Commission Implementing Regulation (EU) No 680/2014Show full title

Commission Implementing Regulation (EU) No 680/2014 of 16 April 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)

[F1ANNEX III U.K. REPORTING FINANCIAL INFORMATION ACCORDING TO IFRS

ANNEX III Table 1: rows 1 - 93

1. Balance Sheet Statement [Statement of Financial Position] U.K.

1.1 Assets U.K.

ANNEX III Table 2: rows 1 - 41

1.2 Liabilities U.K.

ANNEX III Table 3: rows 1 - 33

1.3 Equity U.K.

ANNEX III Table 4: rows 1 - 43

2. Statement of profit or loss U.K.

ANNEX III Table 5: rows 1 - 75

3. Statement of comprehensive income U.K.

ANNEX III Table 6: rows 1 - 47

4. Breakdown of financial assets by instrument and by counterparty sector U.K.

4.1 Financial assets held for trading U.K.

ANNEX III Table 7: rows 1 - 22

4.2.1 Non-trading financial assets mandatorily at fair value through profit or loss U.K.

ANNEX III Table 8: rows 1 - 21

4.2.2 Financial assets designated at fair value through profit or loss U.K.

ANNEX III Table 9: rows 1 - 17

4.3.1 Financial assets at fair value through other comprehensive income U.K.

ANNEX III Table 10: rows 1 - 24

4.4.1 Financial assets at amortised cost U.K.

ANNEX III Table 11: rows 1 - 20

4.5 Subordinated financial assets U.K.

References Carrying amount
Annex V.Part 1.27
010
010 Loans and advances Annex V.Part 1.32
020 Debt securities Annex V.Part 1.31
030 SUBORDINATED [FOR THE ISSUER] FINANCIAL ASSETS Annex V.Part 2.78, 100

5. Breakdown of non-trading Loans and advances by product U.K.

5.1 Loans and advances other than held for trading and trading assets by product U.K.

ANNEX III Table 13: rows 1 - 17

6. Breakdown of non-trading loans and advances to non-financial corporations by NACE codes U.K.

6.1 Breakdown of loans and advances other than held for trading to non-financial corporations by NACE codes U.K.

ANNEX III Table 14: rows 1 - 25

7. Financial assets subject to impairment that are past due U.K.

7.1 Financial assets subject to impairment that are past due U.K.

ANNEX III Table 15: rows 1 - 32

8. Breakdown of financial liabilities U.K.

8.1 Breakdown of financial liabilities by product and by counterparty sector U.K.

ANNEX III Table 16: rows 1 - 49

8.2 Subordinated financial liabilities U.K.

References Carriyng amount
Designated at fair value through profit or loss At amortized cost
IFRS 7.8(e)(i); IFRS 9.4.2.2, IFRS 9.4.3.5 IFRS 7.8(g); IFRS 9.4.2.1
010 020
010 Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36
020 Debt securities issued Annex V.Part 1.37
030 SUBORDINATED FINANCIAL LIABILITIES Annex V.Part 2.99-100

9. Loan commitments, financial guarantees and other commitments U.K.

9.1.1 Off-balance sheet exposures: Loan commitments, financial guarantees and other commitments given U.K.

ANNEX III Table 18: rows 1 - 28

9.2 Loan commitments, financial guarantees and other commitments received U.K.

ANNEX III Table 19: rows 1 - 24

10. Derivatives - Trading and economic hedges U.K.

ANNEX III Table 20: rows 1 - 37

11. Hedge accounting U.K.

11.1 Derivatives - Hedge accounting: Breakdown by type of risk and type of hedge U.K.

ANNEX III Table 21: rows 1 - 57

11.3 Non-derivative hedging instruments: Breakdown by accounting portfolio and type of hedge U.K.

ANNEX III Table 22: rows 1 - 12

F11.4 Hedged items in fair value hedges U.K.

