ANNEX VIII

ANNEX XXIVREPORTING ON LIQUIDITY

LIQUIDITY TEMPLATES

Template number

Template code

Name of the template /group of templates

LIQUIDITY COVERAGE TEMPLATES

PART I – LIQUID ASSETS

72

C 72.00

LIQUIDITY COVERAGE – LIQUID ASSETS

PART II – OUTFLOWS

73

C 73.00

LIQUIDITY COVERAGE – OUTFLOWS

PART III – INFLOWS

74

C 74.00

LIQUIDITY COVERAGE – INFLOWS

PART IV – COLLATERAL SWAPS

75

C 75.01

LIQUIDITY COVERAGE – COLLATERAL SWAPS

PART V – CALCULATIONS

76

C 76.00

LIQUIDITY COVERAGE – CALCULATIONS

PART VI – PERIMETER OF CONSOLIDATION

77

C 77.00

LIQUIDITY COVERAGE – PERIMETER

C 72.00 – LIQUIDITY COVERAGE – LIQUID ASSETSCurrency

Row

ID

Item

Amount/Market value

Standard weight

Applicable weight

Value in accordance with Article 9

010

020

030

040

010

1

TOTAL UNADJUSTED LIQUID ASSETS

020

1.1

Total unadjusted level 1 assets

030

1.1.1

Total unadjusted LEVEL 1 assets excluding extremely high quality covered bonds

040

1.1.1.1

Coins and banknotes

1,0

050

1.1.1.2

Withdrawable central bank reserves

1,0

060

1.1.1.3

Central bank assets

1,0

070

1.1.1.4

Central government assets

1,0

080

1.1.1.5

Regional government / local authorities assets

1,0

090

1.1.1.6

Public Sector Entity assets

1,0

100

1.1.1.7

Recognisable domestic and foreign currency central government and central bank assets

1,0

110

1.1.1.8

Credit institution (protected by Member State government, promotional lender) assets

1,0

120

1.1.1.9

Multilateral development bank and international organisations assets

1,0

130

1.1.1.10

Qualifying CIU shares/units: underlying is coins/banknotes and/or central bank exposure

1,0

140

1.1.1.11

Qualifying CIU shares/units: underlying is Level 1 assets excluding extremely high quality covered bonds

0,95

150

1.1.1.12

Alternative Liquidity Approaches: Central bank credit facility

1,0

160

1.1.1.13

Central institutions: Level 1 assets excl. EHQ CB which are considered liquid assets for the depositing credit institution

170

1.1.1.14

Alternative Liquidity Approaches: Level 2A assets recognised as Level 1

0,8

180

1.1.2

Total unadjusted LEVEL 1 extremely high quality covered bonds

190

1.1.2.1

Extremely high quality covered bonds

0,93

200

1.1.2.2

Qualifying CIU shares/units: underlying is extremely high quality covered bonds

0,88

210

1.1.2.3

Central institutions: Level 1 EHQ covered bonds which are considered liquid assets for the depositing credit institution

220

1.2

Total unadjusted level 2 assets

230

1.2.1

Total unadjusted LEVEL 2A assets

240

1.2.1.1

Regional government / local authorities or Public Sector Entity assets (Member State, RW20 %)

0,85

250

1.2.1.2

Central bank or central / regional government or local authorities or Public Sector Entity assets (Third Country, RW20 %)

0,85

260

1.2.1.3

High quality covered bonds (CQS2)

0,85

270

1.2.1.4

High quality covered bonds (Third Country, CQS1)

0,85

280

1.2.1.5

Corporate debt securities (CQS1)

0,85

290

1.2.1.6

Qualifying CIU shares/units: underlying is Level 2A assets

0,8

300

1.2.1.7

Central institutions: Level 2A assets which are considered liquid assets for the depositing credit institution

310

1.2.2

Total unadjusted LEVEL 2B assets

320

1.2.2.1

Asset-backed securities (residential, CQS1)

0,75

330

1.2.2.2

Asset-backed securities (auto, CQS1)

0,75

340

1.2.2.3

High quality covered bonds (RW35 %)

0,7

350

1.2.2.4

Asset-backed securities (commercial or individuals, Member State, CQS1)

0,65

360

1.2.2.5

Corporate debt securities (CQS2/3)

0,5

370

1.2.2.6

Corporate debt securities – non-interest bearing assets (held by credit institutions for religious reasons) (CQS1/2/3)

0,5

380

1.2.2.7

Shares (major stock index)

0,5

390

1.2.2.8

Non-interest bearing assets (held by credit institutions for religious reasons) (CQS3-5)

0,5

400

1.2.2.9

Restricted-use central bank committed liquidity facilities

1,0

410

1.2.2.10

Qualifying CIU shares/units: underlying is asset-backed securities (residential or auto, CQS1)

0,7

420

1.2.2.11

Qualifying CIU shares/units: underlying is High quality covered bonds (RW35 %)

0,65

430

1.2.2.12

Qualifying CIU shares/units: underlying is asset-backed securities (commercial or individuals, Member State, CQS1)

0,6

440

1.2.2.13

Qualifying CIU shares/units: underlying is corporate debt securities (CQS2/3), shares (major stock index) or non-interest bearing assets (held by credit institutions for religious reasons) (CQS3-5)

0,45

450

1.2.2.14

Deposits by network member with central institution (no obligated investment)

0,75

460

1.2.2.15

Liquidity funding available to network member from central institution (non-specified collateralisation)

0,75

470

1.2.2.16

Central institutions: Level 2B assets which are considered liquid assets for the depositing credit institution

