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b.

CAR
a. CAR (KPMM)
(KPMM) dengan
dengan memper NIM/NC
PPA
memper hitungka Aset
PERMODALAN Aktiva AKTIVA PRODUKTIF Pemenuh OM (Net
RENTABILITAS
Produktif Pemenuh
hitungka n risiko Tetap Produktif NPF an PPA Core
BANK TAHUN n risiko pembiay terhadap Bermasal Gross
NPF Nett terhadap an PPA
Non
ROA ROE
Operatio
BRIS 2011Q1 21,72% Aktiva Produktif
pembiay 21,72%
aan/peny 17,31%
Modal 2,11%
ah (NPA) 2,43 1,70% 1,43% 100% 101,33%
Produktif 0,23%` 1,23% 8,20%
nal
Produktif
BRIS 2011Q2 19,99%
aan/peny 19,99%
aluran 19,08% 2,93% 3,40% 2,77% 1,42% 100% 100% 0,20% 1,52% Margin)
7,78%
BRIS aluran 18,33%
2011Q3 18,33% dana dan 20,14% 2,53% 2,80% 2,27% 1,24% 100% 100% 0,40% 3,18% 7,59%
dana risiko
BRIS 2011Q4 14,74% 14,74%
pasar 21,76% 2,42% 2,77% 2,12% 1,34% 100% 0,20% 1,19% 6,99%
BRIS 2012Q1 14,34% 14,34% 22,88% 3,03% 3,31% 2,40% 1,74% 100% 100% 0,17% 1,41% 7,70%
BRIS 2012Q2 13,59% 13,59% 22,34% 2,58% 2,88% 2,15% 1,66% 106,28% 100% 1,21% 9,98% 7,68%
BRIS 2012Q3 12,92% 12,92% 23,48% 2,54% 2,87% 1,89% 1,74% 100% 100% 1,34% 11,40% 8,36%
BRIS 2012Q4 11,35% 11,35% 24,03% 2,55% 3,00% 1,84% 1,79% 100% 1,19% 10,41% 7,15%
BRIS 2013Q1 11,81% 11,81% 23,51% 2,54% 3,04% 2,01% 1,74% 100% 1,71% 18,63% 6,61%
BRIS 2013Q2 15,00% 15,00% 17,60% 2,49% 2,89% 1,94% 1,69% 100% 1,41% 14,81% 6,57%
BRIS 2013Q3 14,66% 14,66% 17,64% 2,58% 2,98% 2,14% 1,60% 100% 1,36% 13,16% 7,48%
BRIS 2013Q4 14,49% 14,49% 20,25% 3,35% 4,06% 3,26% 1,47% 100% 1,15% 10,20% 6,27%
BRIS 2014Q1 15,15% 14,15% 20,64% 3,42% 4,04% 3,36% 1,28% 100% 0,46% 4,07% 6,09%
BRIS 2014Q2 13,99% 13,99% 21,48% 3,66% 4,38% 3,61% 1,44% 100% 0,03% 0,24% 5,97%
BRIS 2014Q3 13,86% 13,86% 22,29% 4,06% 4,79% 4,19% 0,51% 100% 0,20% 0,49% 5,90%
BRIS 2014Q4 12,89% 12,89% 22,41% 3,69% 4,60% 3,65% 1,39% 85,35% 0,08% 0,44% 6,04%
BRIS 2015Q1
BRIS 2015Q2
BRIS 2015Q3
BRIS 2015Q4
BRIS 2016Q1
BRIS 2016Q2
BRIS 2016Q3
BRIS 2016Q4
BRIS 2017Q1
BRIS 2017Q2
BRIS 2017Q3
BRIS 2017Q4
BRIS 2018Q1
BRIS 2018Q2
BRIS 2018Q3
BRIS 2018Q4
BRIS 2019Q1
BRIS 2019Q2
BRIS 2019Q3
BRIS 2019Q4
BRIS 2020Q1
BRIS 2020Q2
Persenta Persenta
Persenta Persenta
Antar se se
BOPO/OE FDR se se 1. Kewajiban
ABILITAS Bank Deposan
LIKUIDITAS Pelangga Pelampa
R (Opera (Financin Pelangga PelampaKEPATUHAN Penyediaan
Quick Pasiva Inti ran uan GWM
tional Effi g to ran uan Valas PDN Modal
Ratio (SIMA) terhadap BMPK BMPK Rupiah
ciency Ra 76,63%
101,38% 3,36% Deposit BMPK BMPK Minimum
terhadap 42,99%
DPK 97,44% (Pihak (Pihak 5,04%
tio) Ratio) (Pihak (Pihak (KPMM)
100,30% 83,25% DPK 48,59%
0,00% 93,34% Tidak Tidak 5,04%
Terkait) Terkait)
98,56% 69,93% 0,00% 49,31% 95,58% Terkait) Terkait) 5,04%
99,25% 31,37% 1,60% 38,56% 5,02%
99,15% 46,89% 5,34% 42,96% 101,76% 5,03%
91,16% 51,63% 8,55% 44,29% 102,77% 5,03%
89,95% 59,70% 6,25% 48,76% 99,99% 5,03%
86,63% 22,89% 4,99% 41,26% 5,03%
85,54% 95,02% 3,90% 49,01% 100% 5,02%
