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Textual Amendments
F1 Substituted by Commission Implementing Regulation (EU) 2015/227 of 9 January 2015 amending Implementing Regulation (EU) No 680/2014 laying down implementing technical standards with regard to supervisory reporting of institutions according to Regulation (EU) No 575/2013 of the European Parliament and of the Council (Text with EEA relevance).
F2 Substituted by Commission Implementing Regulation (EU) 2017/1443 of 29 June 2017 amending Implementing Regulation (EU) No 680/2014 laying down implementing technical standards with regards to supervisory reporting of institutions according to Regulation (EU) No 575/2013 of the European Parliament and of the Council (Text with EEA relevance).
[F1 [F2By type of risk / By product or by type of market | Carrying amount | Fair value | Notional amount | ||||||||
---|---|---|---|---|---|---|---|---|---|---|---|
Positive value | Negative value | Total Trading | of which: sold | ||||||||
Financial assets Held for trading and trading | of which: Financial assets measured at a cost-based method / LOCOM | Financial liabilities Held for trading and trading | of which: Financial liabilities measured at a cost-based method / LOCOM | ||||||||
References National GAAP compatible IFRS | Annex V.Part 2.120, 131 | IFRS 9.BA.7 (a); Annex V.Part 2.120, 131 | Annex V.Part 2.133-135 | Annex V.Part 2.133-135 | |||||||
References National GAAP based on BAD | Annex V.Part 1.17, Part 2.120 | Annex V.Part 2.124 | Annex V.Part 1.25, Part 2.120 | Annex V.Part 2.124 | Annex V.Part 2.132 | Annex V.Part 2.132 | Annex V.Part 2.133-135 | Annex V.Part 2.133-135 | |||
010 | 011 | 020 | 016 | 022 | 025 | 030 | 040 | ||||
010 | Interest rate | Annex V.Part 2.129(a) | Annex V.Part 2.129(a) | ||||||||
020 | of which: economic hedges | Annex V.Part 2.137-139 | Annex V.Part 2.137-139 | ||||||||
030 | OTC options | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
040 | OTC other | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
050 | Organized market options | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
060 | Organized market other | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
070 | Equity | Annex V.Part 2.129(b) | Annex V.Part 2.129(b) | ||||||||
080 | of which: economic hedges | Annex V.Part 2.137-139 | Annex V.Part 2.137-139 | ||||||||
090 | OTC options | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
100 | OTC other | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
110 | Organized market options | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
120 | Organized market other | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
130 | Foreign exchange and gold | Annex V.Part 2.129(c) | Annex V.Part 2.129(c) | ||||||||
140 | of which: economic hedges | Annex V.Part 2.137-139 | Annex V.Part 2.137-139 | ||||||||
150 | OTC options | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
160 | OTC other | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
170 | Organized market options | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
180 | Organized market other | Annex V.Part 2.136 | Annex V.Part 2.136 | ||||||||
190 | Credit | Annex V.Part 2.129(d) | Annex V.Part 2.129(d) | ||||||||
195 | of which: economic hedges with use of the fair value option | Annex V.Part 2.140 | IFRS 9.6.7.1; Annex V.Part 2.140 | ||||||||
201 | of which: other economic hedges | Annex V.Part 2.137-140 | Annex V.Part 2.137-140 | ||||||||
210 | Credit default swap | ||||||||||
220 | Credit spread option | ||||||||||
230 | Total return swap | ||||||||||
240 | Other | ||||||||||
250 | Commodity | Annex V.Part 2.129(e) | Annex V.Part 2.129(e) | ||||||||
260 | of which: economic hedges | Annex V.Part 2.137-139 | Annex V.Part 2.137-139 | ||||||||
270 | Other | Annex V.Part 2.129(f) | Annex V.Part 2.129(f) | ||||||||
280 | of which: economic hedges | Annex V.Part 2.137-139 | Annex V.Part 2.137-139 | ||||||||
290 | DERIVATIVES | CRR Annex II; Annex V.Part 1.16(a) | IFRS 9.Appendix A | ||||||||
300 | of which: OTC - credit institutions | Annex V.Part 1.42(c), 44(e), Part 2.141 (a), 142 | Annex V.Part 1.42(c), 44(e), Part 2.141(a), 142 | ||||||||
310 | of which: OTC - other financial corporations | Annex V.Part 1.42(d), 44(e), Part 2.141(b) | Annex V.Part 1.42(d), 44(e), Part 2.141(b) | ||||||||
320 | of which: OTC - rest | Annex V.Part 1.44(e), Part 2.141(c) | Annex V.Part 1.44(e), Part 2.141(c) | ] ] |