CIH

Management

Chairman and CEO

SEKKAT Lotfi

Directeur Général Délégué en charge de la Stratégie, Finances & Développement

ZOUBIR Younes

Directeur Général Délégué en charge des Banques des Particuliers & Professionnels

BENALLA Khalid

Main shareholders

23/04/2024

MASSIRA CAPITAL MANAGEMENT57,44 %
DIVERS ACTIONNAIRES 19,45 %
ATLANTASANAD11,61 %
CDG (Caisse de Dépôt et de Gestion)6,90 %
Personnel4,48 %
HOLMARCOM (Holding Marocaine Commerciale)0,12 %
Total100,00 %

Key indicators

Company information

Company name CIH
Corporate address 187. Avenue Hassan II. Casablanca 20 000
External auditorsMazars et Fidaroc Grant Thornton
Date of creation26/05/1920
Date of IPO23/06/1967
Length of fiscal year12
Social object
All types of banking activity.

Key figures (1)

2023

2022

2021

Consolidated accountsYesYesYes
Share capital3 051 978 400,003 051 978 400,002 832 473 500,00
Equity7 543 081 000,007 083 052 000,005 846 695 000,00
Number of titles(2)30 519 78430 519 78428 324 735
Sales figures4 468 202 000,003 517 984 000,003 106 557 000,00
Operating result1 196 020 000,001 066 785 000,00932 145 000,00
Net income (4)710 393 000,00669 086 000,00603 036 000,00

At the end of the financial year.

All lines of action combined.

(3) Equity of the consolidated group for companies publishing consolidated accounts

Net income Group share for companies publishing consolidated accounts.

Ratio

Ratios202320222021
BPA23,2821,9221,29
ROE (in %)9,429,4510,31
Payout (in %)-63,8665,76
Dividend yield (in %)-4,614,13
PER15,1013,8715,92
PBR1,421,311,64

Investor Relations - Contacts

Contacts

NASREDDINE EL Haouat

Phone

(212) 0522 47 97 65

Fax

(212) 0522 47 99 46

Corporate Website

www.cihbank.ma

Financial operation

Capital increase

Date

Capital after operation

Type of operation

Securities variation

Nominal value

Nominal value

Effective date

Fiscal period

EGM decision

Ratification authority

20/12/2022

3 051 978 400,00

Subscription in cash without preferential right

1 612 903

100,00

248,00

01/01/2022

Nx:De 07/12/2022 To 13/12/2022

08/09/2022

16/12/2022

09/12/2022

2 890 688 100,00

Subscription in cash with preferential right

582 146

100,00

310,00

01/01/2022

Nx:De 10/11/2022 To 30/11/2022

08/09/2022

07/12/2022

26/09/2019

2 832 473 500,00

Subscription in cash with preferential right

1 716 650

100,00

290,00

01/01/2019

Nx:De 15/08/2019 To 16/09/2019

04/04/2019

24/09/2019

27/12/2011

2 660 808 500,00

Subscription in cash with preferential right

3 801 155

100,00

253,00

01/01/2011

Nx:De 14/11/2011 To 13/12/2011

20/05/2011

21/12/2011

28/09/2009

-

Conversion of dividends

983 567

100,00

306,00

01/01/2009

Nx:De 12/08/2009 To 09/09/2009

28/05/2009

15/09/2009

28/02/2006

-

Subscription in cash with preferential right

18 500 000

100,00

100,00

01/01/2005

Nx:De 30/01/2006 To 20/02/2006

30/08/2005

23/02/2006

03/10/2001

-

Subscription in cash with preferential right

19 967 131

100,00

100,00

01/01/2000

Nx:De 26/09/2000 To 16/10/2000

14/07/2000

14/01/2001

30/04/1998

-

Subscription in cash with preferential right

3 061 500

100,00

180,00

01/01/1998

Nx:De 09/03/1998 To 25/03/1998

22/12/1997

22/04/1998

09/01/1995

-

Incorporation of reserves and allotment of free shares

1 884 000

100,00

-

01/01/1995

-

30/06/1994

30/06/1994

Dividend

Year

Dividend amount

Dividend type

Ex-date

Payment date

2023

14,00

Ordinary

09/07/2024

18/07/2024

2022

14,00

Ordinary

04/07/2023

13/07/2023

2021

14,00

Ordinary

01/07/2022

14/07/2022

2020

8,00

Ordinary

07/07/2021

16/07/2021

2019

14,00

Ordinary

21/09/2020

30/09/2020

2018

14,00

Ordinary

26/06/2019

05/07/2019

2017

14,00

Ordinary

27/06/2018

06/07/2018

2017

2,00

Exceptional

27/06/2018

06/07/2018

2016

14,00

Ordinary

28/06/2017

07/07/2017

2015

14,00

Ordinary

27/06/2016

11/07/2016

2014

14,00

Ordinary

26/06/2015

07/07/2015

2014

2,00

Exceptional

26/06/2015

07/07/2015

2013

15,00

Ordinary

25/06/2014

04/07/2014

2012

14,00

Ordinary

20/06/2013

01/07/2013

2011

11,00

Ordinary

21/06/2012

02/07/2012

Bond issue

Ticker

Name or title

Bond type

nominal value

Rate

Eligibility date

Maturity date

Type of amortization

Amount issued

Remaining Capital

OCIHC

18MAI2018 4.02% 10A 100K CIH

Subordinated bonds

100 000,00

4,02 %

18/05/2018

18/05/2028

In fine

82 600 000,00

82 600,00

OCIHA

09JAN2015 4.75% 10A 100K CIH

Subordinated bonds

100 000,00

4,75 %

09/01/2015

09/01/2025

In fine

53 300 000,00

53 300,00

Date

Declarant

Quantity

Price

Treshold crossed in %

Direction

Intention of the declarant

02/10/2020

ATLANTA

1 694 808

249,00

10,00

Rise

Continu its purchases of the security

22/07/2014

MASSIRA CAPITAL MANAGEMENT

1 330 406

325,00

66,66

Decrease

-

22/07/2014

SANAD

665 203

325,00

5,00

Rise

Continu its purchases of the security

22/07/2014

ATLANTA

665 203

325,00

10,00

Rise

Continu its purchases of the security

22/07/2014

HOLMARCOM (Holding Marocaine Commerciale)

1 330 406

325,00

10,00

Rise

Continu its purchases of the security

21/06/2006

MASSIRA CAPITAL MANAGEMENT

11 792 823

216,00

66,66

Rise

Stop its purchases of the security

21/06/2006

CDG (Caisse de Dépôt et de Gestion)

11 792 823

216,00

5,00

Decrease

Stop its purchases of the security

20/03/2006

BANK AL MAGHRIB

2 828 831

216,00

5,00

Decrease

-

20/03/2006

MASSIRA CAPITAL MANAGEMENT

2 828 831

216,00

10,00

Rise

Continu its purchases of the security

23/12/2005

AXA ASSURANCES MAROC

2 326 354

63,00

5,00

Decrease

-

23/12/2005

HOLMARCOM (Holding Marocaine Commerciale)

2 326 354

63,00

5,00

Rise

Stop its purchases of the security

23/12/2005

AXA ASSURANCES MAROC

160 527

63,00

5,00

Decrease

-

07/12/2005

AXA ASSURANCES MAROC

261 000

65,00

10,00

Decrease

-

28/10/2005

CDG (Caisse de Dépôt et de Gestion)

6 721 614

55,00

50,00

Rise

Continu its purchases of the security

28/10/2005

BANQUE CENTRALE POPULAIRE

6 721 614

55,00

5,00

Decrease

-

The instruments of the issuer

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