87,55% 92,07% 2,39% 50,25% 103,67% 5,03%
80,80% 78,20% 4,96% 46,09% 105,61% 5,02%
83,23% 20,96% 8,45% 37,31% 102,70% 5,03% KETERANGAN
92,43% 70,42% 9,01% 43,24% 102,12% 5,02% 0,001%
99,84% 73,21% 5,39% 51,23% 95,14% 5,05% 0,08% KOTAK
97,35% 66,64% 4,55% 50,96% 94,85% 5,06% 0,20 KOTAK
99,14% 76,43% 5,61% 53,30% 93,90% 5,05% 1,07% 0,34%
13,21%
11,03%
13,82%
13,94%`
14,66&
14,06%
14,30%
20,63%
21,14%
20,38%
20,98%
20,29%
23,64%
29,31%
29,79%
29,72%
27,82%
26,88%
26,55%
25,26%
21,99%
23,73%
2. Aset
4.
produktif Cadanga
bermasal
n 11. Biaya a.
ah dan 12. a.
Kerugian Operasio Persenta
aset non Pembiay 13. Persenta
3. Aset Penuruna nal se
produktif 7. Return 8. Return
RASIO KINERJA 10. Net aan bagi Financing se KEPAT
produktif n Nilai 9. Net terhadap Pelangga
bermasal 5. NPF 6. NPF On On Operatin hasil to Pelangga
bermasalah (CKPN) Imbalan Pendapat ran
ah gross net Assets Equity g Margin terhadap Deposit ran
terhadap total aset (NI) an BMPD
terhadap (ROA) (ROE) (NOM) total Ratio BMPD
aset produktif keuanga Operasio (Pihak
total aset pembiay (FDR) (Pihak
n nal Tidak
produktif terhadap (BOPO) aan Terkait) Terkait)
dan aset
aset
non
produktif produktif

= TIDAK Audit
= Diaudit

4,69% 4,66% 1,46% 4,96% 3,96% 0,53% 6,07% 6,95% -0.11% 96,13% 32,40% 88,24%
4,66% 4,64% 1,74% 5,31% 4,38% 0,78% 7,16% 7,11% 1,67% 93,84% 33,99% 92,05%
4,43% 4,40% 1,81% 4,90% 3,86% 0,80% 6,71% 6,53% 0,08% 93,97% 36,67% 86,61%
3,38% 3,38% 1,58% 4,88% 3,89% 0,77% 6,33% 6,38% 0,07% 93,79% 37,24% 84,16%
4,52% 4,26% 1,50% 4,84% 3,90% 0,99% 7,51% 6,33% 0,44% 90,70% 37,34% 82,73%
4,24% 4,28% 2,07% 4,87% 3,83& 1,03% 7,89% 6,49% 0,51% 90,41% 37,09% 87,92%
5,27% 4,98% 1,99% 5,22% 3,89% 0,98% 7,51% 6,48% 0,45% 90,99% 37,09% 83,98%
3,09% 3,03% 1,82% 4,57% 3,19% 0,95% 7,40% 6,38% 0,39% 91,33% 36,96% 81,42%
3,91% 3,80% 2,06% 4,71% 3,33% 0,65% 5,49% 5,73% 0,20% 93,67% 35,27% 77,56%
3,69% 3,60% 1,99% 4,82% 3,50% 0,71% 6,01% 5,57% 0,25% 92,78% 35,29% 76,79%
3,54% 3,11% 1,53% 4,82% 4,02% 0,82% 6,90% 5,66% 0,28% 92,19% 35,35% 73,12%
4,02% 4,37% 2,04% 6,43% 4,72% 0,51% 4,10% 5,84% -0.12% 95,24% 33,85% 71,87%
4,14% 3,15% 1,46% 4,92% 4,10% 0,86% 6,92% 5,16% 0,34% 90,75% 34,09% 68,70%
4,04% 3,25% 1,49% 5,13% 4,23% 0,92% 6,37% 5,18% 0,42% 89,92% 36,06% 77,78%
4,05% 3,38% 1,56% 5,30% 4,30% 0,77% 4,87% 5,28% 0,10% 91,49% 35,50% 76,40%
5,57% 4,13% 1,57% 6,73% 4,97% 0,43% 2,49% 5,36% -0.27% 95,32% 37,48% 75,49%
5,91% 3,55 1,34% 5,68% 4,34% 0,43% 2,54% 5,20% -0.97% 95,67% 38,45% 79,55%
4,95% 3,47% 0,97% 4,98% 4,51% 0,32% 1,51% 5,37% -0.56% 96,74% 38,52% 85,25%
5,64% 3,25% 1,43% 4,45% 3,97% 0,32% 1,60% 5,58% -0.56% 96,78% 40,23% 90,40%
5,49% 3,46% 1,81% 5,22% 3,38% 0,31% 1,57% 5,72% -0.59% 96,80% 43,00% 80,12%
5,77% 3,76% 2,35% 5,00% 2,96% 1,00% 6,30% 6,08% 0,24% 90,18% 43,22% 92,10%
4,81% 3,10% 2,21% 3,99% 2,49% 0,90% 4,87% 5,96% 0,44% 89,93% 39,10% 91,01%
b.