ANNEX III Table 23: rows 1 - 27

12. Movements in allowances and provisions for credit losses U.K.

12.1 Movements in allowances and provisions for credit losses U.K.

ANNEX III Table 24: rows 1 - 58

12.2 Transfers between impairment stages (gross basis presentation) U.K.

ANNEX III Table 25: rows 1 - 20

13. Collateral and guarantees received U.K.

13.1 Breakdown of collateral and guarantees by loans and advances other than held for trading U.K.

ANNEX III Table 26: rows 1 - 10

13.2 Collateral obtained by taking possession during the period [held at the reporting date] U.K.

References Carrying amount
Annex V.Part 2.175
010
010 Non-current assets held-for-sale IFRS 7.38(a)
020 Property, plant and equipment IFRS 7.38(a)
030 Investment property IFRS 7.38(a)
040 Equity and debt instruments IFRS 7.38(a)
050 Other IFRS 7.38(a)
060 Total

13.3 Collateral obtained by taking possession [tangible assets] accumulated U.K.

References Carrying amount
010
010 Foreclosure [tangible assets] IFRS 7.38(a); Annex V.Part 2.176

14. Fair value hierachy: financial instruments at fair value U.K.

ANNEX III Table 29: rows 1 - 34

15. Derecognition and financial liabilities associated with transferred financial assets U.K.

ANNEX III Table 30: rows 1 - 24

16. Breakdown of selected statement of profit or loss items U.K.

16.1 Interest income and expenses by instrument and counterparty sector U.K.

ANNEX III Table 31: rows 1 - 33

16.2 Gains or losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss by instrument U.K.

References Current period
Annex V. Part 2.195-196
010
020 Debt securities Annex V.Part 1.31
030 Loans and advances Annex V.Part 1.32
040 Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36
050 Debt securities issued Annex V.Part 1.37
060 Other financial liabilities Annex V.Part 1.38-41
070 GAINS OR (-) LOSSES ON DERECOGNITION OF FINANCIAL ASSETS AND LIABILITIES NOT MEASURED AT FAIR VALUE THROUGH PROFIT OR LOSS, NET Annex V.Part 2.45

16.3 Gains or losses on financial assets and liabilities held for trading and trading financial assets and trading financial liabilities by instrument U.K.

References Current period
Annex V. Part 2.197-198
010
010 Derivatives IFRS 9.Appendix A, .BA.1, .BA.7(a)
015 of which: Economic hedges with use of the fair value option IFRS 9.6.7.1; IFRS 7.9(d); Annex V.Part 2.199
020 Equity instruments IAS 32.11
030 Debt securities Annex V.Part 1.31
040 Loans and advances Annex V.Part 1.32
050 Short positions IFRS 9.BA.7(b)
060 Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36
070 Debt securities issued Annex V.Part 1.37
080 Other financial liabilities Annex V.Part 1.38-41
090 GAINS OR (-) LOSSES ON FINANCIAL ASSETS AND LIABILITIES HELD FOR TRADING, NET IFRS 9.Appendix A, .BA.6;IFRS 7.20(a)(i)
095 of which: gains and losses due to the reclassification of assets at amortised cost IFRS 9.5.6.2; annex V.Part 2.199

16.4 Gains or losses on financial assets and liabilities held for trading and trading financial assets and trading financial liabilities by risk U.K.

References Current period
010
010 Interest rate instruments and related derivatives Annex V.Part 2.200(a)
020 Equity instruments and related derivatives Annex V.Part 2.200(b)
030 Foreign exchange trading and derivatives related with foreign exchange and gold Annex V.Part 2.200(c)
040 Credit risk instruments and related derivatives Annex V.Part 2.200(d)
050 Derivatives related with commodities Annex V.Part 2.200(e)
060 Other Annex V.Part 2.200(f)
070 GAINS OR (-) LOSSES ON FINANCIAL ASSETS AND LIABILITIES HELD FOR TRADING, NET IFRS 7.20(a)(i)

16.4.1 Gains or losses on non-trading financial assets mandatorily at fair value through profit or loss by instrument U.K.

