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Regulation (EU) 2020/605 of the European Central BankShow full title

Regulation (EU) 2020/605 of the European Central Bank of 9 April 2020 amending Regulation (EU) 2015/534 on reporting of supervisory financial information (ECB/2020/22)

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Changes over time for: Regulation (EU) 2020/605 of the European Central Bank (Annexes only)

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ANNEX IU.K.

Annex I to Regulation (EU) 2015/534 (ECB/2015/13) entitled ‘Simplified supervisory financial reporting’ is amended as follows:

Tables 1 and 2 are replaced by the following:

Table 1

Template number Name of the template or of the group of template
PART 1 [QUARTERLY FREQUENCY]
Balance Sheet Statement [Statement of Financial Position]
1.1Balance Sheet Statement: assets
1.2Balance Sheet Statement: liabilities
1.3Balance Sheet Statement: equity
2 Statement of profit or loss
Breakdown of financial assets by instrument and by counterparty sector
4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets held for trading
4.2.1Breakdown of financial assets by instrument and by counterparty sector: non-trading financial assets mandatorily at fair value through profit or loss
4.2.2Breakdown of financial assets by instrument and by counterparty sector: financial assets designated at fair value through profit or loss
4.3.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at fair value through other comprehensive income
4.4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at amortised cost
4.5Subordinated financial assets
5.1 Breakdown of non-trading loans and advances by product
6.1 Breakdown of loans and advances other than held for trading to non-financial corporations by NACE codes
Breakdown of financial liabilities
8.1Breakdown of financial liabilities by product and by counterparty sector
8.2Subordinated financial liabilities
Loan commitments, financial guarantees and other commitments
9.1.1Off-balance sheet exposures: loan commitments, financial guarantees and other commitments given
9.2Loan commitments, financial guarantees and other commitments received
10 Derivatives – Trading and economic hedges
Hedge accounting
11.1Derivatives – Hedge accounting: Breakdown by type of risk and type of hedge
Movements in allowances and provisions for credit losses
12.1Movements in allowances and provisions for credit losses
Collateral and guarantees received
13.1Breakdown of collateral and guarantees by loans and advances other than held for trading
13.2.1Collateral obtained by taking possession during the period [held at the reference date]
13.3.1Collateral obtained by taking possession accumulated
14 Fair value hierarchy: financial instruments at fair value
Breakdown of selected statement of profit or loss items
16.1Interest income and expenses by instrument and counterparty sector
16.3Gains or losses on financial assets and liabilities held for trading and trading financial assets and trading financial liabilities by instrument
Reconciliation between accounting and CRR scope of consolidation: Balance Sheet
17.1Reconciliation between accounting and CRR scope of consolidation: Assets
17.2Reconciliation between accounting and CRR scope of consolidation: Off-balance sheet exposures – loan commitments, financial guarantees and other commitments given
17.3Reconciliation between accounting and CRR scope of consolidation: Liabilities
Information on performing and non-performing exposures
18.0Information on performing and non-performing exposures
18.1Inflows and outflows of non-performing exposures – loans and advances by counterparty sector
18.2Commercial Real Estate (CRE) loans and additional information on loans secured by immovable property
19 Forborne exposures
PART 2 [QUARTERLY WITH THRESHOLD: QUARTERLY FREQUENCY OR NOT REPORTING]
Geographical breakdown
20.4Geographical breakdown of assets by residence of the counterparty
20.5Geographical breakdown of off-balance sheet exposures by residence of the counterparty
20.6Geographical breakdown of liabilities by residence of the counterparty
PART 4 [ANNUAL]
Group structure
40.1Group structure: “entity-by-entity”

Table 2

Template number Name of the template or of the group of template
PART 1 [QUARTERLY FREQUENCY]
Balance Sheet Statement [Statement of Financial Position]
1.1Balance Sheet Statement: assets
1.2Balance Sheet Statement: liabilities
1.3Balance Sheet Statement: equity
2 Statement of profit or loss
Breakdown of financial assets by instrument and by counterparty sector
4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets held for trading
4.2.1Breakdown of financial assets by instrument and by counterparty sector: non-trading financial assets mandatorily at fair value through profit or loss
4.2.2Breakdown of financial assets by instrument and by counterparty sector: financial assets designated at fair value through profit or loss
4.3.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at fair value through other comprehensive income
4.4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at amortised cost
4.5Subordinated financial assets
4.6Breakdown of financial assets by instrument and by counterparty sector: trading financial assets
4.7Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at fair value through profit or loss
4.8Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at fair value to equity
4.9Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at a cost-based method
4.10Breakdown of financial assets by instrument and by counterparty sector: other non-trading non-derivative financial assets
5.1 Breakdown of non-trading loans and advances by product
6.1 Breakdown of loans and advances other than held for trading to non-financial corporations by NACE codes
Breakdown of financial liabilities
8.1Breakdown of financial liabilities by product and by counterparty sector
8.2Subordinated financial liabilities
Loan commitments, financial guarantees and other commitments
9.1Off-balance sheet exposures under national GAAP: loan commitments, financial guarantees and other commitments given
9.1.1Off-balance sheet exposures: loan commitments, financial guarantees and other commitments given
9.2Loan commitments, financial guarantees and other commitments received
10 Derivatives – Trading and economic hedges
Hedge accounting
11.1Derivatives – Hedge accounting: Breakdown by type of risk and type of hedge
11.2Derivatives – Hedge accounting under national GAAP: Breakdown by type of risk
Movements in allowances and provisions for credit losses
12Movements in allowances for credit losses and impairment of equity instruments under national GAAP
12.1Movements in allowances and provisions for credit losses
Collateral and guarantees received
13.1Breakdown of collateral and guarantees by loans and advances other than held for trading
13.2.1Collateral obtained by taking possession during the period [held at the reference date]
13.3.1Collateral obtained by taking possession accumulated
14 Fair value hierarchy: financial instruments at fair value
Breakdown of selected statement of profit or loss items
16.1Interest income and expenses by instrument and counterparty sector
16.3Gains or losses on financial assets and liabilities held for trading and trading financial assets and trading financial liabilities by instrument
16.4Gains or losses on financial assets and liabilities held for trading and trading financial assets and trading financial liabilities by risk
Reconciliation between accounting and CRR scope of consolidation: Balance Sheet
17.1Reconciliation between accounting and CRR scope of consolidation: Assets
17.2Reconciliation between accounting and CRR scope of consolidation: Off-balance sheet exposures – loan commitments, financial guarantees and other commitments given
17.3Reconciliation between accounting and CRR scope of consolidation: Liabilities
Information on performing and non-performing exposures
18.0Information on performing and non-performing exposures
18.1Inflows and outflows of non-performing exposures – loans and advances by counterparty sector
18.2Commercial Real Estate (CRE) loans and additional information on loans secured by immovable property
19 Forborne exposures
PART 2 [QUARTERLY WITH THRESHOLD: QUARTERLY FREQUENCY OR NOT REPORTING]
Geographical breakdown
20.4Geographical breakdown of assets by residence of the counterparty
20.5Geographical breakdown of off-balance sheet exposures by residence of the counterparty
20.6Geographical breakdown of liabilities by residence of the counterparty
PART 4 [ANNUAL]
Group structure
40.1Group structure: “entity-by-entity”

ANNEX IIU.K.

Annex II to Regulation (EU) 2015/534 (ECB/2015/13) entitled ‘Over-simplified supervisory financial reporting’ is amended as follows:

Tables 3 and 4 are replaced by the following:

Table 3

Template number Name of the template or of the group of template
PART 1 [QUARTERLY FREQUENCY]
Balance Sheet Statement [Statement of Financial Position]
1.1Balance Sheet Statement: assets
1.2Balance Sheet Statement: liabilities
1.3Balance Sheet Statement: equity
2 Statement of profit or loss
Breakdown of financial assets by instrument and by counterparty sector
4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets held for trading
4.2.1Breakdown of financial assets by instrument and by counterparty sector: non-trading financial assets mandatorily at fair value through profit or loss
4.2.2Breakdown of financial assets by instrument and by counterparty sector: financial assets designated at fair value through profit or loss
4.3.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at fair value through other comprehensive income
4.4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at amortised cost
4.5Subordinated financial assets
5.1Breakdown of non-trading loans and advances by product
Breakdown of financial liabilities
8.1Breakdown of financial liabilities by product and by counterparty sector
8.2Subordinated financial liabilities
Loan commitments, financial guarantees and other commitments
9.1.1Off-balance sheet exposures: loan commitments, financial guarantees and other commitments given
10 Derivatives – Trading and economic hedges
Hedge accounting
11.1Derivatives – Hedge accounting: Breakdown by type of risk and type of hedge
Movements in allowances and provisions for credit losses
12.1Movements in allowances and provisions for credit losses
14 Fair value hierarchy: financial instruments at fair value
Information on performing and non-performing exposures
18.0Information on performing and non-performing exposures
18.1Inflows and outflows of non-performing exposures – loans and advances by counterparty sector
18.2Commercial Real Estate (CRE) loans and additional information on loans secured by immovable property
19 Forborne exposures

Table 4

Template number Name of the template or of the group of template
PART 1 [QUARTERLY FREQUENCY]
Balance Sheet Statement [Statement of Financial Position]
1.1Balance Sheet Statement: assets
1.2Balance Sheet Statement: liabilities
1.3Balance Sheet Statement: equity
2 Statement of profit or loss
Breakdown of financial assets by instrument and by counterparty sector
4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets held for trading
4.2.1Breakdown of financial assets by instrument and by counterparty sector: non-trading financial assets mandatorily at fair value through profit or loss
4.2.2Breakdown of financial assets by instrument and by counterparty sector: financial assets designated at fair value through profit or loss
4.3.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at fair value through other comprehensive income
4.4.1Breakdown of financial assets by instrument and by counterparty sector: financial assets at amortised cost
4.5Subordinated financial assets
4.6Breakdown of financial assets by instrument and by counterparty sector: trading financial assets
4.7Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at fair value through profit or loss
4.8Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at fair value to equity
4.9Breakdown of financial assets by instrument and by counterparty sector: non-trading non-derivative financial assets measured at a cost-based method
4.10Breakdown of financial assets by instrument and by counterparty sector: other non-trading non-derivative financial assets
5.1Breakdown of non-trading loans and advances by product
Breakdown of financial liabilities
8.1Breakdown of financial liabilities by product and by counterparty sector
8.2Subordinated financial liabilities
Loan commitments, financial guarantees and other commitments
9.1Off-balance sheet exposures under national GAAP: loan commitments, financial guarantees and other commitments given
9.1.1Off-balance sheet exposures: loan commitments, financial guarantees and other commitments given
10 Derivatives – Trading and economic hedges
Hedge accounting
11.1Derivatives – Hedge accounting: Breakdown by type of risk and type of hedge
11.2Derivatives – Hedge accounting under national GAAP: Breakdown by type of risk
Movements in allowances and provisions for credit losses
12Movements in allowances for credit losses and impairment of equity instruments under national GAAP
12.1Movements in allowances and provisions for credit losses
Information on performing and non-performing exposures
18.0Information on performing and non-performing exposures
18.1Inflows and outflows of non-performing exposures – loans and advances by counterparty sector
18.2Commercial Real Estate (CRE) loans and additional information on loans secured by immovable property
19 Forborne exposures

ANNEX IIIU.K.

