Consolidated profit and loss account for 1979 1979 1978 Interest mortgage loans 503.461.000 ƒ420.110.000 Interest securities, cash loans, etc. 4.872.000 4.906.000 Commission and compensation for accelerated redemption 26.058.000 534.391.000 37.576.000 462.592.000 Interest moneys raised Costs involved in moneys raised 427.050.000 5.992.000 433.042.000 353.903.000 7.260.000 361.163.000 General expenses Depreciation 26.649.000 952.000 101.349.000 27.601.000 23.661.000 809.000 101.429.000 24.470.000 Operating results Sundry gains and charges 73.748.000 352.000 76.959.000 Gross result 74.100.000 76.959.000 Gross result participations 18.364.000 14.873.000 Profit balance before company income tax 92.464.000 91.832.000 Company income tax Added to provision for general contingencies 40.558.000 10.500.000 51.058.000 37.715.000 10.352.000 48.067.000 Net group profit 41.406.000 43.765.000 Appropriation of profit (in conformity with Article 36 of the Articles of Association): Net group profit Retained in participations 41.406.000 10.254.000 43.765.000 10.055.000 Profit available 31.152.000 33.710.000 Addition to open reserves Distribution of profit 20.589.000 10.563.000 24.000.000 9.710.000 31.152.000 33.710.000

Rabobank Bronnenarchief

Annual Reports FGH Bank | 1979 | | pagina 32