References Current period
Annex V.Part 2.201
010
020 Equity instruments IAS 32.11
030 Debt securities Annex V.Part 1.31
040 Loans and advances Annex V.Part 1.32
090 GAINS OR (-) LOSSES ON NON-TRADING FINANCIAL ASSETS MANDATORILY AT FAIR VALUE THROUGH PROFIT AND LOSS, NET IFRS 7.20(a)(i)
100 of which: gains and losses due to the reclassification of assets at amortised cost IFRS 9.6.5.2; Annex V.Part 2.202

16.5 Gains or losses on financial assets and liabilities designated at fair value through profit or loss by instrument U.K.

References Current period Changes in fair value due to credit risk
Annex V.Part 2.203 Annex V.Part 2.203
010 020
020 Debt securities Annex V.Part 1.31
030 Loans and advances Annex V.Part 1.32
040 Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36
050 Debt securities issued Annex V.Part 1.37
060 Other financial liabilities Annex V.Part 1.38-41
070 GAINS OR (-) LOSSES ON FINANCIAL ASSETS AND LIABILITIES DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS, NET IFRS 7.20(a)(i)
071 of which: gains or (-) losses upon designation of financial assets and liabilities designated at fair value through profit or loss for hedging purposes, net IFRS 9.6.7;IFRS 7.24G(b); Annex V.Part 2.204
072 of which: gains or (-) losses after designation on financial assets and liabilities designated at fair value through profit or loss for hedging purposes, net IFRS 9.6.7; IFRS 7.20(a)(i); Annex V.Part 2.204

16.6 Gains or losses from hedge accounting U.K.

References Current period
Annex V.Part 2.205
010
010 Fair value changes of the hedging instrument [including discontinuation] IFRS 7.24A(c);IFRS 7.24C(b)(vi)
020 Fair value changes of the hedged item attributable to the hedged risk IFRS 9.6.3.7; .6.5.8; .B6.4.1; IFRS 7.24B(a)(iv); IFRS 7.24C(b)(vi); Annex V.Part 2.206
030 Ineffectiveness in profit or loss from cash flow hedges IFRS 7.24C(b)ii; IFRS 7.24C(b)(vi)
040 Ineffectiveness in profit or loss from hedges of net investments in foreign operations IFRS 7.24C(b)(ii); IFRS 7.24C(b)(vi)
050 GAINS OR (-) LOSSES FROM HEDGE ACCOUNTING, NET

16.7 Impairment on non-financial assets U.K.

ANNEX III Table 38: rows 1 - 15

17. Reconciliation between Accounting and CRR scope of consolidation: Balance Sheet U.K.

17.1 Assets U.K.

ANNEX III Table 39: rows 1 - 40

17.2 Off-balance sheet exposures: Loan commitments, financial guarantees and other commitments given U.K.

References Accounting scope of consolidation [Nominal amount]
Annex V.Part 2.118, 209
010
010 Loan commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 113, 116
020 Financial guarantees given IFRS 4 Annex A; CRR Annex I; Annex V.Part 1.44(f), Part 2.102-105, 114, 116
030 Other Commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 115, 116
040 OFF-BALANCE SHEET EXPOSURES

