Atnaujinta: 2024.11.24 21:41 (GMT+2)
HANSAPANK
ANNOUNCEMENT
ADDITIONAL INFORMATION ON VENTSPILS UBB
(LVL in millions) 1997 1998 1999
Total revenue 1,72 0,94 2,70
Net profit 0,78 0,36 1,23
Dividend per share - 7,67 n/a
(LVL)
EPS (LVL) 35,4 16,2 55,4
List of loans received by Ventspils UBB as of December 31, 1999
Repo 29.12.99 – 10.01.00 LVL 2 million
Shareholders of Ventspils UBB
Shareholder %
A/s “OST Servies AG” 28,7
A/s “Kalija parks” 28,7
Vent Company Limited 17,7
City of Ventspils 16,5
A/s “Ventamonjaks” 8,4
Members of the Board
Chairman of the Board Raimonds Kalnins
Members of the Board Daina Jeka
Lidija Ivanova
Members of the Council
Chairman of the Council Ansis Sormulis
Members of the Council Natalija Striga
Jurijs Bespalovs
Ventspils UBB does not have any pending court cases that might
materially influence their financial performance.
Balance sheet
(thousand LVL, *unaudited) 31.12.97 31.12.98 31.12.99*
Assets
Cash and due from Central Bank 2,938 8,810 6,336
Due from credit institutions 16,754 14,235 11,288
Loans, net 13,110 16,066 14,735
Fixed income securities 5,104 6,876 15,308
Shares 953 1,345 997
Intangible assets 13 10 8
Fixed assets, net 324 440 481
Other assets 5 12 130
Accrued income 100 141 404
Asset management 1,069 1,941 2,541
Total Assets 40,370 49,876 52,228
Liabilities
Due to credit institutions 3,000 2,500 2,084
Deposits 32,487 41,181 41,870
Other liabilities 34 116 532
Total Liabilities 35,521 43,797 44,486
Capital and reserves
Common stock 1,858 3,309 3,737
Share premium 12 12 12
Capital reserves 2,081 648 282
Retained earnings (171) 169 1,170
Total shareholders’ equity 3,780 4,138 5,201
Total liabilities and 39,301 47,935 49,687
shareholders’ equity
Asset management 1,069 1,941 2,541
Total liabilities, equity and 40,370 49,876 52,228
asset management
Income Statement
(Thousand LVL, *unaudited) 1997 1998 1999*
Interest income 2,102 2,531 3,138
Interest expense (646) (702) (972)
Net interest income 1,456 1,829 2,166
Fees and commissions received 124 164 181
Service fees paid (40) (85) (85)
Net fees 84 79 96
Trading income 146 (987) 414
Other income 29 22 25
Total revenues 1,715 943 2,701
Administration expenses (573) (640) (832)
Depreciation (57) (92) (96)
Other regular expenses (15) (5) (2)
Provisions for loans (695) (588) (189)
Released provisions 391 805 102
Profit before tax 766 423 1,684
Income tax 19 (62) (448)
Other taxation expenses (4) (3) (4)
Net profit 781 358 1,232
Mart Tõevere
Analyst
+372 6131 569