Key figures I I I (x 1.000-except*) 1976 1977 1978 1979 1980 Net worth and result Issued capital Reserves after appropriation of 18.360 22.950 22.950 23.868 23.868 profit 162.901 235.435 271.454 296.406 314.971 Equity per share of 1.000,- 9.873* 11.259* 12.828* 13.419* 14.196* Gross group profit 50.590 81.595 91.832 92.464 69.943 Corporation tax Added to provision for general 22.959 33.894 37.715 40.558 29.000 contingencies 3.104 9.464 10.352 10.500 14.000 Net group profit Net group profit 24.527 38.237 43.765 41.406 26.943 per share of 1.000,- 1.342* 1.666* 1.907* 1.735* 1.129* Profit retained in participations 5.725 14.465 10.055 10.254 3.158 Addition to open reserves 14.000 17.000 24.000 20.589 13.189 Distribution of profit 4.802 6.772 9.710 10.563 10.596 Dividend per share of 1.000,- Pay-out on basis of 268* 330* 410* 430* 430* net group profit 19% 17% 22% 25% 39% Mortgage business Production of mortgages 742.589 1.737.111 1.771.407 1.183.574 931.167 Growth of mortgage portfolio 417.897 1.278.901 1.206.467 693.449 424.599 Mortgage portfolio at end of year 2.654.149 3.933.050 5.139.517 5.832.966 6.257.565 Moneys raised at end of year 2!515.702 3.747.636 4.916.684 5.601.328 6.205.960 Real estate business** Market value real estate in operation 446.400 494.900 580.300 653.100 762.300 Annualized rents at December 31st 40.200 45.500 51.100 60.400 70.400 Projects under construction at beginning of year 132.600 128.400 98.200 153.100 181.300 New investments 105.500 64.900 92.600 64.500 226.100 Completed projects 109.700 95.100 37.700 36.300 7.600 Depreciation project costs 8.800 Projects under construction at end of year 128.400 98.200 153.100 181.300 391.000 Projects under construction of building firm 35.153 73.713 The figures rtientioned here include the non-consolidated participations in proportion to our interest therein. Nun of lo Out! a me Nun emp 10

Rabobank Bronnenarchief

Annual Reports FGH Bank | 1980 | | pagina 12