Section 3: Intra-Financial System Assets |
|
|
|
a. Funds deposited with or lent to other financial institutions .......................................................................... |
370,249 |
(1) Certificates of deposit ........................................................................................................................... |
20,278 |
b. Undrawn committed lines extended to other financial institutions ............................................................... |
1,989 |
c. Holdings of securities issued by other financial institutions 1: |
|
(1) Secured debt securities ........................................................................................................................... |
28,242 |
(2) Senior unsecured debt securities ............................................................................................................. |
27,783 |
(3) Subordinated debt securities ................................................................................................................... |
127 |
(4) Commercial paper ................................................................................................................................ |
8,177 |
(5) Stock (including par and surplus of common and preferred shares) ........................................................ |
15,209 |
(6) Offsetting short positions in relation to the specific stock holdings included in item 3.c.(5) ................. |
0 |
d. Net positive current exposure of SFTs with other financial institutions ....................................................... |
7,933 |
e. OTC derivatives with other financial institutions that have a net positive fair value: |
|
(1) Net positive fair value (including collateral held, if it is within the master netting agreement) .............. |
15,539 |
(2) Potential future exposure ..................................................................................................................... |
71,084 |
|
|
Intra-financial system assets indicator (sum of items 3.a, 3.b to 3.c.(5), 3.d, 3.e.(1), and 3.e.(2), minus 3.c.(6)) |
546,332 |
|
|
Section 4: Intra-Financial System Liabilities |
|
|
|
a. Deposits due to depository institutions ........................................................................................................ |
205,329 |
b. Deposits due to non-depository financial institutions .................................................................................. |
206,814 |
c. Undrawn committed lines obtained from other financial institutions ........................................................... |
797 |
d. Net negative current exposure of SFTs with other financial institutions ...................................................... |
7,279 |
e. OTC derivatives with other financial institutions that have a net negative fair value: |
|
(1) Net negative fair value (including collateral provided, if it is within the master netting agreement) ...... |
3,537 |
(2) Potential future exposure ..................................................................................................................... |
60,786 |
|
|
Intra-financial system liabilities indicator (sum of items 4.a to 4.e.(2)) ............................................................. |
484,542 |
|
|
Section 5: Securities Outstanding |
|
|
|
a. Secured debt securities ................................................................................................................................. |
15,451 |
b. Senior unsecured debt securities ................................................................................................................... |
122,247 |
c. Subordinated debt securities ......................................................................................................................... |
42,823 |
d. Commercial paper ....................................................................................................................................... |
10,538 |
e. Certificates of deposit ................................................................................................................................. |
31,205 |
f. Common equity .......................................................................................................................................... |
206,067 |
g. Preferred shares and any other forms of subordinated funding not captured in item 5.c. .............................. |
3,685 |
|
|
Securities outstanding indicator (sum of items 5.a to 5.g) ................................................................................... |
432,016 |