Data from 16.7.2018

Data from 16.7.2018
Ke dni/ŘadŘada
30.06.2018 (46) Sestava Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (External sector > Reserves Template)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (35) Sestava Memo items - in mill. USD (External sector > Reserves Template)
30.06.2018 (24) Sestava Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD (External sector > Reserves Template)
30.06.2018 (22) Sestava Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (15) Sestava Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (External sector > Reserves Template)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (12) Sestava International Reserve Assets (External sector > International Reserve Assets)
30.06.2018 (9) Sestava Balance of payment statistics (in millions of CZK) (Balance of payments statistics (BPM 6) > Main indicators)
30.06.2018 (6) Sestava Memo items - in mill. USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (5) Sestava Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (5) Sestava Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (5) Sestava Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (5) Sestava Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (5) Sestava Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a net basis January 1993 - October 2014))
30.06.2018 (5) Sestava Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a net basis January 1993 - October 2014))
30.06.2018 (5) Sestava Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a net basis January 1993 - October 2014))
30.06.2018 (5) Sestava Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a net basis January 1993 - October 2014))
30.06.2018 (4) Sestava Real effective exchange rate CZK (2015=100) monthly (Deflated by price indices > Monthly)
30.06.2018 (4) Sestava Real effective exchange rate of CZK deflated by Unit Labour Cost Index (Deflated by Unit Labour Cost Index > Quarterly)
30.06.2018 (4) Sestava Central bank survey (Financial sector > Central bank survey)
30.06.2018 (3) Sestava Official reserve assets (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (3) Sestava Government bond basket yields (end of month) (%) (Capital market > Government bonds yields)
30.06.2018 (3) Sestava Government bond basket yields (monthly average) (%) (Capital market > Government bonds yields)
30.06.2018 (2) Sestava Nominal effective exchange rate CZK (2015=100) monthly (Nominal effective exchange rates of CZK > Monthly)
30.06.2018 (2) Sestava Real effective exchange rate of CZK deflated by GDP deflator (Deflated by GDP deflator > Quarterly)
30.06.2018 (1) Sestava % (End of period), monthly data (Unemployment Rate > Proportion of Unemployed Persons in Population (MoLSA data))
30.06.2018 (1) Sestava Thousand of persons, monthly data (Other Indicators of Unemployment > Unplaced Job Seekers (MoLSA data))
30.06.2018 (1) Sestava Thousand of persons, monthly data (Other Indicators of Unemployment > Job Vacancies (MoLSA data))
30.06.2018 (1) Sestava Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a gross basis since January 2012))
30.06.2018 (1) Sestava Long-term interest rates for assessing convergence (%) (Capital market > Government bonds yields)
30.06.2018 (1) Sestava Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD (Balance of payments statistics (BPM 6) > Reserve Assets (on a net basis January 1993 - October 2014))
31.05.2018 (1) Sestava % (End of period), monthly data (Unemployment Rate > General Unemployment Rate (CZSO data))
31.05.2018 (1) Sestava Mil CZK FOB, monthly data (External Economic Relations > Export of Goods)
31.05.2018 (1) Sestava Mil CZK FOB, monthly data (External Economic Relations > Import of Goods)
31.05.2018 (1) Sestava Mil CZK CIF, monthly data (External Economic Relations > Import of Goods)
31.05.2018 (1) Sestava Mil CZK FOB, monthly data (External Economic Relations > Trade Balance)
31.05.2018 (1) Sestava Mil CZK FOB/CIF, monthly data (External Economic Relations > Trade Balance)
31.03.2018 (66) Sestava Banking sector, total (Banks > Risk exposures)
31.03.2018 (66) Sestava Large banks (Banks > Risk exposures)
31.03.2018 (66) Sestava Medium-sized banks (Banks > Risk exposures)
31.03.2018 (66) Sestava Small banks (Banks > Risk exposures)
31.03.2018 (66) Sestava Building societies (Banks > Risk exposures)
31.03.2018 (48) Sestava Banking sector, total (Banks > Capital structure)
31.03.2018 (48) Sestava Large banks (Banks > Capital structure)
31.03.2018 (48) Sestava Medium-sized banks (Banks > Capital structure)
31.03.2018 (48) Sestava Small banks (Banks > Capital structure)
31.03.2018 (48) Sestava Building societies (Banks > Capital structure)
31.03.2018 (45) Sestava Banking sector, total (Banks > Commitments and financial guarantees, given and received)
31.03.2018 (45) Sestava Large banks (Banks > Commitments and financial guarantees, given and received)
31.03.2018 (45) Sestava Medium-sized banks (Banks > Commitments and financial guarantees, given and received)
31.03.2018 (45) Sestava Small banks (Banks > Commitments and financial guarantees, given and received)
31.03.2018 (45) Sestava Foreign bank branches (Banks > Commitments and financial guarantees, given and received)
31.03.2018 (45) Sestava Building societies (Banks > Commitments and financial guarantees, given and received)
31.03.2018 (45) Sestava Commitments and financial guarantees, given and received (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (34) Sestava Banking sector, total (Banks > Liabilities and equity)
31.03.2018 (34) Sestava Large banks (Banks > Liabilities and equity)
31.03.2018 (34) Sestava Medium-sized banks (Banks > Liabilities and equity)
31.03.2018 (34) Sestava Small banks (Banks > Liabilities and equity)
31.03.2018 (34) Sestava Foreign bank branches (Banks > Liabilities and equity)
31.03.2018 (34) Sestava Building societies (Banks > Liabilities and equity)
31.03.2018 (34) Sestava Liabilities and equity (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (32) Sestava Banking sector, total (Banks > P&L statement)
31.03.2018 (32) Sestava Large banks (Banks > P&L statement)
31.03.2018 (32) Sestava Medium-sized banks (Banks > P&L statement)
31.03.2018 (32) Sestava Small banks (Banks > P&L statement)
31.03.2018 (32) Sestava Foreign bank branches (Banks > P&L statement)
31.03.2018 (32) Sestava Building societies (Banks > P&L statement)
31.03.2018 (32) Sestava P&L statement (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (32) Sestava Investment firms total (in CZK thousands) (Investment firms > P&L statement)
31.03.2018 (32) Sestava Investment firms - non-banks (in CZK thousands) (Investment firms > P&L statement)
31.03.2018 (32) Sestava Foreign IFs branches (in CZK thousands) (Investment firms > P&L statement)
31.03.2018 (29) Sestava Banking sector, total (Banks > Assets)
31.03.2018 (29) Sestava Large banks (Banks > Assets)
31.03.2018 (29) Sestava Medium-sized banks (Banks > Assets)
31.03.2018 (29) Sestava Small banks (Banks > Assets)
31.03.2018 (29) Sestava Foreign bank branches (Banks > Assets)
31.03.2018 (29) Sestava Building societies (Banks > Assets)
31.03.2018 (29) Sestava Assets (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (25) Sestava Capital structure (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (25) Sestava Risk exposures (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (23) Sestava Debt securities, Loans and Deposits by counterparty sector (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (23) Sestava Banking sector, total (Banks > Debt securities, receivables and deposits by counterparty sector)
31.03.2018 (23) Sestava Large banks (Banks > Debt securities, receivables and deposits by counterparty sector)
31.03.2018 (23) Sestava Medium-sized banks (Banks > Debt securities, receivables and deposits by counterparty sector)
31.03.2018 (23) Sestava Small banks (Banks > Debt securities, receivables and deposits by counterparty sector)
31.03.2018 (23) Sestava Foreign bank branches (Banks > Debt securities, receivables and deposits by counterparty sector)
31.03.2018 (23) Sestava Building societies (Banks > Debt securities, receivables and deposits by counterparty sector)
31.03.2018 (17) Sestava Banking sector, total (Banks > Classification of receivables by quality)
31.03.2018 (17) Sestava Large banks (Banks > Classification of receivables by quality)
31.03.2018 (17) Sestava Medium-sized banks (Banks > Classification of receivables by quality)
31.03.2018 (17) Sestava Small banks (Banks > Classification of receivables by quality)
31.03.2018 (17) Sestava Foreign bank branches (Banks > Classification of receivables by quality)
31.03.2018 (17) Sestava Building societies (Banks > Classification of receivables by quality)
31.03.2018 (17) Sestava Classification of receivables by quality (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (15) Sestava Number of banks (Banks > Number of entities)
31.03.2018 (15) Sestava Banking sector, total (Banks > Capital ratios)
31.03.2018 (15) Sestava Large banks (Banks > Capital ratios)
31.03.2018 (15) Sestava Medium-sized banks (Banks > Capital ratios)
31.03.2018 (15) Sestava Small banks (Banks > Capital ratios)
31.03.2018 (15) Sestava Building societies (Banks > Capital ratios)
31.03.2018 (15) Sestava Banking sector, total (in % and numbers) (Banks > Ratio indicators)
31.03.2018 (15) Sestava Large banks (in % and numbers) (Banks > Ratio indicators)
31.03.2018 (15) Sestava Medium-sized banks (in % and numbers) (Banks > Ratio indicators)
31.03.2018 (15) Sestava Small banks (in % and numbers) (Banks > Ratio indicators)
31.03.2018 (15) Sestava Foreign bank branches (in % and numbers) (Banks > Ratio indicators)
31.03.2018 (15) Sestava Building societies (in % and numbers) (Banks > Ratio indicators)
31.03.2018 (15) Sestava Capital ratios (% and CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (15) Sestava Ratio indicators (in % and numbers) (Basic indicators of the financial market > Credit unions)
31.03.2018 (7) Sestava Number of credit unions and membership base (Basic indicators of the financial market > Credit unions)
31.03.2018 (2) Sestava Insured and covered deposits (in CZK thousands) (Basic indicators of the financial market > Credit unions)
31.03.2018 (2) Sestava Banking sector, total (Banks > Insured and covered deposits)
31.03.2018 (2) Sestava Large banks (Banks > Insured and covered deposits)
31.03.2018 (2) Sestava Medium-sized banks (Banks > Insured and covered deposits)
31.03.2018 (2) Sestava Small banks (Banks > Insured and covered deposits)
31.03.2018 (2) Sestava Building societies (Banks > Insured and covered deposits)
31.12.2017 (15) Sestava Investment firms total (in % and CZK thousands) (Investment firms > Capital ratios)
31.12.2017 (15) Sestava Investment firms - non-banks (in % and CZK thousands) (Investment firms > Capital ratios)
31.12.2017 (15) Sestava Management companies with asset management (in % and CZK thousands) (Investment firms > Capital ratios)
- Financial Soundness Indicators (Financial sector > Financial Soundness Indicators)
- y-o-y indices, monthly data (Industry > Methodology 2015)
- 2015=100, monthly data (Industry > Methodology 2015)
- Constant prices, y-o-y indices, monthly data (Construction > Methodology 2015)
- Constant prices, 2015=100, monthly data (Construction > Methodology 2015)
- 2015=100, domestic market + export, monthly data (part 1) (New Industrial Orders > Methodology 2015)
- 2015=100, domestic market + export, monthly data (part 2) (New Industrial Orders > Methodology 2015)
- 2015=100, domestic market, monthly data (part 1) (New Industrial Orders > Methodology 2015)
- 2015=100, domestc market, monthly data (part 2) (New Industrial Orders > Methodology 2015)
- 2015=100, export, monthly data (part 1) (New Industrial Orders > Methodology 2015)
- 2015=100, export, monthly data (part 2) (New Industrial Orders > Methodology 2015)
- Constant prices, y-o-y indices, monthly data (Retail Trade Receipts > Methodology 2015)
- Constant prices, 2015=100, monthly data (Retail Trade Receipts > Methodology 2015)
Ke dni/ŘadŘada
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 --outflows (-) Principal (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 --outflows (-) Interest (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 --outflows related to repos (-) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 --outflows (-) Principal (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 --outflows (-) Interest (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 --outflows related to repos (-) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 --outflows (-) Principal (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 --outflows (-) Interest (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 --outflows related to repos (-) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 --outflows (-) Principal (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 --outflows (-) Interest (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 --outflows related to repos (-) (Reserve Assets (on a net basis January 1993 - October 2014) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 -- other international organizations (-) (Reserve Assets (on a net basis January 1993 - October 2014) > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 10-year maturity Treasury bond yield (Maastricht criterion) (Government bonds yields > Long-term interest rates for assessing convergence (%))
30.06.2018 Weight: foreign trade turnover, year 2015=100 (%) (Monthly > Nominal effective exchange rate CZK (2015=100) monthly)
30.06.2018 Weight: foreign trade turnover in groups 5 - 8 SITC, year 2015=100 (%) (Monthly > Nominal effective exchange rate CZK (2015=100) monthly)
30.06.2018 REER deflated by unit labour cost index (ULCT); whole economy ; weights: overall trade turnover in 2015; % (Quarterly > Real effective exchange rate of CZK deflated by Unit Labour Cost Index)
30.06.2018 REER deflated by unit labour cost index (ULCT); whole economy ; weights: trade turnover in SITC 5-8 in 2015; % (Quarterly > Real effective exchange rate of CZK deflated by Unit Labour Cost Index)
30.06.2018 REER deflated by unit labour cost index (ULCM); manufacturing ; weights: overall trade turnover in 2015; % (Quarterly > Real effective exchange rate of CZK deflated by Unit Labour Cost Index)
30.06.2018 REER deflated by unit labour cost index (ULCM); manufacturing ; weights: trade turnover in SITC 5-8 in 2015; % (Quarterly > Real effective exchange rate of CZK deflated by Unit Labour Cost Index)
30.06.2018 REER - GDP deflator - Weight: foreign trade turnover, year 2015=100 (%) (Quarterly > Real effective exchange rate of CZK deflated by GDP deflator)
30.06.2018 REER - GDP deflator - Weight: foreign trade turnover in groups 5 - 8 SITC, year 2015=100 (%) (Quarterly > Real effective exchange rate of CZK deflated by GDP deflator)
30.06.2018 Yield on the basket of government bonds with an average residual maturity of 10 years (Government bonds yields > Government bond basket yields (end of month) (%))
30.06.2018 Yield on the basket of government bonds with an average residual maturity of 2 years (Government bonds yields > Government bond basket yields (end of month) (%))
30.06.2018 Yield on the basket of government bonds with an average residual maturity of 5 years (Government bonds yields > Government bond basket yields (end of month) (%))
30.06.2018 Yield on the basket of government bonds with an average residual maturity of 2 years (Government bonds yields > Government bond basket yields (monthly average) (%))
30.06.2018 Yield on the basket of government bonds with an average residual maturity of 5 years (Government bonds yields > Government bond basket yields (monthly average) (%))
30.06.2018 Yield on the basket of government bonds with an average residual maturity of 10 years (Government bonds yields > Government bond basket yields (monthly average) (%))
30.06.2018 Percentage of unemployed people in the population (aged 15-64) (Proportion of Unemployed Persons in Population (MoLSA data) > % (End of period), monthly data)
30.06.2018 Registered job applicants (thousand persons) (Unplaced Job Seekers (MoLSA data) > Thousand of persons, monthly data)
30.06.2018 Vacancies (thousand) (Job Vacancies (MoLSA data) > Thousand of persons, monthly data)
30.06.2018 Index based on CPI, weights: foreign trade turnover in groups 5 - 8 of SITC, year 2015 = 100 (%) (Monthly > Real effective exchange rate CZK (2015=100) monthly)
30.06.2018 Index based on PPI,weights: foreign trade turnover, year 2015 = 100 (%) (Monthly > Real effective exchange rate CZK (2015=100) monthly)
30.06.2018 Index based on PPI,weights: foreign trade turnover in groups 5 - 8 of SITC, year 2015 = 100 (%) (Monthly > Real effective exchange rate CZK (2015=100) monthly)
30.06.2018 Index based on CPI, weights: foreign trade turnover, year 2015 = 100 (%) (Monthly > Real effective exchange rate CZK (2015=100) monthly)
30.06.2018 v mil EUR (Reserve Assets (on a gross basis since January 2012) > Official reserve assets)
30.06.2018 v mil USD (Reserve Assets (on a gross basis since January 2012) > Official reserve assets)
30.06.2018 v mil CZK (Reserve Assets (on a gross basis since January 2012) > Official reserve assets)
30.06.2018 (d) securities lent and on repo (Reserve Assets (on a gross basis since January 2012) > Memo items - in mill. USD)
30.06.2018 -- lent or repoed and included in Section I (Reserve Assets (on a gross basis since January 2012) > Memo items - in mill. USD)
30.06.2018 -- borrowed or acquired but not included in Section I (Reserve Assets (on a gross basis since January 2012) > Memo items - in mill. USD)
30.06.2018 a) currency composition of reserves (by groups of currencies (Reserve Assets (on a gross basis since January 2012) > Memo items - in mill. USD)
30.06.2018 -- currencies in SDR basket (Reserve Assets (on a gross basis since January 2012) > Memo items - in mill. USD)
30.06.2018 -- currencies not in SDR basket (Reserve Assets (on a gross basis since January 2012) > Memo items - in mill. USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -outflows (-) Principal (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -outflows (-) Interest (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -outflows related to repos (-) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -outflows (-) Principal (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -outflows (-) Interest (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -outflows related to repos (-) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 -outflows (-) Principal (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 -outflows (-) Interest (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 -outflows related to repos (-) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 1 up to 3 month - in mill.USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 -outflows (-) Principal (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 -outflows (-) Interest (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 Other (specify) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 -outflows related to repos (-) (Reserve Assets (on a gross basis since January 2012) > Predetermined short-term net drains on for.curr.assets (nom.value) - maturity more than 3 m. up to 1 year-in mill.USD)
30.06.2018 - other international organizations (-) (Reserve Assets (on a gross basis since January 2012) > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Official reserve assets (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 Foreign currency reserves (in convertible foreign currencies) (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (a) Securities (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (b) total currency and deposits with: (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (i) other national central banks, BIS and IMF (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (ii) banks headquartered in the reporting country (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 of which: located abroad (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (iii) banks headquartered outside the reporting country (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 of which: located in the reporting country (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 IMF reserve position (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 SDRs (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 gold (including gold deposits and, if appropriate, gold swapped) (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --volume in millions of fine troy ounces (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 other reserve assets (specify) (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --financial derivatives (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --other (banknotes and collateral held in rev. repos) (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 Other foreign currency assets (specify) (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --securities not included in official reserve assets (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --deposits not included in official reserve assets (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --loans not included in official reserve assets (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --financial derivatives not included in official reserve assets (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --gold not included in official reserve assets (Reserve Assets (on a gross basis since January 2012) > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 Reserve assets - position (Main indicators > Balance of payment statistics (in millions of CZK))
30.06.2018 Net foreign assets (Central bank survey > Central bank survey)
30.06.2018 Monetary base (Central bank survey > Central bank survey)
30.06.2018 Net Claims on Central Government (Central bank survey > Central bank survey)
30.06.2018 Claims on other sectors (Central bank survey > Central bank survey)
30.06.2018      (5) other reserve assets (CZK) (International Reserve Assets > International Reserve Assets)
30.06.2018 GROSS INTERNATIONAL RESERVES POSITION (Stock Data) (USD) (International Reserve Assets > International Reserve Assets)
30.06.2018 GROSS INTERNATIONAL RESERVES POSITION (Stock Data) (CZK) (International Reserve Assets > International Reserve Assets)
30.06.2018      (1) Foreign currency reserves (in convertible foreign currencies) (USD) (International Reserve Assets > International Reserve Assets)
30.06.2018      (1) Foreign currency reserves (in convertible foreign currencies) (CZK) (International Reserve Assets > International Reserve Assets)
30.06.2018      (2) IMF reserve position (USD) (International Reserve Assets > International Reserve Assets)
30.06.2018      (2) IMF reserve position (CZK) (International Reserve Assets > International Reserve Assets)
30.06.2018      (3) SDRs (USD) (International Reserve Assets > International Reserve Assets)
30.06.2018      (3) SDRs (CZK) (International Reserve Assets > International Reserve Assets)
30.06.2018      (4) gold (including gold deposits and, if appropriate, gold swapped) (USD) (International Reserve Assets > International Reserve Assets)
30.06.2018      (4) gold (including gold deposits and, if appropriate, gold swapped) (CZK) (International Reserve Assets > International Reserve Assets)
30.06.2018      (5) other reserve assets (USD) (International Reserve Assets > International Reserve Assets)
30.06.2018 --other (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 Official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 Foreign currency reserves (in convertible foreign currencies) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (a) Securities (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (b) total currency and deposits with: (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (i) other national central banks, BIS and IMF (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (ii) banks headquartered in the reporting country (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 of which: located abroad (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 (iii) banks headquartered outside the reporting country (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 of which: located in the reporting country (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 IMF reserve position (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 SDRs (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 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)