b.
Persenta Posisi
Persenta
se Devisa
se KEPATUHAN
Pelampa b. GWM Neto
Pelampa a. GWM
uan Valuta (PDN)
uan Rupiah
BMPD Asing secara
BMPD
(Pihak keseluru
(Pihak
Tidak han
Terkait) Terkait)
b. CAR
a. CAR (KPMM)
(KPMM) dengan
dengan memper NIM/NC
PPA
memper hitungka Aset
PERMODALAN AKTIVA PRODUKTIF Pemenuh OM (Net
RENTABILITAS
Produktif Pemenuh
hitungka n risiko Tetap Aktiva Produktif NPF an PPA Core
BANK TAHUN n risiko pembiay terhadap Bermasalah (NPA) Gross
NPF Nett terhadap an PPA
Non
ROA ROE
Operatio
BTPNS 2014Q4 33,88% Aktiva Produktif
pembiay 33,88%
aan/peny 18,55%
Modal 1,01% 1,29% 0,87% 1,31% 100,20% Produktif 4,23% 13,75% 33,29%
nal
Produktif
BTPNS 2015Q1 aan/peny aluran Margin)
BTPNS 2015Q2 aluran dana dan
dana risiko
BTPNS 2015Q3 pasar
BTPNS 2015Q4 KOTAK = AUDIT
BTPNS 2016Q1 KOTAK = TIDAK DIAUDIT
BTPNS 2016Q2
BTPNS 2016Q3
BTPNS 2016Q4
BTPNS 2017Q1
BTPNS 2017Q2
BTPNS 2017Q3
BTPNS 2017Q4
BTPNS 2018Q1
BTPNS 2018Q2
BTPNS 2018Q3
BTPNS 2018Q4
BTPNS 2019Q1
BTPNS 2019Q2
BTPNS 2019Q3
BTPNS 2019Q4
BTPNS 2020Q1
BTPNS 2020Q2
2. Aset
produktif
bermasal
Persenta Persenta 1. ah dan
Persenta Persenta
Antar se se Kewajiba aset non
BOPO/OE FDR se se
ABILITAS Bank Deposan
LIKUIDITAS Pelangga Pelampa
KEPATUHAN n produktif
R (Opera (Financin Pelangga Pelampa
Quick Pasiva Inti ran uan GWM Penyedia bermasal
tional Effi g to ran uan PDN
Ratio (SIMA) terhadap BMPK BMPK Rupiah an Modal ah
ciency Ra 51,88% 0,00% 44,19% 93,97%
85,92% Deposit 0,00%
BMPK 0,00% 0,00% BMPK 0,00% 5,50%
terhadap DPK (Pihak (Pihak Minimu terhadap
tio) Ratio) (Pihak (Pihak
DPK Tidak Tidak 31,56%
m 1,54%
total aset
Terkait) Terkait)
Terkait) Terkait) (KPMM) produktif
20,57% 1,02%
dan aset
21,29% 1,13%non
19,93% 1,08%
produktif
22,03% 1,06%
21,47% 0,98%
23,82% 1,22%
23,80% 1,27%
23,88% 1,38%
24,76% 1,39%
27,26% 1,27%
28,91% 1,23%
27,74% 1,22%
36,90% 1,18%
39,69% 1,06%
40,92% 0,93%
39,34% 0,92%
39,40% 0,90%
41,11% 0,87%
44,57% 0,89%
42,44% 0,92%
42,28% 1,13%
4.
