Data from 7.10.2019

Data from 7.10.2019
Ke dni/adada
30.09.2019 (4) Sestava Interest rates (Financial sector > Interest rates)
31.08.2019 (46) Sestava Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (External sector > Reserves Template)
31.08.2019 (45) Sestava Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD (External sector > Reserves Template)
31.08.2019 (45) Sestava Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD (External sector > Reserves Template)
31.08.2019 (45) Sestava Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD (External sector > Reserves Template)
31.08.2019 (35) Sestava Memo items - in mill. USD (External sector > Reserves Template)
31.08.2019 (24) Sestava Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD (External sector > Reserves Template)
31.08.2019 (15) Sestava Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (External sector > Reserves Template)
31.08.2019 (15) Sestava Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD (External sector > Reserves Template)
31.08.2019 (15) Sestava Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD (External sector > Reserves Template)
31.08.2019 (15) Sestava Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD (External sector > Reserves Template)
31.08.2019 (12) Sestava International Reserve Assets (External sector > International Reserve Assets)
31.08.2019 (7) Sestava Other depository corporations survey (Financial sector > Other depository corporations survey)
31.08.2019 (4) Sestava Central bank survey (billions of CZK) (Financial sector > Central bank survey)
30.06.2019 (66) Sestava Banking sector, total (Banks > Risk exposures)
30.06.2019 (66) Sestava Large banks (Banks > Risk exposures)
30.06.2019 (66) Sestava Medium-sized banks (Banks > Risk exposures)
30.06.2019 (66) Sestava Small banks (Banks > Risk exposures)
30.06.2019 (66) Sestava Building societies (Banks > Risk exposures)
30.06.2019 (58) Sestava External Debt (External sector > External Debt)
30.06.2019 (56) Sestava P&L statement (in CZK thousands) (Basic indicators of the financial market > Pension management companies)
30.06.2019 (49) Sestava part 1 (in CZK thousands and numbers) (Insurance companies > Selected indicators of non-life insurance by insurance category for domestic insurance undertakings and branches of foreign insurance undertakings)
30.06.2019 (49) Sestava part 2 (in CZK thousands and numbers) (Insurance companies > Selected indicators of non-life insurance by insurance category for domestic insurance undertakings and branches of foreign insurance undertakings)
30.06.2019 (48) Sestava Banking sector, total (Banks > Capital structure)
30.06.2019 (48) Sestava Large banks (Banks > Capital structure)
30.06.2019 (48) Sestava Medium-sized banks (Banks > Capital structure)
30.06.2019 (48) Sestava Small banks (Banks > Capital structure)
30.06.2019 (48) Sestava Building societies (Banks > Capital structure)
30.06.2019 (45) Sestava Insurance undertakings, total (in CZK thousands) (Insurance companies > Liabilities and equity according to financial statements)
30.06.2019 (45) Sestava Domestic insurance undertakings (in CZK thousands) (Insurance companies > Liabilities and equity according to financial statements)
30.06.2019 (45) Sestava Branches of foreign insurance undertakings (in CZK thousands) (Insurance companies > Liabilities and equity according to financial statements)
30.06.2019 (45) Sestava Banking sector, total (Banks > Commitments and financial guarantees, given and received)
30.06.2019 (45) Sestava Large banks (Banks > Commitments and financial guarantees, given and received)
30.06.2019 (45) Sestava Medium-sized banks (Banks > Commitments and financial guarantees, given and received)
30.06.2019 (45) Sestava Small banks (Banks > Commitments and financial guarantees, given and received)
30.06.2019 (45) Sestava Foreign bank branches (Banks > Commitments and financial guarantees, given and received)
30.06.2019 (45) Sestava Building societies (Banks > Commitments and financial guarantees, given and received)
30.06.2019 (45) Sestava Commitments and financial guarantees, given and received (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (42) Sestava Result of technical account for life insurance (in CZK thousands) (Profit and loss statement according to financial statements > Insurance undertakings, total)
30.06.2019 (42) Sestava Result of technical account for life insurance (in CZK thousands) (Profit and loss statement according to financial statements > Domestic insurance undertakings)
30.06.2019 (42) Sestava Result of technical account for life insurance (in CZK thousands) (Profit and loss statement according to financial statements > Branches of foreign insurance undertakings)
30.06.2019 (39) Sestava Banking sector, total (Banks > Interest by accounting portfolios)
30.06.2019 (39) Sestava Large banks (Banks > Interest by accounting portfolios)
30.06.2019 (39) Sestava Medium-sized banks (Banks > Interest by accounting portfolios)
30.06.2019 (39) Sestava Small banks (Banks > Interest by accounting portfolios)
30.06.2019 (39) Sestava Foreign bank branches (Banks > Interest by accounting portfolios)
30.06.2019 (39) Sestava Building societies (Banks > Interest by accounting portfolios)
30.06.2019 (38) Sestava Insurance undertakings, total (in CZK thousands) (Insurance companies > Assets according to financial statements)
30.06.2019 (38) Sestava Domestic insurance undertakings (in CZK thousands) (Insurance companies > Assets according to financial statements)
30.06.2019 (38) Sestava Branches of foreign insurance undertakings (in CZK thousands) (Insurance companies > Assets according to financial statements)
30.06.2019 (37) Sestava Balance of payments (External sector > Balance of payments)
30.06.2019 (36) Sestava Funds operated by pension management companies, total (in CZK thousands) (Funds operated by pension management companies > P&L statement)
30.06.2019 (36) Sestava Retirement funds (in CZK thousands) (Funds operated by pension management companies > P&L statement)
30.06.2019 (36) Sestava Participating funds (in CZK thousands) (Funds operated by pension management companies > P&L statement)
30.06.2019 (36) Sestava Transformed funds (in CZK thousands) (Funds operated by pension management companies > P&L statement)
30.06.2019 (34) Sestava Banking sector, total (Banks > P&L statement)
30.06.2019 (34) Sestava Large banks (Banks > P&L statement)
30.06.2019 (34) Sestava Medium-sized banks (Banks > P&L statement)
30.06.2019 (34) Sestava Small banks (Banks > P&L statement)
30.06.2019 (34) Sestava Foreign bank branches (Banks > P&L statement)
30.06.2019 (34) Sestava Building societes (Banks > P&L statement)
30.06.2019 (34) Sestava Liabilities and equity (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (34) Sestava P&L statement (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (34) Sestava Numbers of entities (Investment funds > Number of entities)
30.06.2019 (34) Sestava Funds operated by pension management companies, total (in CZK thousands and numbers) (Funds operated by pension management companies > Contributions received and paid, number of benefits paid)
30.06.2019 (34) Sestava Investment firms total (in CZK thousands) (Investment firms > Liabilities and equity)
30.06.2019 (34) Sestava Investment firms - non-banks (in CZK thousands) (Investment firms > Liabilities and equity)
30.06.2019 (34) Sestava Foreign IFs branches (in CZK thousands) (Investment firms > Liabilities and equity)
30.06.2019 (34) Sestava Investment firms total (in CZK thousands) (Investment firms > P&L statement)
30.06.2019 (34) Sestava Investment firms - non-banks (in CZK thousands) (Investment firms > P&L statement)
30.06.2019 (34) Sestava Foreign IFs branches (in CZK thousands) (Investment firms > P&L statement)
30.06.2019 (33) Sestava Liabilities and equity (in CZK thousands) (Basic indicators of the financial market > Management companies)
30.06.2019 (33) Sestava Liabilities and equity (in CZK thousands) (Investment funds > Liabilities and equity)
30.06.2019 (33) Sestava Liabilities and equity (in CZK thousands) (Basic indicators of the financial market > Pension management companies)
30.06.2019 (33) Sestava Funds operated by pension management companies, total (in CZK thousands) (Funds operated by pension management companies > Liabilities and equity)
30.06.2019 (33) Sestava Transformed funds (in CZK thousands) (Funds operated by pension management companies > Liabilities and equity)
30.06.2019 (33) Sestava Participating funds (in CZK thousands) (Funds operated by pension management companies > Liabilities and equity)
30.06.2019 (33) Sestava Retirement funds (in CZK thousands) (Funds operated by pension management companies > Liabilities and equity)
30.06.2019 (32) Sestava P&L statement (in CZK thousands) (Basic indicators of the financial market > Management companies)
30.06.2019 (32) Sestava P&L statement (in CZK thousands) (Investment funds > P&L statement)
30.06.2019 (31) Sestava Assets (in CZK thousands) (Basic indicators of the financial market > Pension management companies)
30.06.2019 (31) Sestava Funds operated by pension management companies, total (in CZK thousands) (Funds operated by pension management companies > Assets)
30.06.2019 (31) Sestava Transformed funds (in CZK thousands) (Funds operated by pension management companies > Assets)
30.06.2019 (31) Sestava Participating funds (in CZK thousands) (Funds operated by pension management companies > Assets)
30.06.2019 (31) Sestava Retirement funds (in CZK thousands) (Funds operated by pension management companies > Assets)
30.06.2019 (31) Sestava Transformed funds (in CZK thousands and numbers) (Funds operated by pension management companies > Contributions received and paid, number of benefits paid)
30.06.2019 (29) Sestava Assets (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (29) Sestava Investment firms total (in CZK thousands) (Investment firms > Assets)
30.06.2019 (29) Sestava Investment firms - non-banks (in CZK thousands) (Investment firms > Assets)
30.06.2019 (29) Sestava Foreign IFs branches (in CZK thousands) (Investment firms > Assets)
30.06.2019 (29) Sestava Investment firms - total (in CZK thousands) (Investment firms > Risk exposures)
30.06.2019 (29) Sestava Investment firms - non-banks (in CZK thousands) (Investment firms > Risk exposures)
30.06.2019 (29) Sestava Management companies with asset management (in CZK thousands) (Investment firms > Risk exposures)
30.06.2019 (28) Sestava part 1 (in CZK thousands and numbers) (Insurance companies > Selected indicators of life assurance by assurance category for domestic insurance undertakings and branches of foreign insurance undertakings)
30.06.2019 (28) Sestava part 2 (in CZK thousands and numbers) (Insurance companies > Selected indicators of life assurance by assurance category for domestic insurance undertakings and branches of foreign insurance undertakings)
30.06.2019 (27) Sestava Participating funds (in CZK thousands and numbers) (Funds operated by pension management companies > Contributions received and paid, number of benefits paid)
30.06.2019 (26) Sestava Assets (in CZK thousands) (Basic indicators of the financial market > Management companies)
30.06.2019 (26) Sestava Banking sector, total (Banks > Performing and non-performing exposures other than held for trading)
30.06.2019 (26) Sestava Large banks (Banks > Performing and non-performing exposures other than held for trading)
30.06.2019 (26) Sestava Medium-sized banks (Banks > Performing and non-performing exposures other than held for trading)
30.06.2019 (26) Sestava Small banks (Banks > Performing and non-performing exposures other than held for trading)
30.06.2019 (26) Sestava Foreign bank branches (Banks > Performing and non-performing exposures other than held for trading)
30.06.2019 (26) Sestava Building societes (Banks > Performing and non-performing exposures other than held for trading)
30.06.2019 (26) Sestava Performing and non-performing exposures other than held for trading (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (26) Sestava Assets (in CZK thousands) (Investment funds > Assets)
30.06.2019 (26) Sestava Profit or loss for the accounting period (in CZK thousands) (Profit and loss statement according to financial statements > Insurance undertakings, total)
30.06.2019 (26) Sestava Profit or loss for the accounting period (in CZK thousands) (Profit and loss statement according to financial statements > Domestic insurance undertakings)
30.06.2019 (26) Sestava Profit or loss for the accounting period (in CZK thousands) (Profit and loss statement according to financial statements > Branches of foreign insurance undertakings)
30.06.2019 (25) Sestava Capital structure (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (25) Sestava Risk exposures (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (25) Sestava Investment firms total (in CZK thousands) (Investment firms > Capital structure)
30.06.2019 (25) Sestava Investment firms - non-banks (in CZK thousands) (Investment firms > Capital structure)
30.06.2019 (25) Sestava Management companies with asset management (in CZK thousands) (Investment firms > Capital structure)
30.06.2019 (25) Sestava Result of technical account for non-life insurance (in CZK thousands) (Profit and loss statement according to financial statements > Insurance undertakings, total)
30.06.2019 (25) Sestava Result of technical account for non-life insurance (in CZK thousands) (Profit and loss statement according to financial statements > Domestic insurance undertakings)
30.06.2019 (25) Sestava Result of technical account for non-life insurance (in CZK thousands) (Profit and loss statement according to financial statements > Branches of foreign insurance undertakings)
30.06.2019 (23) Sestava Debt securities, Loans and Deposits by counterparty sector (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (23) Sestava Banking sector, total (Banks > Debt securities, receivables and deposits by counterparty sector)
30.06.2019 (23) Sestava Large banks (Banks > Debt securities, receivables and deposits by counterparty sector)
30.06.2019 (23) Sestava Medium-sized banks (Banks > Debt securities, receivables and deposits by counterparty sector)
30.06.2019 (23) Sestava Small banks (Banks > Debt securities, receivables and deposits by counterparty sector)
30.06.2019 (23) Sestava Foreign bank branches (Banks > Debt securities, receivables and deposits by counterparty sector)
30.06.2019 (23) Sestava Building societies (Banks > Debt securities, receivables and deposits by counterparty sector)
30.06.2019 (22) Sestava Number and structure of insurance undertakings (Insurance companies > Number of entities)
30.06.2019 (16) Sestava International investment position (External sector > International investment position)
30.06.2019 (16) Sestava Banking sector, total (in % and numbers) (Banks > Ratio indicators)
30.06.2019 (16) Sestava Large banks (in % and numbers) (Banks > Ratio indicators)
30.06.2019 (16) Sestava Medium-sized banks (in % and numbers) (Banks > Ratio indicators)
30.06.2019 (16) Sestava Small banks (in % and numbers) (Banks > Ratio indicators)
30.06.2019 (16) Sestava Foreign bank branches (in % and numbers) (Banks > Ratio indicators)
30.06.2019 (16) Sestava Building societies (in % and numbers) (Banks > Ratio indicators)
30.06.2019 (16) Sestava Ratio indicators (in % and numbers) (Basic indicators of the financial market > Credit unions)
30.06.2019 (16) Sestava Funds operated by pension management companies, total (in CZK thousands) (Funds operated by pension management companies > Overview of securities)
30.06.2019 (16) Sestava Transformed funds (in CZK thousands) (Funds operated by pension management companies > Overview of securities)
30.06.2019 (16) Sestava Participating funds (in CZK thousands) (Funds operated by pension management companies > Overview of securities)
30.06.2019 (16) Sestava Retirement funds (in CZK thousands) (Funds operated by pension management companies > Overview of securities)
30.06.2019 (15) Sestava Retirement funds (in CZK thousands and numbers) (Funds operated by pension management companies > Contributions received and paid, number of benefits paid)
30.06.2019 (14) Sestava Banking sector, total (Banks > Capital ratios)
30.06.2019 (14) Sestava Large banks (Banks > Capital ratios)
30.06.2019 (14) Sestava Medium-sized banks (Banks > Capital ratios)
30.06.2019 (14) Sestava Small banks (Banks > Capital ratios)
30.06.2019 (14) Sestava Building societies (Banks > Capital ratios)
30.06.2019 (14) Sestava Capital ratios (% and CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (14) Sestava Collective investment funds (in CZK thousands) (Investment funds > Selected indicators of collective investment funds harmonised with EU law)
30.06.2019 (14) Sestava UCITs (in CZK thousands) (Investment funds > Selected indicators of collective investment funds harmonised with EU law)
30.06.2019 (14) Sestava non-UCITs (in CZK thousands) (Investment funds > Selected indicators of collective investment funds harmonised with EU law)
30.06.2019 (14) Sestava Collective investment funds (in CZK thousands) (Investment funds > Selected indicators according to the risk of collective investment fund assets)
30.06.2019 (14) Sestava fund of funds (in CZK thousands) (Investment funds > Selected indicators according to the risk of collective investment fund assets)
30.06.2019 (14) Sestava real estate funds (in CZK thousands) (Investment funds > Selected indicators according to the risk of collective investment fund assets)
30.06.2019 (14) Sestava other funds (in CZK thousands) (Investment funds > Selected indicators according to the risk of collective investment fund assets)
30.06.2019 (14) Sestava mixed funds (in CZK thousands) (Investment funds > Selected indicators according to the risk of collective investment fund assets)
30.06.2019 (14) Sestava bond funds (in CZK thousands) (Investment funds > Selected indicators according to the risk of collective investment fund assets)
30.06.2019 (14) Sestava equity funds (in CZK thousands) (Investment funds > Selected indicators according to the risk of collective investment fund assets)
30.06.2019 (14) Sestava Investment firms total (in % and CZK thousands) (Investment firms > Capital ratios)
30.06.2019 (14) Sestava Investment firms - non-banks (in % and CZK thousands) (Investment firms > Capital ratios)
30.06.2019 (14) Sestava Management companies with asset management (in % and CZK thousands) (Investment firms > Capital ratios)
30.06.2019 (12) Sestava Insurance companies total (in thousands CZK) (Insurance companies > Structure of investment by domestic insurance undertakings (excluding branches of foreign insurance undertakings))
30.06.2019 (10) Sestava Number of entities (Basic indicators of the financial market > Pension management companies)
30.06.2019 (10) Sestava Number and structure of funds operated by pension management companies (Funds operated by pension management companies > Number of entities)
30.06.2019 (9) Sestava Investment firms, total, as of (Investment firms > Number of entities)
30.06.2019 (7) Sestava Number of credit unions and membership base (Basic indicators of the financial market > Credit unions)
30.06.2019 (7) Sestava Financial Soundness Indicators (Financial sector > Financial Soundness Indicators)
30.06.2019 (6) Sestava Number and structure of planholders (Basic indicators of the financial market > Pension management companies)
30.06.2019 (5) Sestava Investment firms total (Investment firms > Ratio indicators)
30.06.2019 (5) Sestava Investment firms - non-banks (Investment firms > Ratio indicators)
30.06.2019 (5) Sestava Foreign IFs branches (Investment firms > Ratio indicators)
30.06.2019 (4) Sestava Number of entities (Basic indicators of the financial market > Management companies)
30.06.2019 (4) Sestava Capital and Capital requirements (in CZK thousands) (Basic indicators of the financial market > Management companies)
30.06.2019 (4) Sestava Capital and Capital requirements (in CZK thousands) (Basic indicators of the financial market > Pension management companies)
30.06.2019 (2) Sestava Insured and covered deposits (in CZK thousands) (Basic indicators of the financial market > Credit unions)
30.06.2019 (2) Sestava Banking sector, total (Banks > Insured and covered deposits)
30.06.2019 (2) Sestava Large banks (Banks > Insured and covered deposits)
30.06.2019 (2) Sestava Medium-sized banks (Banks > Insured and covered deposits)
30.06.2019 (2) Sestava Small banks (Banks > Insured and covered deposits)
30.06.2019 (2) Sestava Building societies (Banks > Insured and covered deposits)
31.12.2018 (20) Sestava Investment firms total (Investment firms > Securities trading volumes for individual quarters (data till 30.6.2016))
31.12.2018 (20) Sestava Investment firms - banks (Investment firms > Securities trading volumes for individual quarters (data till 30.6.2016))
31.12.2018 (20) Sestava Investment firms - foreign bank branches (Investment firms > Securities trading volumes for individual quarters (data till 30.6.2016))
31.12.2018 (20) Sestava Investment firms - non-banks (Investment firms > Securities trading volumes for individual quarters (data till 30.6.2016))
31.12.2018 (20) Sestava Foreign IFs branches (Investment firms > Securities trading volumes for individual quarters (data till 30.6.2016))
31.12.2018 (20) Sestava Management companies with asset management (Investment firms > Securities trading volumes for individual quarters (data till 30.6.2016))
31.12.2018 (17) Sestava Investment firms total (Investment firms > Volume of assets managed by investment firms, number of clients and volume of client assets (data till 31.12.2017))
31.12.2018 (17) Sestava Investment firms - banks (Investment firms > Volume of assets managed by investment firms, number of clients and volume of client assets (data till 31.12.2017))
31.12.2018 (17) Sestava Investment firms - foreign bank branches (Investment firms > Volume of assets managed by investment firms, number of clients and volume of client assets (data till 31.12.2017))
31.12.2018 (17) Sestava Investment firms - non-banks (Investment firms > Volume of assets managed by investment firms, number of clients and volume of client assets (data till 31.12.2017))
31.12.2018 (17) Sestava Foreign IFs branches (Investment firms > Volume of assets managed by investment firms, number of clients and volume of client assets (data till 31.12.2017))
31.12.2018 (17) Sestava Management companies with asset management (Investment firms > Volume of assets managed by investment firms, number of clients and volume of client assets (data till 31.12.2017))
Ke dni/adada
30.09.2019 PRIBOR - 7 days (Interest rates > Interest rates)
30.09.2019 Discount rate (Interest rates > Interest rates)
30.09.2019 Lombard rate (Interest rates > Interest rates)
30.09.2019 Repo rate - 2 weeks (Interest rates > Interest rates)
31.08.2019 Net foreign assets (Other depository corporations survey > Other depository corporations survey)
31.08.2019 Narrow money (M1) (Other depository corporations survey > Other depository corporations survey)
31.08.2019 Intermediate money (M2) (Other depository corporations survey > Other depository corporations survey)
31.08.2019 Broad money (M3) (Other depository corporations survey > Other depository corporations survey)
31.08.2019 Central government deposits (Other depository corporations survey > Other depository corporations survey)
31.08.2019 Claims on general government (Other depository corporations survey > Other depository corporations survey)
31.08.2019 Claims on other sectors (Other depository corporations survey > Other depository corporations survey)
31.08.2019 (5) other reserve assets (CZK) (International Reserve Assets > International Reserve Assets)
31.08.2019 GROSS INTERNATIONAL RESERVES POSITION (Stock Data) (USD) (International Reserve Assets > International Reserve Assets)
31.08.2019 GROSS INTERNATIONAL RESERVES POSITION (Stock Data) (CZK) (International Reserve Assets > International Reserve Assets)
31.08.2019 (1) Foreign currency reserves (in convertible foreign currencies) (USD) (International Reserve Assets > International Reserve Assets)
31.08.2019 (1) Foreign currency reserves (in convertible foreign currencies) (CZK) (International Reserve Assets > International Reserve Assets)
31.08.2019 (2) IMF reserve position (USD) (International Reserve Assets > International Reserve Assets)
31.08.2019 (2) IMF reserve position (CZK) (International Reserve Assets > International Reserve Assets)
31.08.2019 (3) SDRs (USD) (International Reserve Assets > International Reserve Assets)
31.08.2019 (3) SDRs (CZK) (International Reserve Assets > International Reserve Assets)
31.08.2019 (4) gold (including gold deposits and, if appropriate, gold swapped) (USD) (International Reserve Assets > International Reserve Assets)
31.08.2019 (4) gold (including gold deposits and, if appropriate, gold swapped) (CZK) (International Reserve Assets > International Reserve Assets)
31.08.2019 (5) other reserve assets (USD) (International Reserve Assets > International Reserve Assets)
31.08.2019 --other (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 Official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 Foreign currency reserves (in convertible foreign currencies) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 (a) Securities (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 (b) total currency and deposits with: (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 (i) other national central banks, BIS and IMF (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 (ii) banks headquartered in the reporting country (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 of which: located abroad (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 (iii) banks headquartered outside the reporting country (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 of which: located in the reporting country (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 IMF reserve position (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 SDRs (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 gold (including gold deposits and, if appropriate, gold swapped) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --volume in millions of fine troy ounces (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 other reserve assets (specify) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --financial derivatives (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --loans to nonbank nonresidents (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --other (banknotes and collateral held in rev. repos) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 Other foreign currency assets (specify) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --securities not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --deposits not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --loans not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --financial derivatives not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 --gold not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