MEMORANDUM ITEMS

485

2

Deposits by network member with central institution (obligated investment)

580

3

Level 1/2A/2B assets excluded due to currency reasons

590

4

Level 1/2A/2B assets excluded for operational reasons except for currency reasons

C 73.00 – LIQUIDITY COVERAGE – OUTFLOWSCurrency

Amount

Market value of collateral extended

Value of collateral extended in accordance with Article 9

Standard Weight

Applicable Weight

Outflow

Row

ID

Item

010

020

030

040

050

060

010

1

OUTFLOWS

020

1.1

Outflows from unsecured transactions/deposits

030

1.1.1

Retail deposits

035

1.1.1.1

deposits exempted from the calculation of outflows

0,0

040

1.1.1.2

deposits where the payout has been agreed within the following 30 days

1,0

050

1.1.1.3

deposits subject to higher outflows

060

1.1.1.3.1

category 1

0,1-0,15

070

1.1.1.3.2

category 2

0,15-0,2

080

1.1.1.4

stable deposits

0,05

090

1.1.1.5

derogated stable deposits

0,03

100

1.1.1.6

deposits in third countries where a higher outflow is applied

110

1.1.1.7

other retail deposits

0,1

120

1.1.2

Operational deposits

130

1.1.2.1

maintained for clearing, custody, cash management or other comparable services in the context of an established operational relationship

140

1.1.2.1.1

covered by DGS

0,05

150

1.1.2.1.2

not covered by DGS

0,25

160

1.1.2.2

maintained in the context of IPS or a cooperative network

170

1.1.2.2.1

not treated as liquid assets for the depositing institution

0,25

180

1.1.2.2.2

treated as liquid assets for the depositing credit institution

1,0

190

1.1.2.3

maintained in the context of an established operational relationship (other) with non-financial customers

0,25

200

1.1.2.4

maintained to obtain cash clearing and central credit institution services within a network

0,25

203

1.1.3

Excess operational deposits

204

1.1.3.1

deposits by financial customers

1,0

205

1.1.3.2

deposits by other customers

206

1.1.3.2.1

covered by DGS

0,2

207

1.1.3.2.2

not covered by DGS

0,4

210

1.1.4

Non-operational deposits

220

1.1.4.1

correspondent banking and provisions of prime brokerage deposits

1,0

230

1.1.4.2

deposits by financial customers

1,0

240

1.1.4.3

deposits by other customers

250

1.1.4.3.1

covered by DGS

0,2

260

1.1.4.3.2

not covered by DGS

0,4

270

1.1.5

Additional outflows

280

1.1.5.1

collateral other than Level 1 assets collateral posted for derivatives

0,2

290

1.1.5.2

Level 1 EHQ Covered Bonds assets collateral posted for derivatives

0,1

300

1.1.5.3

material outflows due to deterioration of own credit quality

1,0

310

1.1.5.4

impact of an adverse market scenario on derivatives transactions

1,0

340

1.1.5.5

outflows from derivatives

1,0

350

1.1.5.6

short positions

360

1.1.5.6.1

covered by collateralized SFT

0,0

370

1.1.5.6.2

other

1,0

380

1.1.5.7

callable excess collateral

1,0

390

1.1.5.8

due collateral

1,0

400

1.1.5.9

liquid asset collateral exchangable for non-liquid asset collateral

1,0

410

1.1.5.10

loss of funding on structured financing activites

420

1.1.5.10.1

structured financing instruments

1,0

430

1.1.5.10.2

financing facilites

1,0

450

1.1.5.11

internal netting of client's positions

0,5

460

1.1.6

Committed facilities

470

1.1.6.1

credit facilities

480

1.1.6.1.1

to retail customers

0,05

490

1.1.6.1.2

to non-financial customers other than retail customers

0,1

500

1.1.6.1.3

to credit institutions

510

1.1.6.1.3.1

for funding promotional loans of retail customers

0,05

520

1.1.6.1.3.2

for funding promotional loans of non-financial customers

0,1

530

1.1.6.1.3.3

other

0,4

540

1.1.6.1.4

to regulated financial institutions other than credit institutions

0,4

550

1.1.6.1.5

within a group or an IPS if subject to preferential treatment

560

1.1.6.1.6

within IPS or cooperative network if treated as liquid asset by the depositing institution

0,75

570

1.1.6.1.7

to other financial customers

1,0

580

1.1.6.2

liquidity facilities

590

1.1.6.2.1

to retail customers

0,05

600

1.1.6.2.2

to non-financial customers other than retail customers

0,3

610

1.1.6.2.3

to personal investment companies

0,4

620

1.1.6.2.4

to SSPEs

630

1.1.6.2.4.1

to purchase assets other than securities from non-financial customers

0,1

640

1.1.6.2.4.2

other

1,0

650

1.1.6.2.5

to credit institutions

660

1.1.6.2.5.1

for funding promotional loans of retail customers

0,05

670

1.1.6.2.5.2

for funding promotional loans of non-financial customers

0,3

680

1.1.6.2.5.3

other

0,4

690

1.1.6.2.6

within a group or an IPS if subject to preferential treatment

700

1.1.6.2.7

within IPS or cooperative network if treated as liquid asset by the depositing institution

0,75

710

1.1.6.2.8

to other financial customers

1,0

720

1.1.7

Other products and services

731

1.1.7.1

Uncommitted funding facilities

740

1.1.7.2

undrawn loans and advances to wholesale counterparties

750

1.1.7.3

mortgages that have been agreed but not yet drawn down

760

1.1.7.4

credit cards

770

1.1.7.5

overdrafts

780

1.1.7.6

planned outflows related to renewal or extension of new retail or wholesale loans