30.06.2018 --volume in millions of fine troy ounces (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 other reserve assets (specify) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --financial derivatives (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --loans to nonbank nonresidents (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --other (banknotes and collateral held in rev. repos) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 Other foreign currency assets (specify) (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --securities not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --deposits not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --loans not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --financial derivatives not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 --gold not included in official reserve assets (Reserves Template > Official reserves assets and other foreign currency assets (approximate market value) - in mill. USD)
30.06.2018 -other accounts receivable (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Foreign currency loans, securities, and deposits (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -outflows (-) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -outflows (-) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -inflows (+) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -inflows (+) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Aggregate short and long positions in forwards and futures in foreign currencies vis-ŕ-vis the domestic currency (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 a) Short positions ( - (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 b) Long positions (+ (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Other (specify) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -outflows related to repos (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -inflows related to reverse repos (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -trade credit (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -trade credit (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -other accounts payable (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 -other accounts receivable (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 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)
30.06.2018 -outflows (-) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -outflows (-) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -inflows (+) Principal (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -inflows (+) Interest (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 Aggregate short and long positions in forwards and futures in foreign currencies vis-ŕ-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)
30.06.2018 a) Short positions ( - (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 b) Long positions (+ (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 Other (specify) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -trade credit (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -trade credit (+) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -other accounts payable (-) (Reserves Template > Predetermined short-term net drains on foreign currency assets (nominal value) - maturity up to 1 month - v mill.USD)
30.06.2018 -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)
30.06.2018 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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 Aggregate short and long positions in forwards and futures in foreign currencies vis-ŕ-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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 Aggregate short and long positions in forwards and futures in foreign currencies vis-ŕ-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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 -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)
30.06.2018 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Contingent liabilities in foreign currency (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (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)
30.06.2018 (b) Other contingent liabilities (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 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)
30.06.2018 Undrawn, unconditional credit lines provided by: (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (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)
30.06.2018 - other national monetary authorities (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - BIS (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - IMF (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - other international organizations (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 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)
30.06.2018 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)
30.06.2018 Undrawn, unconditional credit lines provided to: (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (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)
30.06.2018 - other national monetary authorities (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - BIS (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - IMF (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - other international organizations (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 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)
30.06.2018 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)
30.06.2018 Aggregate short and long positions of options in foreign currencies vis-ŕ-vis the domestic currency (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (a) Short positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (i) Bought puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (ii) Written calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (b) Long positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (i) Bought calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (ii) Written puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 PRO MEMORIA: In-the-money options (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 At current exchange rates (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 + 5 % (depreciation of 5%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - 5 % (appreciation of 5%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 +10 % (depreciation of 10%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - 10 % (appreciation of 10%) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (b) Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 Other (specify) (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 (a) Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nominal value) - total - in mill.USD)
30.06.2018 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - BIS (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - IMF (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Other international organizations (+) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 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)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - BIS (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - IMF (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Other international organizations (-) (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 (a) Short positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Bought puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Written calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 (b) Long positions (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Bought calls (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Written puts (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 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)
30.06.2018 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)
30.06.2018 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 + 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)
30.06.2018 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - 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)
30.06.2018 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 +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)
30.06.2018 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - 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)
30.06.2018 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Long position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 Other (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - Short position (Reserves Template > Contingent short-term net drains on foreign currency assets (nom.value) - maturity up to 1 month - in mil. USD)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 + 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 +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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 (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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 + 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 +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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 - 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)
30.06.2018 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)
30.06.2018 - 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)
30.06.2018 -- by individual currencies (optional) (Reserves Template > Memo items - in mill. USD)
30.06.2018 (a) short-term domestic currency debt indexed to the exchange rate (Reserves Template > Memo items - in mill. USD)
30.06.2018 b) financial instruments denominated in foreign currency and settled by other means (e.g., in domestic currency (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- derivatives (forwards, futures and options contracts) (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- short positions (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- long positions (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- other instruments (Reserves Template > Memo items - in mill. USD)
30.06.2018 (c) pledged assets (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- included in reserve assets (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- included in other foreign currency assets (Reserves Template > Memo items - in mill. USD)
30.06.2018 (d) securities lent and on repo (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- lent or repoed and included in Section I (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- lent or repoed but not included in Section I (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- borrowed or acquired and included in Section I (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- borrowed or acquired but not included in Section I (Reserves Template > Memo items - in mill. USD)
30.06.2018 e) financial derivative assets (net, marked to market (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- forwards (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- futures (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- swaps (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- options (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- other (Reserves Template > Memo items - in mill. USD)
30.06.2018 (f) derivatives (forward, futures, or options contracts) that have a residual maturity greater than one year (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- 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)
30.06.2018 a) short positions (- (Reserves Template > Memo items - in mill. USD)
30.06.2018 b) long positions (+ (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- aggregate short and long positions of options in foreign currencies vis-a-vis the domestic currency (Reserves Template > Memo items - in mill. USD)
30.06.2018 (a) short positions (Reserves Template > Memo items - in mill. USD)
30.06.2018 (i) bought puts (Reserves Template > Memo items - in mill. USD)
30.06.2018 (ii) written calls (Reserves Template > Memo items - in mill. USD)
30.06.2018 (b) long positions (Reserves Template > Memo items - in mill. USD)
30.06.2018 (i) bought calls (Reserves Template > Memo items - in mill. USD)
30.06.2018 (ii) written puts (Reserves Template > Memo items - in mill. USD)
30.06.2018 a) currency composition of reserves (by groups of currencies (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- currencies in SDR basket (Reserves Template > Memo items - in mill. USD)
30.06.2018 -- currencies not in SDR basket (Reserves Template > Memo items - in mill. USD)
31.05.2018 General unemployment rate of the aged 15 to 64 years (General Unemployment Rate (CZSO data) > % (End of period), monthly data)
31.05.2018 Export (FOB) (Export of Goods > Mil CZK FOB, monthly data)
31.05.2018 Balance of foreign trade (FOB/FOB) (Trade Balance > Mil CZK FOB, monthly data)
31.05.2018 Balance of foreign trade (FOB/CIF) (Trade Balance > Mil CZK FOB/CIF, monthly data)
31.05.2018 Import (FOB) (Import of Goods > Mil CZK FOB, monthly data)
31.05.2018 Import (CIF) (Import of Goods > Mil CZK CIF, monthly data)
- D - Electricity, gas, steam and air conditioning supply (Methodology 2015 > y-o-y indices, monthly data)
- B-D - Industry, total (Methodology 2015 > y-o-y indices, monthly data)
- B - Mining and quarrying (Methodology 2015 > y-o-y indices, monthly data)
- C - Manufacturing (Methodology 2015 > y-o-y indices, monthly data)
- D - Electricity, gas, steam and air conditioning supply (Methodology 2015 > 2015=100, monthly data)
- B-D - Industry, total (Methodology 2015 > 2015=100, monthly data)
- B - Mining and quarrying (Methodology 2015 > 2015=100, monthly data)
- C - Manufacturing (Methodology 2015 > 2015=100, monthly data)
- F_CC2 - Civil engineering works (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- F - Construction (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- F_CC1 - Buildings (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- F_CC2 - Civil engineering works (Methodology 2015 > Constant prices, 2015=100, monthly data)
- F - Construction (Methodology 2015 > Constant prices, 2015=100, monthly data)
- F_CC1 - Buildings (Methodology 2015 > Constant prices, 2015=100, monthly data)
- NACE 47.3 Retail sale of automotive fuel (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- NACE 45 a 47 Reatail trade (incl. retail sale of automotive fuel); sale, maintenance & repair of motor vehicles & motorcycles (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- NACE 45 Sale, maintenance & repair of motor vehicles & motorcycles (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- NACE 47 Retail trade (incl. retail sale of automotive fuel) (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- NACE 47 without 47.3 Retail trade excl. retail sale of automotive fuel (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- NACE 47.11 + 47.2 Retail trade of food, beverages and tobacco (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- NACE 47.19 + 47.4 aľ 47.9 Other goods (Methodology 2015 > Constant prices, y-o-y indices, monthly data)
- NACE 47.3 Retail sale of automotive fuel (Methodology 2015 > Constant prices, 2015=100, monthly data)
- NACE 45 a 47 Reatail trade (incl. retail sale of automotive fuel); sale, maintenance & repair of motor vehicles & motorcycles (Methodology 2015 > Constant prices, 2015=100, monthly data)
- NACE 45 Sale, maintenance & repair of motor vehicles & motorcycles (Methodology 2015 > Constant prices, 2015=100, monthly data)
- NACE 47 Retail trade (incl. retail sale of automotive fuel) (Methodology 2015 > Constant prices, 2015=100, monthly data)
- NACE 47 without 47.3 Retail trade excl. retail sale of automotive fuel (Methodology 2015 > Constant prices, 2015=100, monthly data)
- NACE 47.11 + 47.2 Retail trade of food, beverages and tobacco (Methodology 2015 > Constant prices, 2015=100, monthly data)
- NACE 47.19 + 47.4 a? 47.9 Other goods (Methodology 2015 > Constant prices, 2015=100, monthly data)
- Manufacture of textiles (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of wearing apparel (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of paper and paper products (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of chemicals and chemical products (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of basic pharmaceutical products and pharmaceutical preparations (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of basic metals (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of fabricated metal products except machinery and equipment (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of computer, electronic and optical products (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of electrical equipment (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of machinery and equipment n.e.c. (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of motor vehicles (except motorcycles), trailers and semi-trailers (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Manufacture of other transport equipment (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Industry, total (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Industry, total except manufacture of other transport equipment (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Capital goods, total (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Consumer goods, total (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 1))
- Durable consumer goods, total (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 2))
- Intermediate goods, total (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 2))
- Non-durable consumer goods, total (T+E) (Methodology 2015 > 2015=100, domestic market + export, monthly data (part 2))
- Manufacture of textiles (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of wearing apparel (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of paper and paper products (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of chemicals and chemical products (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of basic pharmaceutical products and pharmaceutical preparations (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of basic metals (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of fabricated metal products except machinery and equipment (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of computer, electronic and optical products (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of electrical equipment (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of machinery and equipment n.e.c. (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of motor vehicles (except motorcycles), trailers and semi-trailers (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Manufacture of other transport equipment (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Industry, total (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Industry, total except manufacture of other transport equipment (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Capital goods, total (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Consumer goods, total (T) (Methodology 2015 > 2015=100, domestic market, monthly data (part 1))
- Durable consumer goods,total (T) (Methodology 2015 > 2015=100, domestc market, monthly data (part 2))
- Intermediate goods, total (T) (Methodology 2015 > 2015=100, domestc market, monthly data (part 2))
- Non-durable consumer goods, total (T) (Methodology 2015 > 2015=100, domestc market, monthly data (part 2))
- Manufacture of textiles (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of wearing apparel (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of paper and paper products (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of chemicals and chemical products (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of basic pharmaceutical products and pharmaceutical preparations (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of basic metals (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of fabricated metal products except machinery and equipment (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of computer, electronic and optical products (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of electrical equipment (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of machinery and equipment n.e.c. (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of motor vehicles (except motorcycles), trailers and semi-trailers (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Manufacture of other transport equipment (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Industry, total (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Industry, total except manufacture of other transport equipment (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Capital goods, total (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Consumer goods, total (E) (Methodology 2015 > 2015=100, export, monthly data (part 1))
- Durable consumer goods, total (E) (Methodology 2015 > 2015=100, export, monthly data (part 2))
- Intermediate goods, total (E) (Methodology 2015 > 2015=100, export, monthly data (part 2))
- Non-durable consumer goods, total (E) (Methodology 2015 > 2015=100, export, monthly data (part 2))
31.03.2018 2.2. foreign bank branches (Number of entities > Number of banks)
31.03.2018 Banks and foreign bank branches, total, as of (Number of entities > Number of banks)
31.03.2018 1. of which under conservatorship (Number of entities > Number of banks)
31.03.2018 2. Number of entities established in given period (Number of entities > Number of banks)
31.03.2018 3. Number of entities that ceased to exist in given period (Number of entities > Number of banks)
31.03.2018 1. large banks (Number of entities > Number of banks)
31.03.2018 2. medium-sized banks (Number of entities > Number of banks)
31.03.2018 3. small banks (Number of entities > Number of banks)
31.03.2018 4. foreign bank branches (Number of entities > Number of banks)
31.03.2018 5. building societies (Number of entities > Number of banks)
31.03.2018 1. Czech-controlled banks (Number of entities > Number of banks)
31.03.2018 1.1. state-owned banks (Number of entities > Number of banks)
31.03.2018 1.2. Czech-controlled banks (Number of entities > Number of banks)
31.03.2018 2. foreign-controlled bank (Number of entities > Number of banks)
31.03.2018 2.1. foreign-controlled bank (Number of entities > Number of banks)
31.03.2018 Non-current assets and disposal groups classified as held for sale (Assets > Banking sector, total)
31.03.2018 Assets, total (Assets > Banking sector, total)
31.03.2018 Cash, cash balances at central banks and other demand deposits (Assets > Banking sector, total)
31.03.2018 Financial assets held for trading (Assets > Banking sector, total)
31.03.2018 1. Derivatives (Assets > Banking sector, total)
31.03.2018 2. Equity instruments (Assets > Banking sector, total)
31.03.2018 3. Debt instruments (Assets > Banking sector, total)
31.03.2018 4. Loans and advances (Assets > Banking sector, total)
31.03.2018 Financial assets designated at fair value through profit or loss (Assets > Banking sector, total)
31.03.2018 1. Equity instruments (Assets > Banking sector, total)
31.03.2018 2. Debt securities (Assets > Banking sector, total)
31.03.2018 3. Loans and advances (Assets > Banking sector, total)
31.03.2018 Available-for-sale financial assets (Assets > Banking sector, total)
31.03.2018 1. Equity instruments (Assets > Banking sector, total)
31.03.2018 2. Debt instruments (Assets > Banking sector, total)
31.03.2018 3. Loans and advances (Assets > Banking sector, total)
31.03.2018 Loans and receivables (Assets > Banking sector, total)
31.03.2018 1. Debt instruments (Assets > Banking sector, total)
31.03.2018 2. Loans and advances (Assets > Banking sector, total)
31.03.2018 Held-to-maturity investments (Assets > Banking sector, total)
31.03.2018 1. Debt instruments (Assets > Banking sector, total)
31.03.2018 2. Loans and advances (Assets > Banking sector, total)
31.03.2018 Derivatives - Hedge accounting (Assets > Banking sector, total)
31.03.2018 Fair value changes of the hedged items in portfolio hedge of interest rate risk (Assets > Banking sector, total)