Annex IV to Regulation (EU) 2015/534 (ECB/2015/13) entitled ‘“FINREP data points” under IFRS or National GAAP compatible with IFRS’ is replaced by the following:

ANNEX IV

COLOUR CODE IN TEMPLATES
Data point to be submitted
FINREP templates for IFRS
Template number Template code Name of the template or of the group of template
PART 1 [QUARTERLY FREQUENCY]
Balance Sheet Statement [Statement of Financial Position]
1.1F 01.01Balance Sheet Statement: assets
1.2F 01.02Balance Sheet Statement: liabilities
1.3F 01.03Balance Sheet Statement: equity
2F 02.00 Statement of profit or loss
5.1F 05.01 Breakdown of non-trading loans and advances by product
Breakdown of financial liabilities
8.1F 08.01Breakdown of financial liabilities by product and by counterparty sector
8.2F 08.02Subordinated financial liabilities
10F 10.00 Derivatives - Trading and economic hedges
Hedge accounting
11.1F 11.01Derivatives - Hedge accounting: Breakdown by type of risk and type of hedge
Information on performing and non-performing exposures
18.0F 18.00Information on performing and non-performing exposures
19F 19.00 Forborne exposures

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

1.1 Assets U.K.
References Breakdown in table Carrying amount
Annex V.Part 1.27
010
010 Cash, cash balances at central banks and other demand deposits IAS 1.54 (i)
020Cash on hand Annex V.Part 2.1
030Cash balances at central banks Annex V.Part 2.2
040Other demand deposits Annex V.Part 2.35
050 Financial assets held for trading IFRS 9.Appendix A
060Derivatives IFRS 9.Appendix A10
070Equity instruments IAS 32.114
080Debt securities Annex V.Part 1.314
090Loans and advances Annex V.Part 1.324
096 Non-trading financial assets mandatorily at fair value through profit or loss IFRS 7.8(a)(ii); IFRS 9.4.1.44
097Equity instruments IAS 32.114
098Debt securities Annex V.Part 1.314
099Loans and advances Annex V.Part 1.324
100 Financial assets designated at fair value through profit or loss IFRS 7.8(a)(i); IFRS 9.4.1.54
120Debt securities Annex V.Part 1.314
130Loans and advances Annex V.Part 1.324
141 Financial assets at fair value through other comprehensive income IFRS 7.8(h); IFRS 9.4.1.2A4
142Equity instruments IAS 32.114
143Debt securities Annex V.Part 1.314
144Loans and advances Annex V.Part 1.324
181 Financial assets at amortised cost IFRS 7.8(f); IFRS 9.4.1.24
182Debt securities Annex V.Part 1.314
183Loans and advances Annex V.Part 1.324
240 Derivatives – Hedge accounting IFRS 9.6.2.1; Annex V.Part 1.2211
250 Fair value changes of the hedged items in portfolio hedge of interest rate risk IAS 39.89A(a); IFRS 9.6.5.8
260 Investments in subsidiaries, joint ventures and associates IAS 1.54(e); Annex V.Part 1.21, Part 2.440
270 Tangible assets
280Property, Plant and Equipment IAS 16.6; IAS 1.54(a); IFRS 16.47(a)21, 42
290Investment property IAS 40.5; IAS 1.54(b); IFRS 16.4821, 42
300 Intangible assets IAS 1.54(c); CRR art 4(1)(115)
310Goodwill IFRS 3.B67(d); CRR art 4(1)(113)
320Other intangible assets IAS 38.8,118; IFRS 16.47 (a)21, 42
330 Tax assets IAS 1.54(n-o)
340Current tax assets IAS 1.54(n); IAS 12.5
350Deferred tax assets IAS 1.54(o); IAS 12.5; CRR art 4(1)(106)
360 Other assets Annex V.Part 2.5
370 Non-current assets and disposal groups classified as held for sale IAS 1.54(j); IFRS 5.38, Annex V.Part 2.7
380 TOTAL ASSETS IAS 1.9(a), IG 6
1.2 Liabilities U.K.
References Breakdown in table Carrying amount
Annex V.Part 1.27
010
010 Financial liabilities held for trading IFRS 7.8 (e) (ii); IFRS 9.BA.68
020Derivatives IFRS 9.Appendix A; IFRS 9.4.2.1(a); IFRS 9.BA.7(a)10
030Short positions IFRS 9.BA7(b)8
040Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
050Debt securities issued Annex V.Part 1.378
060Other financial liabilities Annex V.Part 1.38-418
070 Financial liabilities designated at fair value through profit or loss IFRS 7.8 (e)(i); IFRS 9.4.2.28
080Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
090Debt securities issued Annex V.Part 1.378
100Other financial liabilities Annex V.Part 1.38-418
110 Financial liabilities measured at amortised cost IFRS 7.8(g); IFRS 9.4.2.18
120Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
130Debt securities issued Annex V.Part 1.378
140Other financial liabilities Annex V.Part 1.38-418
150 Derivatives – Hedge accounting IFRS 9.6.2.1; Annex V.Part 1.2611
160 Fair value changes of the hedged items in portfolio hedge of interest rate risk IAS 39.89A(b), IFRS 9.6.5.8
170 Provisions IAS 37.10; IAS 1.54(l)43
180Pensions and other post employment defined benefit obligations IAS 19.63; IAS 1.78(d); Annex V.Part 2.943
190Other long term employee benefits IAS 19.153; IAS 1.78(d); Annex V.Part 2.1043
200Restructuring IAS 37.71, 84(a)43
210Pending legal issues and tax litigation IAS 37.Appendix C. Examples 6 and 1043
220Commitments and guarantees given IFRS 9.4.2.1(c),(d), 9.5.5, 9.B2.5; IAS 37, IFRS 4, Annex V.Part 2.11

9

12

43

230Other provisions IAS 37.1443
240 Tax liabilities IAS 1.54(n-o)
250Current tax liabilities IAS 1.54(n); IAS 12.5
260Deferred tax liabilities IAS 1.54(o); IAS 12.5; CRR art 4(1)(108)
270 Share capital repayable on demand IAS 32 IE 33; IFRIC 2; Annex V.Part 2.12
280 Other liabilities Annex V.Part 2.13
290 Liabilities included in disposal groups classified as held for sale IAS 1.54 (p); IFRS 5.38, Annex V.Part 2.14
300 TOTAL LIABILITIES IAS 1.9(b);IG 6
1.3 Equity U.K.
References Breakdown in table Carrying amount
010
010 Capital IAS 1.54(r), BAD art 2246
020Paid up capital IAS 1.78(e)
030Unpaid capital which has been called up Annex V.Part 2.14
040 Share premium IAS 1.78(e); CRR art 4(1)(124)46
050 Equity instruments issued other than capital Annex V.Part 2.18-1946
060Equity component of compound financial instruments IAS 32.28-29; Annex V.Part 2.18
070Other equity instruments issued Annex V.Part 2.19
080 Other equity IFRS 2.10; Annex V.Part 2.20
090 Accumulated other comprehensive income CRR art 4(1)(100)46
095Items that will not be reclassified to profit or loss IAS 1.82A(a)
100 Tangible assets IAS 16.39-41
110 Intangible assets IAS 38.85-87
120 Actuarial gains or (-) losses on defined benefit pension plans IAS 1.7, IG6; IAS 19.120(c)
122 Non-current assets and disposal groups classified as held for sale IFRS 5.38, IG Example 12
124 Share of other recognised income and expense of investments in subsidaries, joint ventures and associates IAS 1.IG6; IAS 28.10
320 Fair value changes of equity instruments measured at fair value through other comprehensive income IAS 1.7(d); IFRS 9 5.7.5, B5.7.1; Annex V.Part 2.21
330 Hedge ineffectiveness of fair value hedges for equity instruments measured at fair value through other comprehensive income IAS 1.7(e);IFRS 9.5.7.5;.6.5.3; IFRS 7.24C; Annex V.Part 2.22
340 Fair value changes of equity instruments measured at fair value through other comprehensive income [hedged item] IFRS 9.5.7.5;.6.5.8(b); Annex V.Part 2.22
350 Fair value changes of equity instruments measured at fair value through other comprehensive income [hedging instrument] IAS 1.7(e);IFRS 9.5.7.5;.6.5.8(a);Annex V.Part 2.57
360 Fair value changes of financial liabilities at fair value through profit or loss attributable to changes in their credit risk IAS 1.7(f); IFRS 9 5.7.7;Annex V.Part 2.23
128Items that may be reclassified to profit or loss IAS 1.82A(a) (ii)
130 Hedge of net investments in foreign operations [effective portion] IFRS9.6.5.13(a); IFRS7.24B(b)(ii)(iii); IFRS 7.24C(b)(i)(iv),.24E(a); Annex V.Part 2.24
140 Foreign currency translation IAS 21.52(b); IAS 21.32, 38-49
150 Hedging derivatives. Cash flow hedges reserve [effective portion] IAS 1.7 (e); IFRS 7.24B(b)(ii)(iii); IFRS 7.24C(b)(i);.24E; IFRS 9.6.5.11(b); Annex V.Part 2.25
155 Fair value changes of debt instruments measured at fair value through other comprehensive income IAS 1.7(da); IFRS 9.4.1.2A; 5.7.10; Annex V.Part 2.26
165 Hedging instruments [not designated elements] IAS 1.7(g)(h);IFRS 9.6.5.15,.6.5.16;IFRS 7.24 E (b)(c); Annex V.Part 2.60
170 Non-current assets and disposal groups classified as held for sale IFRS 5.38, IG Example 12
180 Share of other recognised income and expense of investments in subsidaries, joint ventures and associates IAS 1.IG6; IAS 28.10
190 Retained earnings CRR art 4(1)(123)
200 Revaluation reserves IFRS 1.30, D5-D8; Annex V.Part 2.28
210 Other reserves IAS 1.54; IAS 1.78(e)
220Reserves or accumulated losses of investments in subsidaries, joint ventures and associates accounted for using the equity method IAS 28.11; Annex V.Part 2.29
230Other Annex V.Part 2.29
240(-) Treasury shares IAS 1.79(a)(vi); IAS 32.33-34, AG 14, AG 36; Annex V.Part 2.3046
250 Profit or loss attributable to owners of the parent IAS 1.81B (b)(ii)2
260(-) Interim dividends IAS 32.35
270 Minority interests [Non-controlling interests] IAS 1.54(q)
280Accumulated Other Comprehensive Income CRR art 4(1)(100)46
290Other items46
300 TOTAL EQUITY IAS 1.9(c), IG 646
310 TOTAL EQUITY AND TOTAL LIABILITIES IAS 1.IG6

