B

Bank of the Philippine Islands
OTC:BPHLY

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Bank of the Philippine Islands
OTC:BPHLY
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Price: 39.94 USD 2.02% Market Closed
Market Cap: $10.5B

Balance Sheet

Balance Sheet Decomposition
Bank of the Philippine Islands

Balance Sheet
Bank of the Philippine Islands

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Balance Sheet
Currency: PHP
Dec-2001 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
Assets
Net Loans
178 992
177 283
177 128
193 831
214 291
229 626
257 409
245 611
239 612
281 728
334 770
524 678
632 999
797 417
869 583
1 036 245
1 196 880
1 346 442
1 465 676
1 398 437
1 468 708
1 691 801
1 869 064
2 220 650
Investments
137 714
136 865
158 067
184 785
214 097
232 605
243 030
293 984
367 535
433 767
369 464
301 136
299 867
377 382
403 085
425 464
429 700
476 979
476 868
551 572
644 890
641 169
742 190
775 848
PP&E Net
10 591
10 562
10 374
9 949
13 303
14 092
13 714
14 004
14 172
14 312
14 959
12 421
12 205
12 760
12 826
13 809
15 056
16 252
23 748
18 832
17 525
19 355
19 751
21 209
PP&E Gross
10 591
10 562
10 374
9 949
13 303
14 092
13 714
14 004
14 172
14 312
14 959
12 421
12 205
12 760
12 826
13 809
15 056
16 252
23 748
18 832
17 525
19 355
19 751
21 209
Accumulated Depreciation
6 785
7 197
7 820
7 849
11 045
12 048
12 892
13 756
14 762
15 613
14 854
13 311
13 907
15 227
15 490
15 385
18 338
19 741
24 381
25 524
28 656
31 147
33 914
36 839
Intangible Assets
0
0
0
0
0
0
0
0
0
0
0
2 865
2 744
2 334
2 054
2 336
2 454
3 070
2 797
2 530
1 989
2 316
854
9 206
Goodwill
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
9 518
Long-Term Investments
0
1 413
1 628
942
188
933
933
730
1 639
2 508
3 069
3 680
4 176
4 784
6 453
6 818
6 386
5 659
6 746
7 510
7 165
7 227
8 287
10 904
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
5 926
6 019
5 509
4 980
26 618
23 969
22 995
20 513
19 113
16 797
13 483
11 974
12 028
10 736
10 818
11 210
11 669
11 899
12 861
20 496
19 101
20 512
22 928
26 612
Other Assets
38 709
38 991
42 235
43 010
29 500
28 514
34 041
32 224
20 279
21 804
26 055
23 519
30 271
53 964
20 522
21 044
27 920
27 583
22 114
23 142
25 558
0
31 962
47 480
Total Assets
397 796
N/A
402 274
+1%
419 023
+4%
469 850
+12%
529 285
+13%
583 133
+10%
637 285
+9%
666 612
+5%
724 420
+9%
878 146
+21%
842 616
-4%
985 241
+17%
1 195 364
+21%
1 450 197
+21%
1 516 356
+5%
1 725 696
+14%
1 903 905
+10%
2 085 228
+10%
2 205 030
+6%
2 233 443
+1%
2 421 915
+8%
2 603 961
+8%
2 888 372
+11%
3 318 813
+15%
Liabilities
Accounts Payable
0
0
0
0
0
0
0
0
0
0
0
0
0
21 447
20 303
18 594
20 811
24 056
23 625
19 728
16 567
17 455
19 845
24 700
Accrued Liabilities
0
0
0
0
0
0
0
0
0
0
0
4 819
4 907
5 597
5 685
6 853
7 117
9 057
9 865
8 902
8 413
10 587
14 973
17 327
Short-Term Debt
6 066
7 311
7 916
11 973
13 571
5 716
5 375
9 934
32 009
24 868
19 136
26 280
26 179
32 993
20 941
61 973
83 517
166 901
150 837
151 947
95 039
97 503
137 104
163 182
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1 485
1 772
2 486
3 417
2 577
2 964
