ABCDEFGHIJKL
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Year ended 30 June 2020Year ended 30June 2019Year ended 30 June 2018
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Segment ASegment BTotalSegment ASegment BTotalSegment ASegment BTotal
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Notes
MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000MUR'000
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Interest incomeI1,313,4531,800,5753,114,0281,210,0731,958,9743,169,047943,3001,462,2562,405,556
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Interest expenseI(500,810)(584,976)(1,085,786)(484,612)(373,662)(858,274)(463,024)(232,541)(695,565)
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Net interest income812,6431,215,5992,028,242725,4611,585,3122,310,773480,2761,229,7151,709,991
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Fee and commission incomeII162,885601,504764,389168,541549,610718,151150,478498,849649,327
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Fee and commission expenseII(81,719)(215,773)(297,492)(41,457)(249,922)(291,379)(65,656)(240,746)(306,402)
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Net fee and commission income81,166385,731466,897127,084299,688426,77284,822258,103342,925
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Net (loss)/gain from derecognition of financial assets measured at amortised costIII-(2,003)(2,003)-23,92723,927---
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Net trading incomeIV (a)505,463111,091616,554177,65251,210228,862110,80231,320142,122
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Net (loss)/ gain from derecognition of financial assets measured at fair value through other comprehensive income
IV (b)-(3,046)(3,046)98-9834,582-34,582
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Net gain from foreign exchange and derivativesIV (c)316,029369,767685,796336,868351,073687,941106,916533,147640,063
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Other operating incomeIV (d)17,7674,94722,7149,0976,02115,11822,11410,86332,977
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Total operating income1,733,0682,082,0863,815,1541,376,2602,317,2313,693,491839,5122,063,1482,902,660
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Net impairment loss on financial assetsV(161,472)(677,623)(839,095)(14,085)(454,295)(468,380)(322,262)(745,319)(1,067,581)
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Net operating income1,571,5961,404,4632,976,0591,362,1751,862,9363,225,111517,2501,317,8291,835,079
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Personnel expenses(318,885)(399,194)(718,079)(236,064)(410,232)(646,296)(149,485)(380,179)(529,664)
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Depreciation of property and equipment(16,223)(19,490)(35,713)(13,549)(22,812)(36,361)(9,942)(24,428)(34,370)
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Depreciation on right of use assets(14,416)(17,319)(31,735)------
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Amortisation of intangible assets(18,590)(22,333)(40,923)(14,378)(24,208)(38,586)(7,811)(19,194)(27,005)
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Other operating expenses(248,180)(200,046)(448,226)(184,341)(202,962)(387,303)(97,283)(239,079)(336,362)
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Total operating expenses(616,294)(658,382)(1,274,676)(448,332)(660,214)(1,108,546)(264,521)(662,880)(927,401)
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Operating profit955,302746,0811,701,383913,8431,202,7222,116,565252,729654,949907,678
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Impairment loss on subsidiary---(189,563)-(189,563)---
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Impairment on receivable from subsidary(33,057)-(33,057)(103,000)-(103,000)---
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Profit before tax922,245746,0811,668,326621,2801,202,7221,824,002252,729654,949907,678
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Tax expense(86,803)(59,968)(146,771)(216,167)(23,052)(239,219)(83,833)(57,391)(141,224)
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Profit for the year835,442686,1131,521,555405,1131,179,6701,584,783168,896597,558766,454
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Other comprehensive income
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Other comprehensive income that may be subsequently reclassified to profit or loss:
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Net gain/(loss) on available-for-sale investments------(8,548)19,27010,722
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Movement in fair value reserve for debt instrument measured at fair value through other comprehensive income:
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- (Losses)/gains arising during the period/year-(2,880)(2,880)2,467(420)2,047---
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- Reclassification of gains/(losses) included in profit or loss on derecognition-3,0463,046(98)-(98)---
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- ECL for financial assets at FVTOCI-(1,074)(1,074)-527527---
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-(908)(908)2,3691072,476(8,548)19,27010,722
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Other comprehensive income that will not be reclassified to profit or loss:
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Remeasurement of retirement benefit obligations(9,872)(11,859)(21,731)(3,454)(5,815)(9,269)(3,358)(8,253)(11,611)
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Deferred tax on remeasurement of retirement benefit obligations8105081,318142239381237582819
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Gain on equity instruments designated at fair value through other comprehensive income(46)1,4161,3701,122-1,122---
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(9,108)(9,935)(19,043)(2,190)(5,576)(7,766)(3,121)(7,671)(10,792)
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Other comprehensive gain/(loss) for the year(9,108)(10,843)(19,951)179(5,469)(5,290)(11,669)11,599(70)
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Total comprehensive income for the year attributable to equity holders of the parent826,334675,2701,501,604405,2921,174,2011,579,493157,227609,157766,384