31.03.2018 Investments in subsidaries, joint ventures and associates (Assets > Banking sector, total)
31.03.2018 Tangible assets (Assets > Banking sector, total)
31.03.2018 Intangible assets (Assets > Banking sector, total)
31.03.2018 Tax assets (Assets > Banking sector, total)
31.03.2018 Other assets (Assets > Banking sector, total)
31.03.2018 Non-current assets and disposal groups classified as held for sale (Assets > Large banks)
31.03.2018 Assets, total (Assets > Large banks)
31.03.2018 Cash, cash balances at central banks and other demand deposits (Assets > Large banks)
31.03.2018 Financial assets held for trading (Assets > Large banks)
31.03.2018 1. Derivatives (Assets > Large banks)
31.03.2018 2. Equity instruments (Assets > Large banks)
31.03.2018 3. Debt instruments (Assets > Large banks)
31.03.2018 4. Loans and advances (Assets > Large banks)
31.03.2018 Financial assets designated at fair value through profit or loss (Assets > Large banks)
31.03.2018 1. Equity instruments (Assets > Large banks)
31.03.2018 2. Debt securities (Assets > Large banks)
31.03.2018 3. Loans and advances (Assets > Large banks)
31.03.2018 Available-for-sale financial assets (Assets > Large banks)
31.03.2018 1. Equity instruments (Assets > Large banks)
31.03.2018 2. Debt instruments (Assets > Large banks)
31.03.2018 3. Loans and advances (Assets > Large banks)
31.03.2018 Loans and receivables (Assets > Large banks)
31.03.2018 1. Debt instruments (Assets > Large banks)
31.03.2018 2. Loans and advances (Assets > Large banks)
31.03.2018 Held-to-maturity investments (Assets > Large banks)
31.03.2018 1. Debt instruments (Assets > Large banks)
31.03.2018 2. Loans and advances (Assets > Large banks)
31.03.2018 Derivatives - Hedge accounting (Assets > Large banks)
31.03.2018 Fair value changes of the hedged items in portfolio hedge of interest rate risk (Assets > Large banks)
31.03.2018 Investments in subsidaries, joint ventures and associates (Assets > Large banks)
31.03.2018 Tangible assets (Assets > Large banks)
31.03.2018 Intangible assets (Assets > Large banks)
31.03.2018 Tax assets (Assets > Large banks)
31.03.2018 Other assets (Assets > Large banks)
31.03.2018 Non-current assets and disposal groups classified as held for sale (Assets > Medium-sized banks)
31.03.2018 Assets, total (Assets > Medium-sized banks)
31.03.2018 Cash, cash balances at central banks and other demand deposits (Assets > Medium-sized banks)
31.03.2018 Financial assets held for trading (Assets > Medium-sized banks)
31.03.2018 1. Derivatives (Assets > Medium-sized banks)
31.03.2018 2. Equity instruments (Assets > Medium-sized banks)
31.03.2018 3. Debt instruments (Assets > Medium-sized banks)
31.03.2018 4. Loans and advances (Assets > Medium-sized banks)
31.03.2018 Financial assets designated at fair value through profit or loss (Assets > Medium-sized banks)
31.03.2018 1. Equity instruments (Assets > Medium-sized banks)
31.03.2018 2. Debt securities (Assets > Medium-sized banks)
31.03.2018 3. Loans and advances (Assets > Medium-sized banks)
31.03.2018 Available-for-sale financial assets (Assets > Medium-sized banks)
31.03.2018 1. Equity instruments (Assets > Medium-sized banks)
31.03.2018 2. Debt instruments (Assets > Medium-sized banks)
31.03.2018 3. Loans and advances (Assets > Medium-sized banks)
31.03.2018 Loans and receivables (Assets > Medium-sized banks)
31.03.2018 1. Debt instruments (Assets > Medium-sized banks)
31.03.2018 2. Loans and advances (Assets > Medium-sized banks)
31.03.2018 Held-to-maturity investments (Assets > Medium-sized banks)
31.03.2018 1. Debt instruments (Assets > Medium-sized banks)
31.03.2018 2. Loans and advances (Assets > Medium-sized banks)
31.03.2018 Derivatives - Hedge accounting (Assets > Medium-sized banks)
31.03.2018 Fair value changes of the hedged items in portfolio hedge of interest rate risk (Assets > Medium-sized banks)
31.03.2018 Investments in subsidaries, joint ventures and associates (Assets > Medium-sized banks)
31.03.2018 Tangible assets (Assets > Medium-sized banks)
31.03.2018 Intangible assets (Assets > Medium-sized banks)
31.03.2018 Tax assets (Assets > Medium-sized banks)
31.03.2018 Other assets (Assets > Medium-sized banks)
31.03.2018 Non-current assets and disposal groups classified as held for sale (Assets > Small banks)
31.03.2018 Assets, total (Assets > Small banks)
31.03.2018 Cash, cash balances at central banks and other demand deposits (Assets > Small banks)
31.03.2018 Financial assets held for trading (Assets > Small banks)
31.03.2018 1. Derivatives (Assets > Small banks)
31.03.2018 2. Equity instruments (Assets > Small banks)
31.03.2018 3. Debt instruments (Assets > Small banks)
31.03.2018 4. Loans and advances (Assets > Small banks)
31.03.2018 Financial assets designated at fair value through profit or loss (Assets > Small banks)
31.03.2018 1. Equity instruments (Assets > Small banks)
31.03.2018 2. Debt securities (Assets > Small banks)
31.03.2018 3. Loans and advances (Assets > Small banks)
31.03.2018 Available-for-sale financial assets (Assets > Small banks)
31.03.2018 1. Equity instruments (Assets > Small banks)
31.03.2018 2. Debt instruments (Assets > Small banks)
31.03.2018 3. Loans and advances (Assets > Small banks)
31.03.2018 Loans and receivables (Assets > Small banks)
31.03.2018 1. Debt instruments (Assets > Small banks)
31.03.2018 2. Loans and advances (Assets > Small banks)
31.03.2018 Held-to-maturity investments (Assets > Small banks)
31.03.2018 1. Debt instruments (Assets > Small banks)
31.03.2018 2. Loans and advances (Assets > Small banks)
31.03.2018 Derivatives - Hedge accounting (Assets > Small banks)
31.03.2018 Fair value changes of the hedged items in portfolio hedge of interest rate risk (Assets > Small banks)
31.03.2018 Investments in subsidaries, joint ventures and associates (Assets > Small banks)
31.03.2018 Tangible assets (Assets > Small banks)
31.03.2018 Intangible assets (Assets > Small banks)
31.03.2018 Tax assets (Assets > Small banks)
31.03.2018 Other assets (Assets > Small banks)
31.03.2018 Non-current assets and disposal groups classified as held for sale (Assets > Foreign bank branches)
31.03.2018 Assets, total (Assets > Foreign bank branches)
31.03.2018 Cash, cash balances at central banks and other demand deposits (Assets > Foreign bank branches)
31.03.2018 Financial assets held for trading (Assets > Foreign bank branches)
31.03.2018 1. Derivatives (Assets > Foreign bank branches)
31.03.2018 2. Equity instruments (Assets > Foreign bank branches)
31.03.2018 3. Debt instruments (Assets > Foreign bank branches)
31.03.2018 4. Loans and advances (Assets > Foreign bank branches)
31.03.2018 Financial assets designated at fair value through profit or loss (Assets > Foreign bank branches)
31.03.2018 1. Equity instruments (Assets > Foreign bank branches)
31.03.2018 2. Debt securities (Assets > Foreign bank branches)
31.03.2018 3. Loans and advances (Assets > Foreign bank branches)
31.03.2018 Available-for-sale financial assets (Assets > Foreign bank branches)
31.03.2018 1. Equity instruments (Assets > Foreign bank branches)
31.03.2018 2. Debt instruments (Assets > Foreign bank branches)
31.03.2018 3. Loans and advances (Assets > Foreign bank branches)
31.03.2018 Loans and receivables (Assets > Foreign bank branches)
31.03.2018 1. Debt instruments (Assets > Foreign bank branches)
31.03.2018 2. Loans and advances (Assets > Foreign bank branches)
31.03.2018 Held-to-maturity investments (Assets > Foreign bank branches)
31.03.2018 1. Debt instruments (Assets > Foreign bank branches)
31.03.2018 2. Loans and advances (Assets > Foreign bank branches)
31.03.2018 Derivatives - Hedge accounting (Assets > Foreign bank branches)
31.03.2018 Fair value changes of the hedged items in portfolio hedge of interest rate risk (Assets > Foreign bank branches)
31.03.2018 Investments in subsidaries, joint ventures and associates (Assets > Foreign bank branches)
31.03.2018 Tangible assets (Assets > Foreign bank branches)
31.03.2018 Intangible assets (Assets > Foreign bank branches)
31.03.2018 Tax assets (Assets > Foreign bank branches)
31.03.2018 Other assets (Assets > Foreign bank branches)
31.03.2018 Non-current assets and disposal groups classified as held for sale (Assets > Building societies)
31.03.2018 Assets, total (Assets > Building societies)
31.03.2018 Cash, cash balances at central banks and other demand deposits (Assets > Building societies)
31.03.2018 Financial assets held for trading (Assets > Building societies)
31.03.2018 1. Derivatives (Assets > Building societies)
31.03.2018 2. Equity instruments (Assets > Building societies)
31.03.2018 3. Debt instruments (Assets > Building societies)
31.03.2018 4. Loans and advances (Assets > Building societies)
31.03.2018 Financial assets designated at fair value through profit or loss (Assets > Building societies)
31.03.2018 1. Equity instruments (Assets > Building societies)
31.03.2018 2. Debt securities (Assets > Building societies)
31.03.2018 3. Loans and advances (Assets > Building societies)
31.03.2018 Available-for-sale financial assets (Assets > Building societies)
31.03.2018 1. Equity instruments (Assets > Building societies)
31.03.2018 2. Debt instruments (Assets > Building societies)
31.03.2018 3. Loans and advances (Assets > Building societies)
31.03.2018 Loans and receivables (Assets > Building societies)
31.03.2018 1. Debt instruments (Assets > Building societies)
31.03.2018 2. Loans and advances (Assets > Building societies)
31.03.2018 Held-to-maturity investments (Assets > Building societies)
31.03.2018 1. Debt instruments (Assets > Building societies)
31.03.2018 2. Loans and advances (Assets > Building societies)
31.03.2018 Derivatives - Hedge accounting (Assets > Building societies)
31.03.2018 Fair value changes of the hedged items in portfolio hedge of interest rate risk (Assets > Building societies)
31.03.2018 Investments in subsidaries, joint ventures and associates (Assets > Building societies)
31.03.2018 Tangible assets (Assets > Building societies)
31.03.2018 Intangible assets (Assets > Building societies)
31.03.2018 Tax assets (Assets > Building societies)
31.03.2018 Other assets (Assets > Building societies)
31.03.2018 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Banking sector, total)
31.03.2018 Liabilities and equity, total (Liabilities and equity > Banking sector, total)
31.03.2018 Liabilities, total (Liabilities and equity > Banking sector, total)
31.03.2018 1. Financial liabilities held for trading (Liabilities and equity > Banking sector, total)
31.03.2018 1.1. Derivatives (Liabilities and equity > Banking sector, total)
31.03.2018 1.2. Short positions (Liabilities and equity > Banking sector, total)
31.03.2018 1.3. Deposits (Liabilities and equity > Banking sector, total)
31.03.2018 1.4. Debt securities issued (Liabilities and equity > Banking sector, total)
31.03.2018 1.5. Other financial liabilities (Liabilities and equity > Banking sector, total)
31.03.2018 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Banking sector, total)
31.03.2018 2.1. Deposits (Liabilities and equity > Banking sector, total)
31.03.2018 2.2. Debt securities issued (Liabilities and equity > Banking sector, total)
31.03.2018 2.3. Other financial liabilities (Liabilities and equity > Banking sector, total)
31.03.2018 3. Financial liabilities measured at amortised cost (Liabilities and equity > Banking sector, total)
31.03.2018 3.1. Deposits (Liabilities and equity > Banking sector, total)
31.03.2018 3.2. Debt securities issued (Liabilities and equity > Banking sector, total)
31.03.2018 3.3. Other financial liabilities (Liabilities and equity > Banking sector, total)
31.03.2018 4. Derivatives - hedge accounting (Liabilities and equity > Banking sector, total)
31.03.2018 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Banking sector, total)
31.03.2018 6. Provisions (Liabilities and equity > Banking sector, total)
31.03.2018 7. Tax liabilities (Liabilities and equity > Banking sector, total)
31.03.2018 8. Share capital repayable on demand (Liabilities and equity > Banking sector, total)
31.03.2018 9. Other liabilities (Liabilities and equity > Banking sector, total)
31.03.2018 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Banking sector, total)
31.03.2018 Equity, total (Liabilities and equity > Banking sector, total)
31.03.2018 1. Capital (Liabilities and equity > Banking sector, total)
31.03.2018 2. Share premium (Liabilities and equity > Banking sector, total)
31.03.2018 3. Equity instruments issued other than capital (Liabilities and equity > Banking sector, total)
31.03.2018 4. Other equity (Liabilities and equity > Banking sector, total)
31.03.2018 5. Accumulated other comprehensive income (Liabilities and equity > Banking sector, total)
31.03.2018 6. Retained earnings (Liabilities and equity > Banking sector, total)
31.03.2018 7. Revaluation reserves (Liabilities and equity > Banking sector, total)
31.03.2018 8. Other reserves (Liabilities and equity > Banking sector, total)
31.03.2018 9. (-) Treasury shares (Liabilities and equity > Banking sector, total)
31.03.2018 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Large banks)
31.03.2018 Liabilities and equity, total (Liabilities and equity > Large banks)
31.03.2018 Liabilities, total (Liabilities and equity > Large banks)
31.03.2018 1. Financial liabilities held for trading (Liabilities and equity > Large banks)
31.03.2018 1.1. Derivatives (Liabilities and equity > Large banks)
31.03.2018 1.2. Short positions (Liabilities and equity > Large banks)
31.03.2018 1.3. Deposits (Liabilities and equity > Large banks)
31.03.2018 1.4. Debt securities issued (Liabilities and equity > Large banks)
31.03.2018 1.5. Other financial liabilities (Liabilities and equity > Large banks)
31.03.2018 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Large banks)
31.03.2018 2.1. Deposits (Liabilities and equity > Large banks)
31.03.2018 2.2. Debt securities issued (Liabilities and equity > Large banks)
31.03.2018 2.3. Other financial liabilities (Liabilities and equity > Large banks)
31.03.2018 3. Financial liabilities measured at amortised cost (Liabilities and equity > Large banks)
31.03.2018 3.1. Deposits (Liabilities and equity > Large banks)
31.03.2018 3.2. Debt securities issued (Liabilities and equity > Large banks)
31.03.2018 3.3. Other financial liabilities (Liabilities and equity > Large banks)
31.03.2018 4. Derivatives - hedge accounting (Liabilities and equity > Large banks)
31.03.2018 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Large banks)
31.03.2018 6. Provisions (Liabilities and equity > Large banks)
31.03.2018 7. Tax liabilities (Liabilities and equity > Large banks)
31.03.2018 8. Share capital repayable on demand (Liabilities and equity > Large banks)
31.03.2018 9. Other liabilities (Liabilities and equity > Large banks)
31.03.2018 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Large banks)
31.03.2018 Equity, total (Liabilities and equity > Large banks)
31.03.2018 1. Capital (Liabilities and equity > Large banks)
31.03.2018 2. Share premium (Liabilities and equity > Large banks)
31.03.2018 3. Equity instruments issued other than capital (Liabilities and equity > Large banks)
31.03.2018 4. Other equity (Liabilities and equity > Large banks)
31.03.2018 5. Accumulated other comprehensive income (Liabilities and equity > Large banks)
31.03.2018 6. Retained earnings (Liabilities and equity > Large banks)
31.03.2018 7. Revaluation reserves (Liabilities and equity > Large banks)
31.03.2018 8. Other reserves (Liabilities and equity > Large banks)
31.03.2018 9. (-) Treasury shares (Liabilities and equity > Large banks)
31.03.2018 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Medium-sized banks)
31.03.2018 Liabilities and equity, total (Liabilities and equity > Medium-sized banks)
31.03.2018 Liabilities, total (Liabilities and equity > Medium-sized banks)
31.03.2018 1. Financial liabilities held for trading (Liabilities and equity > Medium-sized banks)
31.03.2018 1.1. Derivatives (Liabilities and equity > Medium-sized banks)
31.03.2018 1.2. Short positions (Liabilities and equity > Medium-sized banks)
31.03.2018 1.3. Deposits (Liabilities and equity > Medium-sized banks)
31.03.2018 1.4. Debt securities issued (Liabilities and equity > Medium-sized banks)
31.03.2018 1.5. Other financial liabilities (Liabilities and equity > Medium-sized banks)
31.03.2018 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Medium-sized banks)
31.03.2018 2.1. Deposits (Liabilities and equity > Medium-sized banks)
31.03.2018 2.2. Debt securities issued (Liabilities and equity > Medium-sized banks)
31.03.2018 2.3. Other financial liabilities (Liabilities and equity > Medium-sized banks)
31.03.2018 3. Financial liabilities measured at amortised cost (Liabilities and equity > Medium-sized banks)
31.03.2018 3.1. Deposits (Liabilities and equity > Medium-sized banks)
31.03.2018 3.2. Debt securities issued (Liabilities and equity > Medium-sized banks)
31.03.2018 3.3. Other financial liabilities (Liabilities and equity > Medium-sized banks)
31.03.2018 4. Derivatives - hedge accounting (Liabilities and equity > Medium-sized banks)
31.03.2018 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Medium-sized banks)
31.03.2018 6. Provisions (Liabilities and equity > Medium-sized banks)
31.03.2018 7. Tax liabilities (Liabilities and equity > Medium-sized banks)
31.03.2018 8. Share capital repayable on demand (Liabilities and equity > Medium-sized banks)
31.03.2018 9. Other liabilities (Liabilities and equity > Medium-sized banks)
31.03.2018 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Medium-sized banks)
31.03.2018 Equity, total (Liabilities and equity > Medium-sized banks)
31.03.2018 1. Capital (Liabilities and equity > Medium-sized banks)
31.03.2018 2. Share premium (Liabilities and equity > Medium-sized banks)
31.03.2018 3. Equity instruments issued other than capital (Liabilities and equity > Medium-sized banks)
31.03.2018 4. Other equity (Liabilities and equity > Medium-sized banks)
31.03.2018 5. Accumulated other comprehensive income (Liabilities and equity > Medium-sized banks)
31.03.2018 6. Retained earnings (Liabilities and equity > Medium-sized banks)
31.03.2018 7. Revaluation reserves (Liabilities and equity > Medium-sized banks)
31.03.2018 8. Other reserves (Liabilities and equity > Medium-sized banks)
31.03.2018 9. (-) Treasury shares (Liabilities and equity > Medium-sized banks)
31.03.2018 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Small banks)
31.03.2018 Liabilities and equity, total (Liabilities and equity > Small banks)
31.03.2018 Liabilities, total (Liabilities and equity > Small banks)
31.03.2018 1. Financial liabilities held for trading (Liabilities and equity > Small banks)
31.03.2018 1.1. Derivatives (Liabilities and equity > Small banks)
31.03.2018 1.2. Short positions (Liabilities and equity > Small banks)
31.03.2018 1.3. Deposits (Liabilities and equity > Small banks)
31.03.2018 1.4. Debt securities issued (Liabilities and equity > Small banks)
31.03.2018 1.5. Other financial liabilities (Liabilities and equity > Small banks)
31.03.2018 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Small banks)
31.03.2018 2.1. Deposits (Liabilities and equity > Small banks)
31.03.2018 2.2. Debt securities issued (Liabilities and equity > Small banks)
31.03.2018 2.3. Other financial liabilities (Liabilities and equity > Small banks)
31.03.2018 3. Financial liabilities measured at amortised cost (Liabilities and equity > Small banks)
31.03.2018 3.1. Deposits (Liabilities and equity > Small banks)
31.03.2018 3.2. Debt securities issued (Liabilities and equity > Small banks)
31.03.2018 3.3. Other financial liabilities (Liabilities and equity > Small banks)
31.03.2018 4. Derivatives - hedge accounting (Liabilities and equity > Small banks)
31.03.2018 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Small banks)
31.03.2018 6. Provisions (Liabilities and equity > Small banks)
31.03.2018 7. Tax liabilities (Liabilities and equity > Small banks)
31.03.2018 8. Share capital repayable on demand (Liabilities and equity > Small banks)
31.03.2018 9. Other liabilities (Liabilities and equity > Small banks)
31.03.2018 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Small banks)
31.03.2018 Equity, total (Liabilities and equity > Small banks)
31.03.2018 1. Capital (Liabilities and equity > Small banks)
31.03.2018 2. Share premium (Liabilities and equity > Small banks)
31.03.2018 3. Equity instruments issued other than capital (Liabilities and equity > Small banks)
31.03.2018 4. Other equity (Liabilities and equity > Small banks)
31.03.2018 5. Accumulated other comprehensive income (Liabilities and equity > Small banks)
31.03.2018 6. Retained earnings (Liabilities and equity > Small banks)
31.03.2018 7. Revaluation reserves (Liabilities and equity > Small banks)
31.03.2018 8. Other reserves (Liabilities and equity > Small banks)
31.03.2018 9. (-) Treasury shares (Liabilities and equity > Small banks)
31.03.2018 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Foreign bank branches)
31.03.2018 Liabilities and equity, total (Liabilities and equity > Foreign bank branches)
31.03.2018 Liabilities, total (Liabilities and equity > Foreign bank branches)
31.03.2018 1. Financial liabilities held for trading (Liabilities and equity > Foreign bank branches)
31.03.2018 1.1. Derivatives (Liabilities and equity > Foreign bank branches)
31.03.2018 1.2. Short positions (Liabilities and equity > Foreign bank branches)
31.03.2018 1.3. Deposits (Liabilities and equity > Foreign bank branches)
31.03.2018 1.4. Debt securities issued (Liabilities and equity > Foreign bank branches)
31.03.2018 1.5. Other financial liabilities (Liabilities and equity > Foreign bank branches)
31.03.2018 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Foreign bank branches)
31.03.2018 2.1. Deposits (Liabilities and equity > Foreign bank branches)
31.03.2018 2.2. Debt securities issued (Liabilities and equity > Foreign bank branches)
31.03.2018 2.3. Other financial liabilities (Liabilities and equity > Foreign bank branches)
31.03.2018 3. Financial liabilities measured at amortised cost (Liabilities and equity > Foreign bank branches)
31.03.2018 3.1. Deposits (Liabilities and equity > Foreign bank branches)
31.03.2018 3.2. Debt securities issued (Liabilities and equity > Foreign bank branches)
31.03.2018 3.3. Other financial liabilities (Liabilities and equity > Foreign bank branches)
31.03.2018 4. Derivatives - hedge accounting (Liabilities and equity > Foreign bank branches)
31.03.2018 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Foreign bank branches)
31.03.2018 6. Provisions (Liabilities and equity > Foreign bank branches)
31.03.2018 7. Tax liabilities (Liabilities and equity > Foreign bank branches)
31.03.2018 8. Share capital repayable on demand (Liabilities and equity > Foreign bank branches)
31.03.2018 9. Other liabilities (Liabilities and equity > Foreign bank branches)
31.03.2018 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Foreign bank branches)
31.03.2018 Equity, total (Liabilities and equity > Foreign bank branches)
31.03.2018 1. Capital (Liabilities and equity > Foreign bank branches)
31.03.2018 2. Share premium (Liabilities and equity > Foreign bank branches)
31.03.2018 3. Equity instruments issued other than capital (Liabilities and equity > Foreign bank branches)
31.03.2018 4. Other equity (Liabilities and equity > Foreign bank branches)
31.03.2018 5. Accumulated other comprehensive income (Liabilities and equity > Foreign bank branches)
31.03.2018 6. Retained earnings (Liabilities and equity > Foreign bank branches)
31.03.2018 7. Revaluation reserves (Liabilities and equity > Foreign bank branches)
31.03.2018 8. Other reserves (Liabilities and equity > Foreign bank branches)
31.03.2018 9. (-) Treasury shares (Liabilities and equity > Foreign bank branches)
31.03.2018 10. Profit or loss attributable to owners of the parent (Liabilities and equity > Building societies)
31.03.2018 Liabilities and equity, total (Liabilities and equity > Building societies)
31.03.2018 Liabilities, total (Liabilities and equity > Building societies)
31.03.2018 1. Financial liabilities held for trading (Liabilities and equity > Building societies)
31.03.2018 1.1. Derivatives (Liabilities and equity > Building societies)
31.03.2018 1.2. Short positions (Liabilities and equity > Building societies)