2. Statement of profit or loss U.K.

References Breakdown in table Current period
010
010 Interest income IAS 1.97; Annex V.Part 2.3116
020Financial assets held for trading IFRS 7.20(a)(i), B5(e); Annex V.Part 2.33, 34
025Non-trading financial assets mandatorily at fair value through profit or loss IFRS 7.20(a)(i), B5(e), IFRS 9.5.7.1
030Financial assets designated at fair value through profit or loss IFRS 7.20(a)(i), B5(e)
041Financial assets at fair value through other comprehensive income IFRS 7.20(b); IFRS 9.5.7.10-11; IFRS 9.4.1.2A
051Financial assets at amortised cost IFRS 7.20(b);IFRS 9.4.1.2; IFRS 9.5.7.2
070Derivatives - Hedge accounting, interest rate risk IFRS 9.Appendix A; .B6.6.16; Annex V.Part 2.35
080Other assets Annex V.Part 2.36
085Interest income on liabilities IFRS 9.5.7.1, Annex V.Part 2.37
090 (Interest expenses) IAS 1.97; Annex V.Part 2.3116
100(Financial liabilities held for trading) IFRS 7.20(a)(i), B5(e); Annex V.Part 2.33, 34
110(Financial liabilities designated at fair value through profit or loss) IFRS 7.20(a)(i), B5(e)
120(Financial liabilities measured at amortised cost) IFRS 7.20(b); IFRS 9.5.7.2
130(Derivatives - Hedge accounting, interest rate risk) IAS 39.9; Annex V.Part 2.35
140(Other liabilities) Annex V.Part 2.38
145(Interest expense on assets) IFRS 9.5.7.1, Annex V.Part 2.39
150 (Expenses on share capital repayable on demand) IFRIC 2.11
160 Dividend income Annex V.Part 2.4031
170Financial assets held for trading IFRS 7.20(a)(i), B5(e); Annex V.Part 2.40
175Non-trading financial assets mandatorily at fair value through profit or loss IFRS 7.20(a)(i), B5(e),IFRS 9.5.7.1A; Annex V.Part 2.40
191Financial assets at fair value through other comprehensive income IFRS 7.20(a)(ii); IFRS 9.4.1.2A; IFRS 9.5.7.1A; Annex V.Part 2.41
192Investments in subsidiaries, joint ventures and associates accounted for using other than equity method Annex V Part 2 .42
200 Fee and commission income IFRS 7.20(c)22
210 (Fee and commission expenses) IFRS 7.20(c)22
220 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net Annex V.Part 2.4516
231Financial assets at fair value through other comprehensive income IFRS 9.4.12A; IFRS 9.5.7.10-11
241Financial assets at amortised cost IFRS 7.20(a)(v);IFRS 9.4.1.2; IFRS 9.5.7.2
260Financial liabilities measured at amortised cost IFRS 7.20(a)(v); IFRS 9.5.7.2
270Other
280 Gains or (-) losses on financial assets and liabilities held for trading, net IFRS 7.20(a)(i); IFRS 9.5.7.1; Annex V.Part 2.43, 4616
287 Gains or (-) losses on non-trading financial assets mandatorily at fair value through profit or loss, net IFRS 7.20(a)(i); IFRS 9.5.7.1; Annex V.Part 2.46
290 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net IFRS 7.20(a)(i); IFRS 9.5.7.1; Annex V.Part 2.4416, 45
300 Gains or (-) losses from hedge accounting, net Annex V.Part 2.4716
310 Exchange differences [gain or (-) loss], net IAS 21.28, 52 (a)
330 Gains or (-) losses on derecognition of non-financial assets, net IAS 1.34; Annex V. Part 2.4845
340 Other operating income Annex V.Part 2.314-31645
350 (Other operating expenses) Annex V.Part 2.314-31645
355 TOTAL OPERATING INCOME, NET
360 (Administrative expenses)
370(Staff expenses) IAS 19.7; IAS 1.102, IG 644
380(Other administrative expenses)16
385 (Cash contributions to resolution funds and deposit guarantee schemes) Annex V.Part 2.48i
390 (Depreciation) IAS 1.102, 104
400(Property, Plant and Equipment) IAS 1.104; IAS 16.73(e)(vii)
410(Investment Properties) IAS 1.104; IAS 40.79(d)(iv)
420(Other intangible assets) IAS 1.104; IAS 38.118(e)(vi)
425 Modification gains or (-) losses, net IFRS 9.5.4.3, IFRS 9 Appendix A; Annex V Part 2.49
426Financial assets at fair value through other comprehensive income IFRS 7.35J
427Financial assets at amortised cost IFRS 7.35J
430 (Provisions or (-) reversal of provisions) IAS 37.59, 84; IAS 1.98(b)(f)(g)

9

12

43

435(payment commitments to resolution funds and deposit guarantee schemes) Annex V.Part 2.48i
440(Commitments and guarantees given) IFRS 9.4.2.1(c),(d),9.B2.5; IAS 37, IFRS 4, Annex V.Part 2.50
450(Other provisions)
460 (Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss) IFRS 7.20(a)(viii); IFRS 9.5.4.4; Annex V Part 2.51, 5312
481(Financial assets at fair value through other comprehensive income) IFRS 9.5.4.4, 9.5.5.1, 9.5.5.2, 9.5.5.812
491(Financial assets at amortised cost) IFRS 9.5.4.4, 9.5.5.1, 9.5.5.812
510 (Impairment or (-) reversal of impairment of investments in subsidiaries, joint ventures and associates) IAS 28.40-4316
520 (Impairment or (-) reversal of impairment on non-financial assets) IAS 36.126(a)(b)16
530(Property, plant and equipment) IAS 16.73(e)(v-vi)
540(Investment properties) IAS 40.79(d)(v)
550(Goodwill) IFRS 3.Appendix B67(d)(v); IAS 36.124
560(Other intangible assets) IAS 38.118 (e)(iv)(v)
570(Other) IAS 36.126 (a)(b)
580 Negative goodwill recognised in profit or loss IFRS 3.Appendix B64(n)(i)
590 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates accounted for using the equity method Annex V.Part 2.54
600 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations IFRS 5.37; Annex V.Part 2.55
610 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS IAS 1.102, IG 6; IFRS 5.33 A
620 (Tax expense or (-) income related to profit or loss from continuing operations) IAS 1.82(d); IAS 12.77
630 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS IAS 1, IG 6
640 Profit or (-) loss after tax from discontinued operations IAS 1.82(ea) ; IFRS 5.33(a), 5.33 A; Annex V Part 2.56
650Profit or (-) loss before tax from discontinued operations IFRS 5.33(b)(i)
660(Tax expense or (-) income related to discontinued operations) IFRS 5.33 (b)(ii),(iv)
670 PROFIT OR (-) LOSS FOR THE YEAR IAS 1.81A(a)
680Attributable to minority interest [non-controlling interests] IAS 1.81B (b)(i)
690Attributable to owners of the parent IAS 1.81B (b)(ii)

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.
References Gross carrying amount Carrying amount Annex V.Part 1.27
Central banks General governments Credit institutions Other financial corporations Non-financial corporations Households
Annex V.Part 1.34 Annex V.Part 1.42(a) Annex V.Part 1.42(b) Annex V.Part 1.42(c) Annex V.Part 1.42(d) Annex V.Part 1.42(e) Annex V.Part 1.42(f)
005010020030040050060
By product010 On demand [call] and short notice [current account] Annex V.Part 2.85(a)
020 Credit card debt Annex V.Part 2.85(b)
030 Trade receivables Annex V.Part 2.85(c)
040 Finance leases Annex V.Part 2.85(d)
050 Reverse repurchase loans Annex V.Part 2.85(e)
060 Other term loans Annex V.Part 2.85(f)
070 Advances that are not loans Annex V.Part 2.85(g)
080 LOANS AND ADVANCES Annex V.Part 1.32, 44(a)
By collateral090of which: Loans collateralized by immovable property Annex V.Part 2.86(a), 87
100of which: other collateralized loans Annex V.Part 2.86(b), 87
By purpose110of which: credit for consumption Annex V.Part 2.88(a)
120of which: lending for house purchase Annex V.Part 2.88(b)
By subordination130of which: project finance loans Annex V.Part 2.89; CRR Art 147(8)

8. Breakdown of financial liabilities U.K.

8.1 Breakdown of financial liabilities by product and by counterparty sector U.K.
Carrying amount Annex V.Part 1.27 Accumulated changes in fair value due to credit risk
Held for trading Designated at fair value through profit or loss Amortised cost Hedge accounting
References National GAAP compatible IFRS IFRS 7.8(e)(ii); IFRS 9 Appendix A, IFRS 9.BA.6-BA.7, IFRS 9.6.7 IFRS 7.8(e)(i); IFRS 9.4.2.2, IFRS 9.4.3.5 IFRS 7.8(g); IFRS 9.4.2.1 IFRS 7.24A(a); IFRS 9.6 CRR art 33(1)(b), art 33(1)(c); Annex V.Part 2.101
010020030037040
010 Derivatives IFRS 9.BA.7(a)
020 Short positions FRS 9.BA.7(b)
030Equity instruments IAS 32.11
040Debt securities Annex V.Part 1.31
050 Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36
060Central banks Annex V.Part 1.42(a), 44(c)
070 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1
080 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2
090 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
100 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4
110General governments Annex V.Part 1.42(b), 44(c)
120 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1
130 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2
140 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
150 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4
160Credit institutions Annex V.Part 1.42(c),44(c)
170 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1
180 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2
190 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
200 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4
210Other financial corporations Annex V.Part 1.42(d),44(c)
220 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1
230 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2
240 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
250 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4
260Non-financial corporations Annex V.Part 1.42(e), 44(c)
270 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1
280 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2
290 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
300 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4
310Households Annex V.Part 1.42(f), 44(c)
320 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1
330 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2
340 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
350 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4
360 Debt securities issued Annex V.Part 1.37, Part 2.98
370Certificates of deposits Annex V.Part 2.98(a)
380Asset-backed securities CRR art 4(1)(61)
390Covered bonds CRR art 129
400Hybrid contracts Annex V.Part 2.98(d)
410Other debt securities issued Annex V.Part 2.98(e)
420 Convertible compound financial instruments IAS 32.AG 31
430 Non-convertible
440 Other financial liabilities Annex V.Part 1.38-41
445of which: lease liabilities IFRS 16.22, 26-28, 47(b)
450 FINANCIAL LIABILITIES
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
010020
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