31.08.2019 -other accounts receivable (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Foreign currency loans, securities, and deposits (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -outflows (-) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -outflows (-) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -inflows (+) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -inflows (+) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Aggregate short and long positions in forwards and futures in foreign currencies vis--vis the domestic currency (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 a) Short positions ( - (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 b) Long positions (+ (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Other (specify) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -outflows related to repos (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -inflows related to reverse repos (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -trade credit (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -trade credit (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -other accounts payable (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 -other accounts receivable (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 Foreign currency loans, securities, and deposits (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -outflows (-) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -outflows (-) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -inflows (+) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -inflows (+) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 Aggregate short and long positions in forwards and futures in foreign currencies vis--vis the domestic currency (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 a) Short positions ( - (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 b) Long positions (+ (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 Other (specify) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -outflows related to repos (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -inflows related to reverse repos (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -trade credit (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -trade credit (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -other accounts payable (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
31.08.2019 -other accounts receivable (+) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 Foreign currency loans, securities, and deposits (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -outflows (-) Principal (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -outflows (-) Interest (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -inflows (+) Principal (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -inflows (+) Interest (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 Aggregate short and long positions in forwards and futures in foreign currencies vis--vis the domestic currency (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 a) Short positions ( - (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 b) Long positions (+ (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 Other (specify) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -outflows related to repos (-) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -inflows related to reverse repos (+) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -trade credit (-) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -trade credit (+) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -other accounts payable (-) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
31.08.2019 -other accounts receivable (+) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 Foreign currency loans, securities, and deposits (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -outflows (-) Principal (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -outflows (-) Interest (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -inflows (+) Principal (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -inflows (+) Interest (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 Aggregate short and long positions in forwards and futures in foreign currencies vis--vis the domestic currency (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 a) Short positions ( - (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 b) Long positions (+ (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 Other (specify) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -outflows related to repos (-) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -inflows related to reverse repos (+) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -trade credit (-) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -trade credit (+) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 -other accounts payable (-) (Reserves Template > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
31.08.2019 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Contingent liabilities in foreign currency (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Collateral guarantees on debt falling due within 1 year (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (b) Other contingent liabilities (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Foreign currency securities issued with embedded options (puttable bonds) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Undrawn, unconditional credit lines provided by: (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - other national monetary authorities (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - BIS (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - IMF (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - other international organizations (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 b) with banks and other financial institutions headquartered in the reporting country (+ (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 c) with banks and other financial institutions headquartered outside the reporting country (+ (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Undrawn, unconditional credit lines provided to: (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - other national monetary authorities (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - BIS (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - IMF (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - other international organizations (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 b) banks and other financial institutions headquartered in reporting country (- (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 c) banks and other financial institutions headquartered outside the reporting country ( - (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Aggregate short and long positions of options in foreign currencies vis--vis the domestic currency (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Short positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (i) Bought puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (ii) Written calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (b) Long positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (i) Bought calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (ii) Written puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 PRO MEMORIA: In-the-money options (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 At current exchange rates (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 + 5 % (depreciation of 5%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - 5 % (appreciation of 5%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 +10 % (depreciation of 10%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - 10 % (appreciation of 10%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 Other (specify) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 Contingent liabilities in foreign currency (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (a) Collateral guarantees on debt falling due within 1 year (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (b) Other contingent liabilities (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (3-1.) Undrawn, unconditional credit lines provided by: (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (a) Other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Other national monetary authorities (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - BIS (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - IMF (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Other international organizations (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 b) Banks and other financial institutions headquartered in the reporting country (+ (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 c) Banks and other financial institutions headquartered outside the reporting country (+ (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (3-2.) Undrawn, unconditional credit lines provided to: (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (a) Other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Other national monetary authorities (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - BIS (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - IMF (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Other international organizations (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 b) Banks and other financial institutions headquartered in the reporting country (- (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 c) Banks and other financial institutions headquartered outside the reporting country (- (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 Aggregate short and long positions of options in foreign currencies vis-a-vis the domestic currency (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (a) Short positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Bought puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Written calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 (b) Long positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Bought calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Written puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 PRO MEMORIA: In-the-money-options (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 At current exchange rates (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 + 5 % (depreciation of 5%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - 5 % (appreciation of 5%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 +10 % (depreciation of 10%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - 10 % (appreciation of 10%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 Other (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 Contingent liabilities in foreign currency (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (a) Collateral guarantees on debt falling due within 1 year (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (b) Other contingent liabilities (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (3-1.) Undrawn, unconditional credit lines provided by: (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (a) Other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Other national monetary authorities (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - BIS (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - IMF (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Other international organizations (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 b) Banks and other financial institutions headquartered in the reporting country (+ (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 c) Banks and other financial institutions headquartered outside the reporting country (+ (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (3-2.) Undrawn, unconditional credit lines provided to: (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (a) Other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Other national monetary authorities (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - BIS (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - IMF (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Other international organizations (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 b) Banks and other financial institutions headquartered in the reporting country (- (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 c) Banks and other financial institutions headquartered outside the reporting country (- (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 Aggregate short and long positions of options in foreign currencies vis-a-vis the domestic currency (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (a) Short positions (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Bought puts (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Written calls (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 (b) Long positions (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Bought calls (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Written puts (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 PRO MEMORIA: In-the-money-options (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 At current exchange rates (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 + 5 % (depreciation of 5%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - 5 % (appreciation of 5%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 +10 % (depreciation of 10%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - 10 % (appreciation of 10%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 Other (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 1 up to 3 months - in mil. USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 Contingent liabilities in foreign currency (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (a) Collateral guarantees on debt falling due within 1 year (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (b) Other contingent liabilities (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (3-1.) Undrawn, unconditional credit lines provided by: (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (a) Other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Other national monetary authorities (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - BIS (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - IMF (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Other international organizations (+) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 b) Banks and other financial institutions headquartered in the reporting country (+ (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 c) Banks and other financial institutions headquartered outside the reporting country (+ (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (3-2.) Undrawn, unconditional credit lines provided to: (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (a) Other national monetary authorities, BIS, IMF, and other international organizations (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Other national monetary authorities (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - BIS (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - IMF (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Other international organizations (-) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 b) Banks and other financial institutions headquartered in the reporting country (- (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 c) Banks and other financial institutions headquartered outside the reporting country (- (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 Aggregate short and long positions of options in foreign currencies vis-a-vis the domestic currency (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (a) Short positions (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Bought puts (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Written calls (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 (b) Long positions (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Bought calls (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Written puts (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 PRO MEMORIA: In-the-money-options (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 At current exchange rates (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 + 5 % (depreciation of 5%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - 5 % (appreciation of 5%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 +10 % (depreciation of 10%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - 10 % (appreciation of 10%) (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Long position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 Other (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 - Short position (Reserves Template > Contingent short-term net drains on for currency assets (nom.value) - maturity more than 3 m.up to 1 year - in mil.USD)
31.08.2019 -- by individual currencies (optional) (Reserves Template > Memo items - in mill. USD)
31.08.2019 (a) short-term domestic currency debt indexed to the exchange rate (Reserves Template > Memo items - in mill. USD)
31.08.2019 b) financial instruments denominated in foreign currency and settled by other means (e.g., in domestic currency (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- derivatives (forwards, futures and options contracts) (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- short positions (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- long positions (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- other instruments (Reserves Template > Memo items - in mill. USD)
31.08.2019 (c) pledged assets (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- included in reserve assets (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- included in other foreign currency assets (Reserves Template > Memo items - in mill. USD)
31.08.2019 (d) securities lent and on repo (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- lent or repoed and included in Section I (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- lent or repoed but not included in Section I (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- borrowed or acquired and included in Section I (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- borrowed or acquired but not included in Section I (Reserves Template > Memo items - in mill. USD)
31.08.2019 e) financial derivative assets (net, marked to market (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- forwards (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- futures (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- swaps (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- options (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- other (Reserves Template > Memo items - in mill. USD)
31.08.2019 (f) derivatives (forward, futures, or options contracts) that have a residual maturity greater than one year (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- aggregate short and long positions in forwards and futures in foreign currencies vis-a-vis the domestic currency (including the forward leg of currency swaps) (Reserves Template > Memo items - in mill. USD)
31.08.2019 a) short positions (- (Reserves Template > Memo items - in mill. USD)
31.08.2019 b) long positions (+ (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- aggregate short and long positions of options in foreign currencies vis-a-vis the domestic currency (Reserves Template > Memo items - in mill. USD)
31.08.2019 (a) short positions (Reserves Template > Memo items - in mill. USD)
31.08.2019 (i) bought puts (Reserves Template > Memo items - in mill. USD)
31.08.2019 (ii) written calls (Reserves Template > Memo items - in mill. USD)
31.08.2019 (b) long positions (Reserves Template > Memo items - in mill. USD)
31.08.2019 (i) bought calls (Reserves Template > Memo items - in mill. USD)
31.08.2019 (ii) written puts (Reserves Template > Memo items - in mill. USD)
31.08.2019 a) currency composition of reserves (by groups of currencies (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- currencies in SDR basket (Reserves Template > Memo items - in mill. USD)
31.08.2019 -- currencies not in SDR basket (Reserves Template > Memo items - in mill. USD)
31.08.2019 Net foreign assets (Central bank survey > Central bank survey (billions of CZK))
31.08.2019 Monetary base (Central bank survey > Central bank survey (billions of CZK))
31.08.2019 Net Claims on Central Government (Central bank survey > Central bank survey (billions of CZK))
31.08.2019 Claims on other sectors (Central bank survey > Central bank survey (billions of CZK))
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 Loan commitments given (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 Financial guarantees given (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 Other Commitments given (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 Loan commitments received (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 Financial guarantees received (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 Other Commitments received (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 Loan commitments given (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 Financial guarantees given (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 Other Commitments given (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 Loan commitments received (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 Financial guarantees received (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 Other Commitments received (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 Loan commitments given (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 Financial guarantees given (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 Other Commitments given (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 Loan commitments received (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 Financial guarantees received (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 Other Commitments received (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 Loan commitments given (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 Financial guarantees given (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 Other Commitments given (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 Loan commitments received (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 Financial guarantees received (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 Other Commitments received (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 Loan commitments given (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 Financial guarantees given (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 Other Commitments given (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 Loan commitments received (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 Financial guarantees received (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 Other Commitments received (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 Loan commitments given (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 Financial guarantees given (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 Other Commitments given (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 of which: non-performing (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 Loan commitments received (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 Financial guarantees received (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 6. Households (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 Other Commitments received (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 2. General governments (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Debt securities (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Other persons (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Deposits (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Debt securities (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Other persons (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Deposits (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Debt securities (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Other persons (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Deposits (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Debt securities (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Other persons (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Deposits (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Debt securities (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Other persons (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Deposits (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Debt securities (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Other persons (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 3. Households (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Deposits (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Central banks (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 General governments (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
30.06.2019 Number of memberships terminated since start of year (Credit unions > Number of credit unions and membership base)
30.06.2019 Credit unions, total, as of (Credit unions > Number of credit unions and membership base)
30.06.2019 1. of which under conservatorship (Credit unions > Number of credit unions and membership base)
30.06.2019 2. Number of entities established in given period (Credit unions > Number of credit unions and membership base)
30.06.2019 3. Number of entities that ceased to exist in given period (Credit unions > Number of credit unions and membership base)
30.06.2019 Number of credit union members (Credit unions > Number of credit unions and membership base)
