| Assets | — | — |
| Cash and deposits with central banks | 104.67a | 96.03a |
| Due from banks | 132.77a | 92.3a |
| Investment securities | 199.22a | 173.25a |
| Loans and receivables | 501.63a | 445.11a |
| Positive fair value of derivatives | 12.47a | 15.28a |
| Customer acceptances | 9.48a | 8.47a |
| Property and equipment | 7.94a | 5.26a |
| Goodwill and intangibles | 5.63a | 5.68a |
| Other assets | 22.79a | 21.39a |
| Total assets | 996.58a | 862.77a |
| Liabilities | — | — |
| Due to banks | 55.49a | 40.32a |
| Customer deposits | 666.78a | 584.56a |
| Debt issued and other borrowed funds | 72.48a | 66.12a |
| Sukuks payable | 7.43a | 4.67a |
| Negative fair value of derivatives | 15.9a | 17.39a |
| Customer acceptances | 9.48a | 8.47a |
| Other liabilities | 42.83a | 31.27a |
| Total liabilities | 870.37a | 752.8a |
| Equity | — | — |
| Issued capital | 6.32a | 6.32a |
| Treasury shares | -0.05a | -0.05a |
| Tier I capital notes | 9.13a | 9.13a |
| Share premium reserve | 17.95a | 17.95a |
| Legal and statutory reserve | 3.16a | 3.16a |
| Other reserves | 2.95a | 2.95a |
| Fair value reserve | -1.13a | -1.57a |
| Currency translation reserve | -6.07a | -7.46a |
| Retained earnings | 93.74a | 79.37a |
| Total equity attributable to equity and note holders of the Group | 125.99a | 109.8a |
| Non-controlling interest | 0.22a | 0.17a |
| Total equity | 126.21a | 109.97a |
| Total liabilities and equity | 996.58a | 862.77a |