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

By type of risk / By product or by type of market References Carrying amount Notional amount
Financial assets Held for trading and trading Financial liabilities Held for trading and trading Total Trading of which: sold
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
010020030040
010 Interest rate Annex V.Part 2.129(a)
020of which: economic hedges Annex V.Part 2.137-139
030OTC options Annex V.Part 2.136
040OTC other Annex V.Part 2.136
050Organized market options Annex V.Part 2.136
060Organized market other Annex V.Part 2.136
070 Equity Annex V.Part 2.129(b)
080of which: economic hedges Annex V.Part 2.137-139
090OTC options Annex V.Part 2.136
100OTC other Annex V.Part 2.136
110Organized market options Annex V.Part 2.136
120Organized market other Annex V.Part 2.136
130 Foreign exchange and gold Annex V.Part 2.129(c)
140of which: economic hedges Annex V.Part 2.137-139
150OTC options Annex V.Part 2.136
160OTC other Annex V.Part 2.136
170Organized market options Annex V.Part 2.136
180Organized market other Annex V.Part 2.136
190 Credit Annex V.Part 2.129(d)
195of which: economic hedges with use of the fair value option IFRS 9.6.7.1; Annex V.Part 2.140
201of which: other economic hedges Annex V.Part 2.137-140
210Credit default swap
220Credit spread option
230Total return swap
240Other
250 Commodity Annex V.Part 2.129(e)
260of which: economic hedges Annex V.Part 2.137-139
270 Other Annex V.Part 2.129(f)
280of which: economic hedges Annex V.Part 2.137-139
290 DERIVATIVES IFRS 9.Appendix A
300of which: OTC - credit institutions Annex V.Part 1.42(c), 44(e), Part 2.141(a), 142
310of which: OTC - other financial corporations Annex V.Part 1.42(d), 44(e), Part 2.141(b)
320of which: OTC - rest Annex V.Part 1.44(e), Part 2.141(c)

11. Hedge accounting U.K.

11.1 Derivatives - Hedge accounting: Breakdown by type of risk and type of hedge U.K.
By product or by type of market Carrying amount Notional amount
Assets Liabilities Total Hedging of which: sold
References IFRS 7.24A; Annex V. Part 2.120, 131 IFRS 7.24A; Annex V. Part 2.120, 131 Annex V.Part 2.133-135 Annex V.Part 2.133-135
010020030040
010 Interest rate Annex V.Part 2.129(a)
020OTC options Annex V.Part 2.136
030OTC other Annex V.Part 2.136
040Organized market options Annex V.Part 2.136
050Organized market other Annex V.Part 2.136
060 Equity Annex V.Part 2.129(b)
070OTC options Annex V.Part 2.136
080OTC other Annex V.Part 2.136
090Organized market options Annex V.Part 2.136
100Organized market other Annex V.Part 2.136
110 Foreign exchange and gold Annex V.Part 2.129(c)
120OTC options Annex V.Part 2.136
130OTC other Annex V.Part 2.136
140Organized market options Annex V.Part 2.136
150Organized market other Annex V.Part 2.136
160 Credit Annex V.Part 2.129(d)
170Credit default swap Annex V.Part 2.136
180Credit spread option Annex V.Part 2.136
190Total return swap Annex V.Part 2.136
200Other Annex V.Part 2.136
210 Commodity Annex V.Part 2.129(e)
220 Other Annex V.Part 2.129(f)
230 FAIR VALUE HEDGES IFRS 7.24A; IAS 39.86(a); IFRS 9.6.5.2(a)
240 Interest rate Annex V.Part 2.129(a)
250OTC options Annex V.Part 2.136
260OTC other Annex V.Part 2.136
270Organized market options Annex V.Part 2.136
280Organized market other Annex V.Part 2.136
290 Equity Annex V.Part 2.129(b)
300OTC options Annex V.Part 2.136
310OTC other Annex V.Part 2.136
320Organized market options Annex V.Part 2.136
330Organized market other Annex V.Part 2.136
340 Foreign exchange and gold Annex V.Part 2.129(c)
350OTC options Annex V.Part 2.136
360OTC other Annex V.Part 2.136
370Organized market options Annex V.Part 2.136
380Organized market other Annex V.Part 2.136
390 Credit Annex V.Part 2.129(d)
400Credit default swap Annex V.Part 2.136
410Credit spread option Annex V.Part 2.136
420Total return swap Annex V.Part 2.136
430Other Annex V.Part 2.136
440 Commodity Annex V.Part 2.129(e)
450 Other Annex V.Part 2.129(f)
460 CASH FLOW HEDGES IFRS 7.24A; IAS 39.86(b); IFRS 9.6.5.2(b)
470 HEDGE OF NET INVESTMENTS IN A FOREIGN OPERATION IFRS 7.24A; IAS 39.86(c); IFRS 9.6.5.2(c)
480 PORTFOLIO FAIR VALUE HEDGES OF INTEREST RATE RISK IAS 39.71, 81A, 89A, AG 114-132
490 PORTFOLIO CASH FLOW HEDGES OF INTEREST RATE RISK IAS 39.71
500 DERIVATIVES-HEDGE ACCOUNTING IFRS 7.24A; IAS 39.9; IFRS 9.6.1
510of which: OTC - credit institutions Annex V.Part 1.42(c), 44(e), Part 2.141(a), 142
520of which: OTC - other financial corporations Annex V.Part 1.42(d), 44(e), Part 2.141(b)
530of which: OTC - rest Annex V.Part 1.44(e), Part 2.141(c)

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

18.0 Information on performing and non-performing exposures U.K.
References Gross carrying amount / Nominal amount Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Maximum amount of the collateral or guarantee that can be considered Annex V. Part 2.119
Performing Non-performing Performing exposures - Accumulated impairment and provisions Non-performing exposures - Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Collateral received and financial guarantees received
Not past due or Past due <= 30 daysPast due > 30 days <= 90 daysOf which: Instruments without significant increase in credit risk since initial recognition (Stage 1)Of which: Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Unlikely to pay that are not past-due or past-due < = 90 daysPast due > 90 days <= 180 daysPast due > 180 days <= 1 yearPast due > 1 year <= 2 yearsPast due > 2 year <= 5 yearsPast due > 5 year <= 7 yearsPast due > 7 yearsOf which: Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Of which: defaultedof which: Credit-impaired instruments (Stage 3)of which: Instruments without significant increase in credit risk since initial recognition (Stage 1)of which: Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Unlikely to pay that are not past-due or past-due < = 90 daysPast due > 90 days <= 180 daysPast due > 180 days <= 1 yearPast due > 1 year < = 2 yearPast due > 2 year < = 5 yearPast due > 5 year <= 7 yearsPast due > 7 yearsOf which: Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Of which: Credit-impaired instruments (Stage 3)Collateral received on performing exposuesCollateral received on non-performing exposuresFinancial guarantees received on performing exposuresFinancial guarantees received on non-performing exposures
010020030055056057060070080090101102106107109110121130140141142150160170180191192196197950951201200205210
Annex V. Part 1.34, Part 2.118, 221 Annex V. Part 2. 213-216, 223-239 Annex V. Part 2. 222, 235 Annex V. Part 2. 222, 235 IFRS 9.5.5.5; IFRS 7.35M(a); Annex V. Part 2. 237(d) IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) Annex V. Part 2. 213-216, 223-239 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) CRR art 178; Annex V.Part 2.237(b) IFRS 9.5.5.1; IFRS 9.Appendix A; Annex V.Part 2.237(a) Annex V. Part 2. 238 Annex V. Part 2. 238 IFRS 9.5.5.5; IFRS 7.35M(a); Annex V. Part 2. 237(d) IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) Annex V. Part 2. 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) IFRS 9.5.5.1; IFRS 9. Appendix A; Annex V. Part 2.237(a) Annex V. Part 2. 239 Annex V. Part 2. 239 Annex V. Part 2. 239 Annex V. Part 2. 239
005 Cash balances at central banks and other demand deposits Annex V.Part 2.2, 3
010 Debt securities Annex V.Part 1.31, 44(b)
020Central banks Annex V.Part 1.42(a)
030General governments Annex V.Part 1.42(b)
040Credit institutions Annex V.Part 1.42(c)
050Other financial corporations Annex V.Part 1.42(d)
060Non-financial corporations Annex V.Part 1.42(e)
070 Loans and advances Annex V.Part 1.32, 44(a)
080Central banks Annex V.Part 1.42(a)
090General governments Annex V.Part 1.42(b)
100Credit institutions Annex V.Part 1.42(c)
110Other financial corporations Annex V.Part 1.42(d)
120Non-financial corporations Annex V.Part 1.42(e)
130Of which: Small and Medium-sized Enterprises SME Art 1 2(a)
140Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a)
150Households Annex V.Part 1.42(f)
160Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a)
170Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b)
180 DEBT INSTRUMENTS AT COST OR AT AMORTISED COST Annex V.Part 2.233(a)
181 Debt securities Annex V.Part 1.31, 44(b)
182Central banks Annex V.Part 1.42(a)
183General governments Annex V.Part 1.42(b)
184Credit institutions Annex V.Part 1.42(c)
185Other financial corporations Annex V.Part 1.42(d)
186Non-financial corporations Annex V.Part 1.42(e)
191 Loans and advances Annex V.Part 1.32, 44(a)
192Central banks Annex V.Part 1.42(a)
193General governments Annex V.Part 1.42(b)
194Credit institutions Annex V.Part 1.42(c)
195Other financial corporations Annex V.Part 1.42(d)
196Non-financial corporations Annex V.Part 1.42(e)
900Of which: Small and Medium-sized Enterprises SME Art 1 2(a)
903Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a)
197Households Annex V.Part 1.42(f)
910Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a)
913Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b)
201 DEBT INSTRUMENTS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME OR THROUGH EQUITY SUBJECT TO IMPAIRMENT Annex V.Part 2.233(b)
211 Debt securities Annex V.Part 1.31, 44(b)
212Central banks Annex V.Part 1.42(a)
213General governments Annex V.Part 1.42(b)
214Credit institutions Annex V.Part 1.42(c)
215Other financial corporations Annex V.Part 1.42(d)
216Non-financial corporations Annex V.Part 1.42(e)
221 Loans and advances Annex V.Part 1.32, 44(a)
222Central banks Annex V.Part 1.42(a)
223General governments Annex V.Part 1.42(b)
224Credit institutions Annex V.Part 1.42(c)
225Other financial corporations Annex V.Part 1.42(d)
226Non-financial corporations Annex V.Part 1.42(e)
920Of which: Small and Medium-sized Enterprises SME Art 1 2(a)
923Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a)
227Households Annex V.Part 1.42(f)
930Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a)
933Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b)
231 DEBT INSTRUMENTS AT STRICT LOCOM, OR FAIR VALUE THROUGH PROFIT OR LOSS OR THROUGH EQUITY NOT SUBJECT TO IMPAIRMENT Annex V.Part 2.233(c), 234
330 DEBT INSTRUMENTS OTHER THAN HELD FOR TRADING OR TRADING Annex V.Part 2.217
335 DEBT INSTRUMENTS HELD FOR SALE Annex V.Part 2.220
340 Loan commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 113, 116, 224
350Central banks Annex V.Part 1.42(a)
360General governments Annex V.Part 1.42(b)
370Credit institutions Annex V.Part 1.42(c)
380Other financial corporations Annex V.Part 1.42(d)
390Non-financial corporations Annex V.Part 1.42(e)
400Households Annex V.Part 1.42(f)
410 Financial guarantees given IFRS 4 Annex A; CRR Annex I; Annex V.Part 1.44(f), Part 2.102-105, 114, 116, 225
420Central banks Annex V.Part 1.42(a)
430General governments Annex V.Part 1.42(b)
440Credit institutions Annex V.Part 1.42(c)
450Other financial corporations Annex V.Part 1.42(d)
460Non-financial corporations Annex V.Part 1.42(e)
470Households Annex V.Part 1.42(f)
480 Other Commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 115, 116, 224
490Central banks Annex V.Part 1.42(a)
500General governments Annex V.Part 1.42(b)
510Credit institutions Annex V.Part 1.42(c)
520Other financial corporations Annex V.Part 1.42(d)
530Non-financial corporations Annex V.Part 1.42(e)
540Households Annex V.Part 1.42(f)
550 OFF-BALANCE SHEET EXPOSURES Annex V.Part 2.217

