employee stock ownership plan (ESOP)

1,734,177

1,868,235

Retained earnings*

53,209,741

56,260,451

Total equity and net profit for the period / year

176,074,136

151,686,178

Total liabilities and equity

1,314,622,858

1,209,318,548

The accompanying notes are an integral part of these financial statements.

(Review report attached)

*

Including net profit for the period

Islam Zekry

Hisham Ezz Al-Arab

Group CFO & Executive Board Member

CEO & Executive Board Member

Condensed Separate Interim Income Statement for the period ended June 30, 2025
Last 6 Months Last 6 Months
Notes Jun. 30, 2025 Jun. 30, 2024
Interest and similar income 104,727,073 81,420,481
Interest and similar expense (53,575,810) (39,980,202)
Net interest income 51,151,263 41,440,279
Fee and commission income 7,416,971 5,905,503
Fee and commission expense (3,292,751) (2,505,646)
Net fee and commission income 4,124,220 3,399,857
Dividend income 99,052 76,025
Net trading income 6 1,241,158 17,385,406
Profits (Losses) on financial investments 14.1 526,717 297,208
Administrative expenses (7,544,381) (5,568,213)
Other operating income (expenses) 7 (3,546,143) (16,410,949)
Impairment release (charges) for credit losses 345,831 (2,059,775)
Profit before income tax 46,397,717 38,559,838
Income tax expense 26 (13,477,682) (11,255,055)
Deferred tax assets (Liabilities) 26 489,475 378,395
Net profit for the period 33,409,510 27,683,178
Earnings per share 8
Basic 9.69 8.11
Diluted 9.61 8.04
0
Islam Zekry Hisham Ezz Al-Arab
Group CFO & Executive Board Member CEO & Executive Board Member
Condensed Separate Interim Statement of Comprehensive Income for the period ended June 30, 2025
Last 6 Months Last 6 Months
Net profit for the period 33,409,510 27,683,178
Transferred to RE from financial assets at fair value through OCI 3,586 -
Net change on financial assets at fair value through comprehensive income after tax 4,622,564 4,073,707
Effect of ECL on fair value of debt instruments measured at fair value through comprehensive income 140,134 751,734
Total comprehensive income for the period 38,175,794 32,508,619
Condensed Separate Interim Cash Flows for the period ended June 30, 2025
Notes Jun. 30, 2025 Jun. 30, 2024
Cash flow from operating activities
Profit before income tax 46,397,717 38,559,838
Adjustments to reconcile profits to net cash provided by operating  activities
Fixed assets depreciation 17 766,315 521,764
Impairment release/charge for credit losses (Loans and advances to customers and banks) (866,683) 2,387,134
Net charged/released for other provisions 22 1,024,484 192,741
Impairment release/charge for credit losses (due from banks) 146,354 (35)
Impairment release/charge for credit losses (financial investments) 374,498 (327,324)
Impairment release/charge for other assets - (7,173)
Exchange revaluation differences for financial assets at fair value through OCI and AC 1,489,447 (18,461,627)
Revaluation differences impairment charge for Financial Assets at Fair value through OCI (95,111) 1,182,360
Revaluation differences impairment charge for Financial Assets at Amortized cost 1,638 100,975
Revaluation differences impairment charge for due from banks (2,820) 105
Net utilized/recovered for other provisions 22 (1,053) (8,970)
Exchange revaluation differences of other provisions 22 291,117 3,707,089
Profits/losses from selling property and equipment (6,006) (2,184)
Profits/losses from selling financial investments at fair value through OCI 14.1 (345,157) (297,208)
Profits/losses from selling investments in associates 14.1 (181,560) -
Share based payments 653,254 533,219
Operating profits before changes in operating assets and liabilities 49,646,434 28,080,704
Net decrease / increase in assets and liabilities
Due from banks 75,949,504 36,256,280
Financial assets at fair value through P&L - (172,728)
Derivative financial instruments 24,358 164,384
Loans and advances to banks and customers (96,438,781) (53,204,190)
Other assets (5,527,589) (18,799,962)
Due to banks 18 657,789 (8,429,958)
Due to customers 19 72,337,957 182,431,141
Current income tax obligations paid (2,104,575) (926,384)
Other liabilities (12,900,414) (5,875,532)
Net cash generated from (used in) operating activities 81,644,683 159,523,755
Cash flow from investing activities
Proceeds from sale of investments in associates 339,920 7,173