31.03.2018 1.3. Deposits (Liabilities and equity > Building societies)
31.03.2018 1.4. Debt securities issued (Liabilities and equity > Building societies)
31.03.2018 1.5. Other financial liabilities (Liabilities and equity > Building societies)
31.03.2018 2. Financial liabilities designated at fair value through profit or loss (Liabilities and equity > Building societies)
31.03.2018 2.1. Deposits (Liabilities and equity > Building societies)
31.03.2018 2.2. Debt securities issued (Liabilities and equity > Building societies)
31.03.2018 2.3. Other financial liabilities (Liabilities and equity > Building societies)
31.03.2018 3. Financial liabilities measured at amortised cost (Liabilities and equity > Building societies)
31.03.2018 3.1. Deposits (Liabilities and equity > Building societies)
31.03.2018 3.2. Debt securities issued (Liabilities and equity > Building societies)
31.03.2018 3.3. Other financial liabilities (Liabilities and equity > Building societies)
31.03.2018 4. Derivatives - hedge accounting (Liabilities and equity > Building societies)
31.03.2018 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Liabilities and equity > Building societies)
31.03.2018 6. Provisions (Liabilities and equity > Building societies)
31.03.2018 7. Tax liabilities (Liabilities and equity > Building societies)
31.03.2018 8. Share capital repayable on demand (Liabilities and equity > Building societies)
31.03.2018 9. Other liabilities (Liabilities and equity > Building societies)
31.03.2018 10. Liabilities included in disposal groups classified as held for sale (Liabilities and equity > Building societies)
31.03.2018 Equity, total (Liabilities and equity > Building societies)
31.03.2018 1. Capital (Liabilities and equity > Building societies)
31.03.2018 2. Share premium (Liabilities and equity > Building societies)
31.03.2018 3. Equity instruments issued other than capital (Liabilities and equity > Building societies)
31.03.2018 4. Other equity (Liabilities and equity > Building societies)
31.03.2018 5. Accumulated other comprehensive income (Liabilities and equity > Building societies)
31.03.2018 6. Retained earnings (Liabilities and equity > Building societies)
31.03.2018 7. Revaluation reserves (Liabilities and equity > Building societies)
31.03.2018 8. Other reserves (Liabilities and equity > Building societies)
31.03.2018 9. (-) Treasury shares (Liabilities and equity > Building societies)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Loan commitments given (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Financial guarantees given (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Other Commitments given (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Loan commitments given non-performing (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Financial guarantees given non-performing (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Other Commitments given non-performing (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Loan commitments received (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Financial guarantees received (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 Other Commitments received (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Banking sector, total)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Loan commitments given (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Financial guarantees given (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Other Commitments given (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Loan commitments given non-performing (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Financial guarantees given non-performing (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Other Commitments given non-performing (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Loan commitments received (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Financial guarantees received (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 Other Commitments received (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Large banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Loan commitments given (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Financial guarantees given (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Other Commitments given (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Loan commitments given non-performing (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Financial guarantees given non-performing (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Other Commitments given non-performing (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Loan commitments received (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Financial guarantees received (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 Other Commitments received (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Medium-sized banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Loan commitments given (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Financial guarantees given (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Other Commitments given (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Loan commitments given non-performing (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Financial guarantees given non-performing (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Other Commitments given non-performing (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Loan commitments received (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Financial guarantees received (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 Other Commitments received (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Small banks)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Loan commitments given (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Financial guarantees given (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Other Commitments given (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Loan commitments given non-performing (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Financial guarantees given non-performing (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Other Commitments given non-performing (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Loan commitments received (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Financial guarantees received (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 Other Commitments received (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Foreign bank branches)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Loan commitments given (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Financial guarantees given (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Other Commitments given (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Loan commitments given non-performing (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Financial guarantees given non-performing (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Other Commitments given non-performing (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Loan commitments received (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Financial guarantees received (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 6. Households (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 Other Commitments received (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 1. Central banks (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 2. General governments (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 3. Credit institutions (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 4. Other financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 5. Non-financial corporations (Commitments and financial guarantees, given and received > Building societies)
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Banking sector, total)
31.03.2018 Financial & operating income and expenses (P&L statement > Banking sector, total)
31.03.2018 Interest income (P&L statement > Banking sector, total)
31.03.2018 Interest expenses (P&L statement > Banking sector, total)
31.03.2018 Expenses on share capital repayable on demand (P&L statement > Banking sector, total)
31.03.2018 Dividend income (P&L statement > Banking sector, total)
31.03.2018 Fee and commission income (P&L statement > Banking sector, total)
31.03.2018 Fee and commission expenses (P&L statement > Banking sector, total)
31.03.2018 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net (P&L statement > Banking sector, total)
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Banking sector, total)
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Banking sector, total)
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Banking sector, total)
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Banking sector, total)
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Banking sector, total)
31.03.2018 Other operating income (P&L statement > Banking sector, total)
31.03.2018 Other operating expenses (P&L statement > Banking sector, total)
31.03.2018 Administrative expenses (P&L statement > Banking sector, total)
31.03.2018 1. Staff expenses (P&L statement > Banking sector, total)
31.03.2018 2. Other administrative expenses (P&L statement > Banking sector, total)
31.03.2018 Depreciation (P&L statement > Banking sector, total)
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Banking sector, total)
31.03.2018 Impairment (P&L statement > Banking sector, total)
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Banking sector, total)
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Banking sector, total)
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Banking sector, total)
31.03.2018 Negative goodwill recognised in profit or loss (P&L statement > Banking sector, total)
31.03.2018 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates (P&L statement > Banking sector, total)
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Banking sector, total)
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Banking sector, total)
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Banking sector, total)
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Banking sector, total)
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Banking sector, total)
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Large banks)
31.03.2018 Financial & operating income and expenses (P&L statement > Large banks)
31.03.2018 Interest income (P&L statement > Large banks)
31.03.2018 Interest expenses (P&L statement > Large banks)
31.03.2018 Expenses on share capital repayable on demand (P&L statement > Large banks)
31.03.2018 Dividend income (P&L statement > Large banks)
31.03.2018 Fee and commission income (P&L statement > Large banks)
31.03.2018 Fee and commission expenses (P&L statement > Large banks)
31.03.2018 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net (P&L statement > Large banks)
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Large banks)
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Large banks)
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Large banks)
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Large banks)
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Large banks)
31.03.2018 Other operating income (P&L statement > Large banks)
31.03.2018 Other operating expenses (P&L statement > Large banks)
31.03.2018 Administrative expenses (P&L statement > Large banks)
31.03.2018 1. Staff expenses (P&L statement > Large banks)
31.03.2018 2. Other administrative expenses (P&L statement > Large banks)
31.03.2018 Depreciation (P&L statement > Large banks)
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Large banks)
31.03.2018 Impairment (P&L statement > Large banks)
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Large banks)
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Large banks)
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Large banks)
31.03.2018 Negative goodwill recognised in profit or loss (P&L statement > Large banks)
31.03.2018 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates (P&L statement > Large banks)
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Large banks)
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Large banks)
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Large banks)
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Large banks)
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Large banks)
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Medium-sized banks)
31.03.2018 Financial & operating income and expenses (P&L statement > Medium-sized banks)
31.03.2018 Interest income (P&L statement > Medium-sized banks)
31.03.2018 Interest expenses (P&L statement > Medium-sized banks)
31.03.2018 Expenses on share capital repayable on demand (P&L statement > Medium-sized banks)
31.03.2018 Dividend income (P&L statement > Medium-sized banks)
31.03.2018 Fee and commission income (P&L statement > Medium-sized banks)
31.03.2018 Fee and commission expenses (P&L statement > Medium-sized banks)
31.03.2018 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net (P&L statement > Medium-sized banks)
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Medium-sized banks)
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Medium-sized banks)
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Medium-sized banks)
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Medium-sized banks)
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Medium-sized banks)
31.03.2018 Other operating income (P&L statement > Medium-sized banks)
31.03.2018 Other operating expenses (P&L statement > Medium-sized banks)
31.03.2018 Administrative expenses (P&L statement > Medium-sized banks)
31.03.2018 1. Staff expenses (P&L statement > Medium-sized banks)
31.03.2018 2. Other administrative expenses (P&L statement > Medium-sized banks)
31.03.2018 Depreciation (P&L statement > Medium-sized banks)
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Medium-sized banks)
31.03.2018 Impairment (P&L statement > Medium-sized banks)
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Medium-sized banks)
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Medium-sized banks)
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Medium-sized banks)
31.03.2018 Negative goodwill recognised in profit or loss (P&L statement > Medium-sized banks)
31.03.2018 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates (P&L statement > Medium-sized banks)
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Medium-sized banks)
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Medium-sized banks)
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Medium-sized banks)
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Medium-sized banks)
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Medium-sized banks)
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Small banks)
31.03.2018 Financial & operating income and expenses (P&L statement > Small banks)
31.03.2018 Interest income (P&L statement > Small banks)
31.03.2018 Interest expenses (P&L statement > Small banks)
31.03.2018 Expenses on share capital repayable on demand (P&L statement > Small banks)
31.03.2018 Dividend income (P&L statement > Small banks)
31.03.2018 Fee and commission income (P&L statement > Small banks)
31.03.2018 Fee and commission expenses (P&L statement > Small banks)
31.03.2018 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net (P&L statement > Small banks)
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Small banks)
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Small banks)
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Small banks)
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Small banks)
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Small banks)
31.03.2018 Other operating income (P&L statement > Small banks)
31.03.2018 Other operating expenses (P&L statement > Small banks)
31.03.2018 Administrative expenses (P&L statement > Small banks)
31.03.2018 1. Staff expenses (P&L statement > Small banks)
31.03.2018 2. Other administrative expenses (P&L statement > Small banks)
31.03.2018 Depreciation (P&L statement > Small banks)
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Small banks)
31.03.2018 Impairment (P&L statement > Small banks)
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Small banks)
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Small banks)
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Small banks)
31.03.2018 Negative goodwill recognised in profit or loss (P&L statement > Small banks)
31.03.2018 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates (P&L statement > Small banks)
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Small banks)
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Small banks)
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Small banks)
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Small banks)
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Small banks)
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Foreign bank branches)
31.03.2018 Financial & operating income and expenses (P&L statement > Foreign bank branches)
31.03.2018 Interest income (P&L statement > Foreign bank branches)
31.03.2018 Interest expenses (P&L statement > Foreign bank branches)
31.03.2018 Expenses on share capital repayable on demand (P&L statement > Foreign bank branches)
31.03.2018 Dividend income (P&L statement > Foreign bank branches)
31.03.2018 Fee and commission income (P&L statement > Foreign bank branches)
31.03.2018 Fee and commission expenses (P&L statement > Foreign bank branches)
31.03.2018 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net (P&L statement > Foreign bank branches)
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Foreign bank branches)
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Foreign bank branches)
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Foreign bank branches)
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Foreign bank branches)
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Foreign bank branches)
31.03.2018 Other operating income (P&L statement > Foreign bank branches)
31.03.2018 Other operating expenses (P&L statement > Foreign bank branches)
31.03.2018 Administrative expenses (P&L statement > Foreign bank branches)
31.03.2018 1. Staff expenses (P&L statement > Foreign bank branches)
31.03.2018 2. Other administrative expenses (P&L statement > Foreign bank branches)
31.03.2018 Depreciation (P&L statement > Foreign bank branches)
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Foreign bank branches)
31.03.2018 Impairment (P&L statement > Foreign bank branches)
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Foreign bank branches)
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Foreign bank branches)
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Foreign bank branches)
31.03.2018 Negative goodwill recognised in profit or loss (P&L statement > Foreign bank branches)
31.03.2018 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates (P&L statement > Foreign bank branches)
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Foreign bank branches)
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Foreign bank branches)
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Foreign bank branches)
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Foreign bank branches)
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Foreign bank branches)
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Building societies)
31.03.2018 Financial & operating income and expenses (P&L statement > Building societies)
31.03.2018 Interest income (P&L statement > Building societies)
31.03.2018 Interest expenses (P&L statement > Building societies)
31.03.2018 Expenses on share capital repayable on demand (P&L statement > Building societies)
31.03.2018 Dividend income (P&L statement > Building societies)
31.03.2018 Fee and commission income (P&L statement > Building societies)
31.03.2018 Fee and commission expenses (P&L statement > Building societies)
31.03.2018 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net (P&L statement > Building societies)
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Building societies)
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Building societies)
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Building societies)
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Building societies)
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Building societies)
31.03.2018 Other operating income (P&L statement > Building societies)
31.03.2018 Other operating expenses (P&L statement > Building societies)
31.03.2018 Administrative expenses (P&L statement > Building societies)
31.03.2018 1. Staff expenses (P&L statement > Building societies)
31.03.2018 2. Other administrative expenses (P&L statement > Building societies)
31.03.2018 Depreciation (P&L statement > Building societies)
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Building societies)
31.03.2018 Impairment (P&L statement > Building societies)
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Building societies)
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Building societies)
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Building societies)
31.03.2018 Negative goodwill recognised in profit or loss (P&L statement > Building societies)
31.03.2018 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates (P&L statement > Building societies)
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Building societies)
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Building societies)
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Building societies)
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Building societies)
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Building societies)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Debt securities (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Other persons (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Deposits (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Banking sector, total)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Debt securities (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Other persons (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Deposits (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Large banks)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Debt securities (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Other persons (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Deposits (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Medium-sized banks)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Debt securities (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Other persons (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Deposits (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Small banks)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Debt securities (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Other persons (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Deposits (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Foreign bank branches)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Debt securities (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Other persons (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Loans and advances (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Other persons and sectoral unstructured advances (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 3. Households (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Deposits (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Central banks (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 General governments (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Credit institutions (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Other persons and sectoral unstructured liabilities (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 1. Other financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 2. Non-financial corporations (Debt securities, receivables and deposits by counterparty sector > Building societies)
31.03.2018 Number of memberships terminated since start of year (Credit unions > Number of credit unions and membership base)