30.06.2019 Number of memberships created since start of year (Credit unions > Number of credit unions and membership base)
30.06.2019 10. Profit or loss attributable to owners of the parent (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities and equity, total (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities, total (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 1. Financial liabilities held for trading (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 1.1. Derivatives (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 1.2. Short positions (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 1.3. Deposits (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 1.4. Debt securities issued (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 1.5. Other financial liabilities (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 2. Financial liabilities designated at fair value through profit or loss (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 2.1. Deposits (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 2.2. Debt securities issued (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 2.3. Other financial liabilities (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 3. Financial liabilities measured at amortised cost (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 3.1. Deposits (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 3.2. Debt securities issued (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 3.3. Other financial liabilities (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 4. Derivatives - hedge accounting (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 6. Provisions (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 7. Tax liabilities (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 8. Share capital repayable on demand (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 9. Other liabilities (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 10. Liabilities included in disposal groups classified as held for sale (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 Equity, total (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 1. Capital (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 2. Share premium (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 3. Equity instruments issued other than capital (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 4. Other equity (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 5. Accumulated other comprehensive income (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 6. Retained earnings (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 7. Revaluation reserves (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 8. Other reserves (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 9. (-) Treasury shares (Credit unions > Liabilities and equity (in CZK thousands))
30.06.2019 Other transitional adjustments to T2 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 Own funds (Credit unions > Capital structure (in CZK thousands))
30.06.2019 Tier 1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1. Common equity Tier 1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.2. Retained earnings (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.3. Accumulated other comprehensive income (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.4. Other reserves (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.5. Funds for general banking risk (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.7. Minority interest given recognition in CET1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1.10. Other transitional adjustments to CET1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 2. Additional Tier 1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 2.1. Capital instruments eligible as AT1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 2.2. Transitional adjustments due to grandfathered AT1 Capital instruments (Credit unions > Capital structure (in CZK thousands))
30.06.2019 2.3. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 2.4. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Credit unions > Capital structure (in CZK thousands))
30.06.2019 2.5. Other transitional adjustments to AT1 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 Tier 2 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 1. Capital instruments and subordinated loans eligible as T2 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 2. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Credit unions > Capital structure (in CZK thousands))
30.06.2019 3. Instruments issued by subsidiaries that are given recognition in T2 Capital (Credit unions > Capital structure (in CZK thousands))
30.06.2019 4. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Credit unions > Capital structure (in CZK thousands))
30.06.2019 Other risk exposure amounts (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 Total risk exposure amount (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 Standardised Approach (SA) (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1. SA exposure classes excluding securitisation positions (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.1. Central governments or central banks (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.2. Regional governments or local authorities (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.3. Public sector entities (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.4. Multilateral Development Banks (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.5. International Organisations (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.6. Institutions (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.7. Corporates (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.8. Retail (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.9. Secured by mortgages on immovable property (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.10. Exposures in default (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.11. Items associated with particular high risk (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.12. Covered bonds (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.13. Claims on institutions and corporates with a short-term credit assessment (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.14. Collective investments undertakings (CIU) (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.15. Equity (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 1.16. Other items (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 2. Securitisation positions SA (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 Total risk exposure amount for position, foreign exchange and commodities risks (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 Total risk exposure amount for operational risk (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 Total risk exposure amount for credit valuation adjustment (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 Total risk exposure amount related to large exposures in the trading book (Credit unions > Risk exposures (in CZK thousands))
30.06.2019 3. Households (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Debt securities (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Central banks (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 General governments (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Credit institutions (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Other persons (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 1. Other financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 2. Non-financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Loans and advances (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Central banks (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 General governments (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Credit institutions (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Other persons and sectoral unstructured advances (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 1. Other financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 2. Non-financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 3. Households (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Deposits (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Central banks (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 General governments (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Credit institutions (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Other persons and sectoral unstructured liabilities (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 1. Other financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 2. Non-financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
30.06.2019 Number of entities that ceased to exist in given period (Management companies > Number of entities)
30.06.2019 Management companies total, as of (Management companies > Number of entities)
30.06.2019 1. of which under conservatorship (Management companies > Number of entities)
30.06.2019 Number of entities established in given period (Management companies > Number of entities)
30.06.2019 Profit (loss) for the accounting period (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities and equity, total (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities total (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities to banks (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1.repayable on demand (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2.other liabilities (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities to non-banking entities (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1.repayable on demand (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2.other liabilities (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Other liabilities (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Accrued expenses and deferred income (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Provisions (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1.Provisions for pensions and similar liabilities (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2.Provisions for tax (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 3.Other provisions (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Subordinated liabilities (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Equity (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Share capital (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1.Registered share capital paid up (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Treasury shares (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Share premium (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Reserve funds and other funds from profit (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1.Mandatory reserve funds (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2.Other reserve funds (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 3.Other funds from profit (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Revaluation reserve fund (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Capital funds (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Valuation differences (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1.Valuation differences from assets and liabilities (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2.Valuation differences from hedging derivatives (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 3.Valuation differences from recalculated shares (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 4.Other valuation differences (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Retained earnings (Management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Deposits with banks (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Assets, total (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Number of shares or units as of date (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Capital funds (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Sales of units since start of year (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Purchases of units since start of year (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Profit (loss) after taxation, total (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Financial investment, total (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 1. Debt securities, total (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 1.1. of which issued by governments (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 2. Shares, units and other interests, total (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 2.1. Shares (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 2.2. Units (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 2.3. Other interests (Selected indicators of collective investment funds harmonised with EU law > Collective investment funds (in CZK thousands))
30.06.2019 Deposits with banks (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Assets, total (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Number of shares or units as of date (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Capital funds (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Sales of units since start of year (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Purchases of units since start of year (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Profit (loss) after taxation, total (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Financial investment, total (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 1. Debt securities, total (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 1.1. of which issued by governments (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 2. Shares, units and other interests, total (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 2.1. Shares (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 2.2. Units (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 2.3. Other interests (Selected indicators of collective investment funds harmonised with EU law > UCITs (in CZK thousands))
30.06.2019 Deposits with banks (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Assets, total (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Number of shares or units as of date (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Capital funds (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Sales of units since start of year (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Purchases of units since start of year (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Profit (loss) after taxation, total (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Financial investment, total (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 1. Debt securities, total (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 1.1. of which issued by governments (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 2. Shares, units and other interests, total (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 2.1. Shares (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 2.2. Units (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 2.3. Other interests (Selected indicators of collective investment funds harmonised with EU law > non-UCITs (in CZK thousands))
30.06.2019 Deposits with banks (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Assets, total (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Number of shares or units as of date (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Capital funds (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Sales of units since start of year (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Purchases of units since start of year (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Profit (loss) after taxation, total (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Financial investment, total (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 1. Debt securities, total (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 1.1.of which issued by governments (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 2. Shares, units and other interests, total (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 2.1. Shares (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 2.2. Units (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 2.3. Other interests (Selected indicators according to the risk of collective investment fund assets > Collective investment funds (in CZK thousands))
30.06.2019 Deposits with banks (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Assets, total (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Number of shares or units as of date (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Capital funds (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Sales of units since start of year (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Purchases of units since start of year (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Profit (loss) after taxation, total (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Financial investment, total (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 1. Debt securities, total (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 1.1.of which issued by governments (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 2. Shares, units and other interests, total (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 2.1. Shares (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 2.2. Units (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 2.3. Other interests (Selected indicators according to the risk of collective investment fund assets > fund of funds (in CZK thousands))
30.06.2019 Deposits with banks (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Assets, total (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Number of shares or units as of date (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Capital funds (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Sales of units since start of year (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Purchases of units since start of year (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Profit (loss) after taxation, total (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Financial investment, total (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 1. Debt securities, total (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 1.1.of which issued by governments (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 2. Shares, units and other interests, total (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 2.1. Shares (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 2.2. Units (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 2.3. Other interests (Selected indicators according to the risk of collective investment fund assets > real estate funds (in CZK thousands))
30.06.2019 Deposits with banks (CZK thousands) (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 Assets, total (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 Number of shares or units as of date (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 Capital funds (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 Sales of units since start of year (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 Purchases of units since start of year (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 Profit (loss) after taxation, total (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 Financial investment, total (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 1. Debt securities, total (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 1.1.of which issued by governments (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 2. Shares, units and other interests, total (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 2.1. Shares (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 2.2. Units (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 2.3. Other interests (Selected indicators according to the risk of collective investment fund assets > other funds (in CZK thousands))
30.06.2019 1.3. Retirement funds (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 Funds operated by pension management companies, total, as of (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 1. of which under conservatorship (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 2. Number of entities established in given period (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 3. Number of entities that ceased to exist in given period (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 1. Funds, total (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 1.1. Transformed funds (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 1.2. Participating funds (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 1.2.1. Mandatory conservative funds (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 1.2.2. Other (Number of entities > Number and structure of funds operated by pension management companies)
30.06.2019 3. Other securities (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Total portfolio (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Total bonds (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.1. Bonds issued in an OECD member state or its central bank (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.1.1. Bonds issued in the Czech Republic (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.1.1.1.1. Treasury bills (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.1.1.2. Czech government bonds (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.1.2. Bonds issued in other OECD member states (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.2. Bonds issued by the EIB, EBRD, IBRD or by another international institution (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.3. Other Bonds (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.3.1. of which: Bonds issued by banks (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1.3.2. of which: Bonds issued by companies (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Total equity securities (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2.1. Shares (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2.2. Investment certificates (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2.3. Other equities (Overview of securities > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 3. Other securities (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 Total portfolio (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1. Total bonds (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.1. Bonds issued in an OECD member state or its central bank (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.1.1. Bonds issued in the Czech Republic (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.1.1.1. Treasury bills (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.1.1.2. Czech government bonds (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.1.2. Bonds issued in other OECD member states (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.2. Bonds issued by the EIB, EBRD, IBRD or by another international institution (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.3. Other Bonds (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.3.1. of which: Bonds issued by banks (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 1.3.2. of which: Bonds issued by companies (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 2. Total equity securities (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 2.1. Shares (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 2.2. Investment certificates (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 2.3. Other equities (Overview of securities > Transformed funds (in CZK thousands))
30.06.2019 3. Other securities (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 Total portfolio (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1. Total bonds (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.1. Bonds issued in an OECD member state or its central bank (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.1.1. Bonds issued in the Czech Republic (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.1.1.1. Treasury bills (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.1.1.2. Czech government bonds (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.1.2. Bonds issued in other OECD member states (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.2. Bonds issued by the EIB, EBRD, IBRD or by another international institution (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.3. Other Bonds (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.3.1. of which: Bonds issued by banks (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 1.3.2. of which: Bonds issued by companies (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 2. Total equity securities (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 2.1. Shares (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 2.2. Investment certificates (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 2.3. Other equities (Overview of securities > Participating funds (in CZK thousands))
30.06.2019 3. Other securities (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 Total portfolio (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1. Total bonds (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.1. Bonds issued in an OECD member state or its central bank (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.1.1. Bonds issued in the Czech Republic (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.1.1.1. Treasury bills (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.1.1.2. Czech government bonds (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.1.2. Bonds issued in other OECD member states (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.2. Bonds issued by the EIB, EBRD, IBRD or by another international institution (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.3. Other Bonds (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.3.1. of which: Bonds issued by banks (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 1.3.2. of which: Bonds issued by companies (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 2. Total equity securities (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 2.1. Shares (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 2.2. Investment certificates (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 2.3. Other equities (Overview of securities > Retirement funds (in CZK thousands))