17.3 Liabilities and equity U.K.

ANNEX III Table 41: rows 1 - 42

18. Information on performing and non-performing exposures U.K.

ANNEX III Table 42: rows 1 - 75

19. Information forborne exposures U.K.

ANNEX III Table 43: rows 1 - 54

20. Geographical breakdown U.K.

20.1 Geographical breakdown of assets by location of the activities U.K.

ANNEX III Table 44: rows 1 - 36

20.2 Geographical breakdown of liabilities by location of the activities U.K.

ANNEX III Table 45: rows 1 - 26

20.3 Geographical breakdown of statement of profit or loss items by location of the activities U.K.

ANNEX III Table 46: rows 1 - 35

20.4 Geographical breakdown of assets by residence of the counterparty U.K.

ANNEX III Table 47: rows 1 - 30

20.5 Geographical breakdown of off-balance sheet exposures by residence of the counterparty U.K.

z-axis Country of residence of the counterparty
References Nominal amount Provisions for commitments and guarantees given
Of which: debt forbearance Of which: non-perfoming
Annex V.Part 2.118, 271 Annex V.Part 2.240-258 Annex V.Part 2.275 Annex V.Part 2.276
010 022 025 030
010 Loan commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 113, 116
020 Financial guarantees given IFRS 4 Annex A; CRR Annex I; Annex V.Part 1.44(f), Part 2.102-105, 114, 116
030 Other Commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 115, 116

20.6 Geographical breakdown of liabilities by residence of the counterparty U.K.

ANNEX III Table 49: rows 1 - 18

20.7.1 Geographical breakdown by residence of the counterparty of loans and advances other than held for trading to non-financial corporations by NACE codes U.K.

ANNEX III Table 50: rows 1 - 27

21. Tangible and intangible assets: assets subject to operating lease U.K.

References Carrying amount
Annex V.Part 2.278-279
010
010 Property plant and equipment IAS 16.6; IAS 1.54(a)
020 Revaluation model IAS 17.49; IAS 16.31, 73(a)(d)
030 Cost model IAS 17.49; IAS 16.30, 73(a)(d)
040 Investment property IAS 40.IN5; IAS 1.54(b)
050 Fair value model IAS 17.49; IAS 40.33-55, 76
060 Cost model IAS 17.49; IAS 40.56,79(c)
070 Other intangible assets IAS 38.8, 118
080 Revaluation model IAS 17.49; IAS 38.75-87, 124(a)(ii)
090 Cost model IAS 17.49; IAS 38.74

22. Asset management, custody and other service functions U.K.

22.1 Fee and commission income and expenses by activity U.K.

ANNEX III Table 52: rows 1 - 32

22.2 Assets involved in the services provided U.K.

ANNEX III Table 53: rows 1 - 19

30. Off-balance sheet activities: Interests in unconsolidated structured entities U.K.

30.1 Interests in unconsolidated structured entities U.K.

References Carrying amount of financial assets recognised in the balance sheet Of which: liquidity support drawn Fair value of liquidity support drawn Carrying amount of financial liabilities recognised in the balance sheet Nominal amount of off-balance sheet exposures given by the reporting institution Of which: Nominal amount of loan commitments given Losses incurred by the reporting institution in the current period
IFRS 12.29(a) IFRS 12.29(a); Annex V.Part 2.286 IFRS 12.29(a) IFRS 12.B26(e) IFRS 12 B26(b); Annex V.Part 2.287
010 020 030 040 050 060 080
010 Total

30.2 Breakdown of interests in unconsolidated structured entities by nature of the activities U.K.

ANNEX III Table 55: rows 1 - 18

31. Related parties U.K.

31.1 Related parties: amounts payable to and amounts receivable from U.K.

ANNEX III Table 56: rows 1 - 18

31.2 Related parties: expenses and income generated by transactions with U.K.

ANNEX III Table 57: rows 1 - 13

40. Group structure U.K.

40.1 Group structure: entity-by-entity U.K.

ANNEX III Table 58: rows 1 - 4

40.2. Group structure: instrument-by-instrument U.K.

Security code Entity code Holding company LEI code Holding company code Holding company name Accumulated equity interest (%) Carrying amount Acquisition cost
Annex V.Part 2.297(a) Annex V.Part 2.296(b), 297(c) Annex V.Part 2.297(b) Annex V.Part 2.297(b) Annex V.Part 2.296(j), 297(c) Annex V.Part 2.296(o), 297(c) Annex V.Part 2.296(p), 297(c)
010 020 030 040 050 060 070 080

