Tbc Bank Group plc (TBCG)

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TBCGLondon Stock Exchange
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

7 annual periodsNewest to oldest
2025202420232022202120202019
Revenue₾209.6M₾158.8M₾129.8M₾111.6M
Operating expenses₾1.27B₾1.07B₾858.9M₾691.3M₾545.8M₾437.5M₾448.0M
Net income₾1.42B₾1.31B₾1.14B₾1.00B₾809.0M₾322.5M₾540.3M
Net profit margin677.77%823.30%878.27%899.07%
Basic EPSper basic shareGEL 25.23GEL 23.41GEL 20.74GEL 18.14GEL 14.70GEL 5.80GEL 9.80
Diluted EPSper diluted shareGEL 24.96GEL 23.27GEL 20.58GEL 17.86GEL 14.30GEL 5.80GEL 9.80

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