Page 102 - SHB 2021 Issue 4
P. 102
JSE – CAP Profile’s Stock Exchange Handbook: 2020 – Issue 4
CAPITAL STRUCTURE AUTHORISED ISSUED
CRP Ords of GBP10p ea - 111 819 626 Capitec Bank Holdings Ltd.
CAP
DISTRIBUTIONS [GBPp] ISIN: ZAE000035861 SHORT: CAPITEC CODE: CPI
Ords of GBP10p ea Ldt Pay Amt Scr/100 ISIN: ZAE000083838 SHORT: CAPITEC-P CODE: CPIP
Final No 9 2 Jun 20 24 Jun 20 11.00 9.67 REG NO: 1999/025903/06 FOUNDED: 1999 LISTED: 2002
Interim No 8 26 Nov 19 27 Dec 19 10.00 - NATURE OF BUSINESS: Capitec Bank Holdings Ltd. (Capitec or the
company) was incorporated in South Africa on 23 November 1999 and
LIQUIDITY: Oct21 Ave 31 993 shares p.w., R446 189.1(1.5% p.a.)
registered as a bank controlling company, as envisaged by the Banks Act,
REIV 40 Week MA CAPREG Act 94 of 1990, on 29 June 2001. Capitec was listed in the Banks sector of
the JSE Ltd. on 18 February 2002.
17525
SECTOR: Fins—Banks—Banks—Banks
14168 NUMBER OF EMPLOYEES: 14 590
DIRECTORS: du PlessisSA(ind ne), du Pré le RouxMS(ne),
10811 Fernandez C (ind ne), Mahlangu V (ld ind ne), Makwane K (ind ne),
Mashilwane E (ind ne), Mashiya N, MeintjesDP(ind ne),
7454 MoutonPJ(ne), OttoCA(ind ne), VersterJP(ind ne), Botha
S (Chair, ind ne), Fourie G M (CEO), du Plessis A P (CFO)
4097
MAJOR ORDINARY SHAREHOLDERS as at 01 Jul 2021
PSG Financial Services Ltd. 30.69%
740
2016 | 2017 | 2018 | 2019 | 2020 | 2021 Public Investment Corporation SOC Ltd. 11.10%
Lebashe Investment Group (Pty) Ltd. 7.27%
NOTES: Capreg underwent a consolidation of every ten ordinary shares of
GBP1 pence each into one ordinary share of GBP10 pence each on 15 POSTAL ADDRESS: PO Box 12451, Die Boord, Stellenbosch, 7613
January 2020. MORE INFO: www.sharedata.co.za/sdo/jse/CPI
COMPANY SECRETARY: Yolandé Mouton
FINANCIAL STATISTICS
(Amts in GBP'000) Jun 21 Dec 20 Dec 19 Dec 18 Dec 17 TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
Interim Final Final Final Final SPONSOR: PSG Capital (Pty) Ltd.
NetRent/InvInc 16 300 37 500 53 600 56 100 55 700 AUDITORS: Deloitte & Touche, PwC Inc.
Total Inc 18 400 39 500 52 500 54 700 57 200 CAPITAL STRUCTURE AUTHORISED ISSUED
Attrib Inc - 41 300 - 203 400 - 121 000 - 25 600 22 400 CPI Ords 1c ea 500 000 000 115 626 991
TotCompIncLoss - 41 300 - 203 400 - 121 000 - 25 600 22 400 DISTRIBUTIONS [ZARc]
Ord UntHs Int 126 700 167 800 375 100 433 000 481 400 Ords 1c ea Ldt Pay Amt
Investments 493 000 537 000 772 100 901 000 932 700 Interim No 34 19 Oct 21 25 Oct 21 1200.00
FixedAss/Prop 2 500 2 500 2 200 2 000 1 800 Final No 33 4 May 21 10 May 21 1600.00
Tot Curr Ass 110 500 105 400 111 300 47 300 51 800 LIQUIDITY: Oct21 Ave 2m shares p.w., R2 284.0m(78.1% p.a.)
Total Ass 645 000 671 300 900 300 966 800 1 007 900
BANK 40 Week MA CAPITEC
Tot Curr Liab 39 500 30 900 35 700 37 100 39 000
191317
PER SHARE STATISTICS (cents per share)
HEPS-C (ZARc) 64.58 97.01 529.23 746.20 685.60
161290
DPS (ZARc) - - 432.70 454.30 637.96
NAV PS (ZARc) 2 249.01 2 982.49 6 673.13 10 584.00 11 209.10 131263
3 Yr Beta 1.99 1.92 0.40 0.58 -
Price Prd End 1 571 1 519 5 350 5 540 10 000 101236
Price High 1 990 5 440 9 900 10 800 10 850
71209
Price Low 1 025 724 2 480 4 010 8 510
RATIOS 41182
2016 | 2017 | 2018 | 2019 | 2020 | 2021
RetOnSH Funds - 65.19 - 121.22 - 32.26 - 5.91 4.65
RetOnTotAss 5.71 5.88 5.83 5.18 5.48 FINANCIAL STATISTICS
Debt:Equity 3.78 2.82 1.30 1.15 1.01 (R million) Aug 21 Feb 21 Feb 20 Feb 19 Feb 18
OperRetOnInv 6.58 6.95 6.92 6.21 5.96 Interim Final Final Final Final
OpInc:Turnover 47.80 51.58 60.29 61.65 62.44 Interest Paid 2 317 4 985 5 680 4 510 4 184
Interest Rcvd 8 480 16 544 17 041 15 501 15 474
Operating Inc 7 099 4 030 4 710 5 223 6 720
Attrib Inc 3 918 4 452 6 243 5 285 4 459
TotCompIncLoss 3 905 4 439 6 260 5 314 4 459
Ord SH Int 31 904 29 860 25 508 21 594 18 779
Dep & OtherAcc 127 851 120 908 103 343 76 443 57 824
Liabilities 134 791 126 592 108 987 78 752 66 066
Inv & Trad Sec 61 383 35 307 17 207 20 063 14 309
Adv & Loans 59 486 57 189 62 043 44 515 41 814
ST Dep & Cash 31 782 49 318 42 232 29 145 25 091
Total Assets 166 747 156 508 134 568 100 428 84 957
PER SHARE STATISTICS (cents per share)
HEPS-C (ZARc) 3 447.00 3 966.00 5 428.00 4 577.00 3 858.00
DPS (ZARc) 1 200.00 1 600.00 755.00 1 750.00 1 470.00
NAV PS (ZARc) 27 637.00 25 872.00 22 061.00 18 676.00 15 681.00
3 Yr Beta 0.61 0.63 0.40 0.43 1.17
Price Prd End 189 770 133 875 129 999 130 621 83 246
Price High 189 988 152 500 149 756 131 601 109 796
Price Low 130 200 53 986 106 521 81 766 70 500
RATIOS
Ret on SH Fund 24.52 14.88 24.40 24.38 23.60
RetOnTotalAss 8.53 2.57 3.51 5.20 7.91
Interest Mgn 0.07 0.07 0.08 0.11 0.13
LiquidFnds:Dep 0.25 0.41 0.41 0.38 0.43
100