Cadanga
n 11. Biaya a.
12. a. b.
3. Aset Kerugian Operasio Persenta
Pembiay 13. Persenta Persenta
produktif Penuruna nal se
7. Return
RASIO 8. Return
KINERJA 10. Net aan bagi Financing se se KEPATUHAN
bermasal n Nilai 9. Net terhadap Pelangga
5. NPF 6. NPF On On Operatin hasil to Pelangga Pelampa
ah (CKPN) Imbalan Pendapat ran
gross net Assets Equity g Margin terhadap Deposit ran uan
terhadap aset (NI) an BMPD
(ROA) (ROE) (NOM) total Ratio BMPD BMPD
total aset keuanga Operasio (Pihak
1,42%
produktif 1,54%n 1,81% 0,51% 3,21% 10,93% 32,16% 0,06% 89,72%
nal 0,00%
pembiay 93,73%
(FDR) 0,00%
(Pihak 0,00%
Tidak 0,00%
(Pihak
0,94% 1,20%terhadap 1,21% 0,28% 4,09% 14,19% 32,57% 2,14% 88,72%
(BOPO) 0,00%aan Terkait)
94,69% 0,00% 0,00%
Terkait) Terkait)
0,00%
1,04% 1,38% aset 1,30% 0,28% 4,88% 16,43% 34,01% 5,20% 86,63% 0,00% 94,18% 0,00% 0,00% 0,00%
produktif
1,01% 1,36% 1,25% 0,17% 5,24% 17,89% 34,31% 5,77% 85,32% 0,00% 98,54% 0,00% 0,00% 0,00%
0,98% 1,45% 1,22% 0,17% 6,98% 23,98% 35,20% 6,70% 81,14% 0,00% 96,38% 0,00% 0,00% 0,00%
0,92% 1,45% 1,18% 0,13% 7,57% 27,13% 34,87% 8,53% 79,17% 0,00% 91,91% 0,00% 0,00% 0,00%
1,16% 1,77% 1,41% 0,13% 8,40% 29,61% 35,65% 9,53% 77,10% 0,00% 87,47% 0,00% 0,00% 0,00%
1,21% 1,81% 1,53% 6,20% 8,96% 31,71% 35,78% 10,20% 75,14% 0,00% 92,75% 0,00% 0,00% 0,00%
1,34% 1,97% 1,74% 0,20% 9,97% 34,19% 37,18% 11,86% 71,98% 0,00% 90,82% 0,00% 0,00% 0,00%
1,36% 2,19% 1,70% 0,01% 10,38% 35,00% 36,73% 11,96% 71,21% 0,00% 96,82% 0,00% 0,00% 0,00%
1,25% 2,20% 1,66% 0,01% 10,74% 35,63% 36,44% 12,29% 70,26% 0,00% 93,31% 0,00% 0,00% 0,00%
1,23% 1,92% 1,67% 0,05% 11,19% 36,50% 35,96% 12,69% 68,81% 0,00% 92,47% 0,00% 0,00% 0,00%
1,22% 1,94% 1,67% 0,02% 12,49% 37,16% 34,09% 13,79% 63,82% 0,00% 93,21% 0,00% 0,00% 0,00%
1,18% 1,87% 1,65% 0,01% 12,54% 33,92% 33,50% 13,83% 62,90% 0,00% 97,89% 0,00% 0,00% 0,00%
1,06% 1,93% 1,56% 0,03% 12,39% 31,79% 32,77% 13,62% 62,61% 0,00% 96,03% 0,00% 0,00% 0,00%
0,93% 1,99% 1,39% 0,02% 12,37% 30,82% 32,42% 13,61% 62,36% 0,00% 95,60% 0,00% 0,00% 0,00%
0,91% 2,08% 1,38% 0,17% 12,66% 28,75% 30,76% 13,87% 61,27% 0,00% 96,03% 0,00% 0,00% 0,00%
0,00% 2,00% 1,34% 0,14% 12,73% 29,30% 30,88% 13,88% 60,40% 0,06% 96,17% 0,00% 0,00% 0,00%
0,87% 2,06% 1,30% 0,00% 13,05% 30,15% 31,16% 14,22% 59,62% 0,24% 98,68% 0,00% 0,00% 0,00%
0,89% 2,12% 1,36% 0,26% 13,58% 31,20% 31,33% 14,86% 58,07% 0,32% 95,27% 0,00% 0,00% 0,00%
0,92% 2,12% 1,43% 0,02% 13,58% 29,77% 29,59% 14,97% 54,85% 0,32% 94,69% 0,00% 0,00% 0,00%
1,13% 3,97% 1,79% 0,00% 6,96% 15,19% 23,73% 7,53% 72,07% 0,21% 92,37% 0,00% 0,00% 0,00%
b.
