Board of Directors 2. Directors' Review 3. Review Report to the Members 4. Balance Sheet 5. Profit and Loss Account 6

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CONTENTS Board of Directors 2 Directors' Review 3 Review Report to the Members 4 Balance Sheet 5 Profit and Loss Account 6 Statement of Changes in Equity 7 Cash Flow Statement 8 Notes to the Accounts 10 Branch Network 11 1

BOARD OF DIRECTORS Ali Raza D. Habib Chief Executive & Managing Director Abbas D. Habib Directors Faiz N. Abdulali Qumail R. Habib* Anwar Haji Karim Tariq Iqbal Khan Murtaza H. Habib Syed Mazhar Abbas* Hasnain A. Habib Salman H. Habib *Denotes Executive Director Company Secretary Mahmood S. Allarakhia 2

DIRECTORS' REVIEW On behalf of the Board of Directors, it is my pleasure to present to you the unaudited accounts of the Bank for the six months ended on June 30, 2002. Alhamdolillah, the performance of the Bank during the first half of the year has been satisfactory. Deposits and advances maintained its rising trend, increasing by Rs. 3,730 million and Rs. 3,382 million respectively. Foreign trade business also showed a growth of over 30% as compared to the corresponding period of last year. The profit for the six months ended on 30th June 2002 was Rs. 266.8 million as compared to Rs. 255.2 million during the corresponding period of last year. During the half year, the Bank opened 2 branches each in Karachi and Lahore and one in Hyderabad, increasing the total number of branches to 46. Inshallah, the Bank shall continue to expand its branch network during the second half of the year. In the light of the continued expansion, it is expected that the profitability of the Bank will Inshallah, be maintained. By the Grace of Allah, Pakistan Credit Rating Agency (Pvt.) Limited (PACRA), an affiliate of FITCH Ratings Limited, London has maintained the Bank's long term and short term ratings of AA and A1+. The long term rating denotes that the Bank has a very high credit quality and a very low expectation of credit risk whereas the short term rating denotes obligations supported by the highest capacity for timely repayments. We are grateful to our customers for their support, to the State Bank of Pakistan for their continued guidance and to our foreign and local correspondent banks for their valuable services. We also thank all our staff members for their sincere and dedicated services. On Behalf of the Board of Directors ALI RAZA D. HABIB 3

REVIEW REPORT TO THE MEMBERS We have reviewed the annexed balance sheet of Bank AL Habib Limited as at June 30, 2002 and the related profit and loss account, cash flow statement and statement of changes in equity together with the notes forming part thereof (here-inafter referred to as the "financial statements"), for the half-year then ended. These financial statements are the responsibility of the Bank's management. Our responsibility is to issue a report on these financial statements based on our review. We conducted our review in accordance with the International Standard on Auditing applicable to review engagements. This Standard requires that we plan and perform the review to obtain moderate assurance as to whether the financial statements are free of material misstatement. A review is limited primarily to inquiries of Bank personnel and analytical procedures applied to financial data and thus provides less assurance than an audit. We have not performed an audit and, accordingly, we do not express an audit opinion. Based on our review, nothing has come to our attention that causes us to believe that the annexed financial statements are not presented fairly, in all material respect, in accordance with approved accounting standards as applicable in Pakistan. HYDER BHIMJI & CO. Chartered Accountants 4

BALANCE SHEET AS AT JUNE 30, 2002 ASSETS (Rupees in '000) 30-June 31-December 2002 2001 Cash and Balances with Treasury Banks 3,465,688 3,381,743 Balances with Other Banks 1,185,311 1,396,637 Lending to Financial Institutions 1,182,088 1,237,399 Investments 11,078,656 5,663,953 Advances-(net of provision) 19,284,126 15,901,919 Other Assets 963,540 945,612 Operating Fixed Assets 530,510 449,572 LIABILITIES 37,689,919 28,976,835 Bills Payable 325,258 224,935 Borrowings from Financial Institutions 6,422,668 1,825,309 Deposits and Other Accounts 28,426,909 24,696,787 Other Liabilities 483,125 541,008 35,657,960 27,288,039 Net Assets 2,031,959 1,688,796 REPRESENTED BY : Share Capital 865,625 721,354 Reserve Fund and Other Reserves 665,500 809,771 Unappropriated Profit 134,349 1,010 Shareholders' Equity 1,665,474 1,532,135 Surplus on Revaluation of Securities 366,485 156,661 2,031,959 1,688,796 CONTINGENT LIABILITIES AND COMMITMENTS Note 4 ALI RAZA D. HABIB ABBAS D. HABIB Chief Executive and Managing Director 5