41. Fair value U.K.

41.1 Fair value hierarchy: financial instruments at amortised cost U.K.

ANNEX III Table 60: rows 1 - 11

41.2 Use of the Fair Value Option U.K.

ANNEX III Table 61: rows 1 - 12

42. Tangible and intangible assets: carrying amount by measurement method U.K.

References Annex V.Part 2.302 Carrying amount
010
010 Property plant and equipment IAS 16.6; IAS 16.29; IAS 1.54(a)
020 Revaluation model IAS 16.31, 73(a),(d)
030 Cost model IAS 16.30, 73(a),(d)
040 Investment property IAS 40.5, 30; IAS 1.54(b)
050 Fair value model IAS 40.33-55, 76
060 Cost model IAS 40.56, 79(c)
070 Other intangible assets IAS 38.8, 118, 122 ; Annex V.Part 2.303
080 Revaluation model IAS 38.75-87, 124(a)(ii)
090 Cost model IAS 38.74

43. Provisions U.K.

ANNEX III Table 63: rows 1 - 11

44 Defined benefit plans and employee benefits U.K.

44.1 Components of net defined benefit plan assets and liabilities U.K.

References Amount
Annex V.Part 2.306-307
010
010 Fair value of defined benefit plan assets IAS 19.140(a)(i), 142
020 Of which: Financial instruments issued by the institution IAS 19.143
030 Equity instruments IAS 19.142(b)
040 Debt instruments IAS 19.142(c)
050 Real estate IAS 19.142(d)
060 Other defined benefit plan assets
070 Present value of defined benefit obligations IAS 19.140(a)(ii)
080 Effect of the asset ceiling IAS 19.140(a)(iii)
090 Net defined benefit assets [Carrying amount] IAS 19.63; Annex V.Part 2.308
100 Provisions for pensions and other post-employment defined benefit obligations [Carrying amount] IAS 19.63, IAS 1.78(d); Annex V.Part 2.9
110 Memo item: Fair value of any right to reimbursement recognised as an asset IAS 19.140(b)

44.2 Movements in defined benefit obligations U.K.

ANNEX III Table 65: rows 1 - 15

44.3 Memo items [related to staff expenses] U.K.

References Current period
010
010 Pension and similar expenses Annex V.Part 2.311(a)
020 Share based payments IFRS 2.44; Annex V.Part 2.311(b)

45 Breakdown of selected items of statement of profit or loss U.K.

45.1 Gains or losses on financial assets and liabilities designated at fair value through profit or loss by accounting portfolio U.K.

References Current period Changes in fair value due to credit risk
Annex V.Part 2.312
010 020
010 Financial assets designated at fair value through profit or loss IFRS 7.20(a)(i); IFRS 9.4.1.5
020 Financial liabilities designated at fair value through profit or loss IFRS 7.20(a)(i); IFRS 9.4.2.2
030 GAINS OR (-) LOSSES ON FINANCIAL ASSETS AND LIABILITIES DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS IFRS 7.20(a)(i)

45.2 Gains or losses on derecognition of non-financial assets U.K.

References Current period
Annex V.Part 2.313
010
020 Investment property IAS 40.69; IAS 1.34(a), 98(d)
030 Intangible assets IAS 38.113-115A; IAS 1.34(a)
040 Other assets IAS 1.34 (a)
050 GAINS OR (-) LOSSES ON DERECOGNITION OF NON-FINANCIAL ASSETS IAS 1.34

45.3 Other operating income and expenses U.K.

References Income Expenses
010 020
010 Changes in fair value in tangible assets measured using the fair value model IAS 40.76(d); Annex V.Part 2.314
020 Investment property IAS 40.75(f); Annex V.Part 2.314
030 Operating leases other than investment property IAS 17.50, 51, 56(b); Annex V.Part 2.315
040 Other Annex V.Part 2.316
050 OTHER OPERATING INCOME OR EXPENSES Annex V.Part 2.314-316

46. Statement of changes in equity] U.K.

ANNEX III Table 70: rows 1 - 25