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Public Bank Bhd
KLSE:PBBANK

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Public Bank Bhd
KLSE:PBBANK
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Price: 4.87 MYR Market Closed
Market Cap: 94.5B MYR

Balance Sheet

Balance Sheet Decomposition
Public Bank Bhd

Balance Sheet
Public Bank Bhd

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Balance Sheet
Currency: MYR
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Net Loans
37 575
45 540
55 719
66 813
82 788
99 328
118 386
135 336
153 983
175 953
212 349
238 927
243 222
271 814
292 429
303 044
315 259
328 476
342 803
354 052
372 583
394 750
420 472
442 333
Investments
14 395
9 672
18 686
27 670
41 448
42 967
44 772
74 529
63 821
63 568
51 131
54 077
78 123
67 123
66 067
68 679
80 167
79 999
84 901
86 663
90 655
93 073
94 636
92 076
PP&E Net
920
943
942
937
865
865
1 011
1 341
1 278
1 342
1 310
1 303
1 476
1 423
1 528
1 564
1 567
2 570
2 697
2 577
2 484
2 502
2 498
2 525
PP&E Gross
920
943
942
937
865
865
1 011
1 341
1 278
1 342
1 310
1 303
1 476
1 423
1 528
1 564
1 567
2 570
2 697
2 577
2 484
2 502
2 498
0
Accumulated Depreciation
834
888
946
1 002
1 037
1 080
1 173
1 277
1 364
1 480
1 614
1 755
1 908
1 980
2 011
1 912
2 116
1 685
1 856
2 104
2 265
2 506
2 748
0
Intangible Assets
0
0
28
26
307
286
318
27
26
26
28
28
27
27
70
65
60
56
51
46
42
37
32
3 086
Goodwill
478
818
784
739
2 065
1 984
2 046
2 031
1 904
1 939
1 900
1 977
2 057
2 349
2 534
2 367
2 395
2 387
2 367
2 413
2 497
2 553
2 767
0
Long-Term Investments
47
47
46
47
45
46
128
128
119
156
151
159
157
191
38
35
70
75
78
115
120
142
384
441
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
183
252
281
316
337
322
489
507
519
46
63
70
69
66
65
71
81
83
82
519
630
567
541
427
Other Assets
931
1 485
1 551
1 560
3 311
3 796
3 595
3 790
3 900
3 947
4 105
4 516
5 232
6 073
6 147
5 345
4 975
4 687
6 062
5 639
2 497
6 469
8 117
5 875
Total Assets
61 866
N/A
64 577
+4%
92 330
+43%
111 689
+21%
147 790
+32%
174 155
+18%
196 163
+13%
217 136
+11%
226 329
+4%
250 559
+11%
274 824
+10%
305 725
+11%
345 722
+13%
363 758
+5%
380 053
+4%
395 276
+4%
419 693
+6%
432 831
+3%
451 257
+4%
462 739
+3%
493 263
+7%
510 598
+4%
542 863
+6%
561 651
+3%
Liabilities
Accounts Payable
983
485
346
285
261
3 956
5 902
2 172
2 344
3 097
2 121
2 351
3 935
4 079
4 193
4 145
4 264
4 558
4 763
4 622
5 711
6 538
6 987
0
Short-Term Debt
819
426
3 258
4 042
10 076
2
0
0
0
0
0
0
0
0
2 470
1 238
4 046
971
914
1 002
6 776
3 018
8 130
5 625
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
43
15
94
865
463
0
0
0
0
0
0
0
0
0
0
0
0
Total Deposits
49 680
51 997
75 205
91 810
117 431
149 203
167 869
193 506
198 200
216 177
237 892
267 049
297 210
311 127
321 784
330 705
348 643
361 835
376 613
388 518
408 494
425 499
446 722
461 739
Other Interest Bearing Liabilities
1 135
1 211