Persenta Posisi
se Devisa
KEPATUHAN
Pelampa b. GWM Neto
a. GWM
uan Valuta (PDN)
Rupiah
BMPD Asing secara
(Pihak keseluru
0,00%
Tidak 5,78% 0,00% 0,00%han
0,00%
Terkait) 5,51% 0,00% 0,00%
0,00% 5,50% 0,00% 0,00%
0,00% 5,50% 0,00% 0,00%
0,00% 5,50% 0,00% 0,00%
0,00% 5,50% 0,00% 0,00%
0,00% 5,51% 0,00% 0,00%
0,00% 5,51% 0,00% 0,00%
0,00% 5,51% 0,00% 0,00%
0,00% 5,51% 0,00% 0,00%
0,00% 5,50% 0,00% 0,00%
0,00% 5,50% 0,00% 0,00%
0,00% 5,50% 0,00% 0,00%
0,00% 5,49% 0,00% 0,00%
0,00% 5,49% 0,00% 0,00%
0,00% 5,47% 0,00% 0,00%
0,00% 5,42% 0,00% 0,00%
0,00% 5,10% 0,00% 0,00%
0,00% 4,96% 0,00% 0,00%
0,00% 4,90% 0,00% 0,00%
0,00% 4,30% 0,00% 0,00%
0,00% 3,81% 0,00% 0,00%
b. CAR
a. CAR (KPMM)
(KPMM) dengan
dengan memper NIM/NC
PPA
memper hitungka Aset
PERMODALAN Aktiva AKTIVA PRODUKTIF Pemenuh OM (Net
RENTABILITAS
Produktif Pemenuh
hitungka n risiko Tetap Produktif NPF an PPA Core
BANK TAHUN n risiko pembiay terhadap Bermasal Gross
NPF Nett terhadap an PPA
Non
ROA ROE
Operatio
MAYBANKS 2011Q2 116,30% Aktiva Produktif
pembiay 113,04%
aan/peny 2,45%
Modal 0,00%
ah (NPA) 0,00% 0,00% 0,64% 100,00% Produktif 2,67% 3,45% 4,55% nal
Produktif
MAYBANKS 2011Q3 101,55%
aan/peny 100,49%
aluran 2,46% 0,00% 0,00% 0,00% 0,72% 100,00% 2,84% 3,80% 5,08%
Margin)
aluran 73,44%
MAYBANKS 2011Q4 73,89% dana dan 1,26% 0,00% 0,00% 0,00% 0,83% 100,00% 3,57% 4,92% 5,92%
dana risiko
MAYBANKS 2012Q1 67,53% 66,58%
pasar 1,14% 0,00% 0,00% 0,00% 0,93% 100,00% 3,12% 5,35% 6,10%
MAYBANKS 2012Q2 66,39% 65,93% 2,25% 0,00% 0,00% 0,00% 0,75% 100,00% 4,35% 8,62% 6,24%
MAYBANKS 2012Q3 60,69% 60,13% 2,25% 1,45% 2,52% 1,68% 1,12% 100,00% 4,00% 7,38% 6,28%
MAYBANKS 2012Q4 64,20% 63,89% 2,20% 1,69% 2,49% 1,25% 1,63% 100,00% 2,88% 4,93% 5,78%
MAYBANKS 2013Q1 70,07% 70,07% 2,25% 1,70% 2,78% 1,39% 1,51% 100,00% 5,21% 11,76% 6,63%
MAYBANKS 2013Q2 69,96% 68,97% 2,05% 1,68% 2,79% 0,00% 2,33% 100,00% 2,32% 3,68% 5,71%
MAYBANKS 2013Q3 63,87% 63,74% 1,92% 1,83% 2,88% 0,00% 2,84% 100,00% 2,84% 5,68% 5,84%
MAYBANKS 2013Q4 59,61% 59,41% 1,88% 1,72% 2,69% 0,00% 2,59% 100,00% 2,87% 5,05% 5,61%
MAYBANKS 2014Q1 64,93% 64,82% 1,02% 1,85% 2,87% 0,00% 2,76% 100,00% 5,61% 12,41% 7,80%
MAYBANKS 2014Q2 62,06% 61,51% 1,94% 3,51% 5,53% 4,70% 1,23% 100,00% 2,36% 3,66% 6,97%
MAYBANKS 2014Q3 64,03% 63,24% 1,03% 0,27% 0,43% 0,37% 0,87% 100,00% 3,75% 8,08% 6,09%