PROFIT AND LOSS ACCOUNT FOR THE HALF YEAR ENDED JUNE 30, 2002 (Rupees in '000) 30-June 30-June 2002 2001 Mark-up / Return / Interest Earned 1,360,917 1,253,472 Mark-up / Return / Interest Expensed (1,003,503) (870,448) Net Mark-up / Interest Income 357,414 383,024 Provision against non-performing Loans and Advances (2,715) (30,772) Net Mark-up / Interest Income after provisions 354,699 352,252 NON-MARK-UP / INTEREST INCOME Fees, Commission and Brokerage Income 89,371 60,396 Dividend Income 4,905 2,505 Income from dealing in Foreign Currencies 130,636 92,381 Other Income 20,792 14,109 Total Non-markup / Interest Income 245,704 169,391 NON-MARK-UP / INTEREST EXPENSES 600,403 521,643 Administrative Expenses (333,564) (266,446) PROFIT BEFORE TAXATION 266,839 255,197 Taxation (133,500) (143,000) PROFIT AFTER TAXATION 133,339 112,197 Unappropriated Profit Brought Forward 1,010 4,843 Unappropriated Profit Carried Forward 134,349 117,040 Net Earnings per share-basic and Diluted Rs. 1.54 Rs. 1.30 The annexed notes form an integral part of these accounts. ALI RAZA D. HABIB ABBAS D. HABIB Chief Executive and Managing Director 6

STATEMENT OF CHANGES IN EQUITY FOR THE HALF YEAR ENDED JUNE 30, 2002 Paid-up Reserve Statutory Special General Unapp- Total Capital for issue reserve reserve reserve ropriated June June of bonus Profit 2002 2001 shares b/f (Rupees in '000) Balance as on December 31 721,354 144,271 399,000 126,500 140,000 1,010 1,532,135 1,322,197 Profit for the Half Year ended June 30 00 00 00 00 00 133,339 133,339 112,197 Bonus shares issued 144,271 (144,271) 00 00 00 00 00 00 Balance as on June 30 865,625 00 399,000 126,500 140,000 134,349 1,665,474 1,434,394 ALI RAZA D. HABIB ABBAS D. HABIB Chief Executive and Managing Director 7

Cash Flow From Operating Activities CASH FLOW STATEMENT FOR THE Profit before Taxation 266,839 255,197 Less : Dividend Income (4,905) (2,505) Add : (Rupees in '000) 30-June 30-June 2002 2001 261,934 252,692 Adjustment for Non-Cash Items: Depreciation 22,084 22,100 Amortization 1,719 00 Provision Against Advances 2,715 30,772 (Gain) on Disposal of Fixed Assets (972) (2,169) 25,546 50,703 287,480 303,395 (Increase) / Decrease in Operating Assets: Lendings to financial institutions 55,311 2,910,416 Advances (3,384,921) (1,908,607) Other Assets (Excluding Advance Tax) 56,422 (198,669) (3,273,188) 803,140 Increase / (Decrease) in Operating Liabilities: Bills Payable 100,323 66,907 Borrowings from financial institutions 4,597,359 (403,183) Deposits and Other Accounts 3,730,122 2,795,307 Other Liabilities (excluding provision for taxation) (3,426) 22,543 8,424,378 2,481,574 Cash Inflow Before Tax 5,438,670 3,588,109 Income Tax paid (232,391) (210,426) Net Cash Inflow from Operating Activities (balance carr ied forward) 5,206,279 3,377,683 ALI RAZA D. HABIB 8

