Selecting data ...
Ind. Number | Název ukazetele |
---|---|
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 |
Home | Data Selection | Search | Favourites Data | Data Tables | Documentation | Česká verze
Copyright(c) Czech National Bank, 2003-2021, All rights reserved | RSS