MAYBANKS 2014Q4 52,24% 52,13% 1,99% 3,38% 5,04% 4,29% 1,17% 100,00% 3,61% 6,83% 6,65%
MAYBANKS 2015Q1
MAYBANKS 2015Q2
MAYBANKS 2015Q3
MAYBANKS 2015Q4
MAYBANKS 2016Q1
MAYBANKS 2016Q2
MAYBANKS 2016Q3
MAYBANKS 2016Q4
MAYBANKS 2017Q1
MAYBANKS 2017Q2
MAYBANKS 2017Q3
MAYBANKS 2017Q4
MAYBANKS 2018Q1
MAYBANKS 2018Q2
MAYBANKS 2018Q3
MAYBANKS 2018Q4
MAYBANKS 2019Q1
MAYBANKS 2019Q2
MAYBANKS 2019Q3
MAYBANKS 2019Q4
MAYBANKS 2020Q1
MAYBANKS 2020Q2
2. Aset
produktif
bermasal
Persenta Persenta ah dan
Persenta Persenta
Antar se se aset non
BOPO/OE FDR se se
ABILITAS Bank Deposan
LIKUIDITAS Pelangga Pelampa
KEPATUHAN 1. Kewajiban produktif
R (Opera (Financin Pelangga Pelampa
Quick Pasiva Inti ran uan GWM Penyediaan bermasal
tional Effi g to ran uan PDN
Ratio (SIMA) terhadap BMPK BMPK Rupiah Modal Minimum ah
ciency Ra
70,24% 143,27% 18,64% Deposit BMPK BMPK 0,00%
terhadap 97,71%
DPK 122,20% 0,00% 0,00%
(Pihak 0,00% (Pihak 5,96% 1,87% (KPMM) terhadap
tio) Ratio) (Pihak (Pihak
61,13% 124,61% 41,96%DPK 94,74% 176,39% 0,00%
Terkait) 0,00%
Tidak 0,00%
Terkait) 0,00%
Tidak 6,51% 1,84% total aset
55,18% 57,80% 289,20% 110,15% 289,20% 0,00% Terkait)
0,00% 0,00% 0,00%Terkait) 5,55% 0,83% KOTAK =
produktif
dan aset
70,19% 55,20% 94,70% 92,80% 240,17% 0,00% 0,00% 0,00% 0,00% 6,97% 2,13% KOTAK = non
57,30% 53,17% 119,13% 93,84% 285,79% 0,00% 0,00% 0,00% 0,00% 5,61% 1,05% produktif
61,71% 30,28% 144,74% 89,59% 345,06% 0,00% 0,00% 0,00% 0,00% 7,37% 1,52%
53,77% 52,72% 48,82% 95,13% 197,70% 0,00% 0,00% 0,00% 0,00% 5,79% 0,74%
67,63% 75,13% 24,76% 97,44% 153,01% 0,00% 0,00% 0,00% 0,00% 6,05% 1,81%
74,00% 84,91% 24,32% 97,84% 148,52% 0,00% 0,00% 0,00% 0,00% 6,03% 2,06%
69,28% 90,55% 101,22% 87,35% 257,08% 0,00% 0,00% 0,00% 0,00% 5,50% 0,34%
67,79% 87,45% 26,17% 94,41% 152,87% 0,00% 0,00% 0,00% 0,00% 5,57% 0,55%
53,53% 104,17% 32,44% 95,25% 182,42% 0,00% 0,00% 0,00% 0,00% 5,37% 0,28%
80,21% 54,00% 33,56% 94,95% 177,64% 0,00% 0,00% 0,00% 0,00% 5,41% 1,43%
67,86% 76,29% 35,13% 94,20% 160,31% 0,00% 0,00% 0,00% 0,00% 5,37% 1,96%
69,60% 59,74% 28,29% 66,97% 157,77% 0,00% 0,00% 0,00% 0,00% 7,20% 0,40%
44,43% 4,17%
43,35% 12,20%
43,05% 15,20%
38,40% 27,70%
46,57% 15,26%
45,63% 19,29%
46,07% 21,69%
55,06% 31,14%
61,44% 35,54%
61,32% 0,00%
61,20`% 0,00%
75,83% 0,00%
95,26% 0,00%
187,53% 0,00%
193,35% 0,00%
163,07% 0,00%
199,90% 0,00%
223,47% 0,00%
241,74% 0,00%
241,84% 0,00%
267,20% 0,00%
346,43% 0,00%
4.
