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Standalone Accounts
   -Balance Sheet
 -Profit Loss
 -Cash Flow
 -Equity Statement
Financial Highlights
Operational Highlights
Consolidated Accounts
   -Balance Sheet
 -Profit Loss
 -Cash Flow
 -Equity Statement
Quaterly Accounts
 

 -Balance Sheet
 -Profit Loss
 -Cash Flow
 -Equity Statement

Half Yearly Accounts
   -Balance Sheet
 -Profit Loss
 -Cash Flow
 -Equity Statement
   
Operational Highlights
(Rs. In million)
  2009   2008   2007   2006   2005
Approval of Financing and Investment (Net)
Long Term Finance/TFCs
     1,311.6
     2,027.9
     3,858.6
     2,805.9
     2,969.3
Lease Finance
         137.2
                -  
         127.5
         241.6
         103.3
Equity Investment
           15.0
         268.8
           86.5
         225.0
         169.0
Strategic Investments
         250.0
         225.0
         100.0
     1,369.5
     1,050.5
Short Term Finance
         605.0
         330.0
         873.9
     1,314.2
     1,501.7
Guarantees and Underwriting
           35.0
         484.6
         361.8
         420.0
         567.0
Total Approvals
     2,353.8
     3,336.3
     5,408.3
     6,376.2
     6,360.8
Cumulative Approvals
   49,446.8
   47,093.0
   43,756.7
   38,348.4
   31,972.2
Disbursement of Funds
Long Term Finance/TFCs
     1,338.5
     3,536.7
     2,693.3
     2,700.1
     3,267.4
Lease Finance
                -  
           46.1
         125.8
         242.1
           62.8
Short Term Finance
         544.4
         707.3
         856.8
     1,255.0
     1,256.6
Direct Equity & Underwriting Take-ups
           15.0
         112.2
         178.0
         200.0
         244.0
Strategic Investment
         250.0
         225.0
         890.8
         586.2
     1,053.0
Total Disbursement
     2,147.9
     4,627.3
     4,744.7
     4,983.4
     5,883.8
Cumulative Disbursements
   43,532.3
   41,384.4
   36,757.1
   32,012.4
   27,029.0
Recoveries
Total Amount
     3,185.8
     4,298.3
     5,271.9
     3,667.2
     4,306.0
Current Dues Collection Ratio (%)
78.99
         82.99
         91.72
         88.07
         94.90
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