19. Information forborne exposures U.K.

References Gross carrying amount / nominal amount of exposures with forbearance measures Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Maximum amount of the collateral or guarantee that can be considered Annex V. Part 2.119
Performing exposures with forbearance measures Non-performing exposures with forbearance measures Perfoming exposures with forbearance measures - Accumulated impairment and provisions Non-performing exposures with forbearance measures - Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Collateral received and financial guarantees received
Instruments with modifications in their terms and conditionsRefinancingof which: Performing forborne exposures under probation reclassified from non-performingInstruments with modifications in their terms and conditionsRefinancingof which: Defaultedof which: Impairedof which: Forbearance of exposures non-performing prior to forbearanceInstruments with modifications in their terms and conditionsRefinancingCollateral received on exposures with forbearance measuresFinancial guarantees received on exposures with forbearance measures
Of which: Collateral received on non-performing exposures with forbearance measuresOf which: Financial guarantees received on non-performing exposures with forbearance measures
010020030040050060070080090100110120130140150160170175180185
Annex V. Part 1.34, Part 2. 118, 240-245, 251-258 Annex V. Part 2. 256, 259-262 Annex V. Part 2.241(a), 266 Annex V. Part 2. 241 (b), 265-266 Annex V. Part 2. 256(b), 261 Annex V. Part 2. 259-263 Annex V. Part 2.241(a), 266 Annex V. Part 2. 241 (b), 265-266 CRR art 178; Annex V. Part 2.264(b) IFRS 9.5.5.1; IFRS 9.Appendix A; Annex V.Part 2.264(a) Annex V. Part 2. 231, 252(a), 263 Annex V. Part 2. 267 Annex V. Part 2. 207 Annex V. Part 2. 207 Annex V. Part 2. 241(a), 267 Annex V. Part 2. 241(b), 267 Annex V. Part 2. 268 Annex V. Part 2. 268 Annex V. Part 2. 268 Annex V. Part 2. 268
005 Cash balances at central banks and other demand deposits Annex V.Part 2.2, 3
010 Debt securities Annex V.Part 1.31, 44(b)
020Central banks Annex V.Part 1.42(a)
030General governments Annex V.Part 1.42(b)
040Credit institutions Annex V.Part 1.42(c)
050Other financial corporations Annex V.Part 1.42(d)
060Non-financial corporations Annex V.Part 1.42(e)
070 Loans and advances Annex V.Part 1.32, 44(a)
080Central banks Annex V.Part 1.42(a)
090General governments Annex V.Part 1.42(b)
100Credit institutions Annex V.Part 1.42(c)
110Other financial corporations Annex V.Part 1.42(d)
120Non-financial corporations Annex V.Part 1.42(e)
130Of which: Small and Medium-sized Enterprises SME Art 1 2(a)
140Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a)
150Households Annex V.Part 1.42(f)
160Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a)
170Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b)
180 DEBT INSTRUMENTS AT COST OR AT AMORTISED COST Annex V.Part 2.249(a)
181 Debt securities Annex V.Part 1.31, 44(b)
182Central banks Annex V.Part 1.42(a)
183General governments Annex V.Part 1.42(b)
184Credit institutions Annex V.Part 1.42(c)
185Other financial corporations Annex V.Part 1.42(d)
186Non-financial corporations Annex V.Part 1.42(e)
191 Loans and advances Annex V.Part 1.32, 44(a)
192Central banks Annex V.Part 1.42(a)
193General governments Annex V.Part 1.42(b)
194Credit institutions Annex V.Part 1.42(c)
195Other financial corporations Annex V.Part 1.42(d)
196Non-financial corporations Annex V.Part 1.42(e)
900Of which: Small and Medium-sized Enterprises SME Art 1 2(a)
903Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a)
197Households Annex V.Part 1.42(f)
910Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a)
913Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b)
201 DEBT INSTRUMENTS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME OR THROUGH EQUITY SUBJECT TO IMPAIRMENT Annex V.Part 2.249(b)
211 Debt securities Annex V.Part 1.31, 44(b)
212Central banks Annex V.Part 1.42(a)
213General governments Annex V.Part 1.42(b)
214Credit institutions Annex V.Part 1.42(c)
215Other financial corporations Annex V.Part 1.42(d)
216Non-financial corporations Annex V.Part 1.42(e)
221 Loans and advances Annex V.Part 1.32, 44(a)
222Central banks Annex V.Part 1.42(a)
223General governments Annex V.Part 1.42(b)
224Credit institutions Annex V.Part 1.42(c)
225Other financial corporations Annex V.Part 1.42(d)
226Non-financial corporations Annex V.Part 1.42(e)
920Of which: Small and Medium-sized Enterprises SME Art 1 2(a)
923Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a)
227Households Annex V.Part 1.42(f)
930Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a)
933Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b)
231 DEBT INSTRUMENTS AT STRICT LOCOM, OR FAIR VALUE THROUGH PROFIT OR LOSS OR THROUGH EQUITY NOT SUBJECT TO IMPAIRMENT Annex V.Part 2.249
330 DEBT INSTRUMENTS OTHER THAN HELD FOR TRADING OR TRADING Annex V.Part 2.246
335 DEBT INSTRUMENTS HELD FOR SALE Annex V.Part 2.247
340 Loan commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 113, 116, 246

ANNEX IVU.K.

Annex V to Regulation (EU) 2015/534 (ECB/2015/13) entitled ‘ “FINREP data points” under national accounting frameworks’ is replaced by the following:

ANNEX V

COLOUR CODE IN TEMPLATES:
Parts for national GAAP reporters
Cell not to be submitted for reporting institutions subject to the relevant accounting framework
Data point to be submitted
FINREP Templates for GAAP
Template number Template code Name of the template or of the group of template
PART 1 [QUARTERLY FREQUENCY]
Balance Sheet Statement [Statement of Financial Position]
1.1F 01.01Balance Sheet Statement: assets
1.2F 01.02Balance Sheet Statement: liabilities
1.3F 01.03Balance Sheet Statement: equity
2F 02.00 Statement of profit or loss
5.1F 05.01 Breakdown of non-trading loans and advances by product
Breakdown of financial liabilities
8.1F 08.01Breakdown of financial liabilities by product and by counterparty sector
8.2F 08.02Subordinated financial liabilities
10F 10.00 Derivatives - Trading and economic hedges
Hedge accounting
11.2F 11.02Derivatives - Hedge accounting under national GAAP: Breakdown by type of risk
Information on performing and non-performing exposures
18.0F 18.00Information on performing and non-performing exposures
19F 19.00 Forborne exposures