Cadanga
n 11. Biaya
12.
Kerugian Operasio
Pembiay
Penuruna nal
7. Return 8. Return
RASIO KINERJA 10. Net aan bagi a. Persentase
3. Aset produktif n Nilai 9. Net terhadap 13. Financing
5. NPF 6. NPF On On Operatin hasil Pelanggaran
bermasalah terhadap total (CKPN) Imbalan Pendapat to Deposit
gross net Assets Equity g Margin terhadap BMPD (Pihak
aset produktif aset (NI) an Ratio (FDR)
(ROA) (ROE) (NOM) total Terkait)
keuanga Operasio
pembiay
n nal
TIDAK DI AUDIT terhadap (BOPO) aan
DI AUDIT aset
produktif

4,01% 3,27% 5,06% 2,56% (2,63%) (7,70%) 6,31% (6,52) 124,36% 14,42% 161,88% 0,00%
12,20% 11,87% 15,15% 4,41% (16,40%) (35,16%) 6,09% (23,40%) 212,62% 16,98% 202,45% 0,00%
16,35% 13,91% 18,07% 4,35% (10,59%) (22,57%) 6,21% (25,64%) 145,50% 16,97% 227,11% 0,00%
27,61% 25,73% 35,15% 4,93% (20,13%) (32,04%) 6,54% (32,92%) 192,60% 18,24% 110,54% 0,00%
25,28% 14,22% 21,88% 4,59% (2,90%) (6,67%) 10,56% (9,18%) 114,87% 20,73% 143,99% 0,00%
29,39% 18,92% 29,31% 2,39% (11,02%) (27,26%) 4,00% (19,09%) 182,28% 21,32% 146,43% 0,00%
21,83% 23,99% 30,30% 0,00% (10,38%) (26,80%) 4,47% (20,01%) 171,24% 21,91% 157,15% 0,00%
31,51% 29,95% 43,99% 4,60% (9,51%) (27,62%) 4,99% (19,96%) 160,28% 24,24% 134,73% 0,00%
36,00% 34,33% 46,55% 4,40% 3,39% 8,50% 9,33% (26,95%) 91,72% 32,94% 176,97% 0,00%
0,00% 2,61% 0,00% 0,00% 8,18% 20,10% 9,46% (21,19%) 77,83% 18,46% 92,15% 0,00%
0,00% 4,81% 0,00% 0,00% 3,22% 7,83% 8,92% (22,23%) 89,19% 18,88% 101,16% 0,00%
0,00% 8,44% 0,00% 0,00% 5,50% (1,78%) 8,79% (26,47%) 83,36% 7,83% 85,94% 0,00%
0,00% 9,59% 0,00% 0,00% 7,09% (5,54%) 20,10% (24,51%) 72,37% 10,47% 55,00% 0,00%
0,00% 1,52% 0,00% 0,00% 6,90% 2,50% 18,24% (11,65%) 63,27% 0,00% 226,34% 0,00%
0,00% 3,17% 0,00% 0,00% 0,12% (7,37%) 21,59% (9,84%) 99,04% 0,00% 418,26% 0,00%
0,00% 4,26% 0,00% 0,00% (6,86%) (11,28%) 18,28% (37,74%) 199,97% 0,00% 423,923,53% 0,00%
0,00% 0,71% 0,00% 0,00% 13,90% 17,96% 23,75% 13,59% 40,36% 0,00% 126540,74% 0,00%
0,00% 0,06% 0,00% 0,00% 10,04% 12,68% 13,78% 5,70% 52,37% 0,00% 10496,23% 0,00%
0,00% 0,06% 0,00% 0,00% 15,36% 19,15% 10,98% 2,04% 74,88% 0,00% 10,092,31% 0,00%
0,00% 0,06% 0,00% 0,00% 11,15% 13,78% 9,04% 0,80% 84,70% 0,00% 506600,00% 0,00%
0,00% 0,01% 0,00% 0,00% 1,17% 1,36% 4,76% (5,10%) 204,58% 0,00% 0,86% 0,00%
0,00% 0,01% 0,00% 0,00% 17,23% 19,67% 5,01% (2,11%) 142,04% 0,00% 0,09% 0,00%
a. b.
b.