31.03.2018 Credit unions, total, as of (Credit unions > Number of credit unions and membership base)
31.03.2018 1. of which under conservatorship (Credit unions > Number of credit unions and membership base)
31.03.2018 2. Number of entities established in given period (Credit unions > Number of credit unions and membership base)
31.03.2018 3. Number of entities that ceased to exist in given period (Credit unions > Number of credit unions and membership base)
31.03.2018 Number of credit union members (Credit unions > Number of credit unions and membership base)
31.03.2018 Number of memberships created since start of year (Credit unions > Number of credit unions and membership base)
31.03.2018 Non-current assets and disposal groups classified as held for sale (Credit unions > Assets (in CZK thousands))
31.03.2018 Assets, total (Credit unions > Assets (in CZK thousands))
31.03.2018 Cash, cash balances at central banks and other demand deposits (Credit unions > Assets (in CZK thousands))
31.03.2018 Financial assets held for trading (Credit unions > Assets (in CZK thousands))
31.03.2018 1. Derivatives (Credit unions > Assets (in CZK thousands))
31.03.2018 2. Equity instruments (Credit unions > Assets (in CZK thousands))
31.03.2018 3. Debt instruments (Credit unions > Assets (in CZK thousands))
31.03.2018 4. Loans and advances (Credit unions > Assets (in CZK thousands))
31.03.2018 Financial assets designated at fair value through profit or loss (Credit unions > Assets (in CZK thousands))
31.03.2018 1. Equity instruments (Credit unions > Assets (in CZK thousands))
31.03.2018 2. Debt securities (Credit unions > Assets (in CZK thousands))
31.03.2018 3. Loans and advances (Credit unions > Assets (in CZK thousands))
31.03.2018 Available-for-sale financial assets (Credit unions > Assets (in CZK thousands))
31.03.2018 1. Equity instruments (Credit unions > Assets (in CZK thousands))
31.03.2018 2. Debt instruments (Credit unions > Assets (in CZK thousands))
31.03.2018 3. Loans and advances (Credit unions > Assets (in CZK thousands))
31.03.2018 Loans and receivables (Credit unions > Assets (in CZK thousands))
31.03.2018 1. Debt instruments (Credit unions > Assets (in CZK thousands))
31.03.2018 2. Loans and advances (Credit unions > Assets (in CZK thousands))
31.03.2018 Held-to-maturity investments (Credit unions > Assets (in CZK thousands))
31.03.2018 1. Debt instruments (Credit unions > Assets (in CZK thousands))
31.03.2018 2. Loans and advances (Credit unions > Assets (in CZK thousands))
31.03.2018 Derivatives - Hedge accounting (Credit unions > Assets (in CZK thousands))
31.03.2018 Fair value changes of the hedged items in portfolio hedge of interest rate risk (Credit unions > Assets (in CZK thousands))
31.03.2018 Investments in subsidaries, joint ventures and associates (Credit unions > Assets (in CZK thousands))
31.03.2018 Tangible assets (Credit unions > Assets (in CZK thousands))
31.03.2018 Intangible assets (Credit unions > Assets (in CZK thousands))
31.03.2018 Tax assets (Credit unions > Assets (in CZK thousands))
31.03.2018 Other assets (Credit unions > Assets (in CZK thousands))
31.03.2018 10. Profit or loss attributable to owners of the parent (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 Liabilities and equity, total (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 Liabilities, total (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 1. Financial liabilities held for trading (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 1.1. Derivatives (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 1.2. Short positions (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 1.3. Deposits (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 1.4. Debt securities issued (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 1.5. Other financial liabilities (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 2. Financial liabilities designated at fair value through profit or loss (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 2.1. Deposits (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 2.2. Debt securities issued (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 2.3. Other financial liabilities (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 3. Financial liabilities measured at amortised cost (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 3.1. Deposits (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 3.2. Debt securities issued (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 3.3. Other financial liabilities (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 4. Derivatives - hedge accounting (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 5. Fair value changes of the hedged items in portfolio hedge of interest rate risk (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 6. Provisions (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 7. Tax liabilities (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 8. Share capital repayable on demand (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 9. Other liabilities (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 10. Liabilities included in disposal groups classified as held for sale (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 Equity, total (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 1. Capital (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 2. Share premium (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 3. Equity instruments issued other than capital (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 4. Other equity (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 5. Accumulated other comprehensive income (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 6. Retained earnings (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 7. Revaluation reserves (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 8. Other reserves (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 9. (-) Treasury shares (Credit unions > Liabilities and equity (in CZK thousands))
31.03.2018 6. Households (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Loan commitments given (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 1. Central banks (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 2. General governments (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 3. Credit institutions (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 4. Other financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 5. Non-financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 6. Households (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Financial guarantees given (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 1. Central banks (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 2. General governments (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 3. Credit institutions (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 4. Other financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 5. Non-financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 6. Households (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Other Commitments given (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 1. Central banks (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 2. General governments (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 3. Credit institutions (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 4. Other financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 5. Non-financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 6. Households (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Loan commitments given non-performing (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Financial guarantees given non-performing (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Other Commitments given non-performing (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Loan commitments received (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 1. Central banks (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 2. General governments (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 3. Credit institutions (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 4. Other financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 5. Non-financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 6. Households (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Financial guarantees received (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 1. Central banks (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 2. General governments (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 3. Credit institutions (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 4. Other financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 5. Non-financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 6. Households (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 Other Commitments received (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 1. Central banks (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 2. General governments (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 3. Credit institutions (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 4. Other financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 5. Non-financial corporations (Credit unions > Commitments and financial guarantees, given and received (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Financial & operating income and expenses (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Interest income (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Interest expenses (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Expenses on share capital repayable on demand (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Dividend income (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Fee and commission income (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Fee and commission expenses (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Gains or (-) losses from hedge accounting, net (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Exchange differences [gain or (-) loss], net (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Other operating income (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Other operating expenses (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Administrative expenses (Credit unions > P&L statement (in CZK thousands))
31.03.2018 1. Staff expenses (Credit unions > P&L statement (in CZK thousands))
31.03.2018 2. Other administrative expenses (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Depreciation (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Provisions or (-) reversal of provisions (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Impairment (Credit unions > P&L statement (in CZK thousands))
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (Credit unions > P&L statement (in CZK thousands))
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (Credit unions > P&L statement (in CZK thousands))
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Negative goodwill recognised in profit or loss (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (Credit unions > P&L statement (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (Credit unions > P&L statement (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Profit or (-) loss after tax from discontinued operations (Credit unions > P&L statement (in CZK thousands))
31.03.2018 Other transitional adjustments to T2 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 Own funds (Credit unions > Capital structure (in CZK thousands))
31.03.2018 Tier 1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1. Common equity Tier 1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.1. Capital instruments eligible as CET1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.2. Retained earnings (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.3. Accumulated other comprehensive income (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.4. Other reserves (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.5. Funds for general banking risk (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.7. Minority interest given recognition in CET1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.8. Transitional adjustments due to additional minority interests (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.9. Adjustments to CET1 due to prudential filters (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1.10. Other transitional adjustments to CET1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 2. Additional Tier 1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 2.1. Capital instruments eligible as AT1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 2.2. Transitional adjustments due to grandfathered AT1 Capital instruments (Credit unions > Capital structure (in CZK thousands))
31.03.2018 2.3. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 2.4. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Credit unions > Capital structure (in CZK thousands))
31.03.2018 2.5. Other transitional adjustments to AT1 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 Tier 2 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 1. Capital instruments and subordinated loans eligible as T2 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 2. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Credit unions > Capital structure (in CZK thousands))
31.03.2018 3. Instruments issued by subsidiaries that are given recognition in T2 Capital (Credit unions > Capital structure (in CZK thousands))
31.03.2018 4. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Credit unions > Capital structure (in CZK thousands))
31.03.2018 Other risk exposure amounts (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 Total risk exposure amount (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 Standardised Approach (SA) (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1. SA exposure classes excluding securitisation positions (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.1. Central governments or central banks (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.2. Regional governments or local authorities (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.3. Public sector entities (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.4. Multilateral Development Banks (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.5. International Organisations (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.6. Institutions (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.7. Corporates (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.8. Retail (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.9. Secured by mortgages on immovable property (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.10. Exposures in default (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.11. Items associated with particular high risk (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.12. Covered bonds (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.13. Claims on institutions and corporates with a short-term credit assessment (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.14. Collective investments undertakings (CIU) (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.15. Equity (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 1.16. Other items (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 2. Securitisation positions SA (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 Total risk exposure amount for position, foreign exchange and commodities risks (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 Total risk exposure amount for operational risk (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 Total risk exposure amount for credit valuation adjustment (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 Total risk exposure amount related to large exposures in the trading book (Credit unions > Risk exposures (in CZK thousands))
31.03.2018 CET1 Capital ratio (%) (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Surplus (+) / Deficit (-) of CET1 capital (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 T1 Capital ratio (%) (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Surplus (+) / Deficit (-) of T1 capital (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Total capital ratio (%) (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Surplus (+) / Deficit (-) of total capital (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Combined Buffer Requirement (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Capital conservation buffer (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Conservation buffer due to macro-prudential or systemic risk identified at the level of a Member State (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Institution specific countercyclical capital buffer (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Systemic risk buffer (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Systemically important institution buffer (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Global Systemically Important Institution buffer (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Other Systemically Important Institution buffer (Credit unions > Capital ratios (% and CZK thousands))
31.03.2018 Cumulative amount of changes (loss) of fair value (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Receivables of investment portfolio by default and types (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Receivables without default (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 1. Standard (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 2 Watch (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Receivables in default (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 1. Substandard (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 2. Doubtful (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 3. Loss (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Receivables of investment portfolio with default to clients (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Sudstandard (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Doubtful (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Loss (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Allowances and changes (loss) of fair value, total (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Allowances for individually assessed financial assets (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Allowances for individually non-impaired assets (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 Allowances for portfolio of individually immaterial assets (Credit unions > Classification of receivables by quality (in CZK thousands))
31.03.2018 3. Households (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Debt securities (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Central banks (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 General governments (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Credit institutions (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Other persons (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 1. Other financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 2. Non-financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Loans and advances (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Central banks (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 General governments (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Credit institutions (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Other persons and sectoral unstructured advances (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 1. Other financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 2. Non-financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 3. Households (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Deposits (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Central banks (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 General governments (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Credit institutions (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 Other persons and sectoral unstructured liabilities (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 1. Other financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 2. Non-financial corporations (Credit unions > Debt securities, Loans and Deposits by counterparty sector (in CZK thousands))
31.03.2018 10. T2 capital elements or deductions - other (Capital structure > Banking sector, total)
31.03.2018 OWN FUNDS (Capital structure > Banking sector, total)
31.03.2018 TIER 1 CAPITAL (Capital structure > Banking sector, total)
31.03.2018 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Banking sector, total)
31.03.2018 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Banking sector, total)
31.03.2018 1.1.1. Paid up capital instruments (Capital structure > Banking sector, total)
31.03.2018 1.1.2. Share premium (Capital structure > Banking sector, total)
31.03.2018 1.1.3. (-) Own CET1 instruments (Capital structure > Banking sector, total)
31.03.2018 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Banking sector, total)
31.03.2018 1.2. Retained earnings (Capital structure > Banking sector, total)
31.03.2018 1.3. Accumulated other comprehensive income (Capital structure > Banking sector, total)
31.03.2018 1.4. Other reserves (Capital structure > Banking sector, total)
31.03.2018 1.5. Funds for general banking risk (Capital structure > Banking sector, total)
31.03.2018 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Banking sector, total)
31.03.2018 1.7. Minority interest given recognition in CET1 capital (Capital structure > Banking sector, total)
31.03.2018 1.8. Transitional adjustments due to additional minority interests (Capital structure > Banking sector, total)
31.03.2018 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Banking sector, total)
31.03.2018 1.10. (-) Goodwill (Capital structure > Banking sector, total)
31.03.2018 1.11. (-) Other intangible assets (Capital structure > Banking sector, total)
31.03.2018 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)
31.03.2018 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Banking sector, total)
31.03.2018 1.14. (-)Defined benefit pension fund assets (Capital structure > Banking sector, total)
31.03.2018 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Banking sector, total)
31.03.2018 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Banking sector, total)
31.03.2018 1.17. CET1 capital elements or deductions - other (Capital structure > Banking sector, total)
31.03.2018 2. ADDITIONAL TIER 1 CAPITAL (Capital structure > Banking sector, total)
31.03.2018 2.1. Capital instruments eligible as AT1 Capital (Capital structure > Banking sector, total)
31.03.2018 2.2. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Banking sector, total)
31.03.2018 2.3. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Banking sector, total)
31.03.2018 2.4. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Banking sector, total)
31.03.2018 2.5. Other transitional adjustments to AT1 Capital (Capital structure > Banking sector, total)
31.03.2018 2.6. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Banking sector, total)
31.03.2018 2.7. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Banking sector, total)
31.03.2018 2.8. AT1 capital elements or deductions - other (Capital structure > Banking sector, total)
31.03.2018 TIER 2 CAPITAL (Capital structure > Banking sector, total)
31.03.2018 1. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Banking sector, total)
31.03.2018 1.1. Paid up capital instruments and subordinated loans (Capital structure > Banking sector, total)
31.03.2018 1.2. Share premium (Capital structure > Banking sector, total)
31.03.2018 1.3. (-) Own T2 instruments (Capital structure > Banking sector, total)
31.03.2018 1.4. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Banking sector, total)
31.03.2018 2. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Banking sector, total)
31.03.2018 3. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Banking sector, total)
