Page 116 - BKT Annual Report 2024 EN
P. 116

Notes to the Consolidated Financial Statements for the year ended 31 December 2024                                                                          Notes to the Consolidated Financial Statements for the year ended 31 December 2024
         (amounts in USD, unless otherwise stated)                                                                                                                                                               (amounts in USD, unless otherwise stated)




                                                                                                                                 11. LOANS TO CUSTOMERS
          f) Investment securities - measured at amortised cost (Held-to-maturity securities)
          Held-to-maturity securities as of 31 December 2024 comprise as follows:                                                 Loans to customers consisted of the following:


                                                  Unamortized                                                                                                                               31 December 2024            31 December 2023
          Type                  Nominal Value       Premium /    Accrued interest     Impairment        Net Value                Loans to customers, gross                                       1,958,189,878               1,744,795,259
                                                    (Discount)
                                                                                                                                 Accrued interest                                                      8,902,726                 10,028,562
          ALL denominated         1,007,582,219      10,536,476       16,386,979      (12,564,971)   1,021,940,703
                                                                                                                                 Less allowances for impairment on loans                           (50,762,177)                (54,577,751)
          USD denominated          186,386,049       (1,244,495)       2,937,188       (2,023,947)     186,054,795
                                                                                                                                 Less unamortized deferred fee income                                (7,283,945)                 (6,217,086)
          EUR denominated          866,709,483      (28,131,240)       7,815,917       (1,575,346)     844,818,814
                                                                                                                                                                                               1,909,046,482               1,694,028,984
          GBP denominated           36,353,066         (58,409)         731,713          107,785        37,134,155
          CHF denominated             940,266          (96,711)           2,615            (297)          845,873
                                                                                                                                 Movements in the allowance for impairment on loans:
                                  2,097,971,083     (18,994,379)      27,874,412      (16,056,776)   2,090,794,340                                                                          31 December 2024            31 December 2023

                                                                                                                                 At 1 January                                                    54,577,751                      57,612,141
          Held-to-maturity securities as of 31 December 2023 comprise as follows:                                                Impairment charge for the year, net                               1,819,663                     (5,369,981)
                                                  Unamortized                                                                    Provision reversal of written off loans                         (3,732,926)                       (519,666)
          Type                  Nominal Value       Premium /    Accrued interest     Impairment        Net Value                Translation difference                                           (1,902,311)                      2,855,257
                                                    (Discount)
          ALL denominated        1,028,111,561        (248,931)      16,258,924        (7,704,020)   1,036,417,534               At the end of the year                                          50,762,177                  54,577,751
          USD denominated         270,981,000         344,843         3,117,668        (3,263,487)    271,180,024
          EUR denominated         839,967,779      (25,836,749)       6,729,300        (6,912,137)    813,948,193                All the loans are denominated in Lek, Euro and USD and bear interest at the following rates:
                                                                                                                                 Loans in Lek         0.50% to 19.20%
          GBP denominated          47,503,127         181,418          731,498           (13,996)      48,402,047
                                                                                                                                 Loans in Euro        0.50% to 13.00%
          CHF denominated           2,207,633         (151,879)         37,128         (1,223,284)       869,598
                                                                                                                                 Loans in USD         5.31% to 10.76%
                                 2,188,771,100     (25,711,298)       26,874,518      (19,116,924)   2,170,817,396
                                                                                                                                 The Bank has granted few loans with interest rates at the minimum limit shown above, which are lower than the rates that are generally
                                                                                                                                 offered by the Bank, and are covered by cash collaterals or are granted to personnel under special conditions.
                                                                                                                                 The classification of business loans by industry is as follows:
          10.  LOANS TO BANKS
                                                                                                                                                                                           31 December 2024            31 December 2023
          During 2024 the Bank has purchased syndicated loans of some non-resident banks and FIs as follows:
                                                                                                                                                                                       USD             %            USD             %
                                                               31 December 2024                                                  Wholesale and retail trade; repair of motor vehicles and
                                                                                                                                 motorcycles                                      226,183,646         21%      228,867,300        24%
                                           Principal             Interest         Impairment                Total
                                                                                                                                 Construction                                     177,333,482         17%      194,227,291        21%
          USD denominated                   38,000,000              581,337              (102,307)              38,479,030       Transportation and storage                        91,854,951          9%       70,100,359         8%
                                                                                                                                 Manufacturing                                     91,561,984          9%       68,295,540         6%
          EUR denominated                  100,249,196              519,140              (435,320)            100,333,016
                                                                                                                                 Financial and insurance activities                81,241,393          8%       40,368,013         4%
                                         138,249,196            1,100,477               (537,627)     138,812,046                Real estate activities                            64,069,717          6%       56,960,851         6%
                                                                                                                                 Electricity, gas, steam and air conditioning supply   61,582,636      6%       76,175,011         8%
                                                                                                                                 Accommodation and food service activities         57,718,471          6%       49,056,607         5%
          During 2023 the Bank has purchased syndicated loans of some non-resident banks and FIs as follows:                     Mining and Quarrying                              45,688,573          5%       67,924,390         7%
                                                                                                                                 Human health and social work activities           38,472,344          4%        8,808,155         1%
                                                                                                                                 Agriculture, forestry and fishing                 12,915,180          1%       20,354,479         2%
                                                               31 December 2023                                                  Water supply; sewerage, waste management and remediation
                                                                                                                                 activities                                        12,825,823          1%       14,948,498         2%
                                           Principal             Interest         Impairment                Total                Education                                         10,660,955          1%        9,579,904         1%

          USD denominated                   26,142,857              468,741                (31,406)              26,580,192      Professional, scientific and technical activities   4,833,344         1%        3,355,241         1%
                                                                                                                                 Administrative and support service sctivities      3,656,821          1%        2,150,687         1%
          EUR denominated                  108,644,577           1,093,349        (1,487,580)             108,250,346            Information and communication                      3,246,192          1%        1,133,662         1%
                                         134,787,434            1,562,090            (1,518,986)      134,830,538                Arts, entertainment and recreation                  593,645           1%         552,906          0%
                                                                                                                                 Public administration and defence; compulsory social security   434,670   1%     919,076          1%
                                                                                                                                 Other service activities                           6,656,161          1%        9,176,616         1%
                                                                                                                                                                                  991,529,988        100%     922,954,586        100%





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