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

1.1 Assets U.K.
References National GAAP based on BAD References National GAAP compatible IFRS Breakdown in table Carrying amount
Annex V.Part 1.27-28
010
010 Cash, cash balances at central banks and other demand deposits BAD art 4.Assets(1) IAS 1.54 (i)
020Cash on hand Annex V.Part 2.1 Annex V.Part 2.1
030Cash balances at central banks BAD art 13(2); Annex V.Part 2.2 Annex V.Part 2.2
040Other demand deposits Annex V.Part 2.3 Annex V.Part 2.35
050 Financial assets held for trading Accounting Directive art 8(1)(a), (5); IAS 39.9 IFRS 9.Appendix A
060Derivatives CRR Annex II IFRS 9.Appendix A10
070Equity instruments ECB/2013/33 Annex 2.Part 2.4-5 IAS 32.114
080Debt securities Annex V.Part 1.24, 26 Annex V.Part 1.314
090Loans and advances Annex V.Part 1.24, 27 Annex V.Part 1.324
091 Trading financial assets BAD Article 32-33; Annex V.Part 1.17
092Derivatives CRR Annex II; Annex V.Part 1.17, 2710
093Equity instruments ECB/2013/33 Annex 2.Part 2.4-54
094Debt securities Annex V.Part 1.314
095Loans and advances Annex V.Part 1.324
096 Non-trading financial assets mandatorily at fair value through profit or loss IFRS 7.8(a)(ii); IFRS 9.4.1.44
097Equity instruments IAS 32.114
098Debt securities Annex V.Part 1.314
099Loans and advances Annex V.Part 1.324
100 Financial assets designated at fair value through profit or loss Accounting Directive art 8(1)(a), (6) IFRS 7.8(a)(i); IFRS 9.4.1.54
110Equity instruments IAS 32.11;ECB/2013/33 Annex 2.Part 2.4-54
120Debt securities Annex V.Part 1.31 Annex V.Part 1.314
130Loans and advances Annex V.Part 1.32 Annex V.Part 1.324
141 Financial assets at fair value through other comprehensive income IFRS 7.8(h); IFRS 9.4.1.2A4
142Equity instruments IAS 32.114
143Debt securities Annex V.Part 1.314
144Loans and advances Annex V.Part 1.324
171 Non-trading non-derivative financial assets measured at fair value through profit or loss BAD art 36(2)4
172Equity instruments ECB/2013/33 Annex 2.Part 2.4-54
173Debt securities Annex V.Part 1.314
174Loans and advances Accounting Directive art 8(1)(a), (4)(b); Annex V.Part 1.324
175 Non-trading non-derivative financial assets measured at fair value to equity Accounting Directive art 8(1)(a), (8)4
176Equity instruments ECB/2013/33 Annex 2.Part 2.4-54
177Debt securities Annex V.Part 1.314
178Loans and advances Accounting Directive art 8(1)(a), (4)(b); Annex V.Part 1.324
181 Financial assets at amortised cost IFRS 7.8(f); IFRS 9.4.1.24
182Debt securities Annex V.Part 1.314
183Loans and advances Annex V.Part 1.324
231 Non-trading non-derivative financial assets measured at a cost-based method BAD art 35;Accounting Directive Article 6(1)(i) and Article 8(2); Annex V.Part1.18, 194
390Equity instruments ECB/2013/33 Annex 2.Part 2.4-54
232Debt securities Annex V.Part 1.314
233Loans and advances Annex V.Part 1.324
234 Other non-trading non-derivative financial assets BAD art 37; Accounting Directive Article 12(7); Annex V.Part 1.204
235Equity instruments ECB/2013/33 Annex 2.Part 2.4-54
236Debt securities Annex V.Part 1.314
237Loans and advances Annex V.Part 1.324
240 Derivatives – Hedge accounting Accounting Directive art 8(1)(a), (6), (8); IAS 39.9; Annex V.Part 1.22 IFRS 9.6.2.1; Annex V.Part 1.2211
250 Fair value changes of the hedged items in portfolio hedge of interest rate risk Accounting Directive art 8(5), (6); IAS 39.89A (a) IAS 39.89A(a); IFRS 9.6.5.8
260 Investments in subsidiaries, joint ventures and associates BAD art 4.Assets(7)-(8); Accounting Directive art 2(2); Annex V.Part 1.21, Part 2.4 IAS 1.54(e); Annex V.Part 1.21, Part 2.440
270 Tangible assets BAD art 4.Assets(10)
280Property, Plant and Equipment IAS 16.6; IAS 1.54(a); IFRS 16.47(a)21, 42
290Investment property IAS 40.5; IAS 1.54(b); IFRS 16.4821, 42
300 Intangible assets BAD art 4.Assets(9); CRR art 4(1)(115) IAS 1.54(c); CRR art 4(1)(115)
310Goodwill BAD art 4.Assets(9); CRR art 4(1)(113) IFRS 3.B67(d); CRR art 4(1)(113)
320Other intangible assets BAD art 4.Assets(9) IAS 38.8,118; IFRS 16.47 (a)21, 42
330 Tax assets IAS 1.54(n-o)
340Current tax assets IAS 1.54(n); IAS 12.5
350Deferred tax assets Accounting Directive art 17(1)(f); CRR art 4(1)(106) IAS 1.54(o); IAS 12.5; CRR art 4(1)(106)
360 Other assets Annex V.Part 2.5, 6 Annex V.Part 2.5
370 Non-current assets and disposal groups classified as held for sale IAS 1.54(j); IFRS 5.38, Annex V.Part 2.7
375(-) Haircuts for trading assets at fair value Annex V Part 1.29
380 TOTAL ASSETS BAD art 4 Assets IAS 1.9(a), IG 6
1.2 Liabilities U.K.
References National GAAP based on BAD References National GAAP compatible IFRS Breakdown in table Carrying amount
Annex V.Part 1.27-28
010
010 Financial liabilities held for trading IFRS 7.8 (e) (ii); IFRS 9.BA.68
020Derivatives IFRS 9.Appendix A; IFRS 9.4.2.1(a); IFRS 9.BA.7(a)10
030Short positions IFRS 9.BA7(b)8
040Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
050Debt securities issued Annex V.Part 1.378
060Other financial liabilities Annex V.Part 1.38-418
061 Trading financial liabilities Accounting Directive art 8(1)(a),(3),(6)8
062Derivatives CRR Annex II; Annex V.Part 1.2510
063Short positions8
064Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
065Debt securities issued Annex V.Part 1.378
066Other financial liabilities Annex V.Part 1.38-418
070 Financial liabilities designated at fair value through profit or loss Accounting Directive art 8(1)(a), (6); IAS 39.9 IFRS 7.8 (e)(i); IFRS 9.4.2.28
080Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36 ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
090Debt securities issued Annex V.Part 1.37 Annex V.Part 1.378
100Other financial liabilities Annex V.Part 1.38-41 Annex V.Part 1.38-418
110 Financial liabilities measured at amortised cost Accounting Directive art 8(3), (6); IAS 39.47 IFRS 7.8(g); IFRS 9.4.2.18
120Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.30 ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
130Debt securities issued Annex V.Part 1.31 Annex V.Part 1.378
140Other financial liabilities Annex V.Part 1.32-34 Annex V.Part 1.38-418
141 Non-trading non-derivative financial liabilities measured at a cost-based method Accounting Directive art 8(3)8
142Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.368
143Debt securities issued Annex V.Part 1.378
144Other financial liabilities Annex V.Part 1.38-418
150 Derivatives – Hedge accounting Accounting Directive art 8(1)(a), (6), (8)(a); Annex V.Part 1.26 IFRS 9.6.2.1; Annex V.Part 1.2611
160 Fair value changes of the hedged items in portfolio hedge of interest rate risk Accounting Directive art 8(5), (6); Annex V.Part 2.8; IAS 39.89A(b) IAS 39.89A(b), IFRS 9.6.5.8
170 Provisions BAD art 4.Liabilities(6) IAS 37.10; IAS 1.54(l)43
175Funds for general banking risks [if presented within liabilities] BAD art 38.1; CRR art 4(112); Annex V.Part 2.15
180Pensions and other post employment defined benefit obligations Annex V.Part 2.9 IAS 19.63; IAS 1.78(d); Annex V.Part 2.943
190Other long term employee benefits Annex V.Part 2.10 IAS 19.153; IAS 1.78(d); Annex V.Part 2.1043
200Restructuring IAS 37.71, 84(a)43
210Pending legal issues and tax litigation IAS 37.Appendix C. Examples 6 and 1043
220Commitments and guarantees given BAD Article 4 Liabilities (6)(c ), Off balance sheet items, Article 27(11), Article 28(8), Article 33 IFRS 9.4.2.1(c),(d), 9.5.5, 9.B2.5; IAS 37, IFRS 4, Annex V.Part 2.11

