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Data & statistics on Banks Liquid Asset Ratio – 134 results

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Carry value of the bank’s aggregate liquid assets is shown in the table below.

Carry value of the bank’s aggregate liquid assets is shown in the table below.

www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/FinancialResults/2013/hbca2013q3-en.pdf

simulation credit VaR. Effective 1 January 2013, the bank has included ICVaR within ...
VaR disclosed in the table and graph below is the bank’s total VaR for both trading and non-trading books and remained within the bank’s limits. The increase in VaR during July 2013, was due a temporary widening in credit spreads effecting

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/FinancialResults/2013/hbca2013q3-en.pdf
HSBC BANK CANADA

HSBC BANK CANADA

www.hsbc.com/1/content/assets/investor_relations/hbca2011ar_en.pdf

The transition to IFRS did not have a material effect on the bank’s regulatory capital. On a pro-forma IFRS basis, the bank’s Tier 1 regulatory capital ratio at 31 ...
regulatory standards on bank capital adequacy and liquidity (‘Basel III’), as endorsed ...
common equity to risk-weighted assets ratio. The Basel III rules also call

Jan 2019 | www.hsbc.com
Original Url: http://www.hsbc.com/1/content/assets/investor_relations/hbca2011ar_en.pdf
The bank’s USD Rate PVBP for 2Q10 varied -43.76% versus prior quarter. The bank’s average PVBP for the 2Q10 varied 0.03% versus prior quarter.

The bank’s USD Rate PVBP for 2Q10 varied -43.76% versus prior quarter. The bank’s average PVBP for the 2Q10 varied 0.03% versus prior quarter.

www.hsbc.com/1/content/assets/investor_relations/sea/hbmx2010q2_en.pdf

The bank’s UDI Rate PVBP for 2Q10 varied -2.03% versus prior quarter. The bank’s average PVBP for the 2Q10 varied 6.05% versus prior quarter. Liquidity Risk Qualitative Information Liquidity risk is generated by gaps in the maturity of assets ...
31-Mar-10 30-Jun-10 Bank Accrual Trading Desk Balance Sheet Trading * Absolute Value (0.228) (0.165) (0.044) (0.019) NA = Non Aplicable (0.223) (0.154) (0.047) (0.023)

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/1/content/assets/investor_relations/sea/hbmx2010q2_en.pdf
Pledged Assets Pledged assets included in the consolidated balance sheet consisted of the following.

Pledged Assets Pledged assets included in the consolidated balance sheet consisted of the following.

www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/3q13-results/hbus2013form10q-3q.pdf

Liquidity asset purchase agreements We provide liquidity facilities to a number of multi-seller and single-seller asset-backed commercial paper conduits sponsored ...
the conduit is unable to refinance its commercial paper. A liquidity asset purchase ...
Pledged Assets Pledged assets included in the consolidated balance sheet

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/3q13-results/hbus2013form10q-3q.pdf
Impairment allowances on loans and advances to customers

Impairment allowances on loans and advances to customers

www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/FinancialResults/2013/hbca2013q3-en.pdf

when the necessary liquidity to fund illiquid asset positions cannot be obtained at the expected terms and when required. Liquid assets The bank’s liquid assets are classified ...
the liquid asset portfolio are unencumbered.

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/FinancialResults/2013/hbca2013q3-en.pdf
Items in the course of collection from other banks Prepayments and accrued income Assets held for sale - repossessed assets - assets of disposal groups held for sale - other assets held for sale Acceptances and endorsements Retirement benefit assets Other accounts

Items in the course of collection from other banks Prepayments and accrued income Assets held for sale - repossessed assets - assets of disposal groups held for sale - other assets held for sale ...

www.hsbc.com/1/PA_esf-ca-app-content/content/assets/investor_relations/hase2012irn.pdf

mainly to the increase in the bank’s share of net assets of Industrial Bank. On 6 March 2012, Industrial Bank announced a proposal for the private placement ...
groups held for sale' related to the sale of assets of the bank's general insurance ...
Other assets At 30 June At 30 June At 31 December Figures in HK$m Items in the course of collection from other banks Prepayments and accrued income Assets held for sale - repossessed assets - assets of disposal groups held for sale - other assets

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/1/PA_esf-ca-app-content/content/assets/investor_relations/hase2012irn.pdf
Intangible assets consisted of the following

Intangible assets consisted of the following

www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/3q13-results/hbus2013form10q-3q.pdf

Loans held for sale are subject to market risk, liquidity risk and interest ...
with this economic hedging program, which is included in residential mortgage banking revenue ...
for these loans. Intangible Assets MSRs are subject to credit, prepayment and interest rate

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/3q13-results/hbus2013form10q-3q.pdf
Repurchase and Reverse Repurchase Transactions and Collateral Pledged/Accepted In the normal course of business, the Group and the Bank sell assets to raise liabilities and accept assets for resale. Assets sold and received are mainly via repurchase agreements and reverse repurchase agreements. Collateral is accepted and pledged on derivative contracts, mainly in the form of cash.

Repurchase and Reverse Repurchase Transactions and Collateral Pledged/Accepted In the normal course of business, the Group and the Bank sell assets to raise liabilities and accept assets for resale. ...

www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/FinancialResults/2011/hbmy2011ar-en.pdf

Company No. 127776-V 39 Interest/ Profit Rate Risk (Cont'd) Non-trading book >3 - 12 months RM'000 Effective interest rate Bank 31 Dec 2010 Up to 1 month RM'000 >1 - 3 months RM'000 Over 5 years RM'000 Non-interest sensitive RM'000 Trading book RM'000 ...
Bank 31 Dec 2011 31 Dec 2010 RM'000 RM'000 Group 31 Dec 2011 RM'000 31 Dec 2010 RM'000 Carrying amount of assets and collateral pledged - Sold under repurchase agreements - Collateral pledged on derivative contracts (ISDA*)

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/~/media/HSBC-com/InvestorRelationsAssets/FinancialResults/2011/hbmy2011ar-en.pdf
Analysis of capital base and risk-weighted assets

Analysis of capital base and risk-weighted assets

www.hsbc.com/1/PA_esf-ca-app-content/content/assets/investor_relations/hase2012irn.pdf

Financial Review (continued) Hang Seng Bank Limited Capital resources management Financial Review (continued) Hang Seng Bank Limited Capital resources management (continued) ...
Analysis of capital base and risk-weighted assets At 30 June At 30 June At 31 ...
347 ) (15, 136 ) (15, 860 ) - Goodwill and intangible assets - 50% of unconsolidated

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/1/PA_esf-ca-app-content/content/assets/investor_relations/hase2012irn.pdf
UK Retail Banking strategy and performance Financial performance

UK Retail Banking strategy and performance Financial performance

www.hsbc.com/1/content/assets/investor_relations/110906_hsbc_uk_2011_interim_results_presentation.pdf

to deposits ratio remains strong and differentiated from UK peer group UK Retail Banking ...
prior to 2010 does not include Global Asset Management (AMG) Resilient PBT ...
trust us with their banking and future Current position Customer value-led focus

2031 (projection) | www.hsbc.com
Original Url: http://www.hsbc.com/1/content/assets/investor_relations/110906_hsbc_uk_2011_interim_results_presentation.pdf
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