31.03.2018 4. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Banking sector, total)
31.03.2018 5. IRB Excess of provisions over expected losses eligible (Capital structure > Banking sector, total)
31.03.2018 6. SA General credit risk adjustments (Capital structure > Banking sector, total)
31.03.2018 7. Other transitional adjustments to T2 Capital (Capital structure > Banking sector, total)
31.03.2018 8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Banking sector, total)
31.03.2018 9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Banking sector, total)
31.03.2018 2.10. T2 capital elements or deductions - other (Capital structure > Large banks)
31.03.2018 OWN FUNDS (Capital structure > Large banks)
31.03.2018 TIER 1 CAPITAL (Capital structure > Large banks)
31.03.2018 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Large banks)
31.03.2018 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Large banks)
31.03.2018 1.1.1. Paid up capital instruments (Capital structure > Large banks)
31.03.2018 1.1.2. Share premium (Capital structure > Large banks)
31.03.2018 1.1.3. (-) Own CET1 instruments (Capital structure > Large banks)
31.03.2018 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Large banks)
31.03.2018 1.2. Retained earnings (Capital structure > Large banks)
31.03.2018 1.3. Accumulated other comprehensive income (Capital structure > Large banks)
31.03.2018 1.4. Other reserves (Capital structure > Large banks)
31.03.2018 1.5. Funds for general banking risk (Capital structure > Large banks)
31.03.2018 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Large banks)
31.03.2018 1.7. Minority interest given recognition in CET1 capital (Capital structure > Large banks)
31.03.2018 1.8. Transitional adjustments due to additional minority interests (Capital structure > Large banks)
31.03.2018 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Large banks)
31.03.2018 1.10. (-) Goodwill (Capital structure > Large banks)
31.03.2018 1.11. (-) Other intangible assets (Capital structure > Large banks)
31.03.2018 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)
31.03.2018 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Large banks)
31.03.2018 1.14. (-)Defined benefit pension fund assets (Capital structure > Large banks)
31.03.2018 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Large banks)
31.03.2018 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Large banks)
31.03.2018 1.17. CET1 capital elements or deductions - other (Capital structure > Large banks)
31.03.2018 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Large banks)
31.03.2018 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Large banks)
31.03.2018 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Large banks)
31.03.2018 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Large banks)
31.03.2018 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Large banks)
31.03.2018 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Large banks)
31.03.2018 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Large banks)
31.03.2018 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Large banks)
31.03.2018 1.26. AT1 capital elements or deductions - other (Capital structure > Large banks)
31.03.2018 1.27. TIER 2 CAPITAL (Capital structure > Large banks)
31.03.2018 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Large banks)
31.03.2018 2. Paid up capital instruments and subordinated loans (Capital structure > Large banks)
31.03.2018 2.1. Share premium (Capital structure > Large banks)
31.03.2018 2.2. (-) Own T2 instruments (Capital structure > Large banks)
31.03.2018 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Large banks)
31.03.2018 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Large banks)
31.03.2018 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Large banks)
31.03.2018 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Large banks)
31.03.2018 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Large banks)
31.03.2018 2.8. SA General credit risk adjustments (Capital structure > Large banks)
31.03.2018 2.7. Other transitional adjustments to T2 Capital (Capital structure > Large banks)
31.03.2018 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Large banks)
31.03.2018 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Large banks)
31.03.2018 2.10. T2 capital elements or deductions - other (Capital structure > Medium-sized banks)
31.03.2018 OWN FUNDS (Capital structure > Medium-sized banks)
31.03.2018 TIER 1 CAPITAL (Capital structure > Medium-sized banks)
31.03.2018 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Medium-sized banks)
31.03.2018 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Medium-sized banks)
31.03.2018 1.1.1. Paid up capital instruments (Capital structure > Medium-sized banks)
31.03.2018 1.1.2. Share premium (Capital structure > Medium-sized banks)
31.03.2018 1.1.3. (-) Own CET1 instruments (Capital structure > Medium-sized banks)
31.03.2018 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Medium-sized banks)
31.03.2018 1.2. Retained earnings (Capital structure > Medium-sized banks)
31.03.2018 1.3. Accumulated other comprehensive income (Capital structure > Medium-sized banks)
31.03.2018 1.4. Other reserves (Capital structure > Medium-sized banks)
31.03.2018 1.5. Funds for general banking risk (Capital structure > Medium-sized banks)
31.03.2018 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Medium-sized banks)
31.03.2018 1.7. Minority interest given recognition in CET1 capital (Capital structure > Medium-sized banks)
31.03.2018 1.8. Transitional adjustments due to additional minority interests (Capital structure > Medium-sized banks)
31.03.2018 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Medium-sized banks)
31.03.2018 1.10. (-) Goodwill (Capital structure > Medium-sized banks)
31.03.2018 1.11. (-) Other intangible assets (Capital structure > Medium-sized banks)
31.03.2018 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)
31.03.2018 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Medium-sized banks)
31.03.2018 1.14. (-)Defined benefit pension fund assets (Capital structure > Medium-sized banks)
31.03.2018 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Medium-sized banks)
31.03.2018 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Medium-sized banks)
31.03.2018 1.17. CET1 capital elements or deductions - other (Capital structure > Medium-sized banks)
31.03.2018 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Medium-sized banks)
31.03.2018 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Medium-sized banks)
31.03.2018 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Medium-sized banks)
31.03.2018 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Medium-sized banks)
31.03.2018 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Medium-sized banks)
31.03.2018 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Medium-sized banks)
31.03.2018 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Medium-sized banks)
31.03.2018 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Medium-sized banks)
31.03.2018 1.26. AT1 capital elements or deductions - other (Capital structure > Medium-sized banks)
31.03.2018 1.27. TIER 2 CAPITAL (Capital structure > Medium-sized banks)
31.03.2018 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Medium-sized banks)
31.03.2018 2. Paid up capital instruments and subordinated loans (Capital structure > Medium-sized banks)
31.03.2018 2.1. Share premium (Capital structure > Medium-sized banks)
31.03.2018 2.2. (-) Own T2 instruments (Capital structure > Medium-sized banks)
31.03.2018 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Medium-sized banks)
31.03.2018 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Medium-sized banks)
31.03.2018 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Medium-sized banks)
31.03.2018 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Medium-sized banks)
31.03.2018 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Medium-sized banks)
31.03.2018 2.8. SA General credit risk adjustments (Capital structure > Medium-sized banks)
31.03.2018 2.7. Other transitional adjustments to T2 Capital (Capital structure > Medium-sized banks)
31.03.2018 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Medium-sized banks)
31.03.2018 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Medium-sized banks)
31.03.2018 2.10. T2 capital elements or deductions - other (Capital structure > Small banks)
31.03.2018 OWN FUNDS (Capital structure > Small banks)
31.03.2018 TIER 1 CAPITAL (Capital structure > Small banks)
31.03.2018 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Small banks)
31.03.2018 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Small banks)
31.03.2018 1.1.1. Paid up capital instruments (Capital structure > Small banks)
31.03.2018 1.1.2. Share premium (Capital structure > Small banks)
31.03.2018 1.1.3. (-) Own CET1 instruments (Capital structure > Small banks)
31.03.2018 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Small banks)
31.03.2018 1.2. Retained earnings (Capital structure > Small banks)
31.03.2018 1.3. Accumulated other comprehensive income (Capital structure > Small banks)
31.03.2018 1.4. Other reserves (Capital structure > Small banks)
31.03.2018 1.5. Funds for general banking risk (Capital structure > Small banks)
31.03.2018 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Small banks)
31.03.2018 1.7. Minority interest given recognition in CET1 capital (Capital structure > Small banks)
31.03.2018 1.8. Transitional adjustments due to additional minority interests (Capital structure > Small banks)
31.03.2018 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Small banks)
31.03.2018 1.10. (-) Goodwill (Capital structure > Small banks)
31.03.2018 1.11. (-) Other intangible assets (Capital structure > Small banks)
31.03.2018 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)
31.03.2018 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Small banks)
31.03.2018 1.14. (-)Defined benefit pension fund assets (Capital structure > Small banks)
31.03.2018 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Small banks)
31.03.2018 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Small banks)
31.03.2018 1.17. CET1 capital elements or deductions - other (Capital structure > Small banks)
31.03.2018 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Small banks)
31.03.2018 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Small banks)
31.03.2018 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Small banks)
31.03.2018 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Small banks)
31.03.2018 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Small banks)
31.03.2018 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Small banks)
31.03.2018 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Small banks)
31.03.2018 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Small banks)
31.03.2018 1.26. AT1 capital elements or deductions - other (Capital structure > Small banks)
31.03.2018 1.27. TIER 2 CAPITAL (Capital structure > Small banks)
31.03.2018 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Small banks)
31.03.2018 2. Paid up capital instruments and subordinated loans (Capital structure > Small banks)
31.03.2018 2.1. Share premium (Capital structure > Small banks)
31.03.2018 2.2. (-) Own T2 instruments (Capital structure > Small banks)
31.03.2018 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Small banks)
31.03.2018 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Small banks)
31.03.2018 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Small banks)
31.03.2018 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Small banks)
31.03.2018 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Small banks)
31.03.2018 2.8. SA General credit risk adjustments (Capital structure > Small banks)
31.03.2018 2.7. Other transitional adjustments to T2 Capital (Capital structure > Small banks)
31.03.2018 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Small banks)
31.03.2018 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Small banks)
31.03.2018 2.10. T2 capital elements or deductions - other (Capital structure > Building societies)
31.03.2018 OWN FUNDS (Capital structure > Building societies)
31.03.2018 TIER 1 CAPITAL (Capital structure > Building societies)
31.03.2018 1. COMMON EQUITY TIER 1 CAPITAL (Capital structure > Building societies)
31.03.2018 1.1. Capital instruments eligible as CET1 Capital (Capital structure > Building societies)
31.03.2018 1.1.1. Paid up capital instruments (Capital structure > Building societies)
31.03.2018 1.1.2. Share premium (Capital structure > Building societies)
31.03.2018 1.1.3. (-) Own CET1 instruments (Capital structure > Building societies)
31.03.2018 1.1.4. (-) Actual or contingent obligations to purchase own CET1 instruments (Capital structure > Building societies)
31.03.2018 1.2. Retained earnings (Capital structure > Building societies)
31.03.2018 1.3. Accumulated other comprehensive income (Capital structure > Building societies)
31.03.2018 1.4. Other reserves (Capital structure > Building societies)
31.03.2018 1.5. Funds for general banking risk (Capital structure > Building societies)
31.03.2018 1.6. Transitional adjustments due to grandfathered CET1 Capital instruments (Capital structure > Building societies)
31.03.2018 1.7. Minority interest given recognition in CET1 capital (Capital structure > Building societies)
31.03.2018 1.8. Transitional adjustments due to additional minority interests (Capital structure > Building societies)
31.03.2018 1.9. Adjustments to CET1 due to prudential filters (Capital structure > Building societies)
31.03.2018 1.10. (-) Goodwill (Capital structure > Building societies)
31.03.2018 1.11. (-) Other intangible assets (Capital structure > Building societies)
31.03.2018 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)
31.03.2018 1.13. (-) IRB shortfall of credit risk adjustments to expected losses (Capital structure > Building societies)
31.03.2018 1.14. (-)Defined benefit pension fund assets (Capital structure > Building societies)
31.03.2018 1.15. Other transitional adjustments to CET1 Capital (Capital structure > Building societies)
31.03.2018 1.16. (-) Additional deductions of CET1 Capital due to Article 3 CRR (Capital structure > Building societies)
31.03.2018 1.17. CET1 capital elements or deductions - other (Capital structure > Building societies)
31.03.2018 1.18. ADDITIONAL TIER 1 CAPITAL (Capital structure > Building societies)
31.03.2018 1.19. Capital instruments eligible as AT1 Capital (Capital structure > Building societies)
31.03.2018 1.20. Transitional adjustments due to grandfathered AT1 Capital instruments (Capital structure > Building societies)
31.03.2018 1.21. Instruments issued by subsidiaries that are given recognition in AT1 Capital (Capital structure > Building societies)
31.03.2018 1.22. Transitional adjustments due to additional recognition in AT1 Capital of instruments issued by subsidiaries (Capital structure > Building societies)
31.03.2018 1.23. Other transitional adjustments to AT1 Capital (Capital structure > Building societies)
31.03.2018 1.24. Excess of deduction from AT1 items over AT1 Capital (deducted in CET1) (Capital structure > Building societies)
31.03.2018 1.25. (-) Additional deductions of AT1 Capital due to Article 3 CRR (Capital structure > Building societies)
31.03.2018 1.26. AT1 capital elements or deductions - other (Capital structure > Building societies)
31.03.2018 1.27. TIER 2 CAPITAL (Capital structure > Building societies)
31.03.2018 1.28. Capital instruments and subordinated loans eligible as T2 Capital (Capital structure > Building societies)
31.03.2018 2. Paid up capital instruments and subordinated loans (Capital structure > Building societies)
31.03.2018 2.1. Share premium (Capital structure > Building societies)
31.03.2018 2.2. (-) Own T2 instruments (Capital structure > Building societies)
31.03.2018 2.3. (-) Actual or contingent obligations to purchase own T2 instruments (Capital structure > Building societies)
31.03.2018 2.4. Transitional adjustments due to grandfathered T2 Capital instruments and subordinated loans (Capital structure > Building societies)
31.03.2018 2.5. Instruments issued by subsidiaries that are given recognition in T2 Capital (Capital structure > Building societies)
31.03.2018 2.6. Transitional adjustments due to additional recognition in T2 Capital of instruments issued by subsidiaries (Capital structure > Building societies)
31.03.2018 2.7. IRB Excess of provisions over expected losses eligible (Capital structure > Building societies)
31.03.2018 2.8. SA General credit risk adjustments (Capital structure > Building societies)
31.03.2018 2.7. Other transitional adjustments to T2 Capital (Capital structure > Building societies)
31.03.2018 2.8. Excess of deduction from T2 items over T2 Capital (deducted in AT1) (Capital structure > Building societies)
31.03.2018 2.9. (-) Additional deductions of T2 Capital due to Article 3 CRR (Capital structure > Building societies)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Banking sector, total)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Banking sector, total)
31.03.2018 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Banking sector, total)
31.03.2018 1. Standardised approach (SA) (Risk exposures > Banking sector, total)
31.03.2018 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Banking sector, total)
31.03.2018 1.1.1. Central governments or central banks (Risk exposures > Banking sector, total)
31.03.2018 1.1.2. Regional governments or local authorities (Risk exposures > Banking sector, total)
31.03.2018 1.1.3. Public sector entities (Risk exposures > Banking sector, total)
31.03.2018 1.1.4. Multilateral Development Banks (Risk exposures > Banking sector, total)
31.03.2018 1.1.5. International Organisations (Risk exposures > Banking sector, total)
31.03.2018 1.1.6. Institutions (Risk exposures > Banking sector, total)
31.03.2018 1.1.7. Corporates (Risk exposures > Banking sector, total)
31.03.2018 1.1.8. Retail (Risk exposures > Banking sector, total)
31.03.2018 1.1.9. Secured by mortgages on immovable property (Risk exposures > Banking sector, total)
31.03.2018 1.1.10. Exposures in default (Risk exposures > Banking sector, total)
31.03.2018 1.1.11. Items associated with particular high risk (Risk exposures > Banking sector, total)
31.03.2018 1.1.12. Covered bonds (Risk exposures > Banking sector, total)
31.03.2018 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Banking sector, total)
31.03.2018 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Banking sector, total)
31.03.2018 1.1.15. Equity (Risk exposures > Banking sector, total)
31.03.2018 1.1.16. Other items (Risk exposures > Banking sector, total)
31.03.2018 1.2. Securitisation positions SA (Risk exposures > Banking sector, total)
31.03.2018 2. Internal ratings based Approach (IRB) (Risk exposures > Banking sector, total)
31.03.2018 IRB approaches for an exposure class (Risk exposures > Banking sector, total)
31.03.2018 Central governments and central banks (Risk exposures > Banking sector, total)
31.03.2018 Institutions (Risk exposures > Banking sector, total)
31.03.2018 Corporates (Risk exposures > Banking sector, total)
31.03.2018 Retail (Risk exposures > Banking sector, total)
31.03.2018 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Banking sector, total)
31.03.2018 2.1.1. Central governments and central banks (Risk exposures > Banking sector, total)
31.03.2018 2.1.2. Institutions (Risk exposures > Banking sector, total)
31.03.2018 2.1.3. Corporates - SME (Risk exposures > Banking sector, total)
31.03.2018 2.1.4. Corporates - Specialised Lending (Risk exposures > Banking sector, total)
31.03.2018 2.1.5. Corporates - Other (Risk exposures > Banking sector, total)
31.03.2018 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Banking sector, total)
31.03.2018 2.2.1. Central governments and central banks (Risk exposures > Banking sector, total)
31.03.2018 2.2.2. Institutions (Risk exposures > Banking sector, total)
31.03.2018 2.2.3. Corporates - SME (Risk exposures > Banking sector, total)
31.03.2018 2.2.4. Corporates - Specialised Lending (Risk exposures > Banking sector, total)
31.03.2018 2.2.5. Corporates - Other (Risk exposures > Banking sector, total)
31.03.2018 2.2.6. Retail - Secured by real estate SME (Risk exposures > Banking sector, total)
31.03.2018 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Banking sector, total)
31.03.2018 2.2.8. Retail - Qualifying revolving (Risk exposures > Banking sector, total)
31.03.2018 2.2.9. Retail - Other SME (Risk exposures > Banking sector, total)
31.03.2018 2.2.10. Retail - Other non-SME (Risk exposures > Banking sector, total)
31.03.2018 2.3. Equity IRB (Risk exposures > Banking sector, total)
31.03.2018 2.4. Securitisation positions IRB (Risk exposures > Banking sector, total)
31.03.2018 2.5. Other non credit-obligation assets (Risk exposures > Banking sector, total)
31.03.2018 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Banking sector, total)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Banking sector, total)
31.03.2018 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Banking sector, total)
31.03.2018 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Banking sector, total)
31.03.2018 1.1. Traded debt instruments (Risk exposures > Banking sector, total)
31.03.2018 1.2. Equity (Risk exposures > Banking sector, total)
31.03.2018 1.3. Foreign Exchange (Risk exposures > Banking sector, total)
31.03.2018 1.4. Commodities (Risk exposures > Banking sector, total)
31.03.2018 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Banking sector, total)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Banking sector, total)
31.03.2018 1. OpR Basic indicator approach (BIA) (Risk exposures > Banking sector, total)
31.03.2018 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Banking sector, total)
31.03.2018 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Banking sector, total)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Banking sector, total)
31.03.2018 1. Advanced method (Risk exposures > Banking sector, total)
31.03.2018 2. Standardised method (Risk exposures > Banking sector, total)
31.03.2018 3. Based on OEM (Risk exposures > Banking sector, total)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Banking sector, total)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Large banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Large banks)
31.03.2018 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Large banks)
31.03.2018 1. Standardised approach (SA) (Risk exposures > Large banks)
31.03.2018 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Large banks)
31.03.2018 1.1.1. Central governments or central banks (Risk exposures > Large banks)
31.03.2018 1.1.2. Regional governments or local authorities (Risk exposures > Large banks)
31.03.2018 1.1.3. Public sector entities (Risk exposures > Large banks)
31.03.2018 1.1.4. Multilateral Development Banks (Risk exposures > Large banks)
31.03.2018 1.1.5. International Organisations (Risk exposures > Large banks)
31.03.2018 1.1.6. Institutions (Risk exposures > Large banks)
31.03.2018 1.1.7. Corporates (Risk exposures > Large banks)
31.03.2018 1.1.8. Retail (Risk exposures > Large banks)
31.03.2018 1.1.9. Secured by mortgages on immovable property (Risk exposures > Large banks)
31.03.2018 1.1.10. Exposures in default (Risk exposures > Large banks)
31.03.2018 1.1.11. Items associated with particular high risk (Risk exposures > Large banks)
31.03.2018 1.1.12. Covered bonds (Risk exposures > Large banks)
31.03.2018 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Large banks)
31.03.2018 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Large banks)
31.03.2018 1.1.15. Equity (Risk exposures > Large banks)
31.03.2018 1.1.16. Other items (Risk exposures > Large banks)
31.03.2018 1.2. Securitisation positions SA (Risk exposures > Large banks)
31.03.2018 2. Internal ratings based Approach (IRB) (Risk exposures > Large banks)
31.03.2018 IRB approaches for an exposure class (Risk exposures > Large banks)
31.03.2018 Central governments and central banks (Risk exposures > Large banks)
31.03.2018 Institutions (Risk exposures > Large banks)
31.03.2018 Corporates (Risk exposures > Large banks)