30.06.2019 Number of single premium payments (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Contributions received (in CZK thousands) (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1. Planholders' contributions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 2. Employer's contributions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 3. State contributions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 4. Yields credited to planholders (transformed fund) (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 5. Amounts transferred from other pension management company (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 6. Amounts transferred from transformed fund to participating fund (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 7. Unidentified contributions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 8. Contributions received from other sources (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Benefits paid (in CZK thousands) (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1. Benefits paid to planholders (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1.1. Retirement pensions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1.2. Survivors' pensions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1.3. Service pensions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1.4. Disability pensions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1.5. Inheritances (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1.6. Lump-sum settlements (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1.7. Surrenders (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 2. Single premium payments (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 3. Amounts transferred to other pension management company (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 4. Amounts transferred to participating fund from transformed fund (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 5. Returned state contributions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 6. Contributions returned to planholders (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 7. Other benefits paid (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Retirement pension beneficiaries (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Survivors' pension beneficiaries (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Service pension beneficiaries (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Disability pension beneficiaries (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Number of inheritance cases (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Number of lump-sum settlement cases (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 1. of which: service pensions (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Number of cases of payment of surrender value to planholders (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Number of cases of payment of surrender value to authorised persons (Contributions received and paid, number of benefits paid > Funds operated by pension management companies, total (in CZK thousands and numbers))
30.06.2019 Contributions received (in CZK thousands) (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1. Planholders' contributions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 2. Employer's contributions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 3. State contributions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 4. Yields credited to planholders (transformed fund) (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 5. Amounts transferred from other pension management company (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 7. Unidentified contributions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 8. Contributions received from other sources (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Benefits paid (in CZK thousands) (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1. Benefits paid to planholders (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1.1. Retirement pensions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1.2. Survivors' pensions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1.3. Service pensions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1.4. Disability pensions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1.5. Inheritances (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1.6. Lump-sum settlements (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1.7. Surrenders (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 3. Amounts transferred to other pension management company (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 4. Amounts transferred to participating fund from transformed fund (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 5. Returned state contributions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 6. Contributions returned to planholders (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 7. Other benefits paid (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Retirement pension beneficiaries (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Survivors' pension beneficiaries (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Service pension beneficiaries (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Disability pension beneficiaries (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Number of inheritance cases (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Number of lump-sum settlement cases (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 1. of which: service pensions (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Number of cases of payment of surrender value to planholders (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Number of cases of payment of surrender value to authorised persons (Contributions received and paid, number of benefits paid > Transformed funds (in CZK thousands and numbers))
30.06.2019 Number of single premium payments (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Contributions received (in CZK thousands) (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 1. Planholders' contributions (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 2. Employer's contributions (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 3. State contributions (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 5. Amounts transferred from other pension management company (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 6. Amounts transferred from transformed fund to participating fund (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 7. Unidentified contributions (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 8. Contributions received from other sources (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Benefits paid (in CZK thousands) (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 1. Benefits paid to planholders (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 1.1. Retirement pensions (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 1.4. Disability pensions (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 1.5. Inheritances (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 1.6. Lump-sum settlements (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 1.7. Surrenders (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 2. Single premium payments (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 3. Amounts transferred to other pension management company (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 5. Returned state contributions (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 6. Contributions returned to planholders (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 7. Other benefits paid (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Retirement pension beneficiaries (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Disability pension beneficiaries (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Number of inheritance cases (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Number of lump-sum settlement cases (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Number of cases of payment of surrender value to planholders (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Number of cases of payment of surrender value to authorised persons (Contributions received and paid, number of benefits paid > Participating funds (in CZK thousands and numbers))
30.06.2019 Number of single premium payments (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 Contributions received (in CZK thousands) (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 1. Planholders' contributions (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 5. Amounts transferred from other pension management company (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 7. Unidentified contributions (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 8. Contributions received from other sources (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 Benefits paid (in CZK thousands) (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 1. Benefits paid to planholders (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 1.5. Inheritances (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 2. Single premium payments (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 3. Amounts transferred to other pension management company (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 5. Returned state contributions (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 6. Contributions returned to planholders (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 7. Other benefits paid (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 Number of inheritance cases (Contributions received and paid, number of benefits paid > Retirement funds (in CZK thousands and numbers))
30.06.2019 1.5. Operating supplementary pension insurance with state contribution through a transformed fund (Pension management companies > Number of entities)
30.06.2019 Number of pension management companies, total, as of (Pension management companies > Number of entities)
30.06.2019 1. of which under conservatorship (Pension management companies > Number of entities)
30.06.2019 2. Number of entities established in given period (Pension management companies > Number of entities)
30.06.2019 3. Number of entities that ceased to exist in given period (Pension management companies > Number of entities)
30.06.2019 1. Number of pension management companies, total (Pension management companies > Number of entities)
30.06.2019 1.1. Operating all types of savings, including supplementary pension insurance with state contribution (Pension management companies > Number of entities)
30.06.2019 1.2. Operating retirement savings and supplementary pension savings (Pension management companies > Number of entities)
30.06.2019 1.3. Operating supplementary pension savings, including supplementary pension insurance with state contribution (Pension management companies > Number of entities)
30.06.2019 1.4. Operating supplementary pension savings (Pension management companies > Number of entities)
30.06.2019 2. Accrued income (Pension management companies > Assets (in CZK thousands))
30.06.2019 Assets, total (1. - 12.) (Pension management companies > Assets (in CZK thousands))
30.06.2019 Cash (Pension management companies > Assets (in CZK thousands))
30.06.2019 Receivables from banks and credit unions (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Payable on demand (Pension management companies > Assets (in CZK thousands))
30.06.2019 2. Other receivables (Pension management companies > Assets (in CZK thousands))
30.06.2019 Receivables from non-banking entities (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Payable on demand (Pension management companies > Assets (in CZK thousands))
30.06.2019 2. Other receivables (Pension management companies > Assets (in CZK thousands))
30.06.2019 Debt securities (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Issued by government institutions (Pension management companies > Assets (in CZK thousands))
30.06.2019 2. Issued by other entities (Pension management companies > Assets (in CZK thousands))
30.06.2019 Shares, units and other interests (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Shares (Pension management companies > Assets (in CZK thousands))
30.06.2019 2. Units (Pension management companies > Assets (in CZK thousands))
30.06.2019 3. Other interests (Pension management companies > Assets (in CZK thousands))
30.06.2019 Investments in subsidiaries (Pension management companies > Assets (in CZK thousands))
30.06.2019 Investments in associates (Pension management companies > Assets (in CZK thousands))
30.06.2019 Intangible assets (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Start-up costs (Pension management companies > Assets (in CZK thousands))
30.06.2019 2. Goodwill (Pension management companies > Assets (in CZK thousands))
30.06.2019 8.3. Other intangible assets (Pension management companies > Assets (in CZK thousands))
30.06.2019 Tangible assets (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Land and buildings for operating activities (Pension management companies > Assets (in CZK thousands))
30.06.2019 2. Non-operational land and buildings - financial investment (Pension management companies > Assets (in CZK thousands))
30.06.2019 3. Other long-term tangible assets (Pension management companies > Assets (in CZK thousands))
30.06.2019 Other assets (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Derivatives with a positive fair value (Pension management companies > Assets (in CZK thousands))
30.06.2019 Receivables from subscribed registered capital (Pension management companies > Assets (in CZK thousands))
30.06.2019 Deferred expenses and accrued income (Pension management companies > Assets (in CZK thousands))
30.06.2019 1. Deferred expenses (Pension management companies > Assets (in CZK thousands))
30.06.2019 Profit / loss for the accounting period (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities and equity, total (1. - 15.) (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities, total (1. - 6.) (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities to banks and credit unions (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities to non-banking institutions (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1. Payable on demand (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2. Other receivables (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Other liabilities (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1. Derivatives with a negative fair value (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Accrued expenses and deferred income (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Provisions (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1. Provisions for pensions and similar liabilities (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2. Provisions for tax (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 3. Other provisions (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Subordinated liabilities (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Equity, total (7. - 15.) (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Share capital (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1. Registered share capital paid up (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Own shares (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Share premium (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Reserve funds and other funds from profit (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1. Mandatory reserve funds (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2. Other reserve funds (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 3. Other funds from profit (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 3.1. Pension reserve fund (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Reserve funds for new evalution (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Capital funds (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Revaluation reserve (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 1. Revaluation reserve on assets and liabilities (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 2. Revaluation reserve on hedging derivatives (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 3. Revaluation reserve on recalculated shares (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 4. Other revaluation reserve (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Retained earnings (Pension management companies > Liabilities and equity (in CZK thousands))
30.06.2019 Share of profits / losses from investments in subsidiaries and in associates (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Financial income (1. - 8.) (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Interest income and similar income (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1. Debt securities (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2. Other assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Interest expenses and similar expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Income from shares and other equity instruments (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1. Investments in subsidiaries and in associates (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2. Other shares and interests (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Fee commission and income (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1. Remuneration of pension management company (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1.1. Remuneration for management of the fund?s assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1.2. Remuneration for gains in value of the fund?s assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2. Fees from participants (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.1. Change in strategy (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.2. Amount transferred to other pension management company (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.3. Other (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Fee and commission expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1. Depository's remuneration (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2. Remuneration for portfolio management (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 3. Remuneration for contract intermediation (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 4. Bank charge (fees) (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 5. Investment instrument transfer fees (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 6. Other (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Profit / loss from financial operations (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Other operating income (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Other operating expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Administrative expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1. Personnel expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2. Other administrative expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.1. Promotion and advertisement expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.2. Other sales promotion support expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.3. Rental expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.4. IT expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.5. Audit expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.6. Advisory expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.7. Outsourcing (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2.8. Other (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Release of provisions and allowances for tangible and intangible assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Depreciation and Amortization, creation and use of provisions and allowances for tangible and intangible assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 1. Depreciation of tangible assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 2. Creation and use of provisions and allowances for tangible assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 3. Amortization of intangible assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 4. Creation and use of provisions and allowances for intangible assets (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Release of provisions and allowances for receivables and guarantees, recoveries of receivables previously written off (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Depreciation, creation and use of provisions and allowances for receivables and guarantees (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Release of allowances for investments in subsidiaries and in associates (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Losses from the transfer of investments in subsidiaries and in associates, creation and use of allowances for investments (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Release of other provisions, including provisions on pensions (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Creation and use of other provision, including provisions on pensions (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Profit (loss) for the accounting period after taxation (1. - 21.) (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Profit (loss) for the accounting period before taxation (1. - 18.) (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Extraordinary income (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Extraordinary expenses (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Profit (loss) for the accounting period before taxation (19. and 20.) (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Income tax (Pension management companies > P&L statement (in CZK thousands))
30.06.2019 Number of planholders with state contributions (Pension management companies > Number and structure of planholders)
30.06.2019 Number of planholders - retirement savings (Pension management companies > Number and structure of planholders)
30.06.2019 Number of planholders - supplementary pension savings (Pension management companies > Number and structure of planholders)
30.06.2019 Number of planholders - supplementary pension insurance with state contribution (Pension management companies > Number and structure of planholders)
30.06.2019 Number of planholders with own contributions (Pension management companies > Number and structure of planholders)
30.06.2019 Number of planholders with employer's contributions (Pension management companies > Number and structure of planholders)
30.06.2019 10. T2 capital elements or deductions - other (Capital structure > Banking sector, total)
30.06.2019 OWN FUNDS (Capital structure > Banking sector, total)
30.06.2019 TIER 1 CAPITAL (Capital structure > Banking sector, total)
30.06.2019 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Banking sector, total)
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Banking sector, total)
30.06.2019 1.1.1. Paid up capital instruments (Capital structure > Banking sector, total)
30.06.2019 1.1.2. Share premium (Capital structure > Banking sector, total)
30.06.2019 1.1.3. (-) Own CET1 instruments (Capital structure > Banking sector, total)
30.06.2019 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Banking sector, total)
30.06.2019 1.2. Retained earnings (Capital structure > Banking sector, total)
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Banking sector, total)
30.06.2019 1.4. Other reserves (Capital structure > Banking sector, total)
30.06.2019 1.5. Funds for general banking risk (Capital structure > Banking sector, total)
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Banking sector, total)
30.06.2019 1.7. Minority interest given recognition in CET1 capital (Capital structure > Banking sector, total)
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Banking sector, total)
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Banking sector, total)
30.06.2019 1.10. (-) Goodwill (Capital structure > Banking sector, total)
30.06.2019 1.11. (-) Other intangible assets (Capital structure > Banking sector, total)
30.06.2019 1.12. (-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities (Capital structure > Banking sector, total)
30.06.2019 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Banking sector, total)
30.06.2019 1.14. (-)Defined benefit pension fund assets (Capital structure > Banking sector, total)
30.06.2019 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Banking sector, total)
30.06.2019 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Banking sector, total)
30.06.2019 1.17. CET1 capital elements or deductions - other (Capital structure > Banking sector, total)
30.06.2019 2. ADDITIONAL TIER 1 CAPITAL (Capital structure > Banking sector, total)
30.06.2019 2.1. Capital instruments eligible as AT1 Capital (Capital structure > Banking sector, total)
30.06.2019 2.2. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Banking sector, total)
30.06.2019 2.3. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Banking sector, total)
30.06.2019 2.4. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Banking sector, total)
30.06.2019 2.5. Other transitional adjustments to AT1 Capital (Capital structure > Banking sector, total)
30.06.2019 2.6. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Banking sector, total)
30.06.2019 2.7. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Banking sector, total)
30.06.2019 2.8. AT1 capital elements or deductions - other (Capital structure > Banking sector, total)
30.06.2019 TIER 2 CAPITAL (Capital structure > Banking sector, total)
30.06.2019 1. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Banking sector, total)
30.06.2019 1.1. Paid up capital instruments and subordinated loans (Capital structure > Banking sector, total)
30.06.2019 1.2. Share premium (Capital structure > Banking sector, total)
30.06.2019 1.3. (-) Own T2 instruments (Capital structure > Banking sector, total)
30.06.2019 1.4. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Banking sector, total)
