Issuer

Centralna kooperativna banka AD Skopje
Issuer's basic data
Address
ul. 1732 br. 2
City
Skopje
State
Makedonija
Mail
info@ccbank.mk
Contact person
+
Borka Cvetanovska
Additional contacts
Contact person
Borka Cvetanovska
Phone
+389 2 3212 249 л:104
E-mail
borka.cvetanovska@ccbank.mk
Phone
+389 2 3249 300
Fax
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Prospectus
| Year | 2024 | 2023 | 2022 |
|---|---|---|---|
| Total Revenue from operation Activities | 726,980 | 634,491 | 554,670 |
| Operating profit | |||
| Net profit | 43,872 | 54,494 | 38,103 |
| Equity | 1,405,662 | 1,361,790 | 1,307,296 |
| Total liabilities | 11,652,245 | 11,014,823 | 9,863,565 |
| Total assets | 13,057,907 | 12,376,613 | 11,170,861 |
| Market capitalization | 188,050 | 193,580 | 331,852 |
Methodology
| Year | 2024 | 2023 | 2022 |
|---|---|---|---|
| Return on sales | % | % | % |
| Net earnings per share (EPS) | 79.32 | 98.53 | 68.89 |
| Return on assets | 0.34% | 0.44% | 0.34% |
| Return on equity | 3.12% | 4.00% | 2.91% |
| Price to earnings | 4.29 | 3.55 | 8.71 |
| Book value per share | 2,541.48 | 2,462.16 | 2,363.64 |
| Price to Book Value | 0.13 | 0.14 | 0.25 |
| Dividend Per Share | |||
| Dividend yield | 0.00% | 0.00% | 0.00% |
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Listing of second issue of convertible bonds issued by Centralna kooperativna banka AD Skopje
Listing of second issue of convertible bonds issued by Centralna kooperativna banka AD Skopje -
Delisting of convertible bonds issued by Centralna kooperativna banka AD Skopje
Delisting of convertible bonds issued by Centralna kooperativna banka AD Skopje -
Non-trade transfers of listed companies' share
According to the data from the Central Securities Depositary we inform that the following non-trade transfers of listed companies' shares were executed -
Non-trade transfers of listed companies' share
According to the data from the Central Securities Depositary we inform that the following non-trade transfers of listed companies' shares were executed -
Listing of convertible bonds issued by Centralna kooperativna banka AD Skopje
At the meeting held on 11.07.2019, the Board of Directors of the Macedonian Stock Exchange reached a Decision for listing of convertible bonds issued by Centralna kooperativna banka AD Skopje... -
NON-TRADE TRANSFERS OF LISTED COMPANIES' SHARE
NON-TRADE TRANSFERS OF LISTED COMPANIES' SHARE -
NON-TRADE TRANSFERS OF LISTED COMPANIES' SHARE
NON-TRADE TRANSFERS OF LISTED COMPANIES' SHARE -
NON-TRADE TRANSFERS OF LISTED COMPANIES' SHARE
NON-TRADE TRANSFERS OF LISTED COMPANIES' SHARE
Symbols
Price movement
Volume
Symbol data
Market segment:
Mandatory Listing - ordinary shares
ISIN:
MKSILB101014
Total shares
553,087
Last trade: No
Max Price:
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Min Price:
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Avg Price:
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Volume:
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Value:
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Trades:
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Last 52 weeks
Max Price:
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Min Price:
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Volume:
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Value:
/
Trades:
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* the average price is from the last trading day
**data doesn't inculde block trades
*** the ordinary shares and the priority shares own by the Pension and Disability Insurance Fund of the Republic of Macedonia – PDIF (if they are issued) are summed up. The priority shares own by the PDIF are converted in ordinary shares at the moment of sale.
Historical Data
Price movement
Volume
Market segment:
Exchange Listing - Bonds
ISIN:
MKSILB200014
Total shares
5,000
Last trade: No
Max Price:
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Min Price:
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Avg Price:
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Volume:
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Value:
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Trades:
/
Last 52 weeks
Max Price:
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Min Price:
/
Volume:
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Value:
/
Trades:
/
* the average price is from the last trading day
**data doesn't inculde block trades
Historical DataInstrument type
convertible, transferable, subordinated, unsecured, bonds, with fixed interest rate. The issued capital instrument will be used as additional capital of the Bank (Tier 2 capital)
Issued Value
5,000,000 EUR
Issued Volume
5,000
Nominal value
1,000 EUR
Issue Date
3/22/2019
Maturity Date
3/22/2026
Interest Rate
2,2% fixed annual for the total period.
Coupon Payment
Interest is paid annually, on March 22nd, starting from March 22nd 2020
Redemption
The issuer may redeem securities after the expiration of 5 years from the date of issue, with prior approval from the National Bank
Convertibility
right to convert part or all into ordinary shares
Other details
none
Price movement
Volume
Market segment:
Exchange Listing - Bonds
ISIN:
MKSILB200022
Total shares
60
Last trade: No
Max Price:
/
Min Price:
/
Avg Price:
/
Volume:
/
Value:
/
Trades:
/
Last 52 weeks
Max Price:
/
Min Price:
/
Volume:
/
Value:
/
Trades:
/
* the average price is from the last trading day
**data doesn't inculde block trades
Historical DataInstrument type
convertible, transferable, subordinated, unsecured, bonds, with fixed interest rate
Issued Value
0 EUR
Issued Volume
60
Nominal value
0 EUR
Issue Date
6/20/2025
Maturity Date
6/20/2034
Interest Rate
2,2% fixed annual for the total period.
Coupon Payment
Interest is paid annually, on June 20th, starting from June 20th 2026
Redemption
The issuer may redeem securities after the expiration of 5 years from the date of issue, with prior approval from the National Bank
Convertibility
right to convert part or all into ordinary shares
Other details
none