HALF YEAR ENDED JUNE 30, 2002 Net Cash Inflow from Operating Activities (balance brought forward) 5,206,279 3,377,683 Cash Flow From Investing Activities Net Investment in available-for-sale Securities (5,204,878) (1,612,003) Dividend Income 8,505 4,755 Investments in operating fixed assets (104,847) (60,425) Sale Proceeds of vehicle and equipment disposed-off 1,075 2,306 Net Cash (Outflow) from Investing Activities (5,300,145) (1,665,367) Cash Flow From Financing Activities (Rupees in '000) 30-June 30-June 2002 2001 Dividend paid (33,515) (19) Net Cash (Outflow) from Financing Activities (33,515) (19) (Decrease) / Increase in Cash and Cash Equivalents for the Half Year (127,381) 1,712,297 Cash and Cash Equivalents at the Beginning of the Year 4,778,380 3,223,293 Cash and Cash Equivalents atthe end of the Half Year 4,650,999 4,935,590 Cash and Cash Equivalents Cash and Balances with Treasury Banks 3,465,688 2,751,883 Balances with Other Banks 1,185,311 2,183,707 4,650,999 4,935,590 ABBAS D. HABIB Chief Executive and Managing Director 9

NOTES TO THE ACCOUNTS 1. Status and Nature of Business The Bank was incorporated in Pakistan on October 15, 1991, as a public limited company and is principally engaged in the business of commercial banking. 2. Significant Accounting Policies Accounting Policies adopted in preparation of these half year ended accounts are same as those applied in the preparation of preceding Annual Accounts of the Bank. Comparative figures have been rearranged, wherever necessary, to facilitate comparison. These unaudited accounts are being circulated in compliance with Section 245 of the Companies Ordinance, 1984 and have been prepared in accordance with International Accounting Standard No. 34, Interim Financial Reporting. 3. The application of IAS 39 has been deferred by the State Bank of Pakistan vide BSD Circular Letter No. 10 dated August 26, 2002. 4. CONTINGENT LIABILITIES AND COMMITMENTS Transaction-related Contingent Liabilities Government 744,629 541,368 Financial Institutions 3,608 12,802 Others 459,021 145,013 1,207,258 699,183 Trade-related Contingent Liabilities 5,698,384 3,822,330 Commitments in respect of Forward Lending Commitments to Extend Credit 00 50,000 Commitments in respect of Forward Exchange Contracts Purchase 1,953,677 1,605,871 Sale 3,650,710 2,278,070 Commitments in respect of Operating Leases (Rupees in '000) 30-June 31-December 2002 2001 Not later than one year 73,170 72,962 Later than one year and not later than five years 82,136 63,253 The Bank has entered into operating lease arrangements whereby equipment and vehicles are acquired on lease. The lease rentals are payable over a period of 36 months. 155,306 136,215 Commitments for the acquisition of operating fixed assets 134,017 71,684 ALI RAZA D. HABIB ABBAS D. HABIB Chief Executive and Managing Director 10