1 261
2 130
2 624
3 452
3 062
613
2 309
2 095
3 049
1 573
662
363
327
287
215
235
209
222
314
192
263
156
Other Current Liabilities
131
115
233
250
334
366
410
485
822
794
753
601
570
711
586
703
370
566
231
673
962
490
402
468
Total Current Liabilities
1 933
1 026
3 837
4 577
10 671
4 324
6 312
2 700
3 181
3 985
3 739
3 415
4 505
4 790
7 249
6 086
8 680
6 095
5 908
6 297
13 449
10 047
15 519
6 092
Long-Term Debt
0
0
1 375
2 758
5 159
4 674
7 163
8 032
8 095
11 318
9 644
10 433
13 486
13 678
13 475
18 398
19 032
18 905
17 844
17 380
18 036
17 148
16 933
19 756
Deferred Income Tax
3
3
3
3
17
22
2
2
8
56
73
96
86
155
155
165
142
57
784
71
83
94
138
302
Minority Interest
1 333
578
368
436
628
636
692
692
652
697
700
774
850
1 077
1 150
1 081
1 123
1 152
1 178
1 263
1 347
1 706
2 311
2 504
Other Liabilities
789
1 146
1 645
1 411
2 225
2 501
1 525
568
851
509
1 709
1 962
898
1 338
1 697
1 190
886
959
1 471
826
1 360
1 237
3 641
11 164
Total Liabilities
54 875
N/A
55 959
+2%
83 695
+50%
103 125
+23%
138 756
+35%
164 813
+19%
186 626
+13%
206 113
+10%
213 296
+3%
234 837
+10%
256 806
+9%
285 302
+11%
317 697
+11%
332 527
+5%
345 840
+4%
357 912
+3%
378 720
+6%
389 236
+3%
404 009
+4%
414 577
+3%
443 084
+7%
455 924
+3%
485 528
+6%
501 713
+3%
Equity
Common Stock
2 315
3 207
3 356
3 417
3 463
3 528
3 532
3 532
3 532
3 532
3 532
3 532
3 882
3 882
3 882
9 418
9 418
9 418
9 418
9 418
9 418
9 418
9 418
9 418
Retained Earnings
4 676
4 653
5 880
4 357
4 574
4 976
5 146
6 744
8 737
11 443
13 629
16 034
18 388
21 326
24 293
27 485
30 598
33 134
36 453
38 131
40 426
44 358
47 598
50 955
Additional Paid In Capital
0
928
0
1 574
1 782
2 112
2 132
1 440
1 073
1 073
1 073
1 073
5 536
5 536
5 536
0
0
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
46
5
28
0
0
15
55
26
76
255
644
1 101
58
440
135
306
0
Treasury Stock
0
170
601
785
785
1 274
1 274
582
215
216
216
216
149
149
149
149
0
0
0
0
0
0
435
435
Other Equity
0
0
0
0
0
0
0
65
89
82
0
0
384
582
678
536
703
399
276
557
775
763
449
0
Total Equity
6 990
N/A
8 618
+23%
8 635
+0%
8 564
-1%
9 034
+5%
9 342
+3%
9 537
+2%
11 023
+16%
13 033
+18%
15 722
+21%
18 018
+15%
20 424
+13%
28 025
+37%
31 231
+11%
34 213
+10%
37 365
+9%
40 973
+10%
43 594
+6%
47 248
+8%
48 163
+2%
50 179
+4%
54 674
+9%
57 335
+5%
59 938
+5%
Total Liabilities & Equity
61 866
N/A
64 577
+4%
92 330
+43%
111 689
+21%
147 790
+32%
174 155
+18%
196 163
+13%
217 136
+11%
226 329
+4%
250 559
+11%
274 824
+10%
305 725
+11%
345 722
+13%
363 758
+5%
380 053
+4%
395 276
+4%
419 693
+6%
432 831
+3%
451 257
+4%
462 739
+3%
493 263
+7%
510 598
+4%
542 863
+6%
561 651
+3%
Shares Outstanding
Common Shares Outstanding
11 960
13 127
13 458
13 614
13 801
13 855
13 872
13 871
13 871
14 249
18 070
18 070
19 307
19 307
19 307
19 307
19 411
19 411
19 411
19 411
19 411
19 411
19 313
19 313
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