Data Selection

Data selection parameters
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Select report indicators
  • Ind. Number Indicator name
    1 Total risk exposure amount
    2 Of which: Investment firms under Article 90 paragraph 2 and Article 93 of CRR
    3 Of which: Investment firms under Article 91 paragraph 1 and 2 and Article 92 of CRR
    4 1. Standardised Approach (SA)
    5 1.1. SA exposure classes excluding securitisation positions
    6 1.1.1. Central governments or central banks
    7 1.1.2. Regional governments or local authorities
    8 1.1.3. Public sector entities
    9 1.1.4. Multilateral Development Banks
    10 1.1.5. International Organisations
    11 1.1.6. Institutions
    12 1.1.7. Corporates
    13 1.1.8. Retail
    14 1.1.9. Secured by mortgages on immovable property
    15 1.1.10. Exposures in default
    16 1.1.11. Items associated with particular high risk
    17 1.1.12. Covered bonds
    18 1.1.13. Claims on institutions and corporates with a short-term credit assessment
    19 1.1.14. Collective investments undertakings (CIU)
    20 1.1.15. Equity
    21 1.1.16. Other items
    22 1.2. Securitisation positions SA
    23 2. Settlement risk
    24 3. Total risk exposure amount for position, foreign exchange and commodities risks
    25 4. Total risk exposure amount for operational risk
    26 5. Additional risk exposure amount due to fixed overheads
    27 6. Total risk exposure amount for credit valuation adjustment
    28 7. Total risk exposure amount related to large exposures in the trading book
    29 8. Other risk exposure amounts

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