30.06.2019 2. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Banking sector, total)
30.06.2019 3. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Banking sector, total)
30.06.2019 4. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Banking sector, total)
30.06.2019 5. IRB Excess of provisions over expected losses eligible (Capital structure > Banking sector, total)
30.06.2019 6. SA General credit risk adjustments (Capital structure > Banking sector, total)
30.06.2019 7. Other transitional adjustments to T2 Capital (Capital structure > Banking sector, total)
30.06.2019 8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Banking sector, total)
30.06.2019 9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Banking sector, total)
30.06.2019 2.10. T2 capital elements or deductions - other (Capital structure > Large banks)
30.06.2019 OWN FUNDS (Capital structure > Large banks)
30.06.2019 TIER 1 CAPITAL (Capital structure > Large banks)
30.06.2019 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Large banks)
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Large banks)
30.06.2019 1.1.1. Paid up capital instruments (Capital structure > Large banks)
30.06.2019 1.1.2. Share premium (Capital structure > Large banks)
30.06.2019 1.1.3. (-) Own CET1 instruments (Capital structure > Large banks)
30.06.2019 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Large banks)
30.06.2019 1.2. Retained earnings (Capital structure > Large banks)
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Large banks)
30.06.2019 1.4. Other reserves (Capital structure > Large banks)
30.06.2019 1.5. Funds for general banking risk (Capital structure > Large banks)
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Large banks)
30.06.2019 1.7. Minority interest given recognition in CET1 capital (Capital structure > Large banks)
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Large banks)
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Large banks)
30.06.2019 1.10. (-) Goodwill (Capital structure > Large banks)
30.06.2019 1.11. (-) Other intangible assets (Capital structure > Large banks)
30.06.2019 1.12. (-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities (Capital structure > Large banks)
30.06.2019 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Large banks)
30.06.2019 1.14. (-)Defined benefit pension fund assets (Capital structure > Large banks)
30.06.2019 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Large banks)
30.06.2019 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Large banks)
30.06.2019 1.17. CET1 capital elements or deductions - other (Capital structure > Large banks)
30.06.2019 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Large banks)
30.06.2019 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Large banks)
30.06.2019 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Large banks)
30.06.2019 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Large banks)
30.06.2019 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Large banks)
30.06.2019 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Large banks)
30.06.2019 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Large banks)
30.06.2019 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Large banks)
30.06.2019 1.26. AT1 capital elements or deductions - other (Capital structure > Large banks)
30.06.2019 1.27. TIER 2 CAPITAL (Capital structure > Large banks)
30.06.2019 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Large banks)
30.06.2019 2. Paid up capital instruments and subordinated loans (Capital structure > Large banks)
30.06.2019 2.1. Share premium (Capital structure > Large banks)
30.06.2019 2.2. (-) Own T2 instruments (Capital structure > Large banks)
30.06.2019 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Large banks)
30.06.2019 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Large banks)
30.06.2019 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Large banks)
30.06.2019 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Large banks)
30.06.2019 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Large banks)
30.06.2019 2.8. SA General credit risk adjustments (Capital structure > Large banks)
30.06.2019 2.7. Other transitional adjustments to T2 Capital (Capital structure > Large banks)
30.06.2019 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Large banks)
30.06.2019 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Large banks)
30.06.2019 2.10. T2 capital elements or deductions - other (Capital structure > Medium-sized banks)
30.06.2019 OWN FUNDS (Capital structure > Medium-sized banks)
30.06.2019 TIER 1 CAPITAL (Capital structure > Medium-sized banks)
30.06.2019 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Medium-sized banks)
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Medium-sized banks)
30.06.2019 1.1.1. Paid up capital instruments (Capital structure > Medium-sized banks)
30.06.2019 1.1.2. Share premium (Capital structure > Medium-sized banks)
30.06.2019 1.1.3. (-) Own CET1 instruments (Capital structure > Medium-sized banks)
30.06.2019 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Medium-sized banks)
30.06.2019 1.2. Retained earnings (Capital structure > Medium-sized banks)
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Medium-sized banks)
30.06.2019 1.4. Other reserves (Capital structure > Medium-sized banks)
30.06.2019 1.5. Funds for general banking risk (Capital structure > Medium-sized banks)
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Medium-sized banks)
30.06.2019 1.7. Minority interest given recognition in CET1 capital (Capital structure > Medium-sized banks)
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Medium-sized banks)
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Medium-sized banks)
30.06.2019 1.10. (-) Goodwill (Capital structure > Medium-sized banks)
30.06.2019 1.11. (-) Other intangible assets (Capital structure > Medium-sized banks)
30.06.2019 1.12. (-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities (Capital structure > Medium-sized banks)
30.06.2019 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Medium-sized banks)
30.06.2019 1.14. (-)Defined benefit pension fund assets (Capital structure > Medium-sized banks)
30.06.2019 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Medium-sized banks)
30.06.2019 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Medium-sized banks)
30.06.2019 1.17. CET1 capital elements or deductions - other (Capital structure > Medium-sized banks)
30.06.2019 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Medium-sized banks)
30.06.2019 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Medium-sized banks)
30.06.2019 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Medium-sized banks)
30.06.2019 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Medium-sized banks)
30.06.2019 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Medium-sized banks)
30.06.2019 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Medium-sized banks)
30.06.2019 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Medium-sized banks)
30.06.2019 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Medium-sized banks)
30.06.2019 1.26. AT1 capital elements or deductions - other (Capital structure > Medium-sized banks)
30.06.2019 1.27. TIER 2 CAPITAL (Capital structure > Medium-sized banks)
30.06.2019 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Medium-sized banks)
30.06.2019 2. Paid up capital instruments and subordinated loans (Capital structure > Medium-sized banks)
30.06.2019 2.1. Share premium (Capital structure > Medium-sized banks)
30.06.2019 2.2. (-) Own T2 instruments (Capital structure > Medium-sized banks)
30.06.2019 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Medium-sized banks)
30.06.2019 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Medium-sized banks)
30.06.2019 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Medium-sized banks)
30.06.2019 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Medium-sized banks)
30.06.2019 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Medium-sized banks)
30.06.2019 2.8. SA General credit risk adjustments (Capital structure > Medium-sized banks)
30.06.2019 2.7. Other transitional adjustments to T2 Capital (Capital structure > Medium-sized banks)
30.06.2019 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Medium-sized banks)
30.06.2019 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Medium-sized banks)
30.06.2019 2.10. T2 capital elements or deductions - other (Capital structure > Small banks)
30.06.2019 OWN FUNDS (Capital structure > Small banks)
30.06.2019 TIER 1 CAPITAL (Capital structure > Small banks)
30.06.2019 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Small banks)
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Small banks)
30.06.2019 1.1.1. Paid up capital instruments (Capital structure > Small banks)
30.06.2019 1.1.2. Share premium (Capital structure > Small banks)
30.06.2019 1.1.3. (-) Own CET1 instruments (Capital structure > Small banks)
30.06.2019 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Small banks)
30.06.2019 1.2. Retained earnings (Capital structure > Small banks)
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Small banks)
30.06.2019 1.4. Other reserves (Capital structure > Small banks)
30.06.2019 1.5. Funds for general banking risk (Capital structure > Small banks)
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Small banks)
30.06.2019 1.7. Minority interest given recognition in CET1 capital (Capital structure > Small banks)
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Small banks)
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Small banks)
30.06.2019 1.10. (-) Goodwill (Capital structure > Small banks)
30.06.2019 1.11. (-) Other intangible assets (Capital structure > Small banks)
30.06.2019 1.12. (-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities (Capital structure > Small banks)
30.06.2019 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Small banks)
30.06.2019 1.14. (-)Defined benefit pension fund assets (Capital structure > Small banks)
30.06.2019 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Small banks)
30.06.2019 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Small banks)
30.06.2019 1.17. CET1 capital elements or deductions - other (Capital structure > Small banks)
30.06.2019 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Small banks)
30.06.2019 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Small banks)
30.06.2019 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Small banks)
30.06.2019 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Small banks)
30.06.2019 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Small banks)
30.06.2019 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Small banks)
30.06.2019 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Small banks)
30.06.2019 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Small banks)
30.06.2019 1.26. AT1 capital elements or deductions - other (Capital structure > Small banks)
30.06.2019 1.27. TIER 2 CAPITAL (Capital structure > Small banks)
30.06.2019 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Small banks)
30.06.2019 2. Paid up capital instruments and subordinated loans (Capital structure > Small banks)
30.06.2019 2.1. Share premium (Capital structure > Small banks)
30.06.2019 2.2. (-) Own T2 instruments (Capital structure > Small banks)
30.06.2019 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Small banks)
30.06.2019 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Small banks)
30.06.2019 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Small banks)
30.06.2019 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Small banks)
30.06.2019 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Small banks)
30.06.2019 2.8. SA General credit risk adjustments (Capital structure > Small banks)
30.06.2019 2.7. Other transitional adjustments to T2 Capital (Capital structure > Small banks)
30.06.2019 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Small banks)
30.06.2019 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Small banks)
30.06.2019 2.10. T2 capital elements or deductions - other (Capital structure > Building societies)
30.06.2019 OWN FUNDS (Capital structure > Building societies)
30.06.2019 TIER 1 CAPITAL (Capital structure > Building societies)
30.06.2019 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Building societies)
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Building societies)
30.06.2019 1.1.1. Paid up capital instruments (Capital structure > Building societies)
30.06.2019 1.1.2. Share premium (Capital structure > Building societies)
30.06.2019 1.1.3. (-) Own CET1 instruments (Capital structure > Building societies)
30.06.2019 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Building societies)
30.06.2019 1.2. Retained earnings (Capital structure > Building societies)
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Building societies)
30.06.2019 1.4. Other reserves (Capital structure > Building societies)
30.06.2019 1.5. Funds for general banking risk (Capital structure > Building societies)
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Building societies)
30.06.2019 1.7. Minority interest given recognition in CET1 capital (Capital structure > Building societies)
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Building societies)
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Building societies)
30.06.2019 1.10. (-) Goodwill (Capital structure > Building societies)
30.06.2019 1.11. (-) Other intangible assets (Capital structure > Building societies)
30.06.2019 1.12. (-) Deferred tax assets that rely on future profitability and do not arise from temporary differences net of associated tax liabilities (Capital structure > Building societies)
30.06.2019 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Building societies)
30.06.2019 1.14. (-)Defined benefit pension fund assets (Capital structure > Building societies)
30.06.2019 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Building societies)
30.06.2019 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Building societies)
30.06.2019 1.17. CET1 capital elements or deductions - other (Capital structure > Building societies)
30.06.2019 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Building societies)
30.06.2019 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Building societies)
30.06.2019 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Building societies)
30.06.2019 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Building societies)
30.06.2019 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Building societies)
30.06.2019 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Building societies)
30.06.2019 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Building societies)
30.06.2019 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Building societies)
30.06.2019 1.26. AT1 capital elements or deductions - other (Capital structure > Building societies)
30.06.2019 1.27. TIER 2 CAPITAL (Capital structure > Building societies)
30.06.2019 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Building societies)
30.06.2019 2. Paid up capital instruments and subordinated loans (Capital structure > Building societies)
30.06.2019 2.1. Share premium (Capital structure > Building societies)
30.06.2019 2.2. (-) Own T2 instruments (Capital structure > Building societies)
30.06.2019 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Building societies)
30.06.2019 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Building societies)
30.06.2019 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Building societies)
30.06.2019 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Building societies)
30.06.2019 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Building societies)
30.06.2019 2.8. SA General credit risk adjustments (Capital structure > Building societies)
30.06.2019 2.7. Other transitional adjustments to T2 Capital (Capital structure > Building societies)
30.06.2019 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Building societies)
30.06.2019 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Building societies)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Banking sector, total)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Banking sector, total)
30.06.2019 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Banking sector, total)
30.06.2019 1. Standardised approach (SA) (Risk exposures > Banking sector, total)
30.06.2019 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Banking sector, total)
30.06.2019 1.1.1. Central governments or central banks (Risk exposures > Banking sector, total)
30.06.2019 1.1.2. Regional governments or local authorities (Risk exposures > Banking sector, total)
30.06.2019 1.1.3. Public sector entities (Risk exposures > Banking sector, total)
30.06.2019 1.1.4. Multilateral Development Banks (Risk exposures > Banking sector, total)
30.06.2019 1.1.5. International Organisations (Risk exposures > Banking sector, total)
30.06.2019 1.1.6. Institutions (Risk exposures > Banking sector, total)
30.06.2019 1.1.7. Corporates (Risk exposures > Banking sector, total)
30.06.2019 1.1.8. Retail (Risk exposures > Banking sector, total)
30.06.2019 1.1.9. Secured by mortgages on immovable property (Risk exposures > Banking sector, total)
30.06.2019 1.1.10. Exposures in default (Risk exposures > Banking sector, total)
30.06.2019 1.1.11. Items associated with particular high risk (Risk exposures > Banking sector, total)
30.06.2019 1.1.12. Covered bonds (Risk exposures > Banking sector, total)
30.06.2019 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Banking sector, total)
30.06.2019 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Banking sector, total)
30.06.2019 1.1.15. Equity (Risk exposures > Banking sector, total)
30.06.2019 1.1.16. Other items (Risk exposures > Banking sector, total)
30.06.2019 1.2. Securitisation positions SA (Risk exposures > Banking sector, total)
30.06.2019 2. Internal ratings based Approach (IRB) (Risk exposures > Banking sector, total)
30.06.2019 IRB approaches for an exposure class (Risk exposures > Banking sector, total)
30.06.2019 Central governments and central banks (Risk exposures > Banking sector, total)
30.06.2019 Institutions (Risk exposures > Banking sector, total)
30.06.2019 Corporates (Risk exposures > Banking sector, total)
30.06.2019 Retail (Risk exposures > Banking sector, total)
30.06.2019 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Banking sector, total)
30.06.2019 2.1.1. Central governments and central banks (Risk exposures > Banking sector, total)
30.06.2019 2.1.2. Institutions (Risk exposures > Banking sector, total)
30.06.2019 2.1.3. Corporates - SME (Risk exposures > Banking sector, total)
30.06.2019 2.1.4. Corporates - Specialised Lending (Risk exposures > Banking sector, total)
30.06.2019 2.1.5. Corporates - Other (Risk exposures > Banking sector, total)
30.06.2019 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Banking sector, total)
30.06.2019 2.2.1. Central governments and central banks (Risk exposures > Banking sector, total)
30.06.2019 2.2.2. Institutions (Risk exposures > Banking sector, total)
30.06.2019 2.2.3. Corporates - SME (Risk exposures > Banking sector, total)
30.06.2019 2.2.4. Corporates - Specialised Lending (Risk exposures > Banking sector, total)
30.06.2019 2.2.5. Corporates - Other (Risk exposures > Banking sector, total)
30.06.2019 2.2.6. Retail - Secured by real estate SME (Risk exposures > Banking sector, total)
30.06.2019 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Banking sector, total)
30.06.2019 2.2.8. Retail - Qualifying revolving (Risk exposures > Banking sector, total)
30.06.2019 2.2.9. Retail - Other SME (Risk exposures > Banking sector, total)
30.06.2019 2.2.10. Retail - Other non-SME (Risk exposures > Banking sector, total)
30.06.2019 2.3. Equity IRB (Risk exposures > Banking sector, total)
30.06.2019 2.4. Securitisation positions IRB (Risk exposures > Banking sector, total)
30.06.2019 2.5. Other non credit-obligation assets (Risk exposures > Banking sector, total)
30.06.2019 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Banking sector, total)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Banking sector, total)
30.06.2019 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Banking sector, total)
30.06.2019 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Banking sector, total)
30.06.2019 1.1. Traded debt instruments (Risk exposures > Banking sector, total)
30.06.2019 1.2. Equity (Risk exposures > Banking sector, total)
30.06.2019 1.3. Foreign Exchange (Risk exposures > Banking sector, total)
30.06.2019 1.4. Commodities (Risk exposures > Banking sector, total)
30.06.2019 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Banking sector, total)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Banking sector, total)
30.06.2019 1. OpR Basic indicator approach (BIA) (Risk exposures > Banking sector, total)
30.06.2019 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Banking sector, total)
30.06.2019 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Banking sector, total)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Banking sector, total)
30.06.2019 1. Advanced method (Risk exposures > Banking sector, total)
30.06.2019 2. Standardised method (Risk exposures > Banking sector, total)
30.06.2019 3. Based on OEM (Risk exposures > Banking sector, total)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Banking sector, total)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Large banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Large banks)
30.06.2019 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Large banks)
30.06.2019 1. Standardised approach (SA) (Risk exposures > Large banks)
30.06.2019 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Large banks)
30.06.2019 1.1.1. Central governments or central banks (Risk exposures > Large banks)
30.06.2019 1.1.2. Regional governments or local authorities (Risk exposures > Large banks)
30.06.2019 1.1.3. Public sector entities (Risk exposures > Large banks)
30.06.2019 1.1.4. Multilateral Development Banks (Risk exposures > Large banks)
30.06.2019 1.1.5. International Organisations (Risk exposures > Large banks)
30.06.2019 1.1.6. Institutions (Risk exposures > Large banks)
30.06.2019 1.1.7. Corporates (Risk exposures > Large banks)
30.06.2019 1.1.8. Retail (Risk exposures > Large banks)
30.06.2019 1.1.9. Secured by mortgages on immovable property (Risk exposures > Large banks)
30.06.2019 1.1.10. Exposures in default (Risk exposures > Large banks)
30.06.2019 1.1.11. Items associated with particular high risk (Risk exposures > Large banks)
30.06.2019 1.1.12. Covered bonds (Risk exposures > Large banks)
30.06.2019 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Large banks)
30.06.2019 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Large banks)
30.06.2019 1.1.15. Equity (Risk exposures > Large banks)
30.06.2019 1.1.16. Other items (Risk exposures > Large banks)
30.06.2019 1.2. Securitisation positions SA (Risk exposures > Large banks)
30.06.2019 2. Internal ratings based Approach (IRB) (Risk exposures > Large banks)
30.06.2019 IRB approaches for an exposure class (Risk exposures > Large banks)
30.06.2019 Central governments and central banks (Risk exposures > Large banks)
30.06.2019 Institutions (Risk exposures > Large banks)
30.06.2019 Corporates (Risk exposures > Large banks)
30.06.2019 Retail (Risk exposures > Large banks)
30.06.2019 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Large banks)
30.06.2019 2.1.1. Central governments and central banks (Risk exposures > Large banks)
30.06.2019 2.1.2. Institutions (Risk exposures > Large banks)
30.06.2019 2.1.3. Corporates - SME (Risk exposures > Large banks)
30.06.2019 2.1.4. Corporates - Specialised Lending (Risk exposures > Large banks)
30.06.2019 2.1.5. Corporates - Other (Risk exposures > Large banks)
30.06.2019 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Large banks)
30.06.2019 2.2.1. Central governments and central banks (Risk exposures > Large banks)
30.06.2019 2.2.2. Institutions (Risk exposures > Large banks)
30.06.2019 2.2.3. Corporates - SME (Risk exposures > Large banks)
30.06.2019 2.2.4. Corporates - Specialised Lending (Risk exposures > Large banks)
30.06.2019 2.2.5. Corporates - Other (Risk exposures > Large banks)
30.06.2019 2.2.6. Retail - Secured by real estate SME (Risk exposures > Large banks)
30.06.2019 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Large banks)
30.06.2019 2.2.8. Retail - Qualifying revolving (Risk exposures > Large banks)
30.06.2019 2.2.9. Retail - Other SME (Risk exposures > Large banks)
30.06.2019 2.2.10. Retail - Other non-SME (Risk exposures > Large banks)
30.06.2019 2.3. Equity IRB (Risk exposures > Large banks)
30.06.2019 2.4. Securitisation positions IRB (Risk exposures > Large banks)
30.06.2019 2.5. Other non credit-obligation assets (Risk exposures > Large banks)
30.06.2019 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Large banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Large banks)
30.06.2019 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Large banks)
30.06.2019 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Large banks)
30.06.2019 1.1. Traded debt instruments (Risk exposures > Large banks)
30.06.2019 1.2. Equity (Risk exposures > Large banks)
30.06.2019 1.3. Foreign Exchange (Risk exposures > Large banks)
30.06.2019 1.4. Commodities (Risk exposures > Large banks)
30.06.2019 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Large banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Large banks)
30.06.2019 1. OpR Basic indicator approach (BIA) (Risk exposures > Large banks)
30.06.2019 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Large banks)
30.06.2019 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Large banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Large banks)
30.06.2019 1. Advanced method (Risk exposures > Large banks)
30.06.2019 2. Standardised method (Risk exposures > Large banks)
30.06.2019 3. Based on OEM (Risk exposures > Large banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Large banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Medium-sized banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Medium-sized banks)
30.06.2019 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Medium-sized banks)
30.06.2019 1. Standardised approach (SA) (Risk exposures > Medium-sized banks)