BRANCH NETWORK Karachi MAIN BRANCH Mackinnons Building, I.I. Chundrigar Road. Phones: (92-21) 2412986 & 111-786-110 Fax: (92-21) 2425423 & 2412028 Telex: 21286 ALHAB PK SHAHRAH-E-FAISAL BRANCH 20-A-1, Block 6, P.E.C.H.S., Shahrah-e-Faisal. Phones: (92-21) 4530140-42 & 4544301 Fax: (92-21) 4530143 GULSHAN-E-IQBAL BRANCH B-39, Al-Shams Centre, Block 13-A, University Road, Gulshan-e-Iqbal. Phones: (92-21) 4989162-63 Fax: (92-21) 4989164 ZAMZAMA BRANCH 16-C, Commercial Lane 3, Phase V, Zamzama Boulevard, Defence Housing Authority. Phones : (92-21) 5863986, 5861804 Fax : (92-21) 5863914 S.I.T.E., BRANCH B/76, S. S. Chambers, S.I.T.E., Phones : (92-21) 2571710-11 & 2571521 Fax : (92-21) 2571522 BAHADURABAD BRANCH Central Commercial Area, B.C.H.S., Bahadurabad. Phones : (92-21) 4915803-5 Fax : (92-21) 4915802 M.A. JINNAH ROAD BRANCH Godrej Kandawalla Building, M.A. Jinnah Road. Phones : (92-21) 7228494, 7228458 Fax : (92-21) 7228450 CLOTH MARKET BRANCH Ground Floor, Lotus Manzil, BR-2, New Neham Road, Cloth Market. Phones: (92-21) 2401301-4 Fax: (92-21) 2401300 KARACHI STOCK EXCHANGE BRANCH Room No. 4-6, Stock Exchange Building, Stock Exchange Road. Phones: (92-21) 2401516-19 Fax: (92-21) 2401520 JODIA BAZAR BRANCH Rambharti Street, Jodia Bazar. Phones : (92-21) 2446451-53 Fax : (92-21) 2446454 NAPIER ROAD BRANCH 2-A, Ground Floor, Yousufi Manzil, North Napier Road. Phones : (92-21) 7731496, 7771321 & 7771218 Fax : (92-21) 7771187 CLIFTON BRANCH Shaheen Centre, Block-7, K.D.A. Scheme No. 5, Clifton. Phones: (92-21) 5821882-4 Fax : (92-21) 5821885 FEDERAL 'B' AREA BRANCH ST. 4/A-2, Block-20, Al-Noor Society, F.B. Area. Phones : (92-21) 6345611, 6345651 & 6345663 Fax : (92-21) 6349879 NEW CHALLI BRANCH Haji Adam Chambers, Altaf Hussain Road. Phones : (92-21) 2410526, 2410876 & 2410917 Fax : (92-21) 2411048 GULISTAN-E-JAUHAR BRANCH Shalimar Shopping Centre, Block-17, KDA Scheme No. 36, Gulistan-e-Jauhar. Phones : (92-21) 8010921, 8010961-62 Fax: (92-21) 8010911 KORANGI ROAD BRANCH Plot No. 131/1, Speedy Towers, Phase-I, Defence Housing Authority, Korangi Road. Phones : (92-21) 5386797-99 Fax : (92-21) 5386796 BARKAT-E-HYDARI BRANCH Al-Burhan Arcade, Block-E, North Nazimabad. Phones : (92-21) 6631793-94 Fax : (92-21) 6670116 TIMBER MARKET BRANCH Plot No. E-III-2, S-34, Siddiq Wahab Road. Phones : (92-21) 7762776, 7762778 Fax : (92-21) 7762730 NORTH KARACHI INDUSTRIAL AREA BRANCH Nimra Corner, ST-3, Sector 12-A, North Karachi. Phones : (92-21) 6954196-98 Fax : (92-21) 6954187 Multan MAIN BRANCH 126-C, Old Bahawalpur Road. Phones: (92-61) 544539 & 111-786-110 Fax: (92-61) 582471 Telex: 42336 ALHML PK HUSSAIN AGAHI ROAD BRANCH Lohari Gate Shopping Centre, Hussain Agahi Road. Phones: (92-61) 513893 & 513577 Fax: (92-61) 513793 GHALLA MANDI BRANCH 135/C, Ghalla Mandi, Vehari Road. Phones: (92-61) 232627-28 Fax: (92-61) 232629 Faisalabad Bank Square, Outside Kutchery Bazar. Phones: (92-41) 637301-3 & 111-786-110 Fax: (92-41) 614266 Telex: 43528 ALHAB PK Sialkot Paris Road. Phones: (92-432) 597064 & 111-786-110 Fax: (92-432) 592747 Telex: 46426 ALHAB PK Registered Office and Head Office 126-C, Old Bahawalpur Road, Multan. Phones: (92-61) 580314-16, 544539 & 111-786-110 Fax: (92-61) 582471 Telex: 42336 ALHML PK 11