9

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230Other provisions BAD Article 4 Liabilities (6)(c ), Off balance sheet items IAS 37.1443
240 Tax liabilities IAS 1.54(n-o)
250Current tax liabilities IAS 1.54(n); IAS 12.5
260Deferred tax liabilities Accounting Directive art 17(1)(f); CRR art 4(1)(108) IAS 1.54(o); IAS 12.5; CRR art 4(1)(108)
270 Share capital repayable on demand IAS 32 IE 33; IFRIC 2; Annex V.Part 2.12
280 Other liabilities Annex V.Part 2.13 Annex V.Part 2.13
290 Liabilities included in disposal groups classified as held for sale IAS 1.54 (p); IFRS 5.38, Annex V.Part 2.14
295 Haircuts for trading liabilities at fair value Annex V Part 1.29
300 TOTAL LIABILITIES IAS 1.9(b);IG 6
1.3 Equity U.K.
References National GAAP based on BAD References National GAAP compatible IFRS Breakdown in table Carrying amount
010
010 Capital BAD art 4.Liabilities(9), BAD art 22 IAS 1.54(r), BAD art 2246
020Paid up capital BAD art 4.Liabilities(9) IAS 1.78(e)
030Unpaid capital which has been called up BAD art 4.Liabilities(9); Annex V.Part 2.17 Annex V.Part 2.14
040 Share premium BAD art 4.Liabilities(10); CRR art 4(1)(124) IAS 1.78(e); CRR art 4(1)(124)46
050 Equity instruments issued other than capital Annex V.Part 2.18-19 Annex V.Part 2.18-1946
060Equity component of compound financial instruments Accounting Directive art 8(6); Annex V.Part 2.18 IAS 32.28-29; Annex V.Part 2.18
070Other equity instruments issued Annex V.Part 2.19 Annex V.Part 2.19
080 Other equity Annex V.Part 2.20 IFRS 2.10; Annex V.Part 2.20
090 Accumulated other comprehensive income CRR art 4(1)(100) CRR art 4(1)(100)46
095Items that will not be reclassified to profit or loss IAS 1.82A(a)
100 Tangible assets IAS 16.39-41
110 Intangible assets IAS 38.85-87
120 Actuarial gains or (-) losses on defined benefit pension plans IAS 1.7, IG6; IAS 19.120(c)
122 Non-current assets and disposal groups classified as held for sale IFRS 5.38, IG Example 12
124 Share of other recognised income and expense of investments in subsidaries, joint ventures and associates IAS 1.IG6; IAS 28.10
320 Fair value changes of equity instruments measured at fair value through other comprehensive income IAS 1.7(d); IFRS 9 5.7.5, B5.7.1; Annex V.Part 2.21
330 Hedge ineffectiveness of fair value hedges for equity instruments measured at fair value through other comprehensive income IAS 1.7(e);IFRS 9.5.7.5;.6.5.3; IFRS 7.24C; Annex V.Part 2.22
340 Fair value changes of equity instruments measured at fair value through other comprehensive income [hedged item] IFRS 9.5.7.5;.6.5.8(b); Annex V.Part 2.22
350 Fair value changes of equity instruments measured at fair value through other comprehensive income [hedging instrument] IAS 1.7(e);IFRS 9.5.7.5;.6.5.8(a);Annex V.Part 2.57
360 Fair value changes of financial liabilities at fair value through profit or loss attributable to changes in their credit risk IAS 1.7(f); IFRS 9 5.7.7;Annex V.Part 2.23
128Items that may be reclassified to profit or loss IAS 1.82A(a) (ii)
130 Hedge of net investments in foreign operations [effective portion] Accounting Directive art 8(1)(a), (6)(8) IFRS9.6.5.13(a); IFRS7.24B(b)(ii)(iii); IFRS 7.24C(b)(i)(iv),.24E(a); Annex V.Part 2.24
140 Foreign currency translation BAD art 39(6) IAS 21.52(b); IAS 21.32, 38-49
150 Hedging derivatives. Cash flow hedges reserve [effective portion] Accounting Directive art 8(1)(a), (6)(8) IAS 1.7 (e); IFRS 7.24B(b)(ii)(iii); IFRS 7.24C(b)(i);.24E; IFRS 9.6.5.11(b); Annex V.Part 2.25
155 Fair value changes of debt instruments measured at fair value through other comprehensive income IAS 1.7(da); IFRS 9.4.1.2A; 5.7.10; Annex V.Part 2.26
165 Hedging instruments [not designated elements] IAS 1.7(g)(h); IFRS 9.6.5.15,.6.5.16; IFRS 7.24E (b)(c); Annex V.Part 2.60
170 Non-current assets and disposal groups classified as held for sale IFRS 5.38, IG Example 12
180 Share of other recognised income and expense of investments in subsidaries, joint ventures and associates IAS 1.IG6; IAS 28.10
190 Retained earnings BAD art 4.Liabilities(13); CRR art 4(1)(123) CRR art 4(1)(123)
200 Revaluation reserves BAD art 4.Liabilities(12) IFRS 1.30, D5-D8; Annex V.Part 2.28
201Tangible assets Accounting Directive art 7(1)
202Equity instruments Accounting Directive art 7(1)
203Debt securities Accounting Directive art 7(1)
204Other Accounting Directive art 7(1)
205 Fair value reserves Accounting Directive art 8(1)(a)
206Hedge of net investments in foreign operations Accounting Directive art 8(1)(a), (8)(b)
207Hedging derivatives.Cash flow hedges Accounting Directive art 8(1)(a), (8)(a); CRR article 30(a)
208Hedging derivatives. Other hedges Accounting Directive art 8(1)(a), (8)(a)
209Non-trading non-derivative financial assets measured at fair value to equity Accounting Directive art 8(1)(a), 8(2)
210 Other reserves BAD art 4 Liabilities(11)-(13) IAS 1.54; IAS 1.78(e)
215Funds for general banking risks [if presented within equity] BAD art 38.1; CRR art 4(112); Annex V.Part 2.15
220Reserves or accumulated losses of investments in subsidaries, joint ventures and associates accounted for using the equity method Accounting Directive art 9(7)(a); art 27; Annex V.Part 2.29 IAS 28.11; Annex V.Part 2.29
230Other Annex V.Part 2.29 Annex V.Part 2.29
235 First consolidation differences Accounting Directive art 24(3)(c)
240 (-) Treasury shares Accounting Directive Annex III Annex III Assets D(III)(2); BAD art 4 Assets (12); Annex V.Part 2.30 IAS 1.79(a)(vi); IAS 32.33-34, AG 14, AG 36; Annex V.Part 2.3046
250 Profit or loss attributable to owners of the parent BAD art 4.Liabilities(14) IAS 1.81B (b)(ii)2
260 (-) Interim dividends CRR Article 26(2b) IAS 32.35
270 Minority interests [Non-controlling interests] Accounting Directive art 24(4) IAS 1.54(q)
280Accumulated Other Comprehensive Income CRR art 4(1)(100) CRR art 4(1)(100)46
290Other items46
300 TOTAL EQUITY IAS 1.9(c), IG 646
310 TOTAL EQUITY AND TOTAL LIABILITIES BAD art 4.Liabilities IAS 1.IG6

2. Statement of profit or loss U.K.

References National GAAP based on BAD References National GAAP compatible IFRS Breakdown in table Current period
010
010 Interest income BAD art 27.Vertical layout(1); Annex V.Part 2.31 IAS 1.97; Annex V.Part 2.3116
020Financial assets held for trading IFRS 7.20(a)(i), B5(e); Annex V.Part 2.33, 34
025Non-trading financial assets mandatorily at fair value through profit or loss IFRS 7.20(a)(i), B5(e), IFRS 9.5.7.1
030Financial assets designated at fair value through profit or loss IFRS 7.20(a)(i), B5(e)
041Financial assets at fair value through other comprehensive income IFRS 7.20(b); IFRS 9.5.7.10-11; IFRS 9.4.1.2A
051Financial assets at amortised cost IFRS 7.20(b);IFRS 9.4.1.2; IFRS 9.5.7.2
070Derivatives - Hedge accounting, interest rate risk IFRS 9.Appendix A; .B6.6.16; Annex V.Part 2.35
080Other assets Annex V.Part 2.36
085Interest income on liabilities Annex V.Part 2.37 IFRS 9.5.7.1, Annex V.Part 2.37
090 (Interest expenses) BAD art 27.Vertical layout(2); Annex V.Part 2.31 IAS 1.97; Annex V.Part 2.3116
100(Financial liabilities held for trading) IFRS 7.20(a)(i), B5(e); Annex V.Part 2.33, 34
110(Financial liabilities designated at fair value through profit or loss) IFRS 7.20(a)(i), B5(e)
120(Financial liabilities measured at amortised cost) IFRS 7.20(b); IFRS 9.5.7.2
130(Derivatives - Hedge accounting, interest rate risk) IAS 39.9; Annex V.Part 2.35
140(Other liabilities) Annex V.Part 2.38
145(Interest expense on assets) Annex V.Part 2.39 IFRS 9.5.7.1, Annex V.Part 2.39
150 (Expenses on share capital repayable on demand) IFRIC 2.11
160 Dividend income BAD art 27.Vertical layout(3); Annex V.Part 2.40 Annex V.Part 2.4031
170Financial assets held for trading IFRS 7.20(a)(i), B5(e); Annex V.Part 2.40
175Non-trading financial assets mandatorily at fair value through profit or loss IFRS 7.20(a)(i), B5(e),IFRS 9.5.7.1A; Annex V.Part 2.40
191Financial assets at fair value through other comprehensive income IFRS 7.20(a)(ii); IFRS 9.4.1.2A; IFRS 9.5.7.1A; Annex V.Part 2.41
192Investments in subsidiaries, joint ventures and associates accounted for using other than equity method Annex V Part 2 .42 Annex V Part 2 .42
200 Fee and commission income BAD art 27.Vertical layout(4) IFRS 7.20(c)22
210 (Fee and commission expenses) BAD art 27.Vertical layout(5) IFRS 7.20(c)22
220 Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through profit or loss, net BAD art 27.Vertical layout(6) Annex V.Part 2.4516
231Financial assets at fair value through other comprehensive income IFRS 9.4.12A; IFRS 9.5.7.10-11
241Financial assets at amortised cost IFRS 7.20(a)(v);IFRS 9.4.1.2; IFRS 9.5.7.2
260Financial liabilities measured at amortised cost IFRS 7.20(a)(v); IFRS 9.5.7.2
270Other
280 Gains or (-) losses on financial assets and liabilities held for trading, net BAD art 27.Vertical layout(6) IFRS 7.20(a)(i); IFRS 9.5.7.1; Annex V.Part 2.43, 4616
285 Gains or (-) losses on trading financial assets and liabilities, net BAD art 27.Vertical layout(6)16
287 Gains or (-) losses on non-trading financial assets mandatorily at fair value through profit or loss, net IFRS 7.20(a)(i); IFRS 9.5.7.1; Annex V.Part 2.46
290 Gains or (-) losses on financial assets and liabilities designated at fair value through profit or loss, net IFRS 7.20(a)(i); IFRS 9.5.7.1; Annex V.Part 2.4416, 45
295 Gains or (-) losses on non-trading financial assets and liabilities, net BAD art 27.Vertical layout(6)16
300 Gains or (-) losses from hedge accounting, net Accounting Directive art 8(1)(a), (6), (8) Annex V.Part 2.4716
310 Exchange differences [gain or (-) loss], net BAD art 39 IAS 21.28, 52 (a)
320 Gains or (-) losses on derecognition of investments in subsidiaries, joint ventures and associates, net BAD art 27.Vertical layout(13)-(14); Annex V Part 2.56
330 Gains or (-) losses on derecognition of non-financial assets, net Annex V. Part 2.48 IAS 1.34; Annex V. Part 2.4845
340 Other operating income BAD art 27.Vertical layout(7); Annex V.Part 2.314-316 Annex V.Part 2.314-31645
350 (Other operating expenses) BAD art 27.Vertical layout(10); Annex V.Part 2.314-316 Annex V.Part 2.314-31645
355 TOTAL OPERATING INCOME, NET
360 (Administrative expenses) BAD art 27.Vertical layout(8)
370(Staff expenses) BAD art 27.Vertical layout(8)(a) IAS 19.7; IAS 1.102, IG 644
380(Other administrative expenses) BAD art 27.Vertical layout(8)(b);16
385 (Cash contributions to resolution funds and deposit guarantee schemes) Annex V.Part 2.48i Annex V.Part 2.48i
390 (Depreciation) IAS 1.102, 104
400(Property, Plant and Equipment) BAD art 27.Vertical layout(9) IAS 1.104; IAS 16.73(e)(vii)
410(Investment Properties) BAD art 27.Vertical layout(9) IAS 1.104; IAS 40.79(d)(iv)
415(Goodwill) BAD art 27.Vertical layout(9)
420(Other intangible assets) BAD art 27.Vertical layout(9) IAS 1.104; IAS 38.118(e)(vi)
425 Modification gains or (-) losses, net IFRS 9.5.4.3, IFRS 9 Appendix A; Annex V Part 2.49
426Financial assets at fair value through other comprehensive income IFRS 7.35J
427Financial assets at amortised cost IFRS 7.35J
430 (Provisions or (-) reversal of provisions) IAS 37.59, 84; IAS 1.98(b)(f)(g)