Persenta Persenta Posisi
Persenta
se se Devisa
seKEPATUHAN
Pelangga Pelampa b. GWM Neto
Pelampa a. GWM
ran uan Valuta (PDN)
uan Rupiah
BMPD BMPD Asing secara
BMPD
(Pihak (Pihak keseluru
(Pihak
Tidak Tidak han
Terkait) Terkait) Terkait)

0,00% 0,00% 0,00% 5,42% 1,17% 2,93%


0,00% 0,00% 0,00% 5,21% 1,46% 0,97%
0,00% 0,00% 0,00% 5,20% 1,91% 2,54%
0,00% 0,00% 0,00% 5,70% 1,23% 8,03%
0,00% 0,00% 35,63% 5,21% 1,63% 0,89%
0,00% 0,00% 67,10% 5,29% 1,87% 1,06%
0,00% 0,00% 90,38% 5,37% 1,92% 2,87%
0,00% 0,00% 113,93% 5,25% 1,97% 0,18%
0,00% 0,00% 106,05% 5,46% 1,57% 0,29%
0,00% 0,00% 33,60% 5,72% 1,96% 0,68%
0,00% 0,00% 45,18% 5,54% 1,63% 0,64%
0,00% 0,00% 27,63% 6,72% 2,86% 1,30%
0,00% 0,00% 17,20% 6,50% 2,61% 5,63%
0,00% 0,00% 14,54% 5,97% 8,10% 1,81%
0,00% 0,00% 0,00% 6,76% 13,82% 2,21%
0,00% 0,00% 0,00% 6,77% 1,11% 9,97%
0,00% 0,00% 0,00% 7,04% 1,12% 10,46%
0,00% 0,00% 0,00% 9,41% 1,12% 9,34%
0,00% 0,00% 0,00% 10,62% 1,14% 8,68%
0,00% 0,00% 0,00% 14,68% 1,14% 8,49%
0,00% 0,00% 0,00% 11,99% 1,34% 8,36%
0,00% 0,00% 0,00% 5,66% 157,72% 1,48%
2. Aset
4.
produktif Cadanga
bermasal
n 11. Biaya
1. ah dan 12.
3. Aset Kerugian Operasio
Kewajiba aset non Pembiay
produktif Penuruna nal
n produktif 7. Return
RASIO 8. Return
KINERJA 10. Net aan bagi
bermasal n Nilai 9. Net terhadap
Penyedia bermasal 5. NPF 6. NPF On On Operatin hasil
BANK TAHUN an Modal ah (CKPN) Imbalan Pendapat
ah gross net Assets Equity g Margin terhadap
NTBS 2018Q3 32,55% terhadap aset (NI) an
Minimu 1,57%
terhadap 1,57% 1,51% 1,75% 0,43% 2,39%(ROA) 15,99%
(ROE) 8,13% 2,17%
(NOM) 80,42% 4,78%
total
total aset keuanga Operasio
NTBS 2018Q4 35,42%
m 1,27%
total aset 1,26% 0,98% 1,63%
produktif n 0,57% 1,92% 8,92% 6,61% 2,20% 86,86%
nal 10,70%
pembiay
NTBS (KPMM) 1,11%
2019Q1 38,25% produktif 1,09% 0,91% terhadap 1,72% 0,61% 2,32% 10,36% 6,09% 2,41% 83,67% aan
(BOPO) 24,16%
dan aset
NTBS 2019Q2 34,42% 1,17% aset
non 1,15% 0,96% 1,69% 0,59% 2,39% 10,85% 5,96% 2,02% 79,33% 36,66%
NTBS 2019Q3 34,17% 1,02% produktif
produktif 1,02% 0,84% 1,59% 0,46% 2,32% 10,43% 5,79% 1,94% 79,62% 44,97%
NTBS 2019Q4 35,47% 1,01% 1,02% 0,68% 1,36% 0,61% 2,56% 12,05% 5,51% 2,18% 76,83% 51,32%
NTBS 2020Q1 35,64% 0,89% 0,89% 0,51% 1,43% 0,78% 1,79% 7,84% 4,19% 0,49% 80,76% 55,08%
NTBS 2020Q2 32,65% 0,91% 0,92% 0,51% 1,45% 0,91% 1,84% 9,27% 4,46% 1,29% 80,04% 58,41%
a. b.
a. b.
Persenta Persenta Posisi
13. Persenta Persenta
se se Devisa
Financing se se KEPATUHAN
Pelangga Pelampa b. GWM Neto
to Pelangga Pelampa a. GWM
ran uan Valuta (PDN)
Deposit ran uan Rupiah
68,79% BMPD BMPD Asing
44,29% secara
Ratio BMPD BMPD
(Pihak (Pihak keseluru
98,93%
(FDR) (Pihak
Tidak
(Pihak
Tidak 5,00% han
73,57% Terkait) Terkait) Terkait) Terkait) 3,62%
78,43% 5,00%
70,94% 7,98%
81,89% 6,82%
70,27% 5,43%
70,31% 4,42%

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