Payments for investment in subsidiaries (140,000) (200,000)
Payments for purchases of property, equipment and branches construction (4,429,952) (1,262,707)
Proceeds from selling property and equipment 6,006 2,184
Proceeds from redemption of financial assets at amortized cost 4,876,544 1,240,196
Payments for purchases of financial assets at amortized cost (48,035,713) (69,609,595)
Payments for purchases of financial assets at fair value through OCI (91,524,026) (58,448,832)
Proceeds from selling financial assets at fair value through OCI 65,110,896 47,255,555
Net cash generated from (used in) investing activities (73,796,325) (81,016,026)
Condensed Separate Interim Cash Flows for the period ended June 30, 2025 (Cont.)
Jun. 30, 2025 Jun. 30, 2024
Cash flow from financing activities
Other loans 7,288,192 7,074,520
Dividends (14,160,151) (5,078,792)
Issued debt instruments (118,817) 1,709,668
Capital increase 276,930 236,570
Net cash generated from (used in) financing activities (6,713,846) 3,941,966
Net (decrease) increase in cash and cash equivalent during the period 1,134,512 82,449,695
Beginning balance of cash and cash equivalent 227,028,744 233,912,193
Cash and cash equivalent at the end of the period 228,163,256 316,361,888
Cash and cash equivalent comprise:
Cash and balances at the central bank 9 100,535,373 43,371,479
Due from banks 231,918,739 305,020,997
Treasury bills and other governmental notes 11 123,491,120 118,676,181
Obligatory reserve balance with CBE (76,281,994) (25,285,404)
Due from banks with maturity more than three months (28,050,433) (7,684,847)
Treasury bills and other governmental notes with maturity more than three months (123,449,549) (117,736,518)
Total cash and cash equivalent 228,163,256 316,361,888
Condensed Separate Interim statement of  changes in shareholders' equity
Issued and paid capital Legal reserve General reserve General risk reserve Capital reserve Reserve for financial assets at fair value through OCI Banking risks reserve Retained earnings Reserve for employee stock ownership plan Total
Jun. 30, 2024
Beginning Balance at 1 January 2024 30,195,010 4,770,354 39,840,707 1,549,445 21,155 (16,808,265) 15,230 29,230,360 1,486,010 90,300,006
Capital increase 236,570 - - - - - - - - 236,570
Transferred to reserves - 1,438,320 22,582,085 - 1,663 - - (23,398,943) (623,125) -
Dividend paid - - - - - - - (5,366,429) - (5,366,429)
Net profit for the period - - - - - - - 27,683,178 - 27,683,178
Transferred to RE from financial assets at fair value through OCI - - - - - - - - - -
Net change on financial assets at fair value through OCI after tax - - - - - 4,073,707 - - - 4,073,707
Transferred (from) to banking risk reserve - - - - - - 2,694 (2,694) - -
Effect of ECL in fair value of debt instruments measured at fair value through OCI - - - - - 751,734 - - - 751,734
Cost of employees stock ownership plan (ESOP) - - - - - - - - 533,219 533,219
Balance at 30 June 2024 30,431,580 6,208,674 62,422,792 1,549,445 22,818 (11,982,824) 17,924 28,145,472 1,396,104 118,211,985
Issued and paid capital Legal reserve General reserve General risk reserve Capital reserve Reserve for financial assets at fair value through OCI Banking risks reserve Retained earnings Reserve for employee stock ownership plan Total
Jun. 30, 2025
Beginning Balance at 1 January 2025 30,431,580 6,208,674 62,422,792 1,549,445 22,818 (7,095,741) 17,924 56,260,451 1,868,235 151,686,178
Capital increase 276,930 - - - - - - - - 276,930
Transferred to reserves - 2,771,284 19,758,610 - 2,246 - - (21,744,828) (787,312) -
Dividends paid - - - - - - - (14,714,434) - (14,714,434)
Net profit for the period - - - - - - - 33,409,510 - 33,409,510
Transferred to RE from financial assets at fair value through OCI - - - - - 3,586 - (3,586) - -
Net change on financial assets at fair value through OCI after tax - - - - - 4,622,564 - - - 4,622,564
Transferred (from) to banking risk reserve - - - - - - (2,628) 2,628 - -
Effect of ECL in fair value of debt instruments measured at fair value through OCI - - - - - 140,134 - - - 140,134
Cost of employees stock ownership plan (ESOP) - - - - - - - - 653,254 653,254
Balance at 30 June 2025 30,708,510 8,979,958 82,181,402 1,549,445 25,064 (2,329,457) 15,296 53,209,741 1,734,177 176,074,136

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