30.06.2019 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Medium-sized banks)
30.06.2019 1.1.1. Central governments or central banks (Risk exposures > Medium-sized banks)
30.06.2019 1.1.2. Regional governments or local authorities (Risk exposures > Medium-sized banks)
30.06.2019 1.1.3. Public sector entities (Risk exposures > Medium-sized banks)
30.06.2019 1.1.4. Multilateral Development Banks (Risk exposures > Medium-sized banks)
30.06.2019 1.1.5. International Organisations (Risk exposures > Medium-sized banks)
30.06.2019 1.1.6. Institutions (Risk exposures > Medium-sized banks)
30.06.2019 1.1.7. Corporates (Risk exposures > Medium-sized banks)
30.06.2019 1.1.8. Retail (Risk exposures > Medium-sized banks)
30.06.2019 1.1.9. Secured by mortgages on immovable property (Risk exposures > Medium-sized banks)
30.06.2019 1.1.10. Exposures in default (Risk exposures > Medium-sized banks)
30.06.2019 1.1.11. Items associated with particular high risk (Risk exposures > Medium-sized banks)
30.06.2019 1.1.12. Covered bonds (Risk exposures > Medium-sized banks)
30.06.2019 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Medium-sized banks)
30.06.2019 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Medium-sized banks)
30.06.2019 1.1.15. Equity (Risk exposures > Medium-sized banks)
30.06.2019 1.1.16. Other items (Risk exposures > Medium-sized banks)
30.06.2019 1.2. Securitisation positions SA (Risk exposures > Medium-sized banks)
30.06.2019 2. Internal ratings based Approach (IRB) (Risk exposures > Medium-sized banks)
30.06.2019 IRB approaches for an exposure class (Risk exposures > Medium-sized banks)
30.06.2019 Central governments and central banks (Risk exposures > Medium-sized banks)
30.06.2019 Institutions (Risk exposures > Medium-sized banks)
30.06.2019 Corporates (Risk exposures > Medium-sized banks)
30.06.2019 Retail (Risk exposures > Medium-sized banks)
30.06.2019 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Medium-sized banks)
30.06.2019 2.1.1. Central governments and central banks (Risk exposures > Medium-sized banks)
30.06.2019 2.1.2. Institutions (Risk exposures > Medium-sized banks)
30.06.2019 2.1.3. Corporates - SME (Risk exposures > Medium-sized banks)
30.06.2019 2.1.4. Corporates - Specialised Lending (Risk exposures > Medium-sized banks)
30.06.2019 2.1.5. Corporates - Other (Risk exposures > Medium-sized banks)
30.06.2019 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Medium-sized banks)
30.06.2019 2.2.1. Central governments and central banks (Risk exposures > Medium-sized banks)
30.06.2019 2.2.2. Institutions (Risk exposures > Medium-sized banks)
30.06.2019 2.2.3. Corporates - SME (Risk exposures > Medium-sized banks)
30.06.2019 2.2.4. Corporates - Specialised Lending (Risk exposures > Medium-sized banks)
30.06.2019 2.2.5. Corporates - Other (Risk exposures > Medium-sized banks)
30.06.2019 2.2.6. Retail - Secured by real estate SME (Risk exposures > Medium-sized banks)
30.06.2019 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Medium-sized banks)
30.06.2019 2.2.8. Retail - Qualifying revolving (Risk exposures > Medium-sized banks)
30.06.2019 2.2.9. Retail - Other SME (Risk exposures > Medium-sized banks)
30.06.2019 2.2.10. Retail - Other non-SME (Risk exposures > Medium-sized banks)
30.06.2019 2.3. Equity IRB (Risk exposures > Medium-sized banks)
30.06.2019 2.4. Securitisation positions IRB (Risk exposures > Medium-sized banks)
30.06.2019 2.5. Other non credit-obligation assets (Risk exposures > Medium-sized banks)
30.06.2019 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Medium-sized banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Medium-sized banks)
30.06.2019 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Medium-sized banks)
30.06.2019 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Medium-sized banks)
30.06.2019 1.1. Traded debt instruments (Risk exposures > Medium-sized banks)
30.06.2019 1.2. Equity (Risk exposures > Medium-sized banks)
30.06.2019 1.3. Foreign Exchange (Risk exposures > Medium-sized banks)
30.06.2019 1.4. Commodities (Risk exposures > Medium-sized banks)
30.06.2019 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Medium-sized banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Medium-sized banks)
30.06.2019 1. OpR Basic indicator approach (BIA) (Risk exposures > Medium-sized banks)
30.06.2019 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Medium-sized banks)
30.06.2019 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Medium-sized banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Medium-sized banks)
30.06.2019 1. Advanced method (Risk exposures > Medium-sized banks)
30.06.2019 2. Standardised method (Risk exposures > Medium-sized banks)
30.06.2019 3. Based on OEM (Risk exposures > Medium-sized banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Medium-sized banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Small banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Small banks)
30.06.2019 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Small banks)
30.06.2019 1. Standardised approach (SA) (Risk exposures > Small banks)
30.06.2019 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Small banks)
30.06.2019 1.1.1. Central governments or central banks (Risk exposures > Small banks)
30.06.2019 1.1.2. Regional governments or local authorities (Risk exposures > Small banks)
30.06.2019 1.1.3. Public sector entities (Risk exposures > Small banks)
30.06.2019 1.1.4. Multilateral Development Banks (Risk exposures > Small banks)
30.06.2019 1.1.5. International Organisations (Risk exposures > Small banks)
30.06.2019 1.1.6. Institutions (Risk exposures > Small banks)
30.06.2019 1.1.7. Corporates (Risk exposures > Small banks)
30.06.2019 1.1.8. Retail (Risk exposures > Small banks)
30.06.2019 1.1.9. Secured by mortgages on immovable property (Risk exposures > Small banks)
30.06.2019 1.1.10. Exposures in default (Risk exposures > Small banks)
30.06.2019 1.1.11. Items associated with particular high risk (Risk exposures > Small banks)
30.06.2019 1.1.12. Covered bonds (Risk exposures > Small banks)
30.06.2019 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Small banks)
30.06.2019 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Small banks)
30.06.2019 1.1.15. Equity (Risk exposures > Small banks)
30.06.2019 1.1.16. Other items (Risk exposures > Small banks)
30.06.2019 1.2. Securitisation positions SA (Risk exposures > Small banks)
30.06.2019 2. Internal ratings based Approach (IRB) (Risk exposures > Small banks)
30.06.2019 IRB approaches for an exposure class (Risk exposures > Small banks)
30.06.2019 Central governments and central banks (Risk exposures > Small banks)
30.06.2019 Institutions (Risk exposures > Small banks)
30.06.2019 Corporates (Risk exposures > Small banks)
30.06.2019 Retail (Risk exposures > Small banks)
30.06.2019 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Small banks)
30.06.2019 2.1.1. Central governments and central banks (Risk exposures > Small banks)
30.06.2019 2.1.2. Institutions (Risk exposures > Small banks)
30.06.2019 2.1.3. Corporates - SME (Risk exposures > Small banks)
30.06.2019 2.1.4. Corporates - Specialised Lending (Risk exposures > Small banks)
30.06.2019 2.1.5. Corporates - Other (Risk exposures > Small banks)
30.06.2019 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Small banks)
30.06.2019 2.2.1. Central governments and central banks (Risk exposures > Small banks)
30.06.2019 2.2.2. Institutions (Risk exposures > Small banks)
30.06.2019 2.2.3. Corporates - SME (Risk exposures > Small banks)
30.06.2019 2.2.4. Corporates - Specialised Lending (Risk exposures > Small banks)
30.06.2019 2.2.5. Corporates - Other (Risk exposures > Small banks)
30.06.2019 2.2.6. Retail - Secured by real estate SME (Risk exposures > Small banks)
30.06.2019 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Small banks)
30.06.2019 2.2.8. Retail - Qualifying revolving (Risk exposures > Small banks)
30.06.2019 2.2.9. Retail - Other SME (Risk exposures > Small banks)
30.06.2019 2.2.10. Retail - Other non-SME (Risk exposures > Small banks)
30.06.2019 2.3. Equity IRB (Risk exposures > Small banks)
30.06.2019 2.4. Securitisation positions IRB (Risk exposures > Small banks)
30.06.2019 2.5. Other non credit-obligation assets (Risk exposures > Small banks)
30.06.2019 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Small banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Small banks)
30.06.2019 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Small banks)
30.06.2019 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Small banks)
30.06.2019 1.1. Traded debt instruments (Risk exposures > Small banks)
30.06.2019 1.2. Equity (Risk exposures > Small banks)
30.06.2019 1.3. Foreign Exchange (Risk exposures > Small banks)
30.06.2019 1.4. Commodities (Risk exposures > Small banks)
30.06.2019 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Small banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Small banks)
30.06.2019 1. OpR Basic indicator approach (BIA) (Risk exposures > Small banks)
30.06.2019 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Small banks)
30.06.2019 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Small banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Small banks)
30.06.2019 1. Advanced method (Risk exposures > Small banks)
30.06.2019 2. Standardised method (Risk exposures > Small banks)
30.06.2019 3. Based on OEM (Risk exposures > Small banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Small banks)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Building societies)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Building societies)
30.06.2019 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Building societies)
30.06.2019 1. Standardised approach (SA) (Risk exposures > Building societies)
30.06.2019 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Building societies)
30.06.2019 1.1.1. Central governments or central banks (Risk exposures > Building societies)
30.06.2019 1.1.2. Regional governments or local authorities (Risk exposures > Building societies)
30.06.2019 1.1.3. Public sector entities (Risk exposures > Building societies)
30.06.2019 1.1.4. Multilateral Development Banks (Risk exposures > Building societies)
30.06.2019 1.1.5. International Organisations (Risk exposures > Building societies)
30.06.2019 1.1.6. Institutions (Risk exposures > Building societies)
30.06.2019 1.1.7. Corporates (Risk exposures > Building societies)
30.06.2019 1.1.8. Retail (Risk exposures > Building societies)
30.06.2019 1.1.9. Secured by mortgages on immovable property (Risk exposures > Building societies)
30.06.2019 1.1.10. Exposures in default (Risk exposures > Building societies)
30.06.2019 1.1.11. Items associated with particular high risk (Risk exposures > Building societies)
30.06.2019 1.1.12. Covered bonds (Risk exposures > Building societies)
30.06.2019 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Building societies)
30.06.2019 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Building societies)
30.06.2019 1.1.15. Equity (Risk exposures > Building societies)
30.06.2019 1.1.16. Other items (Risk exposures > Building societies)
30.06.2019 1.2. Securitisation positions SA (Risk exposures > Building societies)
30.06.2019 2. Internal ratings based Approach (IRB) (Risk exposures > Building societies)
30.06.2019 IRB approaches for an exposure class (Risk exposures > Building societies)
30.06.2019 Central governments and central banks (Risk exposures > Building societies)
30.06.2019 Institutions (Risk exposures > Building societies)
30.06.2019 Corporates (Risk exposures > Building societies)
30.06.2019 Retail (Risk exposures > Building societies)
30.06.2019 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Building societies)
30.06.2019 2.1.1. Central governments and central banks (Risk exposures > Building societies)
30.06.2019 2.1.2. Institutions (Risk exposures > Building societies)
30.06.2019 2.1.3. Corporates - SME (Risk exposures > Building societies)
30.06.2019 2.1.4. Corporates - Specialised Lending (Risk exposures > Building societies)
30.06.2019 2.1.5. Corporates - Other (Risk exposures > Building societies)
30.06.2019 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Building societies)
30.06.2019 2.2.1. Central governments and central banks (Risk exposures > Building societies)
30.06.2019 2.2.2. Institutions (Risk exposures > Building societies)
30.06.2019 2.2.3. Corporates - SME (Risk exposures > Building societies)
30.06.2019 2.2.4. Corporates - Specialised Lending (Risk exposures > Building societies)
30.06.2019 2.2.5. Corporates - Other (Risk exposures > Building societies)
30.06.2019 2.2.6. Retail - Secured by real estate SME (Risk exposures > Building societies)
30.06.2019 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Building societies)
30.06.2019 2.2.8. Retail - Qualifying revolving (Risk exposures > Building societies)
30.06.2019 2.2.9. Retail - Other SME (Risk exposures > Building societies)
30.06.2019 2.2.10. Retail - Other non-SME (Risk exposures > Building societies)
30.06.2019 2.3. Equity IRB (Risk exposures > Building societies)
30.06.2019 2.4. Securitisation positions IRB (Risk exposures > Building societies)
30.06.2019 2.5. Other non credit-obligation assets (Risk exposures > Building societies)
30.06.2019 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Building societies)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Building societies)
30.06.2019 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Building societies)
30.06.2019 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Building societies)
30.06.2019 1.1. Traded debt instruments (Risk exposures > Building societies)
30.06.2019 1.2. Equity (Risk exposures > Building societies)
30.06.2019 1.3. Foreign Exchange (Risk exposures > Building societies)
30.06.2019 1.4. Commodities (Risk exposures > Building societies)
30.06.2019 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Building societies)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Building societies)
30.06.2019 1. OpR Basic indicator approach (BIA) (Risk exposures > Building societies)
30.06.2019 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Building societies)
30.06.2019 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Building societies)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Building societies)
30.06.2019 1. Advanced method (Risk exposures > Building societies)
30.06.2019 2. Standardised method (Risk exposures > Building societies)
30.06.2019 3. Based on OEM (Risk exposures > Building societies)
30.06.2019 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Building societies)
30.06.2019 5. Management companies with asset management (Article 11 (1) (c) to (f) of Act No. 240/2013 Coll., Act on Management Companies and Investment Funds) (Number of entities > Investment firms, total, as of)
30.06.2019 Investment firms, total, as of (Number of entities > Investment firms, total, as of)
30.06.2019 1. of which under conservatorship (Number of entities > Investment firms, total, as of)
30.06.2019 2. Number of entities established in given period (Number of entities > Investment firms, total, as of)
30.06.2019 3. Number of entities that ceased to exist in given period (Number of entities > Investment firms, total, as of)
30.06.2019 1. Investment firms - banks (Number of entities > Investment firms, total, as of)
30.06.2019 2. Investment firms - foreign bank branches (Number of entities > Investment firms, total, as of)
30.06.2019 3. Investment firms - non-banks (Number of entities > Investment firms, total, as of)
30.06.2019 4. Organisational units of foreign IFs (Number of entities > Investment firms, total, as of)
30.06.2019 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 Liabilities and equity, total (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 Liabilities, total (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 1. Financial liabilities held for trading (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 1.1. Derivatives (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 1.2. Short positions (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 1.3. Deposits (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 1.4. Debt securities issued (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 1.5. Other financial liabilities (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 2.1. Deposits (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 2.2. Debt securities issued (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 2.3. Other financial liabilities (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 3. Financial liabilities measured at amortised cost (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 3.1. Deposits (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 3.2. Debt securities issued (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 3.3. Other financial liabilities (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 4. Derivatives - hedge accounting (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 6. Provisions (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 7. Tax liabilities (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 8. Share capital repayable on demand (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 9. Other liabilities (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 Equity, total (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 1. Capital (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 2. Share premium (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 3. Equity instruments issued other than capital (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 4. Other equity (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 5. Accumulated other comprehensive income (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 6. Retained earnings (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 7. Revaluation reserves (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 8. Other reserves (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 9. (-) Treasury shares (Liabilities and equity > Investment firms total (in CZK thousands))
30.06.2019 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 Liabilities and equity, total (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 Liabilities, total (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 1. Financial liabilities held for trading (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.1. Derivatives (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.2. Short positions (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.3. Deposits (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.4. Debt securities issued (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.5. Other financial liabilities (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.1. Deposits (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.2. Debt securities issued (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.3. Other financial liabilities (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 3. Financial liabilities measured at amortised cost (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 3.1. Deposits (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 3.2. Debt securities issued (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 3.3. Other financial liabilities (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 4. Derivatives - hedge accounting (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 6. Provisions (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 7. Tax liabilities (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 8. Share capital repayable on demand (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 9. Other liabilities (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 Equity, total (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 1. Capital (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 2. Share premium (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 3. Equity instruments issued other than capital (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 4. Other equity (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 5. Accumulated other comprehensive income (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 6. Retained earnings (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 7. Revaluation reserves (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 8. Other reserves (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 9. (-) Treasury shares (Liabilities and equity > Investment firms - non-banks (in CZK thousands))
30.06.2019 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 Liabilities and equity, total (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 Liabilities, total (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 1. Financial liabilities held for trading (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 1.1. Derivatives (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 1.2. Short positions (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 1.3. Deposits (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 1.4. Debt securities issued (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 1.5. Other financial liabilities (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 2.1. Deposits (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 2.2. Debt securities issued (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 2.3. Other financial liabilities (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 3. Financial liabilities measured at amortised cost (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 3.1. Deposits (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 3.2. Debt securities issued (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 3.3. Other financial liabilities (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 4. Derivatives - hedge accounting (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 6. Provisions (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 7. Tax liabilities (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 8. Share capital repayable on demand (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 9. Other liabilities (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 Equity, total (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 1. Capital (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 2. Share premium (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 3. Equity instruments issued other than capital (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 4. Other equity (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 5. Accumulated other comprehensive income (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 6. Retained earnings (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 7. Revaluation reserves (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 8. Other reserves (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 9. (-) Treasury shares (Liabilities and equity > Foreign IFs branches (in CZK thousands))
30.06.2019 Other transitional adjustments to T2 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 Own funds (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 Tier 1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1. Common equity Tier 1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.2. Retained earnings (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.4. Other reserves (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.5. Funds for general banking risk (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.7. Minority interest given recognition in CET1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1.10. Other transitional adjustments to CET1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 2. Additional Tier 1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 2.1. Capital instruments eligible as AT1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 2.2. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 2.3. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 2.4. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 2.5. Other transitional adjustments to AT1 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 Tier 2 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 1. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 2. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 3. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 4. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Investment firms total (in CZK thousands))
30.06.2019 Other transitional adjustments to T2 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 Own funds (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 Tier 1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1. Common equity Tier 1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.2. Retained earnings (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.4. Other reserves (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.5. Funds for general banking risk (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.7. Minority interest given recognition in CET1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.10. Other transitional adjustments to CET1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 2. Additional Tier 1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.1. Capital instruments eligible as AT1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.2. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.3. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.4. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 2.5. Other transitional adjustments to AT1 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 Tier 2 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 1. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 2. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 3. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 4. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Investment firms - non-banks (in CZK thousands))