31.03.2018 Retail (Risk exposures > Large banks)
31.03.2018 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Large banks)
31.03.2018 2.1.1. Central governments and central banks (Risk exposures > Large banks)
31.03.2018 2.1.2. Institutions (Risk exposures > Large banks)
31.03.2018 2.1.3. Corporates - SME (Risk exposures > Large banks)
31.03.2018 2.1.4. Corporates - Specialised Lending (Risk exposures > Large banks)
31.03.2018 2.1.5. Corporates - Other (Risk exposures > Large banks)
31.03.2018 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Large banks)
31.03.2018 2.2.1. Central governments and central banks (Risk exposures > Large banks)
31.03.2018 2.2.2. Institutions (Risk exposures > Large banks)
31.03.2018 2.2.3. Corporates - SME (Risk exposures > Large banks)
31.03.2018 2.2.4. Corporates - Specialised Lending (Risk exposures > Large banks)
31.03.2018 2.2.5. Corporates - Other (Risk exposures > Large banks)
31.03.2018 2.2.6. Retail - Secured by real estate SME (Risk exposures > Large banks)
31.03.2018 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Large banks)
31.03.2018 2.2.8. Retail - Qualifying revolving (Risk exposures > Large banks)
31.03.2018 2.2.9. Retail - Other SME (Risk exposures > Large banks)
31.03.2018 2.2.10. Retail - Other non-SME (Risk exposures > Large banks)
31.03.2018 2.3. Equity IRB (Risk exposures > Large banks)
31.03.2018 2.4. Securitisation positions IRB (Risk exposures > Large banks)
31.03.2018 2.5. Other non credit-obligation assets (Risk exposures > Large banks)
31.03.2018 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Large banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Large banks)
31.03.2018 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Large banks)
31.03.2018 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Large banks)
31.03.2018 1.1. Traded debt instruments (Risk exposures > Large banks)
31.03.2018 1.2. Equity (Risk exposures > Large banks)
31.03.2018 1.3. Foreign Exchange (Risk exposures > Large banks)
31.03.2018 1.4. Commodities (Risk exposures > Large banks)
31.03.2018 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Large banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Large banks)
31.03.2018 1. OpR Basic indicator approach (BIA) (Risk exposures > Large banks)
31.03.2018 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Large banks)
31.03.2018 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Large banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Large banks)
31.03.2018 1. Advanced method (Risk exposures > Large banks)
31.03.2018 2. Standardised method (Risk exposures > Large banks)
31.03.2018 3. Based on OEM (Risk exposures > Large banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Large banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Medium-sized banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Medium-sized banks)
31.03.2018 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Medium-sized banks)
31.03.2018 1. Standardised approach (SA) (Risk exposures > Medium-sized banks)
31.03.2018 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Medium-sized banks)
31.03.2018 1.1.1. Central governments or central banks (Risk exposures > Medium-sized banks)
31.03.2018 1.1.2. Regional governments or local authorities (Risk exposures > Medium-sized banks)
31.03.2018 1.1.3. Public sector entities (Risk exposures > Medium-sized banks)
31.03.2018 1.1.4. Multilateral Development Banks (Risk exposures > Medium-sized banks)
31.03.2018 1.1.5. International Organisations (Risk exposures > Medium-sized banks)
31.03.2018 1.1.6. Institutions (Risk exposures > Medium-sized banks)
31.03.2018 1.1.7. Corporates (Risk exposures > Medium-sized banks)
31.03.2018 1.1.8. Retail (Risk exposures > Medium-sized banks)
31.03.2018 1.1.9. Secured by mortgages on immovable property (Risk exposures > Medium-sized banks)
31.03.2018 1.1.10. Exposures in default (Risk exposures > Medium-sized banks)
31.03.2018 1.1.11. Items associated with particular high risk (Risk exposures > Medium-sized banks)
31.03.2018 1.1.12. Covered bonds (Risk exposures > Medium-sized banks)
31.03.2018 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Medium-sized banks)
31.03.2018 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Medium-sized banks)
31.03.2018 1.1.15. Equity (Risk exposures > Medium-sized banks)
31.03.2018 1.1.16. Other items (Risk exposures > Medium-sized banks)
31.03.2018 1.2. Securitisation positions SA (Risk exposures > Medium-sized banks)
31.03.2018 2. Internal ratings based Approach (IRB) (Risk exposures > Medium-sized banks)
31.03.2018 IRB approaches for an exposure class (Risk exposures > Medium-sized banks)
31.03.2018 Central governments and central banks (Risk exposures > Medium-sized banks)
31.03.2018 Institutions (Risk exposures > Medium-sized banks)
31.03.2018 Corporates (Risk exposures > Medium-sized banks)
31.03.2018 Retail (Risk exposures > Medium-sized banks)
31.03.2018 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Medium-sized banks)
31.03.2018 2.1.1. Central governments and central banks (Risk exposures > Medium-sized banks)
31.03.2018 2.1.2. Institutions (Risk exposures > Medium-sized banks)
31.03.2018 2.1.3. Corporates - SME (Risk exposures > Medium-sized banks)
31.03.2018 2.1.4. Corporates - Specialised Lending (Risk exposures > Medium-sized banks)
31.03.2018 2.1.5. Corporates - Other (Risk exposures > Medium-sized banks)
31.03.2018 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Medium-sized banks)
31.03.2018 2.2.1. Central governments and central banks (Risk exposures > Medium-sized banks)
31.03.2018 2.2.2. Institutions (Risk exposures > Medium-sized banks)
31.03.2018 2.2.3. Corporates - SME (Risk exposures > Medium-sized banks)
31.03.2018 2.2.4. Corporates - Specialised Lending (Risk exposures > Medium-sized banks)
31.03.2018 2.2.5. Corporates - Other (Risk exposures > Medium-sized banks)
31.03.2018 2.2.6. Retail - Secured by real estate SME (Risk exposures > Medium-sized banks)
31.03.2018 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Medium-sized banks)
31.03.2018 2.2.8. Retail - Qualifying revolving (Risk exposures > Medium-sized banks)
31.03.2018 2.2.9. Retail - Other SME (Risk exposures > Medium-sized banks)
31.03.2018 2.2.10. Retail - Other non-SME (Risk exposures > Medium-sized banks)
31.03.2018 2.3. Equity IRB (Risk exposures > Medium-sized banks)
31.03.2018 2.4. Securitisation positions IRB (Risk exposures > Medium-sized banks)
31.03.2018 2.5. Other non credit-obligation assets (Risk exposures > Medium-sized banks)
31.03.2018 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Medium-sized banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Medium-sized banks)
31.03.2018 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Medium-sized banks)
31.03.2018 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Medium-sized banks)
31.03.2018 1.1. Traded debt instruments (Risk exposures > Medium-sized banks)
31.03.2018 1.2. Equity (Risk exposures > Medium-sized banks)
31.03.2018 1.3. Foreign Exchange (Risk exposures > Medium-sized banks)
31.03.2018 1.4. Commodities (Risk exposures > Medium-sized banks)
31.03.2018 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Medium-sized banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Medium-sized banks)
31.03.2018 1. OpR Basic indicator approach (BIA) (Risk exposures > Medium-sized banks)
31.03.2018 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Medium-sized banks)
31.03.2018 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Medium-sized banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Medium-sized banks)
31.03.2018 1. Advanced method (Risk exposures > Medium-sized banks)
31.03.2018 2. Standardised method (Risk exposures > Medium-sized banks)
31.03.2018 3. Based on OEM (Risk exposures > Medium-sized banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Medium-sized banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Small banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Small banks)
31.03.2018 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Small banks)
31.03.2018 1. Standardised approach (SA) (Risk exposures > Small banks)
31.03.2018 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Small banks)
31.03.2018 1.1.1. Central governments or central banks (Risk exposures > Small banks)
31.03.2018 1.1.2. Regional governments or local authorities (Risk exposures > Small banks)
31.03.2018 1.1.3. Public sector entities (Risk exposures > Small banks)
31.03.2018 1.1.4. Multilateral Development Banks (Risk exposures > Small banks)
31.03.2018 1.1.5. International Organisations (Risk exposures > Small banks)
31.03.2018 1.1.6. Institutions (Risk exposures > Small banks)
31.03.2018 1.1.7. Corporates (Risk exposures > Small banks)
31.03.2018 1.1.8. Retail (Risk exposures > Small banks)
31.03.2018 1.1.9. Secured by mortgages on immovable property (Risk exposures > Small banks)
31.03.2018 1.1.10. Exposures in default (Risk exposures > Small banks)
31.03.2018 1.1.11. Items associated with particular high risk (Risk exposures > Small banks)
31.03.2018 1.1.12. Covered bonds (Risk exposures > Small banks)
31.03.2018 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Small banks)
31.03.2018 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Small banks)
31.03.2018 1.1.15. Equity (Risk exposures > Small banks)
31.03.2018 1.1.16. Other items (Risk exposures > Small banks)
31.03.2018 1.2. Securitisation positions SA (Risk exposures > Small banks)
31.03.2018 2. Internal ratings based Approach (IRB) (Risk exposures > Small banks)
31.03.2018 IRB approaches for an exposure class (Risk exposures > Small banks)
31.03.2018 Central governments and central banks (Risk exposures > Small banks)
31.03.2018 Institutions (Risk exposures > Small banks)
31.03.2018 Corporates (Risk exposures > Small banks)
31.03.2018 Retail (Risk exposures > Small banks)
31.03.2018 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Small banks)
31.03.2018 2.1.1. Central governments and central banks (Risk exposures > Small banks)
31.03.2018 2.1.2. Institutions (Risk exposures > Small banks)
31.03.2018 2.1.3. Corporates - SME (Risk exposures > Small banks)
31.03.2018 2.1.4. Corporates - Specialised Lending (Risk exposures > Small banks)
31.03.2018 2.1.5. Corporates - Other (Risk exposures > Small banks)
31.03.2018 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Small banks)
31.03.2018 2.2.1. Central governments and central banks (Risk exposures > Small banks)
31.03.2018 2.2.2. Institutions (Risk exposures > Small banks)
31.03.2018 2.2.3. Corporates - SME (Risk exposures > Small banks)
31.03.2018 2.2.4. Corporates - Specialised Lending (Risk exposures > Small banks)
31.03.2018 2.2.5. Corporates - Other (Risk exposures > Small banks)
31.03.2018 2.2.6. Retail - Secured by real estate SME (Risk exposures > Small banks)
31.03.2018 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Small banks)
31.03.2018 2.2.8. Retail - Qualifying revolving (Risk exposures > Small banks)
31.03.2018 2.2.9. Retail - Other SME (Risk exposures > Small banks)
31.03.2018 2.2.10. Retail - Other non-SME (Risk exposures > Small banks)
31.03.2018 2.3. Equity IRB (Risk exposures > Small banks)
31.03.2018 2.4. Securitisation positions IRB (Risk exposures > Small banks)
31.03.2018 2.5. Other non credit-obligation assets (Risk exposures > Small banks)
31.03.2018 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Small banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Small banks)
31.03.2018 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Small banks)
31.03.2018 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Small banks)
31.03.2018 1.1. Traded debt instruments (Risk exposures > Small banks)
31.03.2018 1.2. Equity (Risk exposures > Small banks)
31.03.2018 1.3. Foreign Exchange (Risk exposures > Small banks)
31.03.2018 1.4. Commodities (Risk exposures > Small banks)
31.03.2018 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Small banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Small banks)
31.03.2018 1. OpR Basic indicator approach (BIA) (Risk exposures > Small banks)
31.03.2018 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Small banks)
31.03.2018 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Small banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Small banks)
31.03.2018 1. Advanced method (Risk exposures > Small banks)
31.03.2018 2. Standardised method (Risk exposures > Small banks)
31.03.2018 3. Based on OEM (Risk exposures > Small banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Small banks)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR POSITION, FOREIGN EXCHANGE AND COMMODITIES RISKS (Risk exposures > Building societies)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT (Risk exposures > Building societies)
31.03.2018 RISK WEIGHTED EXPOSURE AMOUNTS FOR CREDIT, COUNTERPARTY CREDIT AND DILUTION RISKS AND FREE DELIVERIES (Risk exposures > Building societies)
31.03.2018 1. Standardised approach (SA) (Risk exposures > Building societies)
31.03.2018 1.1. SA exposure classes excluding securitisation positions (Risk exposures > Building societies)
31.03.2018 1.1.1. Central governments or central banks (Risk exposures > Building societies)
31.03.2018 1.1.2. Regional governments or local authorities (Risk exposures > Building societies)
31.03.2018 1.1.3. Public sector entities (Risk exposures > Building societies)
31.03.2018 1.1.4. Multilateral Development Banks (Risk exposures > Building societies)
31.03.2018 1.1.5. International Organisations (Risk exposures > Building societies)
31.03.2018 1.1.6. Institutions (Risk exposures > Building societies)
31.03.2018 1.1.7. Corporates (Risk exposures > Building societies)
31.03.2018 1.1.8. Retail (Risk exposures > Building societies)
31.03.2018 1.1.9. Secured by mortgages on immovable property (Risk exposures > Building societies)
31.03.2018 1.1.10. Exposures in default (Risk exposures > Building societies)
31.03.2018 1.1.11. Items associated with particular high risk (Risk exposures > Building societies)
31.03.2018 1.1.12. Covered bonds (Risk exposures > Building societies)
31.03.2018 1.1.13. Claims on institutions and corporates with a short-term credit assessment (Risk exposures > Building societies)
31.03.2018 1.1.14. Collective investments undertakings (CIU) (Risk exposures > Building societies)
31.03.2018 1.1.15. Equity (Risk exposures > Building societies)
31.03.2018 1.1.16. Other items (Risk exposures > Building societies)
31.03.2018 1.2. Securitisation positions SA (Risk exposures > Building societies)
31.03.2018 2. Internal ratings based Approach (IRB) (Risk exposures > Building societies)
31.03.2018 IRB approaches for an exposure class (Risk exposures > Building societies)
31.03.2018 Central governments and central banks (Risk exposures > Building societies)
31.03.2018 Institutions (Risk exposures > Building societies)
31.03.2018 Corporates (Risk exposures > Building societies)
31.03.2018 Retail (Risk exposures > Building societies)
31.03.2018 2.1. IRB approaches when neither own estimates of LGD nor Conversion Factors are used (Risk exposures > Building societies)
31.03.2018 2.1.1. Central governments and central banks (Risk exposures > Building societies)
31.03.2018 2.1.2. Institutions (Risk exposures > Building societies)
31.03.2018 2.1.3. Corporates - SME (Risk exposures > Building societies)
31.03.2018 2.1.4. Corporates - Specialised Lending (Risk exposures > Building societies)
31.03.2018 2.1.5. Corporates - Other (Risk exposures > Building societies)
31.03.2018 2.2. IRB approaches when own estimates of LGD and/or Conversion Factors are used (Risk exposures > Building societies)
31.03.2018 2.2.1. Central governments and central banks (Risk exposures > Building societies)
31.03.2018 2.2.2. Institutions (Risk exposures > Building societies)
31.03.2018 2.2.3. Corporates - SME (Risk exposures > Building societies)
31.03.2018 2.2.4. Corporates - Specialised Lending (Risk exposures > Building societies)
31.03.2018 2.2.5. Corporates - Other (Risk exposures > Building societies)
31.03.2018 2.2.6. Retail - Secured by real estate SME (Risk exposures > Building societies)
31.03.2018 2.2.7. Retail - Secured by real estate non-SME (Risk exposures > Building societies)
31.03.2018 2.2.8. Retail - Qualifying revolving (Risk exposures > Building societies)
31.03.2018 2.2.9. Retail - Other SME (Risk exposures > Building societies)
31.03.2018 2.2.10. Retail - Other non-SME (Risk exposures > Building societies)
31.03.2018 2.3. Equity IRB (Risk exposures > Building societies)
31.03.2018 2.4. Securitisation positions IRB (Risk exposures > Building societies)
31.03.2018 2.5. Other non credit-obligation assets (Risk exposures > Building societies)
31.03.2018 3. Risk exposure amount for contributions to the default fund of a CCP (Risk exposures > Building societies)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR SETTLEMENT/DELIVERY (Risk exposures > Building societies)
31.03.2018 OTHER RISK EXPOSURE AMOUNTS (Risk exposures > Building societies)
31.03.2018 1. Risk exposure amount for position, foreign exchange and commodities risks under standardised approaches (SA) (Risk exposures > Building societies)
31.03.2018 1.1. Traded debt instruments (Risk exposures > Building societies)
31.03.2018 1.2. Equity (Risk exposures > Building societies)
31.03.2018 1.3. Foreign Exchange (Risk exposures > Building societies)
31.03.2018 1.4. Commodities (Risk exposures > Building societies)
31.03.2018 2. Risk exposure amount for Position, foreign exchange and commodities risks under internal models (IM) (Risk exposures > Building societies)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR OPERATIONAL RISK (OpR ) (Risk exposures > Building societies)
31.03.2018 1. OpR Basic indicator approach (BIA) (Risk exposures > Building societies)
31.03.2018 2. OpR Standardised (STA) / Alternative Standardised (ASA) approaches (Risk exposures > Building societies)
31.03.2018 3. OpR Advanced measurement approaches (AMA) (Risk exposures > Building societies)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT FOR CREDIT VALUATION ADJUSTMENT (Risk exposures > Building societies)
31.03.2018 1. Advanced method (Risk exposures > Building societies)
31.03.2018 2. Standardised method (Risk exposures > Building societies)
31.03.2018 3. Based on OEM (Risk exposures > Building societies)
31.03.2018 TOTAL RISK EXPOSURE AMOUNT RELATED TO LARGE EXPOSURES IN THE TRADING BOOK (Risk exposures > Building societies)
31.03.2018 CET1 Capital ratio (%) (Capital ratios > Banking sector, total)
31.03.2018 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Banking sector, total)
31.03.2018 T1 Capital ratio (%) (Capital ratios > Banking sector, total)
31.03.2018 Surplus (+) / Deficit (-) of T1 capital (Capital ratios > Banking sector, total)
31.03.2018 Total capital ratio (%) (Capital ratios > Banking sector, total)
31.03.2018 Surplus (+) / Deficit (-) of total capital (Capital ratios > Banking sector, total)
31.03.2018 Combined Buffer Requirement (Capital ratios > Banking sector, total)
31.03.2018 Capital conservation buffer (Capital ratios > Banking sector, total)
31.03.2018 Conservation buffer due to macro-prudential or systemic risk identified at the level of a Member State (Capital ratios > Banking sector, total)
31.03.2018 Institution specific countercyclical capital buffer (Capital ratios > Banking sector, total)
31.03.2018 Systemic risk buffer (Capital ratios > Banking sector, total)
31.03.2018 Systemically important institution buffer (Capital ratios > Banking sector, total)
31.03.2018 Global Systemically Important Institution buffer (Capital ratios > Banking sector, total)
31.03.2018 Other Systemically Important Institution buffer (Capital ratios > Banking sector, total)
31.03.2018 CET1 Capital ratio (%) (Capital ratios > Large banks)
31.03.2018 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Large banks)
31.03.2018 T1 Capital ratio (%) (Capital ratios > Large banks)
31.03.2018 Surplus (+) / Deficit (-) of T1 capital (Capital ratios > Large banks)
31.03.2018 Total capital ratio (%) (Capital ratios > Large banks)
31.03.2018 Surplus (+) / Deficit (-) of total capital (Capital ratios > Large banks)
31.03.2018 Combined Buffer Requirement (Capital ratios > Large banks)
31.03.2018 Capital conservation buffer (Capital ratios > Large banks)
31.03.2018 Conservation buffer due to macro-prudential or systemic risk identified at the level of a Member State (Capital ratios > Large banks)
31.03.2018 Institution specific countercyclical capital buffer (Capital ratios > Large banks)
31.03.2018 Systemic risk buffer (Capital ratios > Large banks)
31.03.2018 Systemically important institution buffer (Capital ratios > Large banks)
31.03.2018 Global Systemically Important Institution buffer (Capital ratios > Large banks)
31.03.2018 Other Systemically Important Institution buffer (Capital ratios > Large banks)
31.03.2018 CET1 Capital ratio (%) (Capital ratios > Medium-sized banks)
31.03.2018 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Medium-sized banks)
31.03.2018 T1 Capital ratio (%) (Capital ratios > Medium-sized banks)
31.03.2018 Surplus (+) / Deficit (-) of T1 capital (Capital ratios > Medium-sized banks)
31.03.2018 Total capital ratio (%) (Capital ratios > Medium-sized banks)
31.03.2018 Surplus (+) / Deficit (-) of total capital (Capital ratios > Medium-sized banks)
31.03.2018 Combined Buffer Requirement (Capital ratios > Medium-sized banks)
31.03.2018 Capital conservation buffer (Capital ratios > Medium-sized banks)
31.03.2018 Conservation buffer due to macro-prudential or systemic risk identified at the level of a Member State (Capital ratios > Medium-sized banks)
31.03.2018 Institution specific countercyclical capital buffer (Capital ratios > Medium-sized banks)
31.03.2018 Systemic risk buffer (Capital ratios > Medium-sized banks)
31.03.2018 Systemically important institution buffer (Capital ratios > Medium-sized banks)
31.03.2018 Global Systemically Important Institution buffer (Capital ratios > Medium-sized banks)
31.03.2018 Other Systemically Important Institution buffer (Capital ratios > Medium-sized banks)
31.03.2018 CET1 Capital ratio (%) (Capital ratios > Small banks)
31.03.2018 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Small banks)
31.03.2018 T1 Capital ratio (%) (Capital ratios > Small banks)
31.03.2018 Surplus (+) / Deficit (-) of T1 capital (Capital ratios > Small banks)
31.03.2018 Total capital ratio (%) (Capital ratios > Small banks)
31.03.2018 Surplus (+) / Deficit (-) of total capital (Capital ratios > Small banks)
31.03.2018 Combined Buffer Requirement (Capital ratios > Small banks)
31.03.2018 Capital conservation buffer (Capital ratios > Small banks)
31.03.2018 Conservation buffer due to macro-prudential or systemic risk identified at the level of a Member State (Capital ratios > Small banks)
31.03.2018 Institution specific countercyclical capital buffer (Capital ratios > Small banks)
31.03.2018 Systemic risk buffer (Capital ratios > Small banks)
31.03.2018 Systemically important institution buffer (Capital ratios > Small banks)
31.03.2018 Global Systemically Important Institution buffer (Capital ratios > Small banks)
31.03.2018 Other Systemically Important Institution buffer (Capital ratios > Small banks)
31.03.2018 CET1 Capital ratio (%) (Capital ratios > Building societies)
31.03.2018 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Building societies)
31.03.2018 T1 Capital ratio (%) (Capital ratios > Building societies)
31.03.2018 Surplus (+) / Deficit (-) of T1 capital (Capital ratios > Building societies)
31.03.2018 Total capital ratio (%) (Capital ratios > Building societies)
31.03.2018 Surplus (+) / Deficit (-) of total capital (Capital ratios > Building societies)
31.03.2018 Combined Buffer Requirement (Capital ratios > Building societies)
31.03.2018 Capital conservation buffer (Capital ratios > Building societies)
31.03.2018 Conservation buffer due to macro-prudential or systemic risk identified at the level of a Member State (Capital ratios > Building societies)
31.03.2018 Institution specific countercyclical capital buffer (Capital ratios > Building societies)
31.03.2018 Systemic risk buffer (Capital ratios > Building societies)
31.03.2018 Systemically important institution buffer (Capital ratios > Building societies)
31.03.2018 Global Systemically Important Institution buffer (Capital ratios > Building societies)
