Download - Monthly Statistics Accion Partners 09 2014
PARTNERS
MONTHLY STATISTICS SEPTEMBER 2014
Accion ‐ Partners
LATIN AMERICA PARTNERS INSTITUTIONS ‐ ACTIVE BORROWERS AND PORTFOLIO
* Ending the third quarter of 2014, institutions in Latin America and the Caribbean decreased their active clients by 322,520 clients (‐9.6%) mainly due to removal of Mibanco/ Peru of the group. In absolute terms, Compartamos in Mexico was the institution in this group with the largest increase: 123,227 active clients (5.0%). Furthermore, this group decreased its active portfolio by US$1,489.1 million (‐33.9%), and also Compartamos/Mexico was the institution in this group with the highest increase in this variable: US$146.9 million (11.7%).
ACCION ‐ Partners
AFRICA AND ASIA PARTNERS INSTITUTIONS ‐ ACTIVE BORROWERS AND PORTFOLIO
* Partners in Africa increased by 16,064 active clients (15.7%). In absolute terms, AMfB in Nigeria was the institution with the largest growth in this variable by 9,802 clients (44.6%). On the other hand, this group increased its active portfolio by US$0.4 million (0.3%) and also AMfB was the institution that increased more: US$4.6 million (23.5%). *Partners in Asia decreased by 60,694 active clients (‐35.7%) mainly due to the sale of Swadhaar portfolio and with it the decrease of its clients. In absolute terms, the highest growth was in Saija (India) with 33,123 clients (84.9%). Furthermore, this group decreased its active portfolio by US $12.3 million (‐23.4%) and Saija (India) was the institution in this group that increased in this variable the most: 6.3 million (93.6%).
ACCION ‐ Partners
PORTFOLIO IN ARREARS > 30 DAYS –COMPARISON DECEMBER 2013 / SEPTEMBER 2014
By September of 2014, the group of Institutions of Latin America and the Caribbean showed a decrease in their Portfolio at Risk of 1.37 points; it remains below the weighted average of all institutions by 0.21 points.
The group Partners in Africa increased It’s indicator by 1.82 percentage points. And, it is the group that remains above the total weighted average (5.07 points above).
The group of partners in Asia increased its Portfolio at Risk indicator at 2.28 points. And, it stays 2.11 points above the weighted average of the total risk indicator.