850

1.1.7.7

derivatives payables

860

1.1.7.8

trade finance off-balance sheet related products

870

1.1.7.9

others

885

1.1.8

Other liabilities and due commitments

890

1.1.8.1

liabilities resulting from operating expenses

0,0

900

1.1.8.2

in the form of debt securities if not treated as retail deposits

1,0

912

1.1.8.4

the excess of funding to non-financial customers

913

1.1.8.4.1

the excess of funding to retail customers

1,0

914

1.1.8.4.2

the excess of funding to non financial corporates

1,0

915

1.1.8.4.3

the excess of funding to sovereigns, MLDBs and PSEs

1,0

916

1.1.8.4.4

the excess of funding to other legal entities

1,0

917

1.1.8.5

assets borrowed on an unsecured basis

1,0

918

1.1.8.6

others

1,0

920

1.2

Outflows from secured lending and capital market-driven transactions

930

1.2.1

Counterparty is central bank

940

1.2.1.1

level 1 excl. EHQ Covered Bonds collateral

0,0

945

1.2.1.1.1

of which collateral extended meets operational requirements

950

1.2.1.2

level 1 EHQ Covered Bonds collateral

0,0

955

1.2.1.2.1

of which collateral extended meets operational requirements

960

1.2.1.3

level 2A collateral

0,0

965

1.2.1.3.1

of which collateral extended meets operational requirements

970

1.2.1.4

level 2B asset-backed securities (residential or automobile, CQS1) collateral

0,0

975

1.2.1.4.1

of which collateral extended meets operational requirements

980

1.2.1.5

level 2B covered bonds

0,0

985

1.2.1.5.1

of which collateral extended meets operational requirements

990

1.2.1.6

level 2B asset-backed securities (commercial or individuals, Member State, CQS1) collateral

0,0

995

1.2.1.6.1

of which collateral extended meets operational requirements

1000

1.2.1.7

other Level 2B assets collateral

0,0

1005

1.2.1.7.1

of which collateral extended meets operational requirements

1010

1.2.1.8

non-liquid assets collateral

0,0

1020

1.2.2

Counterparty is non-central bank

1030

1.2.2.1

level 1 excl. EHQ Covered Bonds collateral

0,0

1035

1.2.2.1.1

of which collateral extended meets operational requirements

1040

1.2.2.2

level 1 EHQ Covered Bonds collateral

0,07

1045

1.2.2.2.1

of which collateral extended meets operational requirements

1050

1.2.2.3

level 2A collateral

0,15

1055

1.2.2.3.1

of which collateral extended meets operational requirements

1060

1.2.2.4

level 2B asset-backed securities (residential or automobile, CQS1) collateral

0,25

1065

1.2.2.4.1

of which collateral extended meets operational requirements

1070

1.2.2.5

level 2B covered bonds

0,3

1075

1.2.2.5.1

of which collateral extended meets operational requirements

1080

1.2.2.6

level 2B asset-backed securities (commercial or individuals, Member State, CQS1) collateral

0,35

1085

1.2.2.6.1

of which collateral extended meets operational requirements

1090

1.2.2.7

other Level 2B assets collateral

0,5

1095

1.2.2.7.1

of which collateral extended meets operational requirements

1100

1.2.2.8

non-liquid assets collateral

1,0

1130

1.3

Total outflows from collateral swaps

MEMORANDUM ITEMS

1170

2

Liquidity outflows to be netted by interdependent inflows

3

Operational deposits maintained for clearing, custody, cash management or other comparable services in the context of an established operational relationship

1180

3.1

provided by credit institutions

1190

3.2

provided by financial customers other than credit institutions

1200

3.3

provided by sovereigns, central banks, MDBs and PSEs

1210

3.4

provided by other customers

4

Intra group or IPS outflows

1290

4.1

of which: to financial customers

1300

4.2

of which: to non-financial customers

1310

4.3

of which: secured

1320

4.4

of which: credit facilities without preferential treatment

1330

4.5

of which: liquidity facilites without preferential treatment

1340

4.6

of which: operational deposits

1345

4.7

of which: excess operational deposits

1350

4.8

of which: non-operational deposits

1360

4.9

of which: liabilities in the form of debt securities if not treated as retail deposits

1370

5

FX outflows

6

Secured funding waived from Article 17 (2) and (3)

1400

6.1

of which: secured by L1 excl. EHQCB

1410

6.2

of which: secured by L1 EHQCB

1420

6.3

of which: secured by L2A

1430

6.4

of which: secured by L2B

1440

6.5

of which: secured by non-liquid assets

C 74.00 – LIQUIDITY COVERAGE – INFLOWSCurrency

Amount

Market value of collateral received

Standard Weight

Applicable Weight

Value of collateral received in accordance with Article 9

Inflow

Subject to the 75 % cap on inflows

Subject to the 90 % cap on inflows

Exempted from the cap on inflows

Subject to the 75 % cap on inflows

Subject to the 90 % cap on inflows

Exempted from the cap on inflows

Subject to the 75 % cap on inflows

Subject to the 90 % cap on inflows

Exempted from the cap on inflows

Subject to the 75 % cap on inflows

Subject to the 90 % cap on inflows

Exempted from the cap on inflows

Subject to the 75 % cap on inflows

Subject to the 90 % cap on inflows

Exempted from the cap on inflows

Row

ID

Item

010

020

030

040

050

060

070

080

090

100

110

120

130

140

150

160

010

1

TOTAL INFLOWS

020

1.1

Inflows from unsecured transactions/deposits

030

1.1.1

monies due from non-financial customers (except for central banks)