BRANCH NETWORK Lahore MAIN BRANCH 87, Shahrah-e-Quaid-e-Azam. Phones: (92-42) 6305042-45 & 111-786-110 Fax: (92-42) 6368864 & 6305046 Telex: 44610 BAHLR PK GARDEN TOWN BRANCH Awami Complex, 1-4 Usman Block, Front Block V, New Garden Town. Phones: (92-42) 5869366-69 Fax: (92-42) 5869370 GULBERG BRANCH 3-E, Block E, Ground Floor, Main Market, Gulberg II. Phones: (92-42) 5762502 & 5754586 Fax : (92-42) 5762501 SHAH ALAM MARKET BRANCH Hilal-e-Ahmar Health Complex, 2, Queens Road, Shahalam Gate. Phones : (92-42) 7670496 & 7670498 Fax : (92-42) 7670510 PECO ROAD BRANCH 897-898, Block-D, Maulana Shaukat Ali Road, Faisal Town. Phones : (92-42) 5175169 & 5175430-31 Fax : (92-42) 5175427 CIRCULAR ROAD BRANCH 51,S.E. Vohra Building, Outside Akbari Gate, Circular Road, Lahore. Phones : 7670671-73 Fax : (92-42) 7670674 ICCHRA BRANCH S 86-R-144, Glani Street, Main Ferozepur Road. Phones: (92-42) 7569923, 7569982 Fax: (92-42) 7569924 Sheikhupura B-IX-64-95/A, Sarghoda Road, Near Sharif Plaza. Phones: (92-4931) 612906 & 111-786-110 Fax: (92-4931) 612877 Sahiwal 271, Block-2, High Street (Jinnah Road). Phones: (92-441) 66021 & 67021 Fax: (92-441) 64031 Rahim Yar Khan Shahi Road. Phones: (92-731) 84556-7 & 84508-9 Fax: (92-731) 84503 Islamabad MAIN BRANCH 90-91, Razia Sharif Plaza, Jinnah Avenue, Blue Area. Phones: (92-51) 2270883-4 & 111-786-110 Fax: (92-51) 2270885 Telex: 54726 BAHID PK F-10 MARKAZ BRANCH F-10 Markaz, Islamabad. Phone: (92-51) 2297758 Fax : ( 92-51) 2296895 Rawalpindi CANTT BRANCH 40/3, Jhanzeb Centre, Bank Road, Rawalpindi Cantt. Phones: (92-51) 5519936-38 Fax: (92-51) 5519939 CITY BRANCH C/30, C/32, Iqbal Road, Trunk Bazar, Rawalpindi City. Phones : (92-51) 5553462, 5553664 Fax : (92-51) 5554493 Peshawar 105-106, F.C. Trust Building, Sonehri Masjid Road. Phones : (92-91) 279814 & 111-786-110 Fax: (92-91) 279861 Mirpur (Azad Kashmir) 82-A/B, Allama Iqbal Road, Sector B-4. Phone: (92-58610) 45064 Fax: (92-58610) 44766 Gujrat Ground Floor, Soufi Hotel, G.T. Road. Phones: (92-433) 525623 & 111-786-110 Fax : (92-433) 525628 Dinga (Distt. Gujrat) Opp. Civil Hospital. Phone: (92-4337) 401737 Fax: (92-4337) 401737 Quetta Mannan Chowk, M.A. Jinnah Road. Phones: (92-81) 844125 & 111-786-110 Fax: (92-81) 842335 Nawabshah Masjid Road. Phones: (92-241) 62738 & 62854 Fax: (92-241) 62737 Hyderabad Qasre Fatima, 90/1-2 Saddar Bazar, Cantonment Area. Phones : (92-221) 785541 & 785809 Fax : (92-221) 781955 QASIMABAD BRANCH Ground Floor, Surahio House, Qasimabad Road. Phones : (92-221) 655551-4 Fax : (92-221) 655557 Sukkur B-2555, Shaheed Gunj. Phones : (92-71) 22287 & 23713 Fax : (92-71) 25749 Principal Office Mackinnons Building, I. I. Chundrigar Road, Karachi. Phones: (92-21) 2412421, 2412986 & 111-786-110 Fax: (92-21) 2419752 Telex: 21285 ALHAB PK SWIFT CODE : BAHLPKKA website : www.bankalhabib.com 12