30.06.2019 Other transitional adjustments to T2 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 Own funds (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 Tier 1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1. Common equity Tier 1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.2. Retained earnings (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.3. Accumulated other comprehensive income (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.4. Other reserves (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.5. Funds for general banking risk (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.7. Minority interest given recognition in CET1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.8. Transitional adjustments due to additional minority interests (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1.10. Other transitional adjustments to CET1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 2. Additional Tier 1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 2.1. Capital instruments eligible as AT1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 2.2. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 2.3. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 2.4. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 2.5. Other transitional adjustments to AT1 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 Tier 2 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 1. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 2. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 3. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 4. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Management companies with asset management (in CZK thousands))
30.06.2019 Other risk exposure amounts (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Total risk exposure amount (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Of which: Investment firms under Article 90 paragraph 2 and Article 93 of CRR (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Of which: Investment firms under Article 91 paragraph 1 and 2 and Article 92 of CRR (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Standardised Approach (SA) (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1. SA exposure classes excluding securitisation positions (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.1. Central governments or central banks (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.2. Regional governments or local authorities (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.3. Public sector entities (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.4. Multilateral Development Banks (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.5. International Organisations (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.6. Institutions (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.7. Corporates (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.8. Retail (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.9. Secured by mortgages on immovable property (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.10. Exposures in default (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.11. Items associated with particular high risk (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.12. Covered bonds (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.14. Collective investments undertakings (CIU) (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.15. Equity (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 1.16. Other items (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 2. Securitisation positions SA (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Settlement risk (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Total risk exposure amount for position, foreign exchange and commodities risks (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Total risk exposure amount for operational risk (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Additional risk exposure amount due to fixed overheads (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Total risk exposure amount for credit valuation adjustment (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Total risk exposure amount related to large exposures in the trading book (Risk exposures > Investment firms - total (in CZK thousands))
30.06.2019 Other risk exposure amounts (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Total risk exposure amount (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Of which: Investment firms under Article 90 paragraph 2 and Article 93 of CRR (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Of which: Investment firms under Article 91 paragraph 1 and 2 and Article 92 of CRR (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Standardised Approach (SA) (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1. SA exposure classes excluding securitisation positions (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.1. Central governments or central banks (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.2. Regional governments or local authorities (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.3. Public sector entities (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.4. Multilateral Development Banks (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.5. International Organisations (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.6. Institutions (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.7. Corporates (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.8. Retail (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.9. Secured by mortgages on immovable property (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.10. Exposures in default (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.11. Items associated with particular high risk (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.12. Covered bonds (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.14. Collective investments undertakings (CIU) (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.15. Equity (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 1.16. Other items (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 2. Securitisation positions SA (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Settlement risk (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Total risk exposure amount for position, foreign exchange and commodities risks (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Total risk exposure amount for operational risk (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Additional risk exposure amount due to fixed overheads (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Total risk exposure amount for credit valuation adjustment (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Total risk exposure amount related to large exposures in the trading book (Risk exposures > Investment firms - non-banks (in CZK thousands))
30.06.2019 Other risk exposure amounts (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Total risk exposure amount (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Of which: Investment firms under Article 90 paragraph 2 and Article 93 of CRR (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Of which: Investment firms under Article 91 paragraph 1 and 2 and Article 92 of CRR (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Standardised Approach (SA) (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1. SA exposure classes excluding securitisation positions (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.1. Central governments or central banks (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.2. Regional governments or local authorities (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.3. Public sector entities (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.4. Multilateral Development Banks (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.5. International Organisations (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.6. Institutions (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.7. Corporates (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.8. Retail (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.9. Secured by mortgages on immovable property (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.10. Exposures in default (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.11. Items associated with particular high risk (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.12. Covered bonds (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.14. Collective investments undertakings (CIU) (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.15. Equity (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 1.16. Other items (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 2. Securitisation positions SA (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Settlement risk (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Total risk exposure amount for position, foreign exchange and commodities risks (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Total risk exposure amount for operational risk (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Additional risk exposure amount due to fixed overheads (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Total risk exposure amount for credit valuation adjustment (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Total risk exposure amount related to large exposures in the trading book (Risk exposures > Management companies with asset management (in CZK thousands))
30.06.2019 Deferred expenses and accrued income (Management companies > Assets (in CZK thousands))
30.06.2019 Assets, total (Management companies > Assets (in CZK thousands))
30.06.2019 Cash (Management companies > Assets (in CZK thousands))
30.06.2019 Receivables from banks (Management companies > Assets (in CZK thousands))
30.06.2019 1. payable on demand (Management companies > Assets (in CZK thousands))
30.06.2019 2. other receivables (Management companies > Assets (in CZK thousands))
30.06.2019 Receivables from non-banking entities (Management companies > Assets (in CZK thousands))
30.06.2019 1. payable on demand (Management companies > Assets (in CZK thousands))
30.06.2019 2. other receivables (Management companies > Assets (in CZK thousands))
30.06.2019 Debt securities (Management companies > Assets (in CZK thousands))
30.06.2019 1. issued by government institutions (Management companies > Assets (in CZK thousands))
30.06.2019 2. issued by other entities (Management companies > Assets (in CZK thousands))
30.06.2019 Shares, units and other interests (Management companies > Assets (in CZK thousands))
30.06.2019 1. Shares (Management companies > Assets (in CZK thousands))
30.06.2019 2. Units (Management companies > Assets (in CZK thousands))
30.06.2019 3. Other interests (Management companies > Assets (in CZK thousands))
30.06.2019 Interest with substantial and controlling influence (Management companies > Assets (in CZK thousands))
30.06.2019 Intangible assets (Management companies > Assets (in CZK thousands))
30.06.2019 1. Start-up costs (Management companies > Assets (in CZK thousands))
30.06.2019 2. Goodwill (Management companies > Assets (in CZK thousands))
30.06.2019 3. Other intangible assets (Management companies > Assets (in CZK thousands))
30.06.2019 Tangible assets (Management companies > Assets (in CZK thousands))
30.06.2019 1. Land and buildings for operating activities (Management companies > Assets (in CZK thousands))
30.06.2019 2. Other tangible assets (Management companies > Assets (in CZK thousands))
30.06.2019 Other assets (Management companies > Assets (in CZK thousands))
30.06.2019 Receivables from shareholders for subscribed capital (Management companies > Assets (in CZK thousands))
30.06.2019 Transfer of income from financial placement to the non-technical account (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Result of technical account for life insurance (1. - 12.) (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Earned premiums, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Premiums written, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Gross premium written (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Gross premium written ceded to reinsurers (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in provision for unearned premiums, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Change in gross provision for unearned premiums (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Change in provision for unearned premiums - reinsurers' share (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Income from financial placements (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Income from participating interests (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Income from other financial placements (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Income from land and buildings (real estate) (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Income from other investments (except real estate) (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Change in value of financial placements - income (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Gains on the realisation of financial placements (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Unrealised gains on financial placements (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Other technical income, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Claims incurred including change in provision, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Claims paid, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Gross claims paid (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Claims paid - reinsurers' share (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in provision for claims, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Change in gross provision for claims (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Change in provision for claims - reinsurers' share (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Change in other technical provisions, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Change in balance of life insurance provision, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Change in balance of gross life insurance provision (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Change in balance of life insurance provision - reinsurers' share (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in balance of other technical provisions (except life insurance provision), net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Bonuses and rebates, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Operating expenses, net amount (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Acquisition expenses for insurance contracts (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in deferred acquisition expenses (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Administrative expenses (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Reinsurance commissions and profit participation (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Expenses related to financial placements (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Administration expenses on financial placements, including interest (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in value of financial placements - expenses (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Realisation expenses on financial placements (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Unrealised losses on financial placements (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Other technical expenses, net of reinsurance (Insurance undertakings, total > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Other taxes (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Profit or loss for the accounting period (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Profit or loss before taxation (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1. After-tax profit or loss on ordinary activities (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.1. Result of technical account for non-life insurance (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.2. Result of technical account for life insurance (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3. Income from financial placements (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.1. Income from participating interests (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2. Income from other financial placements (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2.1. Income from land and buildings (real estate) (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2.2. Income from other investments (except real estate) (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.3. Changes in value of financial placements - expenses (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.4. Gains on the realisation of financial placements (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.4. Transferred income from financial placements from technical account for life insurance (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5. Expenses related to financial placements (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.1. Administration expenses on financial placements, including interest (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.2. Change in value of financial placements - expenses (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.3. Realisation expenses on financial placements (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.6. Transfer of income from financial placements to non-life technical account (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.7. Other income (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.8. Other expenses (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.9. Income tax on ordinary activities (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2. Extraordinary profit or loss (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2.1. Extraordinary income (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2.2. Extraordinary expenses (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 3. Income tax on extraordinary activities (Domestic insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Transfer of income from financial placement to the non-technical account (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Result of technical account for life insurance (1. - 12.) (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Earned premiums, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Premiums written, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Gross premium written (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Gross premium written ceded to reinsurers (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in provision for unearned premiums, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Change in gross provision for unearned premiums (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Change in provision for unearned premiums - reinsurers' share (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Income from financial placements (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Income from participating interests (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Income from other financial placements (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Income from land and buildings (real estate) (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Income from other investments (except real estate) (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Change in value of financial placements - income (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Gains on the realisation of financial placements (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Unrealised gains on financial placements (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Other technical income, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Claims incurred including change in provision, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Claims paid, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Gross claims paid (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Claims paid - reinsurers' share (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in provision for claims, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Change in gross provision for claims (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Change in provision for claims - reinsurers' share (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Change in other technical provisions, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Change in balance of life insurance provision, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Change in balance of gross life insurance provision (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Change in balance of life insurance provision - reinsurers' share (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in balance of other technical provisions (except life insurance provision), net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Bonuses and rebates, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Operating expenses, net amount (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Acquisition expenses for insurance contracts (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in deferred acquisition expenses (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Administrative expenses (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Reinsurance commissions and profit participation (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Expenses related to financial placements (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Administration expenses on financial placements, including interest (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in value of financial placements - expenses (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Realisation expenses on financial placements (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Unrealised losses on financial placements (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Other technical expenses, net of reinsurance (Branches of foreign insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Other taxes (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Profit or loss for the accounting period (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Profit or loss before taxation (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1. After-tax profit or loss on ordinary activities (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.1. Result of technical account for non-life insurance (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.2. Result of technical account for life insurance (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3. Income from financial placements (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.1. Income from participating interests (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2. Income from other financial placements (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2.1. Income from land and buildings (real estate) (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2.2. Income from other investments (except real estate) (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.3. Changes in value of financial placements - expenses (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.4. Gains on the realisation of financial placements (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.4. Transferred income from financial placements from technical account for life insurance (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5. Expenses related to financial placements (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.1. Administration expenses on financial placements, including interest (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.2. Change in value of financial placements - expenses (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.3. Realisation expenses on financial placements (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.6. Transfer of income from financial placements to non-life technical account (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.7. Other income (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.8. Other expenses (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.9. Income tax on ordinary activities (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2. Extraordinary profit or loss (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2.1. Extraordinary income (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2.2. Extraordinary expenses (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 3. Income tax on extraordinary activities (Insurance undertakings, total > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Transfer of income from financial placement to the non-technical account (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Result of technical account for life insurance (1. - 12.) (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Earned premiums, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Premiums written, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Gross premium written (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Gross premium written ceded to reinsurers (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in provision for unearned premiums, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Change in gross provision for unearned premiums (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Change in provision for unearned premiums - reinsurers' share (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Income from financial placements (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Income from participating interests (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Income from other financial placements (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Income from land and buildings (real estate) (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Income from other investments (except real estate) (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Change in value of financial placements - income (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Gains on the realisation of financial placements (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Unrealised gains on financial placements (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Other technical income, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Claims incurred including change in provision, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Claims paid, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Gross claims paid (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Claims paid - reinsurers' share (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in provision for claims, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.1. Change in gross provision for claims (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2.2. Change in provision for claims - reinsurers' share (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Change in other technical provisions, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Change in balance of life insurance provision, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.1. Change in balance of gross life insurance provision (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1.2. Change in balance of life insurance provision - reinsurers' share (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in balance of other technical provisions (except life insurance provision), net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Bonuses and rebates, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Operating expenses, net amount (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Acquisition expenses for insurance contracts (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in deferred acquisition expenses (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Administrative expenses (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Reinsurance commissions and profit participation (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Expenses related to financial placements (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 1. Administration expenses on financial placements, including interest (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 2. Change in value of financial placements - expenses (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 3. Realisation expenses on financial placements (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Unrealised losses on financial placements (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 Other technical expenses, net of reinsurance (Domestic insurance undertakings > Result of technical account for life insurance (in CZK thousands))