040

1.1.1.1

monies due from non-financial customers (except for central banks) not corresponding to principal repayment

1,0

050

1.1.1.2

other monies due from non-financial customers (except for central banks)

060

1.1.1.2.1

monies due from retail customers

0,5

070

1.1.1.2.2

monies due from non-financial corporates

0,5

080

1.1.1.2.3

monies due from sovereigns, multilateral development banks and public sector entities

0,5

090

1.1.1.2.4

monies due from other legal entities

0,5

100

1.1.2

monies due from central banks and financial customers

110

1.1.2.1

monies due from financial customers being classified as operational deposits

120

1.1.2.1.1

monies due from financial customers being classified as operational deposits where the credit institution is able to establish a corresponding symmetrical inflow rate

130

1.1.2.1.2

monies due from financial customers being classified as operational deposits where the credit institution is not able to establish a corresponding symmetrical inflow rate

0,05

140

1.1.2.2

monies due from central banks and financial customers not being classified as operational deposits

150

1.1.2.2.1

monies due from central banks

1,0

160

1.1.2.2.2

monies due from financial customers

1,0

170

1.1.3

inflows corresponding to outflows in accordance with promotional loan commitments referred to in Article 31(9) of Delegated Regulation (EU) 2015/61

1,0

180

1.1.4

monies due from trade financing transactions

1,0

190

1.1.5

monies due from securities maturing within 30 days

1,0

201

1.1.6

loans with an undefined contractual end date

0,2

210

1.1.7

monies due from positions in major index equity instruments provided that there is no double counting with liquid assets

1,0

230

1.1.8

inflows from the release of balances held in segregated accounts in accordance with regulatory requirements for the protection of customer trading assets

1,0

240

1.1.9

inflows from derivatives

1,0

250

1.1.10

inflows from undrawn credit or liquidity facilities provided by members of a group or an institutional protection scheme where the competent authorities have granted permission to apply a higher inflow rate

260

1.1.11

other inflows

1,0

263

1.2

Inflows from secured lending and capital market-driven transactions

265

1.2.1

Counterparty is central bank

267

1.2.1.1

collateral that qualifies as a liquid asset

269

1.2.1.1.1

Level 1 collateral excluding extremely high quality covered bonds

0,0

271

1.2.1.1.1.1

of which collateral received meets operational requirements

273

1.2.1.1.2

Level 1 collateral which is extremely high quality covered bonds

0,07

275

1.2.1.1.2.1

of which collateral received meets operational requirements

277

1.2.1.1.3

Level 2A collateral

0,15

279

1.2.1.1.3.1

of which collateral received meets operational requirements

281

1.2.1.1.4

Level 2B asset backed securities (residential or auto) collateral

0,25

283

1.2.1.1.4.1

of which collateral received meets operational requirements

285

1.2.1.1.5

Level 2B high quality covered bonds collateral

0,3

287

1.2.1.1.5.1

of which collateral received meets operational requirements

289

1.2.1.1.6

Level 2B asset backed securities (commercial or individuals) collateral

0,35

291

1.2.1.1.6.1

of which collateral received meets operational requirements

293

1.2.1.1.7

Level 2B collateral not already captured in section 1.2.1.1.4, 1.2.1.1.5 or 1.2.1.1.6

0,5

295

1.2.1.1.7.1

of which collateral received meets operational requirements

297

1.2.1.2

collateral is used to cover a short position

299

1.2.1.3

collateral that does not qualify as a liquid asset

301

1.2.1.3.1

collateral is non-liquid equity

1,0

303

1.2.1.3.2

all other non-liquid collateral

1,0

305

1.2.2

Counterparty is non-central bank

307

1.2.2.1

collateral that qualifies as a liquid asset

309

1.2.2.1.1

Level 1 collateral excluding extremely high quality covered bonds

0,0

311

1.2.2.1.1.1

of which collateral received meets operational requirements

313

1.2.2.1.2

Level 1 collateral which is extremely high quality covered bonds

0,07

315

1.2.2.1.2.1

of which collateral received meets operational requirements

317

1.2.2.1.3

Level 2A collateral

0,15

319

1.2.2.1.3.1

of which collateral received meets operational requirements

321

1.2.2.1.4

Level 2B asset backed securities (residential or auto) collateral

0,25

323

1.2.2.1.4.1

of which collateral received meets operational requirements

325

1.2.2.1.5

Level 2B high quality covered bonds collateral

0,3

327

1.2.2.1.5.1

of which collateral received meets operational requirements

329

1.2.2.1.6

Level 2B asset backed securities (commercial or individuals) collateral

0,35

331

1.2.2.1.6.1

of which collateral received meets operational requirements

333

1.2.2.1.7

Level 2B collateral not already captured in section 1.2.2.1.4, 1.2.2.1.5 or 1.2.2.1.6

0,5

335

1.2.2.1.7.1

of which collateral received meets operational requirements

337

1.2.2.2

collateral is used to cover a short position

339

1.2.2.3

collateral that does not qualify as a liquid asset

341

1.2.2.3.1

margin loans: collateral is non-liquid

0,5

343

1.2.2.3.2

collateral is non-liquid equity

1,0

345

1.2.2.3.3

all other non-liquid collateral

1,0

410

1.3

Total inflows from collateral swaps

420

1.4

(Difference between total weighted inflows and total weighted outflows arising from transactions in third countries where there are transfer restrictions or which are denominated in non-convertible currencies)

