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Investor Presentaiton

Company Overview Business Overview Earnings Digital Penetration Strategy Solid CRAR & Adequate Liquidity - Our Strength Capital Adequacy Ratio 23.00% 22.77% 16.88% 22.46% 18.93% RWA to Total Assets 47% 42% 42% 41% 42% Amt in Cr 16.23% 22.11% 22.34% 21.79% 17.93% Q1 FY20 Q2 FY20 Q3 FY20 Q4 FY20 Q1 FY21 Q1 FY20 Q2 FY20 Q3 FY20 Q4 FY20 Q1 FY21 Risk Weighted Assets 9590 7152 7411 7891 1115 Liquidity Coverage Ratio 7309 1115 2299 895 895 895 753 905 865 871 223% 235% 257% 245% 232% 5504 5611 5543 5911 6175 Q1 FY20 Q2 FY20 ■Credit Risk Q3 FY20 Market Risk Q4 FY20 ■Operational Risk Q1 FY21 CSB Bank Investor Presentation Q1 FY21 Q1 FY20 Q2 FY20 Q3 FY20 Q4 FY20 Q1 FY21 CSB Bank Formerly The Catholic Syrian Bank Ltd.
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