AS OF DECEMBER 31, 2022 | ||
No. | Description | 31-December-22 |
1 | Number of Members | 11, 622 |
2 | Number of Total Staff | 11 |
3 | Savings Deposit Balance (PHP) | 289, 126, 354 |
4 | Share Balance | 322, 179, 291 |
5 | Number of Active Borrowers | 8, 711 |
6 | Principal Portfolio (PHP) | |
Disbursed (Cumulative) | 1, 947, 793, 000 | |
Target Collections (Cumulative) | 1, 496, 834, 953 | |
Actual Collections (Cumulative) | 1, 483, 106, 683 | |
Outstanding Portfolio | 464, 686, 317 | |
7 | Recovery Rate | 94.95% |
8 | Portfolio At Risk | 3.70% |