31.03.2018 Other Systemically Important Institution buffer (Capital ratios > Building societies)
31.03.2018 Cumulative amount of changes (loss) of fair value (Classification of receivables by quality > Banking sector, total)
31.03.2018 Receivables of investment portfolio by default and types (Classification of receivables by quality > Banking sector, total)
31.03.2018 Receivables without default (Classification of receivables by quality > Banking sector, total)
31.03.2018 1. Standard (Classification of receivables by quality > Banking sector, total)
31.03.2018 2 Watch (Classification of receivables by quality > Banking sector, total)
31.03.2018 Receivables in default (Classification of receivables by quality > Banking sector, total)
31.03.2018 1. Substandard (Classification of receivables by quality > Banking sector, total)
31.03.2018 2. Doubtful (Classification of receivables by quality > Banking sector, total)
31.03.2018 3. Loss (Classification of receivables by quality > Banking sector, total)
31.03.2018 Receivables of investment portfolio with default to clients (Classification of receivables by quality > Banking sector, total)
31.03.2018 Sudstandard (Classification of receivables by quality > Banking sector, total)
31.03.2018 Doubtful (Classification of receivables by quality > Banking sector, total)
31.03.2018 Loss (Classification of receivables by quality > Banking sector, total)
31.03.2018 Allowances and changes (loss) of fair value, total (Classification of receivables by quality > Banking sector, total)
31.03.2018 Allowances for individually assessed financial assets (Classification of receivables by quality > Banking sector, total)
31.03.2018 Allowances for individually non-impaired assets (Classification of receivables by quality > Banking sector, total)
31.03.2018 Allowances for portfolio of individually immaterial assets (Classification of receivables by quality > Banking sector, total)
31.03.2018 Cumulative amount of changes (loss) of fair value (Classification of receivables by quality > Large banks)
31.03.2018 Receivables of investment portfolio by default and types (Classification of receivables by quality > Large banks)
31.03.2018 Receivables without default (Classification of receivables by quality > Large banks)
31.03.2018 1. Standard (Classification of receivables by quality > Large banks)
31.03.2018 2 Watch (Classification of receivables by quality > Large banks)
31.03.2018 Receivables in default (Classification of receivables by quality > Large banks)
31.03.2018 1. Substandard (Classification of receivables by quality > Large banks)
31.03.2018 2. Doubtful (Classification of receivables by quality > Large banks)
31.03.2018 3. Loss (Classification of receivables by quality > Large banks)
31.03.2018 Receivables of investment portfolio with default to clients (Classification of receivables by quality > Large banks)
31.03.2018 Sudstandard (Classification of receivables by quality > Large banks)
31.03.2018 Doubtful (Classification of receivables by quality > Large banks)
31.03.2018 Loss (Classification of receivables by quality > Large banks)
31.03.2018 Allowances and changes (loss) of fair value, total (Classification of receivables by quality > Large banks)
31.03.2018 Allowances for individually assessed financial assets (Classification of receivables by quality > Large banks)
31.03.2018 Allowances for individually non-impaired assets (Classification of receivables by quality > Large banks)
31.03.2018 Allowances for portfolio of individually immaterial assets (Classification of receivables by quality > Large banks)
31.03.2018 Cumulative amount of changes (loss) of fair value (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Receivables of investment portfolio by default and types (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Receivables without default (Classification of receivables by quality > Medium-sized banks)
31.03.2018 1. Standard (Classification of receivables by quality > Medium-sized banks)
31.03.2018 2 Watch (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Receivables in default (Classification of receivables by quality > Medium-sized banks)
31.03.2018 1. Substandard (Classification of receivables by quality > Medium-sized banks)
31.03.2018 2. Doubtful (Classification of receivables by quality > Medium-sized banks)
31.03.2018 3. Loss (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Receivables of investment portfolio with default to clients (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Sudstandard (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Doubtful (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Loss (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Allowances and changes (loss) of fair value, total (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Allowances for individually assessed financial assets (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Allowances for individually non-impaired assets (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Allowances for portfolio of individually immaterial assets (Classification of receivables by quality > Medium-sized banks)
31.03.2018 Cumulative amount of changes (loss) of fair value (Classification of receivables by quality > Small banks)
31.03.2018 Receivables of investment portfolio by default and types (Classification of receivables by quality > Small banks)
31.03.2018 Receivables without default (Classification of receivables by quality > Small banks)
31.03.2018 1. Standard (Classification of receivables by quality > Small banks)
31.03.2018 2 Watch (Classification of receivables by quality > Small banks)
31.03.2018 Receivables in default (Classification of receivables by quality > Small banks)
31.03.2018 1. Substandard (Classification of receivables by quality > Small banks)
31.03.2018 2. Doubtful (Classification of receivables by quality > Small banks)
31.03.2018 3. Loss (Classification of receivables by quality > Small banks)
31.03.2018 Receivables of investment portfolio with default to clients (Classification of receivables by quality > Small banks)
31.03.2018 Sudstandard (Classification of receivables by quality > Small banks)
31.03.2018 Doubtful (Classification of receivables by quality > Small banks)
31.03.2018 Loss (Classification of receivables by quality > Small banks)
31.03.2018 Allowances and changes (loss) of fair value, total (Classification of receivables by quality > Small banks)
31.03.2018 Allowances for individually assessed financial assets (Classification of receivables by quality > Small banks)
31.03.2018 Allowances for individually non-impaired assets (Classification of receivables by quality > Small banks)
31.03.2018 Allowances for portfolio of individually immaterial assets (Classification of receivables by quality > Small banks)
31.03.2018 Cumulative amount of changes (loss) of fair value (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Receivables of investment portfolio by default and types (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Receivables without default (Classification of receivables by quality > Foreign bank branches)
31.03.2018 1. Standard (Classification of receivables by quality > Foreign bank branches)
31.03.2018 2 Watch (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Receivables in default (Classification of receivables by quality > Foreign bank branches)
31.03.2018 1. Substandard (Classification of receivables by quality > Foreign bank branches)
31.03.2018 2. Doubtful (Classification of receivables by quality > Foreign bank branches)
31.03.2018 3. Loss (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Receivables of investment portfolio with default to clients (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Sudstandard (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Doubtful (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Loss (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Allowances and changes (loss) of fair value, total (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Allowances for individually assessed financial assets (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Allowances for individually non-impaired assets (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Allowances for portfolio of individually immaterial assets (Classification of receivables by quality > Foreign bank branches)
31.03.2018 Cumulative amount of changes (loss) of fair value (Classification of receivables by quality > Building societies)
31.03.2018 Receivables of investment portfolio by default and types (Classification of receivables by quality > Building societies)
31.03.2018 Receivables without default (Classification of receivables by quality > Building societies)
31.03.2018 1. Standard (Classification of receivables by quality > Building societies)
31.03.2018 2 Watch (Classification of receivables by quality > Building societies)
31.03.2018 Receivables in default (Classification of receivables by quality > Building societies)
31.03.2018 1. Substandard (Classification of receivables by quality > Building societies)
31.03.2018 2. Doubtful (Classification of receivables by quality > Building societies)
31.03.2018 3. Loss (Classification of receivables by quality > Building societies)
31.03.2018 Receivables of investment portfolio with default to clients (Classification of receivables by quality > Building societies)
31.03.2018 Sudstandard (Classification of receivables by quality > Building societies)
31.03.2018 Doubtful (Classification of receivables by quality > Building societies)
31.03.2018 Loss (Classification of receivables by quality > Building societies)
31.03.2018 Allowances and changes (loss) of fair value, total (Classification of receivables by quality > Building societies)
31.03.2018 Allowances for individually assessed financial assets (Classification of receivables by quality > Building societies)
31.03.2018 Allowances for individually non-impaired assets (Classification of receivables by quality > Building societies)
31.03.2018 Allowances for portfolio of individually immaterial assets (Classification of receivables by quality > Building societies)
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Financial & operating income and expenses (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Fee and commission income (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Fee and commission expenses (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Other operating income (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Other operating expenses (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Administrative expenses (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 1. Staff expenses (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 2. Other administrative expenses (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Depreciation (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Impairment (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Investment firms total (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS FOR THE YEAR (1. - 23.) (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Financial & operating income and expenses (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Fee and commission income (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Fee and commission expenses (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Gains or (-) losses on financial assets and liabilities held for trading, net (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Gains or (-) losses from hedge accounting, net (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Other operating income (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Other operating expenses (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Administrative expenses (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 1. Staff expenses (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 2. Other administrative expenses (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Depreciation (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Impairment (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 1. Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 2. Impairment or (-) reversal of impairment of investments in subsidaries, joint ventures and associates (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 3. Impairment or (-) reversal of impairment on non-financial assets (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Investment firms - non-banks (in CZK thousands))
31.03.2018 Exchange differences [gain or (-) loss], net (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Gains or (-) losses on derecognition of non financial assets, net (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Other operating income (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Other operating expenses (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Administrative expenses (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 1. Staff expenses (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 2. Other administrative expenses (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Depreciation (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Provisions or (-) reversal of provisions (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS (1. - 21.) (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Tax expense or (-) income related to profit or loss from continuing operations (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS (1. - 22.) (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Profit or (-) loss after tax from discontinued operations (P&L statement > Foreign IFs branches (in CZK thousands))
31.03.2018 Allowances and changes (loss) of fair value, total / Receivables of investment portfolio, total (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Net interest income (without hedge derivatives) / Total average assets (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Administration costs / Total average assets (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Administration costs / Financial& operating income and expenses (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Number of employees in banking sector (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Number of banking units (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Receivables in default / Recivables total in investment portfolio (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Net carrying amount / Gross carrying amount of receivables in investment portfolio (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Banking sector, total (in % and numbers))
31.03.2018 Allowances and changes (loss) of fair value, total / Receivables of investment portfolio, total (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Net interest income (without hedge derivatives) / Total average assets (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Administration costs / Total average assets (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Administration costs / Financial& operating income and expenses (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Number of employees in banking sector (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Number of banking units (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Receivables in default / Recivables total in investment portfolio (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Net carrying amount / Gross carrying amount of receivables in investment portfolio (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Large banks (in % and numbers))
31.03.2018 Allowances and changes (loss) of fair value, total / Receivables of investment portfolio, total (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Net interest income (without hedge derivatives) / Total average assets (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Administration costs / Total average assets (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Administration costs / Financial& operating income and expenses (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Number of employees in banking sector (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Number of banking units (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Receivables in default / Recivables total in investment portfolio (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Net carrying amount / Gross carrying amount of receivables in investment portfolio (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Medium-sized banks (in % and numbers))
31.03.2018 Allowances and changes (loss) of fair value, total / Receivables of investment portfolio, total (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Net interest income (without hedge derivatives) / Total average assets (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Administration costs / Total average assets (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Administration costs / Financial& operating income and expenses (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Number of employees in banking sector (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Number of banking units (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Receivables in default / Recivables total in investment portfolio (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Net carrying amount / Gross carrying amount of receivables in investment portfolio (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Small banks (in % and numbers))
31.03.2018 Allowances and changes (loss) of fair value, total / Receivables of investment portfolio, total (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Net interest income (without hedge derivatives) / Total average assets (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Administration costs / Total average assets (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Administration costs / Financial& operating income and expenses (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Number of employees in banking sector (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Number of banking units (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Receivables in default / Recivables total in investment portfolio (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Net carrying amount / Gross carrying amount of receivables in investment portfolio (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Foreign bank branches (in % and numbers))
31.03.2018 Allowances and changes (loss) of fair value, total / Receivables of investment portfolio, total (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Financial & operating income and expenses / Total average assets (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Net interest income (without hedge derivatives) / Total average assets (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Profit (loss) after tax / Total average assets (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Profit (loss) after tax / Tier 1 capital (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Administration costs / Total average assets (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Administration costs / Financial& operating income and expenses (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Number of employees in banking sector (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Number of banking units (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Receivables in default / Recivables total in investment portfolio (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 Net carrying amount / Gross carrying amount of receivables in investment portfolio (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 1. Credit institutions (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 2. Clients (%) (Ratio indicators > Building societies (in % and numbers))
31.03.2018 2. Clients (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Financial & operating income and expenses / Total average assets (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Net interest income (without hedge derivatives) / Total average assets (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Profit (loss) after tax / Total average assets (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Profit (loss) after tax / Tier 1 capital (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Administrative expenses / Total average assets (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Administrative expenses / Financial& operating income and expenses (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Number of employees in credit unions (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Adjusted average number of employees (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Number of organizational units (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Receivables in default / Recivables total in investment portfolio (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 1. Credit institutions (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 2. Clients (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Net carrying amount / Gross carrying amount of receivables in default before impairment in investment portfolio (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 1. Credit institutions (%) (Credit unions > Ratio indicators (in % and numbers))
31.03.2018 Covered deposits (Insured and covered deposits > Banking sector, total)
31.03.2018 Insured deposits (Insured and covered deposits > Banking sector, total)
31.03.2018 Covered deposits (Insured and covered deposits > Large banks)
31.03.2018 Insured deposits (Insured and covered deposits > Large banks)
31.03.2018 Covered deposits (Insured and covered deposits > Medium-sized banks)
31.03.2018 Insured deposits (Insured and covered deposits > Medium-sized banks)
31.03.2018 Covered deposits (Insured and covered deposits > Small banks)
31.03.2018 Insured deposits (Insured and covered deposits > Small banks)
31.03.2018 Covered deposits (Insured and covered deposits > Building societies)
31.03.2018 Insured deposits (Insured and covered deposits > Building societies)
31.03.2018 Covered deposits (Credit unions > Insured and covered deposits (in CZK thousands))
31.03.2018 Insured deposits (Credit unions > Insured and covered deposits (in CZK thousands))
- Nonperforming loans net of provisions to capital (Financial Soundness Indicators > Financial Soundness Indicators)
- Nonperforming loans to total gross loans (Financial Soundness Indicators > Financial Soundness Indicators)
- Regulatory Tier 1 capital to risk-weighted assets (Financial Soundness Indicators > Financial Soundness Indicators)
- Return on assets (Financial Soundness Indicators > Financial Soundness Indicators)
- Liquid assets to short-term liabilities (Financial Soundness Indicators > Financial Soundness Indicators)
- Capital to assets (Financial Soundness Indicators > Financial Soundness Indicators)
31.12.2017 CET1 Capital ratio (%) (Capital ratios > Investment firms total (in % and CZK thousands))
31.12.2017 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Investment firms total (in % and CZK thousands))
31.12.2017 Combined Buffer Requirement (Capital ratios > Investment firms total (in % and CZK thousands))
31.12.2017 Capital conservation buffer (Capital ratios > Investment firms total (in % and CZK thousands))
31.12.2017 CET1 Capital ratio (%) (Capital ratios > Investment firms - non-banks (in % and CZK thousands))
31.12.2017 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Investment firms - non-banks (in % and CZK thousands))
31.12.2017 Combined Buffer Requirement (Capital ratios > Investment firms - non-banks (in % and CZK thousands))
31.12.2017 Capital conservation buffer (Capital ratios > Investment firms - non-banks (in % and CZK thousands))
31.12.2017 CET1 Capital ratio (%) (Capital ratios > Management companies with asset management (in % and CZK thousands))
31.12.2017 Surplus (+) / Deficit (-) of CET1 capital (Capital ratios > Management companies with asset management (in % and CZK thousands))
31.12.2017 Combined Buffer Requirement (Capital ratios > Management companies with asset management (in % and CZK thousands))
31.12.2017 Capital conservation buffer (Capital ratios > Management companies with asset management (in % and CZK thousands))
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