Total Deposits
319 368
316 694
326 097
368 711
422 034
469 325
516 157
543 075
582 530
723 953
685 232
810 103
997 820
1 185 253
1 284 438
1 439 549
1 570 440
1 596 665
1 706 588
1 724 776
1 963 031
2 105 643
2 305 450
2 627 878
Other Interest Bearing Liabilities
1 149
562
617
656
774
2 169
4 663
4 043
3 526
7 329
6 531
1 153
1 677
947
2 494
1 452
2 992
2 394
3 855
934
2 842
9 100
7 862
3 238
Other Current Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
545
4 056
4 098
4 145
4 727
1 062
604
632
880
1 503
1 962
Total Current Liabilities
6 066
7 311
7 916
11 973
13 571
5 716
5 375
9 934
32 009
24 868
19 136
31 099
31 086
60 582
50 985
91 518
115 590
204 741
186 874
182 953
123 137
129 842
176 002
210 135
Long-Term Debt
0
0
0
0
0
0
0
5 000
5 000
5 000
5 000
5 000
0
0
0
0
0
0
6 371
6 039
4 840
6 678
7 179
6 860
Minority Interest
177
859
971
1 384
1 540
1 048
1 120
938
967
1 244
1 378
1 426
1 272
2 616
2 446
2 550
2 863
3 017
3 457
2 122
2 096
2 082
2 166
2 221
Other Liabilities
22 663
26 067
31 281
33 258
32 838
40 436
39 959
40 688
33 590
34 721
36 187
39 764
58 974
56 736
25 709
25 493
31 332
29 890
28 308
36 784
32 909
32 894
32 509
38 012
Total Liabilities
349 423
N/A
351 493
+1%
366 882
+4%
415 982
+13%
470 757
+13%
518 694
+10%
567 274
+9%
603 678
+6%
657 622
+9%
797 115
+21%
753 464
-5%
888 545
+18%
1 090 829
+23%
1 306 134
+20%
1 366 072
+5%
1 560 562
+14%
1 723 217
+10%
1 836 707
+7%
1 935 453
+5%
1 953 608
+1%
2 128 855
+9%
2 286 239
+7%
2 531 168
+11%
2 888 344
+14%
Equity
Common Stock
15 387
18 505
18 546
22 343
22 479
27 043
27 044
32 456
32 467
35 562
35 562
35 562
35 563
39 272
39 285
39 308
39 336
44 961
44 999
45 045
45 131
49 193
49 307
52 610
Retained Earnings
24 734
26 835
32 951
30 979
35 022
36 135
42 187
29 104
32 919
37 152
45 273
51 397
63 817
78 673
86 324
101 313
116 669
131 555
152 568
165 925
181 665
211 705
205 610
247 221
Additional Paid In Capital
7 873
5 018
153
521
1 073
1 356
1 360
1 374
1 412
8 317
8 317
8 317
8 316
29 341
29 439
29 591
29 771
74 181
74 449
74 764
74 934
104 123
113 414
143 278
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
33 043
0
0
Other Equity
380
423
491
25
46
95
580
0
0
0
0
1 420
3 161
3 223
4 764
5 078
5 088
2 176
2 439
5 899
8 670
14 256
11 127
12 640
Total Equity
48 373
N/A
50 781
+5%
52 141
+3%
53 868
+3%
58 528
+9%
64 439
+10%
70 011
+9%
62 934
-10%
66 798
+6%
81 031
+21%
89 152
+10%
96 696
+8%
104 535
+8%
144 063
+38%
150 284
+4%
165 134
+10%
180 688
+9%
248 521
+38%
269 577
+8%
279 835
+4%
293 060
+5%
317 722
+8%
357 204
+12%
430 469
+21%
Total Liabilities & Equity
397 796
N/A
402 274
+1%
419 023
+4%
469 850
+12%
529 285
+13%
583 133
+10%
637 285
+9%
666 612
+5%
724 420
+9%
878 146
+21%
842 616
-4%
985 241
+17%
1 195 364
+21%
1 450 197
+21%
1 516 356
+5%
1 725 696
+14%
1 903 905
+10%
2 085 228
+10%
2 205 030
+6%
2 233 443
+1%
2 421 915
+8%
2 603 961
+8%
2 888 372
+11%
3 318 813
+15%
Shares Outstanding
Common Shares Outstanding
3 480
3 480
2 867
3 450
2 913
3 496
2 913
3 497
3 498
3 727
3 727
3 624
3 629
3 932
3 932
3 937
3 939
4 502
4 507
4 513
4 513
4 918
4 945
5 272