430

1.5

(Excess inflows from a related specialised credit institution)

MEMORANDUM ITEMS

450

2

FX inflows

460

3

Inflows within a group or an institutional protection scheme

470

3.1

Monies due from non-financial customers (except for central banks)

480

3.2

Monies due from financial customers

490

3.3

Secured transactions

500

3.4

Monies due from maturing securities within 30 days

510

3.5

Any other inflows within a group or an institutional protection scheme

4

Secured lending waived from Article 17 (2) and (3)

530

4.1

of which: secured by L1 excl. EHQCB

540

4.2

of which: secured by L1 EHQCB

550

4.3

of which: secured by L2A

560

4.4

of which: secured by L2B

570

4.5

of which: secured by non-liquid assets

C 75.01 – LIQUIDITY COVERAGE – COLLATERAL SWAPSCurrency

Market value of collateral lent

Liquidity value of collateral lent

Market value of collateral borrowed

Liquidity value of collateral borrowed

Standard weight

Applicable weight

Outflows

Inflows subject to the 75 % cap on inflows

Inflows subject to the 90 % cap on inflows

Inflows exempted from the cap on inflows

Row

ID

Item

0010

0020

0030

0040

0050

0060

0070

0080

0090

0100

0010

1

TOTAL COLLATERAL SWAPS (counterparty is central bank)

0020

1.1

Totals for transactions in which Level 1 assets (excl. EHQ covered bonds) are lent and the following collateral is borrowed:

0030

1.1.1

Level 1 assets (excl. EHQ covered bonds)

0,0

0040

1.1.1.1

Of which collateral swapped meets operational requirements

0050

1.1.2

Level 1: extremely high quality covered bonds

0,07

0060

1.1.2.1

Of which collateral swapped meets operational requirements

0070

1.1.3

Level 2A assets

0,15

0080

1.1.3.1

Of which collateral swapped meets operational requirements

0090

1.1.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,25

0100

1.1.4.1

Of which collateral swapped meets operational requirements

0110

1.1.5

Level 2B: high quality covered bonds

0,3

0120

1.1.5.1

Of which collateral swapped meets operational requirements

0130

1.1.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,35

0140

1.1.6.1

Of which collateral swapped meets operational requirements

0150

1.1.7

Other Level 2B

0,5

0160

1.1.7.1

Of which collateral swapped meets operational requirements

0170

1.1.8

Non-liquid assets

1,0

0180

1.1.8.1

Of which collateral swapped meets operational requirements

0190

1.2

Totals for transactions in which Level 1: extremely high quality covered bonds are lent and the following collateral is borrowed:

0200

1.2.1

Level 1 assets (excl. EHQ covered bonds)

0,0

0210

1.2.1.1

Of which collateral swapped meets operational requirements

0220

1.2.2

Level 1: extremely high quality covered bonds

0,0

0230

1.2.2.1

Of which collateral swapped meets operational requirements

0240

1.2.3

Level 2A assets

0,08

0250

1.2.3.1

Of which collateral swapped meets operational requirements

0260

1.2.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,18

0270

1.2.4.1

Of which collateral swapped meets operational requirements

0280

1.2.5

Level 2B: high quality covered bonds

0,23

0290

1.2.5.1

Of which collateral swapped meets operational requirements

0300

1.2.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,28

0310

1.2.6.1

Of which collateral swapped meets operational requirements

0320

1.2.7

Other Level 2B

0,43

0330

1.2.7.1

Of which collateral swapped meets operational requirements

0340

1.2.8

Non-liquid assets

0,93

0350

1.2.8.1

Of which collateral swapped meets operational requirements

0360

1.3

Totals for transactions in which Level 2A assets are lent and the following collateral is borrowed:

0370

1.3.1

Level 1 assets (excl. EHQ covered bonds)

0,0

0380

1.3.1.1

Of which collateral swapped meets operational requirements

0390

1.3.2

Level 1: extremely high quality covered bonds

0,0

0400

1.3.2.1

Of which collateral swapped meets operational requirements

0410

1.3.3

Level 2A assets

0,0

0420

1.3.3.1

Of which collateral swapped meets operational requirements

0430

1.3.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,1

0440

1.3.4.1

Of which collateral swapped meets operational requirements

0450

1.3.5

Level 2B: high quality covered bonds

0,15

0460

1.3.5.1

Of which collateral swapped meets operational requirements

0470

1.3.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,2

0480

1.3.6.1

Of which collateral swapped meets operational requirements

0490

1.3.7

Other Level 2B

0,35

0500

1.3.7.1

Of which collateral swapped meets operational requirements

0510

1.3.8

Non-liquid assets

0,85

0520

1.3.8.1

Of which collateral swapped meets operational requirements

0530

1.4

Totals for transactions in which Level 2B: asset-backed securities (residential or automobile, CQS1) are lent and the following collateral is borrowed:

0540

1.4.1

Level 1 assets (excl. EHQ covered bonds)

0,0

0550

1.4.1.1

Of which collateral swapped meets operational requirements

0560

1.4.2

Level 1: extremely high quality covered bonds

0,0

0570

1.4.2.1

Of which collateral swapped meets operational requirements

0580

1.4.3

Level 2A assets

0,0

0590

1.4.3.1

Of which collateral swapped meets operational requirements

0600

1.4.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,0

0610

1.4.4.1

Of which collateral swapped meets operational requirements

0620

1.4.5

Level 2B: high quality covered bonds

0,05

0630

1.4.5.1

Of which collateral swapped meets operational requirements

0640

1.4.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,1

0650

1.4.6.1

Of which collateral swapped meets operational requirements

0660

1.4.7

Other Level 2B

0,25

0670

1.4.7.1

Of which collateral swapped meets operational requirements

0680

1.4.8

Non-liquid assets

0,75

0690

1.4.8.1

Of which collateral swapped meets operational requirements

0700

1.5

Totals for transactions in which Level 2B: high quality covered bonds are lent and the following collateral is borrowed:

0710

1.5.1

Level 1 assets (excl. EHQ covered bonds)

0,0

0720

1.5.1.1

Of which collateral swapped meets operational requirements

0730

1.5.2

Level 1: extremely high quality covered bonds

0,0

0740

1.5.2.1

Of which collateral swapped meets operational requirements

0750

1.5.3

Level 2A assets

0,0

0760

1.5.3.1

Of which collateral swapped meets operational requirements

0770

1.5.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,0

0780

1.5.4.1

Of which collateral swapped meets operational requirements

0790

1.5.5

Level 2B: high quality covered bonds

0,0

0800

1.5.5.1

Of which collateral swapped meets operational requirements

0810

1.5.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,05

0820

1.5.6.1

Of which collateral swapped meets operational requirements

0830

1.5.7

Other Level 2B

0,2

0840

1.5.7.1

Of which collateral swapped meets operational requirements

0850

1.5.8

Non-liquid assets

0,7

0860

1.5.8.1

Of which collateral swapped meets operational requirements

0870

1.6

Totals for transactions in which Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1) are lent and the following collateral is borrowed:

0880

1.6.1

Level 1 assets (excl. EHQ covered bonds)

0,0

0890

1.6.1.1

Of which collateral swapped meets operational requirements

0900

1.6.2

Level 1: extremely high quality covered bonds

0,0

0910

1.6.2.1

Of which collateral swapped meets operational requirements

0920

1.6.3

Level 2A assets

0,0

0930

1.6.3.1

Of which collateral swapped meets operational requirements

0940

1.6.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,0

0950

1.6.4.1

Of which collateral swapped meets operational requirements

0960

1.6.5

Level 2B: high quality covered bonds

0,0

0970

1.6.5.1

Of which collateral swapped meets operational requirements

0980

1.6.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,0

0990

1.6.6.1

Of which collateral swapped meets operational requirements

1000

1.6.7

Other Level 2B

0,15

1010

1.6.7.1

Of which collateral swapped meets operational requirements

1020

1.6.8

Non-liquid assets

0,65

1030

1.6.8.1

Of which collateral swapped meets operational requirements

1040

1.7

Totals for transactions in which Other Level 2B assets are lent and the following collateral is borrowed:

1050

1.7.1

Level 1 assets (excl. EHQ covered bonds)

0,0

1060

1.7.1.1

Of which collateral swapped meets operational requirements

1070

1.7.2

Level 1: extremely high quality covered bonds

0,0

1080

1.7.2.1

Of which collateral swapped meets operational requirements

1090

1.7.3

Level 2A assets

0,0

1100

1.7.3.1

Of which collateral swapped meets operational requirements

1110

1.7.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,0

1120

1.7.4.1

Of which collateral swapped meets operational requirements

1130

1.7.5

Level 2B: high quality covered bonds

0,0

1140

1.7.5.1

Of which collateral swapped meets operational requirements

1150

1.7.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,0

1160

1.7.6.1

Of which collateral swapped meets operational requirements

1170

1.7.7

Other Level 2B

0,0

1180

1.7.7.1

Of which collateral swapped meets operational requirements

1190

1.7.8

Non-liquid assets

0,5

1200

1.7.8.1

Of which collateral swapped meets operational requirements

1210

1.8

Totals for transactions in which Non-liquid assets are lent and the following collateral is borrowed:

1220

1.8.1

Level 1 assets (excl. EHQ covered bonds)

0,0

1230

1.8.1.1

Of which collateral swapped meets operational requirements

1240

1.8.2

Level 1: extremely high quality covered bonds

0,0

1250

1.8.2.1

Of which collateral swapped meets operational requirements

1260

1.8.3

Level 2A assets

0,0

1270

1.8.3.1

Of which collateral swapped meets operational requirements

1280

1.8.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,0

1290

1.8.4.1

Of which collateral swapped meets operational requirements

1300

1.8.5

Level 2B: high quality covered bonds

0,0

1310

1.8.5.1

Of which collateral swapped meets operational requirements

1320

1.8.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,0

1330

1.8.6.1

Of which collateral swapped meets operational requirements

1340

1.8.7

Other Level 2B

0,0

1350

1.8.7.1

Of which collateral swapped meets operational requirements

1360

1.8.8

Non-liquid assets

1370

2

TOTAL COLLATERAL SWAPS (counterparty is non-central bank)

1380

2.1

Totals for transactions in which Level 1 assets (excl. EHQ covered bonds) are lent and the following collateral is borrowed:

1390

2.1.1

Level 1 assets (excl. EHQ covered bonds)

0,0

1400

2.1.1.1

Of which collateral swapped meets operational requirements

1410

2.1.2

Level 1: extremely high quality covered bonds

0,07

1420

2.1.2.1

Of which collateral swapped meets operational requirements

1430

2.1.3

Level 2A assets

0,15

1440

2.1.3.1

Of which collateral swapped meets operational requirements

1450

2.1.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,25

1460

2.1.4.1

Of which collateral swapped meets operational requirements

1470

2.1.5

Level 2B: high quality covered bonds

0,3

1480

2.1.5.1

Of which collateral swapped meets operational requirements

1490

2.1.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,35

1500

2.1.6.1

Of which collateral swapped meets operational requirements

1510

2.1.7

Other Level 2B

0,5

1520

2.1.7.1

Of which collateral swapped meets operational requirements

1530

2.1.8

Non-liquid assets

1,0

1540

2.1.8.1

Of which collateral swapped meets operational requirements

1550

2.2

Totals for transactions in which Level 1: extremely high quality covered bonds are lent and the following collateral is borrowed:

1560

2.2.1

Level 1 assets (excl. EHQ covered bonds)

0,07

1570

2.2.1.1

Of which collateral swapped meets operational requirements

1580

2.2.2

Level 1: extremely high quality covered bonds

0,0

1590

2.2.2.1

Of which collateral swapped meets operational requirements

1600

2.2.3

Level 2A assets

0,08

1610

2.2.3.1

Of which collateral swapped meets operational requirements

1620

2.2.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,18

1630

2.2.4.1

Of which collateral swapped meets operational requirements

1640

2.2.5

Level 2B: high quality covered bonds

0,23

1650

2.2.5.1

Of which collateral swapped meets operational requirements

1660

2.2.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,28

1670

2.2.6.1

Of which collateral swapped meets operational requirements

1680

2.2.7

Other Level 2B

0,43

1690

2.2.7.1

Of which collateral swapped meets operational requirements

1700

2.2.8

Non-liquid assets

0,93

1710

2.2.8.1

Of which collateral swapped meets operational requirements

1720

2.3

Totals for transactions in which Level 2A assets are lent and the following collateral is borrowed:

1730

2.3.1

Level 1 assets (excl. EHQ covered bonds)

0,15

1740

2.3.1.1

Of which collateral swapped meets operational requirements

1750

2.3.2

Level 1: extremely high quality covered bonds

0,08

1760

2.3.2.1

Of which collateral swapped meets operational requirements

1770

2.3.3

Level 2A assets

0,0

1780

2.3.3.1

Of which collateral swapped meets operational requirements

1790

2.3.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,1

1800

2.3.4.1

Of which collateral swapped meets operational requirements

1810

2.3.5

Level 2B: high quality covered bonds

0,15

1820

2.3.5.1

Of which collateral swapped meets operational requirements

1830

2.3.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,2

1840

2.3.6.1

Of which collateral swapped meets operational requirements

1850

2.3.7

Other Level 2B

0,35

1860

2.3.7.1

Of which collateral swapped meets operational requirements

1870

2.3.8

Non-liquid assets

0,85

1880

2.3.8.1

Of which collateral swapped meets operational requirements

1890

2.4

Totals for transactions in which Level 2B: asset-backed securities (residential or automobile, CQS1) are lent and the following collateral is borrowed:

1900

2.4.1

Level 1 assets (excl. EHQ covered bonds)

0,25

1910

2.4.1.1

Of which collateral swapped meets operational requirements

1920

2.4.2

Level 1: extremely high quality covered bonds

0,18

1930

2.4.2.1

Of which collateral swapped meets operational requirements

1940

2.4.3

Level 2A assets

0,1

1950

2.4.3.1

Of which collateral swapped meets operational requirements

1960

2.4.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,0

1970

2.4.4.1

Of which collateral swapped meets operational requirements

1980

2.4.5

Level 2B: high quality covered bonds

0,05

1990

2.4.5.1

Of which collateral swapped meets operational requirements

2000

2.4.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,1

2010

2.4.6.1

Of which collateral swapped meets operational requirements

2020

2.4.7

Other Level 2B

0,25

2030

2.4.7.1

Of which collateral swapped meets operational requirements

2040

2.4.8

Non-liquid assets

0,75

2050

2.4.8.1

Of which collateral swapped meets operational requirements

2060

2.5

Totals for transactions in which Level 2B: high quality covered bonds are lent and the following collateral is borrowed:

2070

2.5.1

Level 1 assets (excl. EHQ covered bonds)

0,3

2080

2.5.1.1

Of which collateral swapped meets operational requirements

2090

2.5.2

Level 1: extremely high quality covered bonds

0,23

2100

2.5.2.1

Of which collateral swapped meets operational requirements

2110

2.5.3

Level 2A assets

0,15

2120

2.5.3.1

Of which collateral swapped meets operational requirements

2130

2.5.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,05

2140

2.5.4.1

Of which collateral swapped meets operational requirements

2150

2.5.5

Level 2B: high quality covered bonds

0,0

2160

2.5.5.1

Of which collateral swapped meets operational requirements

2170

2.5.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,05

2180

2.5.6.1

Of which collateral swapped meets operational requirements

2190

2.5.7

Other Level 2B

0,2

2200

2.5.7.1

Of which collateral swapped meets operational requirements

2210

2.5.8

Non-liquid assets

0,7

2220

2.5.8.1

Of which collateral swapped meets operational requirements

2230

2.6

Totals for transactions in which Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1) are lent and the following collateral is borrowed:

2240

2.6.1

Level 1 assets (excl. EHQ covered bonds)