30.06.2019 4. Other taxes (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Profit or loss for the accounting period (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 Profit or loss before taxation (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1. After-tax profit or loss on ordinary activities (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.1. Result of technical account for non-life insurance (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.2. Result of technical account for life insurance (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3. Income from financial placements (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.1. Income from participating interests (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2. Income from other financial placements (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2.1. Income from land and buildings (real estate) (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.2.2. Income from other investments (except real estate) (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.3. Changes in value of financial placements - expenses (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.3.4. Gains on the realisation of financial placements (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.4. Transferred income from financial placements from technical account for life insurance (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5. Expenses related to financial placements (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.1. Administration expenses on financial placements, including interest (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.2. Change in value of financial placements - expenses (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.5.3. Realisation expenses on financial placements (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.6. Transfer of income from financial placements to non-life technical account (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.7. Other income (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.8. Other expenses (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 1.9. Income tax on ordinary activities (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2. Extraordinary profit or loss (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2.1. Extraordinary income (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 2.2. Extraordinary expenses (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 3. Income tax on extraordinary activities (Branches of foreign insurance undertakings > Profit or loss for the accounting period (in CZK thousands))
30.06.2019 3.2. branches of foreign (Number of entities > Number and structure of insurance undertakings)
30.06.2019 Insurance undertakings, total, as of (Number of entities > Number and structure of insurance undertakings)
30.06.2019 1. of which under conservatorship (Number of entities > Number and structure of insurance undertakings)
30.06.2019 Number of entities established in given period (Number of entities > Number and structure of insurance undertakings)
30.06.2019 Number of entities that ceased to exist in given period (Number of entities > Number and structure of insurance undertakings)
30.06.2019 1. Czech-controlled insurance undertakings, total (Number of entities > Number and structure of insurance undertakings)
30.06.2019 1.2. State-owned (Number of entities > Number and structure of insurance undertakings)
30.06.2019 1.2. Other Czech-controlled (Number of entities > Number and structure of insurance undertakings)
30.06.2019 2. Foreign-controlled insurance undertakings, total (Number of entities > Number and structure of insurance undertakings)
30.06.2019 2.2. from EU (Number of entities > Number and structure of insurance undertakings)
30.06.2019 2.2. from other countries (Number of entities > Number and structure of insurance undertakings)
30.06.2019 3. Branches of foreign insurance undertakings, total (Number of entities > Number and structure of insurance undertakings)
30.06.2019 3.2. from EU (Number of entities > Number and structure of insurance undertakings)
30.06.2019 3.2. from other countries (Number of entities > Number and structure of insurance undertakings)
30.06.2019 1.Life insurance undertakings, total (Number of entities > Number and structure of insurance undertakings)
30.06.2019 1.2. domestic (Number of entities > Number and structure of insurance undertakings)
30.06.2019 1.2. branches of foreign (Number of entities > Number and structure of insurance undertakings)
30.06.2019 2. Non-life insurance undertakings, total (Number of entities > Number and structure of insurance undertakings)
30.06.2019 2.1. domestic (Number of entities > Number and structure of insurance undertakings)
30.06.2019 2.2. branches of foreign (Number of entities > Number and structure of insurance undertakings)
30.06.2019 3. Composite insurance undertakings, total (Number of entities > Number and structure of insurance undertakings)
30.06.2019 3.1. domestic (Number of entities > Number and structure of insurance undertakings)
30.06.2019 Capital ratio (%) (Management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 Equity, total (Management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 Capital requirements, total (Management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 Capital surplus / capital deficite (Management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 1.4.7. other funds (Number of entities > Numbers of entities)
30.06.2019 Investment funds, total, as of (Number of entities > Numbers of entities)
30.06.2019 1. of which under conservatorship (Number of entities > Numbers of entities)
30.06.2019 2. Number of entities established in given period (Number of entities > Numbers of entities)
30.06.2019 3. Number of entities that ceased to exist in given period (Number of entities > Numbers of entities)
30.06.2019 1. investment funds having legal personality (Number of entities > Numbers of entities)
30.06.2019 2. mutual funds (Number of entities > Numbers of entities)
30.06.2019 1. Investments funds having legal personality, total, as of (Number of entities > Numbers of entities)
30.06.2019 1.1. collective investments funds (Number of entities > Numbers of entities)
30.06.2019 1.2. funds for qualified investors (Number of entities > Numbers of entities)
30.06.2019 1. Mutual funds, total (Number of entities > Numbers of entities)
30.06.2019 1.1. collective investment funds (Number of entities > Numbers of entities)
30.06.2019 1.2. funds for qualified investors (Number of entities > Numbers of entities)
30.06.2019 1. Qualified investors funds, total, as of (Number of entities > Numbers of entities)
30.06.2019 1.1. qualified investors having legal personality (Number of entities > Numbers of entities)
30.06.2019 1.2. mutual funds (Number of entities > Numbers of entities)
30.06.2019 1. Collective investment funds, total, as of (Number of entities > Numbers of entities)
30.06.2019 1.1. opened-end funds (Number of entities > Numbers of entities)
30.06.2019 1.2. closed-end funds (Number of entities > Numbers of entities)
30.06.2019 1.3. UCITS (Number of entities > Numbers of entities)
30.06.2019 1.3.1 money market funds (Number of entities > Numbers of entities)
30.06.2019 1.3.2. bonds funds (Number of entities > Numbers of entities)
30.06.2019 1.3.3. equity funds (Number of entities > Numbers of entities)
30.06.2019 1.3.4. mixed funds (Number of entities > Numbers of entities)
30.06.2019 1.3.5. fund of funds (Number of entities > Numbers of entities)
30.06.2019 1.3.6. real estate funds (Number of entities > Numbers of entities)
30.06.2019 1.3.7. other funds (Number of entities > Numbers of entities)
30.06.2019 1.4. non-UCITS (Number of entities > Numbers of entities)
30.06.2019 1.4.1. money market funds (Number of entities > Numbers of entities)
30.06.2019 1.4.2. bonds funds (Number of entities > Numbers of entities)
30.06.2019 1.4.3. equity funds (Number of entities > Numbers of entities)
30.06.2019 1.4.4. mixed funds (Number of entities > Numbers of entities)
30.06.2019 1.4.5. fund of funds (Number of entities > Numbers of entities)
30.06.2019 1.4.6. real estate funds (Number of entities > Numbers of entities)
30.06.2019 Deferred expenses and accrued income (Assets > Assets (in CZK thousands))
30.06.2019 Assets, total (Assets > Assets (in CZK thousands))
30.06.2019 Cash (Assets > Assets (in CZK thousands))
30.06.2019 Receivables from banks (Assets > Assets (in CZK thousands))
30.06.2019 1. payable on demand (Assets > Assets (in CZK thousands))
30.06.2019 2. other receivables (Assets > Assets (in CZK thousands))
30.06.2019 Receivables from non-banking entities (Assets > Assets (in CZK thousands))
30.06.2019 1. payable on demand (Assets > Assets (in CZK thousands))
30.06.2019 2. other receivables (Assets > Assets (in CZK thousands))
30.06.2019 Debt securities (Assets > Assets (in CZK thousands))
30.06.2019 1. issued by government institutions (Assets > Assets (in CZK thousands))
30.06.2019 2. issued by other entities (Assets > Assets (in CZK thousands))
30.06.2019 Shares, units and other interests (Assets > Assets (in CZK thousands))
30.06.2019 1. Shares (Assets > Assets (in CZK thousands))
30.06.2019 2. Units (Assets > Assets (in CZK thousands))
30.06.2019 3. Other interests (Assets > Assets (in CZK thousands))
30.06.2019 Interest with substantial and controlling influence (Assets > Assets (in CZK thousands))
30.06.2019 Intangible assets (Assets > Assets (in CZK thousands))
30.06.2019 1. Start-up costs (Assets > Assets (in CZK thousands))
30.06.2019 2. Goodwill (Assets > Assets (in CZK thousands))
30.06.2019 3. Other intangible assets (Assets > Assets (in CZK thousands))
30.06.2019 Tangible assets (Assets > Assets (in CZK thousands))
30.06.2019 1. Land and buildings for operating activities (Assets > Assets (in CZK thousands))
30.06.2019 2. Other tangible assets (Assets > Assets (in CZK thousands))
30.06.2019 Other assets (Assets > Assets (in CZK thousands))
30.06.2019 Receivables from shareholders for subscribed capital (Assets > Assets (in CZK thousands))
30.06.2019 Profit (loss) for the accounting period (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities and equity, total (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities total (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities to banks (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 1.repayable on demand (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 2.other liabilities (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Liabilities to non-banking entities (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 1.repayable on demand (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 2.other liabilities (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Other liabilities (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Accrued expenses and deferred income (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Provisions (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 1.Provisions for pensions and similar liabilities (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 2.Provisions for tax (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 3.Other provisions (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Subordinated liabilities (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Equity (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Share capital (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 1.Registered share capital paid up (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Treasury shares (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Share premium (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Reserve funds and other funds from profit (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 1.Mandatory reserve funds (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 2.Other reserve funds (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 3.Other funds from profit (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Revaluation reserve fund (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Capital funds (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Valuation differences (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 1.Valuation differences from assets and liabilities (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 2.Valuation differences from hedging derivatives (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 3.Valuation differences from recalculated shares (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 4.Other valuation differences (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Retained earnings (Liabilities and equity > Liabilities and equity (in CZK thousands))
30.06.2019 Profit (loss) for the accounting period after taxation (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Financial income and expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Interest and similar income (P&L statement > P&L statement (in CZK thousands))
30.06.2019 1. debt securities (P&L statement > P&L statement (in CZK thousands))
30.06.2019 2. other assets (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Interest and similar expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Income from shares and interests (P&L statement > P&L statement (in CZK thousands))
30.06.2019 1. interests with substantial and controlling influence (P&L statement > P&L statement (in CZK thousands))
30.06.2019 2. other shares and interests (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Commission and fee income (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Commission and fee expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Net profit or loss from financial operations (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Other operating income (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Other operating expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Administrative expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 1. Personal expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 2. Other administrative expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Release of provisions and allowances for tangible and intangible assets (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Depreciation, creation and use of provisions and allowances for tangible and intangible assets (P&L statement > P&L statement (in CZK thousands))
30.06.2019 1. Release of provisions and allowances for receivables and guarantees, recoveries of receivables previously written off (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Depreciation, creation and use of provisions and allowances for receivables and guarantees (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Depreciation of tangible assets (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Release of allowances for interests with substantial and controlling influence (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Losses from the transfer of interests with substantial and controlling influence, creation and use of allowances for interests (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Release of other provisions (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Creation and use of other provisions (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Share of profits (losses) from interests with substantial and controlling influence (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Profit (loss) for the accounting period before taxation (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Extraordinary income (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Extraordinary expenses (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Extraordinary profit (loss) for the accounting period before taxation (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Income tax (P&L statement > P&L statement (in CZK thousands))
30.06.2019 Administrative expenses / Financial& operating income and expenses (%) (Ratio indicators > Investment firms total)
30.06.2019 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Investment firms total)
30.06.2019 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Investment firms total)
30.06.2019 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Investment firms total)
30.06.2019 Administrative expenses / Total average assets (%) (Ratio indicators > Investment firms total)
30.06.2019 Administrative expenses / Financial& operating income and expenses (%) (Ratio indicators > Investment firms - non-banks)
30.06.2019 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Investment firms - non-banks)
30.06.2019 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Investment firms - non-banks)
30.06.2019 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Investment firms - non-banks)
30.06.2019 Administrative expenses / Total average assets (%) (Ratio indicators > Investment firms - non-banks)
30.06.2019 Administrative expenses / Financial& operating income and expenses (%) (Ratio indicators > Foreign IFs branches)
30.06.2019 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Foreign IFs branches)
30.06.2019 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Foreign IFs branches)
30.06.2019 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Foreign IFs branches)
30.06.2019 Administrative expenses / Total average assets (%) (Ratio indicators > Foreign IFs branches)
30.06.2019 Profit (loss) for the accounting period after taxation (Management companies > P&L statement (in CZK thousands))
30.06.2019 Financial income and expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 Interest and similar income (Management companies > P&L statement (in CZK thousands))
30.06.2019 1. Debt securities (Management companies > P&L statement (in CZK thousands))
30.06.2019 2. Other assets (Management companies > P&L statement (in CZK thousands))
30.06.2019 Interest and similar expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 Income from shares and interests (Management companies > P&L statement (in CZK thousands))
30.06.2019 1. Interests with substantial and controlling influence (Management companies > P&L statement (in CZK thousands))
30.06.2019 2. Other shares and interests (Management companies > P&L statement (in CZK thousands))
30.06.2019 Commission and fee income (Management companies > P&L statement (in CZK thousands))
30.06.2019 Commission and fee expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 Net profit or loss from financial operations (Management companies > P&L statement (in CZK thousands))
30.06.2019 Other operating income (Management companies > P&L statement (in CZK thousands))
30.06.2019 Other operating expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 Administrative expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 1. Personal expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 2. Other administrative expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 Release of provisions and allowances for tangible and intangible assets (Management companies > P&L statement (in CZK thousands))
30.06.2019 Depreciation, creation and use of provisions and allowances for tangible and intangible assets (Management companies > P&L statement (in CZK thousands))
30.06.2019 1. Depreciation of tangible assets (Management companies > P&L statement (in CZK thousands))
30.06.2019 Release of provisions and allowances for receivables and guarantees, recoveries of receivables previously written off (Management companies > P&L statement (in CZK thousands))
30.06.2019 Depreciation, creation and use of provisions and allowances for receivables and guarantees (Management companies > P&L statement (in CZK thousands))
30.06.2019 Release of allowances for interests with substantial and controlling influence (Management companies > P&L statement (in CZK thousands))
30.06.2019 Losses from the transfer of interests with substantial and controlling influence, creation and use of allowances for interests (Management companies > P&L statement (in CZK thousands))
30.06.2019 Release of other provisions (Management companies > P&L statement (in CZK thousands))
30.06.2019 Creation and use of other provisions (Management companies > P&L statement (in CZK thousands))
30.06.2019 Share of profits (losses) from interests with substantial and controlling influence (Management companies > P&L statement (in CZK thousands))
30.06.2019 Profit (loss) for the accounting period before taxation (Management companies > P&L statement (in CZK thousands))
30.06.2019 Extraordinary income (Management companies > P&L statement (in CZK thousands))
30.06.2019 Extraordinary expenses (Management companies > P&L statement (in CZK thousands))
30.06.2019 Extraordinary profit (loss) for the accounting period before taxation (Management companies > P&L statement (in CZK thousands))
30.06.2019 Income tax (Management companies > P&L statement (in CZK thousands))
30.06.2019 Capital ratio (%) (Pension management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 Equity, total (Pension management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 Capital requirements, total (Pension management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 Capital surplus / capital deficite (Pension management companies > Capital and Capital requirements (in CZK thousands))
30.06.2019 2. Accrued income (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Assets, total (1. - 12.) (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Cash (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Receivables from banks and credit unions (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Payable on demand (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Other receivables (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Receivables from non-banking entities (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Payable on demand (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Other receivables (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Debt securities (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Issued by government institutions (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Issued by other entities (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Shares, units and other interests (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Shares (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Units (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 3. Other interests (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Investments in subsidiaries (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Investments in associates (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Intangible assets (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Start-up costs (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Goodwill (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 3. Other intangible assets (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Tangible assets (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Land and buildings for operating activities (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Non-operational land and buildings - financial investment (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 3. Other long-term tangible assets (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Other assets (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Derivatives with a positive fair value (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Receivables from subscribed registered capital (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 Deferred expenses and accrued income (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 1. Deferred expenses (Assets > Funds operated by pension management companies, total (in CZK thousands))
30.06.2019 2. Accrued income (Assets > Transformed funds (in CZK thousands))
30.06.2019 Assets, total (1. - 12.) (Assets > Transformed funds (in CZK thousands))
30.06.2019 Cash (Assets > Transformed funds (in CZK thousands))
30.06.2019 Receivables from banks and credit unions (Assets > Transformed funds (in CZK thousands))
30.06.2019 1. Payable on demand (Assets > Transformed funds (in CZK thousands))
30.06.2019 2. Other receivables (Assets > Transformed funds (in CZK thousands))
30.06.2019 Receivables from non-banking entities (Assets > Transformed funds (in CZK thousands))
30.06.2019 1. Payable on demand (Assets > Transformed funds (in CZK thousands))
30.06.2019 2. Other receivables (Assets > Transformed funds (in CZK thousands))