0,35

2250

2.6.1.1

Of which collateral swapped meets operational requirements

2260

2.6.2

Level 1: extremely high quality covered bonds

0,28

2270

2.6.2.1

Of which collateral swapped meets operational requirements

2280

2.6.3

Level 2A assets

0,2

2290

2.6.3.1

Of which collateral swapped meets operational requirements

2300

2.6.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,1

2310

2.6.4.1

Of which collateral swapped meets operational requirements

2320

2.6.5

Level 2B: high quality covered bonds

0,05

2330

2.6.5.1

Of which collateral swapped meets operational requirements

2340

2.6.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,0

2350

2.6.6.1

Of which collateral swapped meets operational requirements

2360

2.6.7

Other Level 2B

0,15

2370

2.6.7.1

Of which collateral swapped meets operational requirements

2380

2.6.8

Non-liquid assets

0,65

2390

2.6.8.1

Of which collateral swapped meets operational requirements

2400

2.7

Totals for transactions in which Other Level 2B assets are lent and the following collateral is borrowed:

2410

2.7.1

Level 1 assets (excl. EHQ covered bonds)

0,5

2420

2.7.1.1

Of which collateral swapped meets operational requirements

2430

2.7.2

Level 1: extremely high quality covered bonds

0,43

2440

2.7.2.1

Of which collateral swapped meets operational requirements

2450

2.7.3

Level 2A assets

0,35

2460

2.7.3.1

Of which collateral swapped meets operational requirements

2470

2.7.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,25

2480

2.7.4.1

Of which collateral swapped meets operational requirements

2490

2.7.5

Level 2B: high quality covered bonds

0,2

2500

2.7.5.1

Of which collateral swapped meets operational requirements

2510

2.7.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,15

2520

2.7.6.1

Of which collateral swapped meets operational requirements

2530

2.7.7

Other Level 2B

0,0

2540

2.7.7.1

Of which collateral swapped meets operational requirements

2550

2.7.8

Non-liquid assets

0,5

2560

2.7.8.1

Of which collateral swapped meets operational requirements

2570

2.8

Totals for transactions in which Non-liquid assets are lent and the following collateral is borrowed:

2580

2.8.1

Level 1 assets (excl. EHQ covered bonds)

1,0

2590

2.8.1.1

Of which collateral swapped meets operational requirements

2600

2.8.2

Level 1: extremely high quality covered bonds

0,93

2610

2.8.2.1

Of which collateral swapped meets operational requirements

2620

2.8.3

Level 2A assets

0,85

2630

2.8.3.1

Of which collateral swapped meets operational requirements

2640

2.8.4

Level 2B: asset-backed securities (residential or automobile, CQS1)

0,75

2650

2.8.4.1

Of which collateral swapped meets operational requirements

2660

2.8.5

Level 2B: high quality covered bonds

0,7

2670

2.8.5.1

Of which collateral swapped meets operational requirements

2680

2.8.6

Level 2B: asset-backed securities (commercial or individuals, Member State, CQS1)

0,65

2690

2.8.6.1

Of which collateral swapped meets operational requirements

2700

2.8.7

Other Level 2B

0,5

2710

2.8.7.1

Of which collateral swapped meets operational requirements

2720

2.8.8

Non-liquid assets

MEMORANDUM ITEMS

2730

23

Total collateral swaps (all counterparties) where borrowed collateral has been used to cover short positions

2740

34

Total collateral swaps with intragroup counterparties

5

Collateral swaps waived from Article 17 (2) and (3)

2750

5.1

of which: collateral borrowed is L1 excl. EHQCB

2760

5.2

of which: collateral borrowed is L1 EHQCB

2770

5.3

of which: collateral borrowed is L2A

2780

5.4

of which: collateral borrowed is L2B

2790

5.5

of which: collateral lent is L1 excl. EHQCB

2800

5.6

of which: collateral lent is L1 EHQCB

2810

5.7

of which: collateral lent is L2A

2820

5.8

of which: collateral lent is L2B

C 76.00 – LIQUIDITY COVERAGE – CALCULATIONSCurrency

Value / Percentage

Row

ID

Item

010

CALCULATIONS

Numerator, denominator, ratio

010

1

Liquidity buffer

020

2

Net liquidity outflow

030

3

Liquidity coverage ratio (%)

Numerator calculations

040

4

L1 excl. EHQCB liquidity buffer (value in accordance with Article 9): unadjusted

050

5

L1 excl. EHQCB collateral 30 day outflows

060

6

L1 excl. EHQCB collateral 30 day inflows

070

7

Secured cash 30 day ouflows

080

8

Secured cash 30 day inflows

091

9

L1 excl. EHQCB “adjusted amount”

100

10

L1 EHQCB value in accordance with Article 9: unadjusted

110

11

L1 EHQCB collateral 30 day outflows

120

12

L1 EHQCB collateral 30 day inflows

131

13

L1 EHQCB “adjusted amount”

160

14

L2A value in accordance with Article 9: unadjusted

170

15

L2A collateral 30 day outflows

180

16

L2A collateral 30 day inflows

191

17

L2A “adjusted amount”

220

18

L2B value in accordance with Article 9: unadjusted

230

19

L2B collateral 30 day outflows

240

20

L2B collateral 30 day inflows

251

21

L2B “adjusted amount”

280

22

Excess liquid asset amount

290

23

Liquidity buffer

Denominator calculations

300

24

Total Outflows

310

25

Fully Exempt Inflows

320

26

Inflows Subject to 90 % Cap

330

27

Inflows Subject to 75 % Cap

340

28

Reduction for Fully Exempt Inflows

350

29

Reduction for Inflows Subject to 90 % Cap

360

30

Reduction for Inflows Subject to 75 % Cap

370

31

Net liquidity outflow

Pillar 2

380

32

Pillar 2 requirement as set out in Article 105 CRD

C 77.00 – LIQUIDITY COVERAGE – PERIMETER

Parent or subsidiary

Name

Code

LEI code

Country code

Type of entity

005

010

020

030

040

050