9

12

43

435(payment commitments to resolution funds and deposit guarantee schemes) Annex V.Part 2.48i Annex V.Part 2.48i
440(Commitments and guarantees given) BAD art 27.Vertical layout(11)-(12) IFRS 9.4.2.1(c),(d),9.B2.5; IAS 37, IFRS 4, Annex V.Part 2.50
450(Other provisions)
455 (Increases or (-) decreases of the fund for general banking risks, net) BAD art 38.2
460 (Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or loss) BAD art 35-37, Annex V.Part 2.52, 53 IFRS 7.20(a)(viii); IFRS 9.5.4.4; Annex V Part 2.51, 5312
481(Financial assets at fair value through other comprehensive income) IFRS 9.5.4.4, 9.5.5.1, 9.5.5.2, 9.5.5.812
491(Financial assets at amortised cost) IFRS 9.5.4.4, 9.5.5.1, 9.5.5.812
510 (Impairment or (-) reversal of impairment of investments in subsidiaries, joint ventures and associates) BAD art 27.Vertical layout(13)-(14) IAS 28.40-4316
520 (Impairment or (-) reversal of impairment on non-financial assets) IAS 36.126(a)(b)16
530(Property, plant and equipment) BAD art 27.Vertical layout(9) IAS 16.73(e)(v-vi)
540(Investment properties) BAD art 27.Vertical layout(9) IAS 40.79(d)(v)
550(Goodwill) BAD art 27.Vertical layout(9) IFRS 3.Appendix B67(d)(v); IAS 36.124
560(Other intangible assets) BAD art 27.Vertical layout(9) IAS 38.118 (e)(iv)(v)
570(Other) IAS 36.126 (a)(b)
580 Negative goodwill recognised in profit or loss Accounting Directive art 24(3)(f) IFRS 3.Appendix B64(n)(i)
590 Share of the profit or (-) loss of investments in subsidaries, joint ventures and associates accounted for using the equity method BAD art 27.Vertical layout(13)-(14) Annex V.Part 2.54
600 Profit or (-) loss from non-current assets and disposal groups classified as held for sale not qualifying as discontinued operations IFRS 5.37; Annex V.Part 2.55
610 PROFIT OR (-) LOSS BEFORE TAX FROM CONTINUING OPERATIONS IAS 1.102, IG 6; IFRS 5.33 A
620 (Tax expense or (-) income related to profit or loss from continuing operations) BAD art 27.Vertical layout(15) IAS 1.82(d); IAS 12.77
630 PROFIT OR (-) LOSS AFTER TAX FROM CONTINUING OPERATIONS BAD art 27.Vertical layout(16) IAS 1, IG 6
632 Extraordinary profit or (-) loss after tax BAD art 27.Vertical layout(21)
633Extraordinary profit or loss before tax BAD art 27.Vertical layout(19)
634(Tax expense or (-) income related to extraordinary profit or loss) BAD art 27.Vertical layout(20)
640 Profit or (-) loss after tax from discontinued operations IAS 1.82(ea) ; IFRS 5.33(a), 5.33 A; Annex V Part 2.56
650Profit or (-) loss before tax from discontinued operations IFRS 5.33(b)(i)
660(Tax expense or (-) income related to discontinued operations) IFRS 5.33 (b)(ii),(iv)
670 PROFIT OR (-) LOSS FOR THE YEAR BAD art 27.Vertical layout(23) IAS 1.81A(a)
680Attributable to minority interest [non-controlling interests] IAS 1.81B (b)(i)
690Attributable to owners of the parent IAS 1.81B (b)(ii)

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.
References Gross carrying amount Carrying amount Annex V.Part 1.27-28
Central banks General governments Credit institutions Other financial corporations Non-financial corporations Households
Annex V.Part 1.34 Annex V.Part 1.42(a) Annex V.Part 1.42(b) Annex V.Part 1.42(c) Annex V.Part 1.42(d) Annex V.Part 1.42(e) Annex V.Part 1.42(f)
005010020030040050060
By product010 On demand [call] and short notice [current account] Annex V.Part 2.85(a)
020 Credit card debt Annex V.Part 2.85(b)
030 Trade receivables Annex V.Part 2.85(c)
040 Finance leases Annex V.Part 2.85(d)
050 Reverse repurchase loans Annex V.Part 2.85(e)
060 Other term loans Annex V.Part 2.85(f)
070 Advances that are not loans Annex V.Part 2.85(g)
080 LOANS AND ADVANCES Annex V.Part 1.32, 44(a)
By collateral090of which: Loans collateralized by immovable property Annex V.Part 2.86(a), 87
100of which: other collateralized loans Annex V.Part 2.86(b), 87
By purpose110of which: credit for consumption Annex V.Part 2.88(a)
120of which: lending for house purchase Annex V.Part 2.88(b)
By subordination130of which: project finance loans Annex V.Part 2.89; CRR Art 147(8)

8. Breakdown of financial liabilities U.K.

8.1 Breakdown of financial liabilities by product and by counterparty sector U.K.
Carrying amount Annex V.Part 1.27-28 Accumulated changes in fair value due to credit risk
Held for trading Designated at fair value through profit or loss Amortised cost Trading At a cost-based method Hedge accounting
References National GAAP compatible IFRS IFRS 7.8(e)(ii); IFRS 9 Appendix A, IFRS 9.BA.6-BA.7, IFRS 9.6.7 IFRS 7.8(e)(i); IFRS 9.4.2.2, IFRS 9.4.3.5 IFRS 7.8(g); IFRS 9.4.2.1 IFRS 7.24A(a); IFRS 9.6 CRR art 33(1)(b), art 33(1)(c); Annex V.Part 2.101
References National GAAP based on BAD Accounting Directive art 8(1)(a), (6); IAS 39.9, AG 14-15 Accounting Directive art 8(1)(a), (6); IAS 39.9 Accounting Directive art 8(3), (6); IAS 39.47 Accounting Directive art 8(3); Annex V.Part 1.25 Accounting Directive art 8(3) Accounting Directive art 8(1)(a), (6), (8)(1)(a) CRR art 33(1)(b), art 33(1)(c); Annex V.Part 2.102
010020030034035037040
010 Derivatives CRR Annex II IFRS 9.BA.7(a)
020 Short positions FRS 9.BA.7(b)
030Equity instruments ECB/2013/33 Annex 2.Part 2.4-5 IAS 32.11
040Debt securities Annex V.Part 1.31 Annex V.Part 1.31
050 Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36 ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36
060Central banks Annex V.Part 1.42(a), 44(c) Annex V.Part 1.42(a), 44(c)
070 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1 ECB/2013/33 Annex 2.Part 2.9.1
080 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2 ECB/2013/33 Annex 2.Part 2.9.2
090 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
100 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4 ECB/2013/33 Annex 2.Part 2.9.4
110General governments Annex V.Part 1.42(b), 44(c) Annex V.Part 1.42(b), 44(c)
120 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1 ECB/2013/33 Annex 2.Part 2.9.1
130 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2 ECB/2013/33 Annex 2.Part 2.9.2
140 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
150 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4 ECB/2013/33 Annex 2.Part 2.9.4
160Credit institutions Annex V.Part 1.42(c),44(c) Annex V.Part 1.42(c),44(c)
170 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1 ECB/2013/33 Annex 2.Part 2.9.1
180 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2 ECB/2013/33 Annex 2.Part 2.9.2
190 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
200 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4 ECB/2013/33 Annex 2.Part 2.9.4
210Other financial corporations Annex V.Part 1.42(d),44(c) Annex V.Part 1.42(d),44(c)
220 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1 ECB/2013/33 Annex 2.Part 2.9.1
230 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2 ECB/2013/33 Annex 2.Part 2.9.2
240 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
250 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4 ECB/2013/33 Annex 2.Part 2.9.4
260Non-financial corporations Annex V.Part 1.42(e), 44(c) Annex V.Part 1.42(e), 44(c)
270 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1 ECB/2013/33 Annex 2.Part 2.9.1
280 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2 ECB/2013/33 Annex 2.Part 2.9.2
290 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
300 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4 ECB/2013/33 Annex 2.Part 2.9.4
310Households Annex V.Part 1.42(f), 44(c) Annex V.Part 1.42(f), 44(c)
320 Current accounts / overnight deposits ECB/2013/33 Annex 2.Part 2.9.1 ECB/2013/33 Annex 2.Part 2.9.1
330 Deposits with agreed maturity ECB/2013/33 Annex 2.Part 2.9.2 ECB/2013/33 Annex 2.Part 2.9.2
340 Deposits redeemable at notice ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97 ECB/2013/33 Annex 2.Part 2.9.3; Annex V.Part 2.97
350 Repurchase agreements ECB/2013/33 Annex 2.Part 2.9.4 ECB/2013/33 Annex 2.Part 2.9.4
360 Debt securities issued Annex V.1.37, Part 2.98 Annex V.Part 1.37, Part 2.98
370Certificates of deposits Annex V.Part 2.98(a) Annex V.Part 2.98(a)
380Asset-backed securities CRR art 4(61) CRR art 4(1)(61)
390Covered bonds CRR art 129 CRR art 129
400Hybrid contracts Annex V.Part 2.98(d) Annex V.Part 2.98(d)
410Other debt securities issued Annex V.Part 2.98(e) Annex V.Part 2.98(e)
420 Convertible compound financial instruments IAS 32.AG 31
430 Non-convertible
440 Other financial liabilities Annex V.Part 1.38-41 Annex V.Part 1.38-41
445of which: lease liabilities IFRS 16.22, 26-28, 47(b)
450 FINANCIAL LIABILITIES
8.2 Subordinated financial liabilities U.K.
Carriyng amount
Designated at fair value through profit or loss At amortized cost At a cost-based method
References National GAAP compatible IFRS IFRS 7.8(e)(i); IFRS 9.4.2.2, IFRS 9.4.3.5 IFRS 7.8(g); IFRS 9.4.2.1
References National GAAP Accounting Directive art 8(1)(a), (6); IAS 39.9 Accounting Directive art 8(3), (6); IAS 39.47 Accounting Directive art 8(3)
010020030
010 Deposits ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36 ECB/2013/33 Annex 2.Part 2.9; Annex V.Part 1.36
020 Debt securities issued Annex V.Part 1.37 Annex V.Part 1.37
030 SUBORDINATED FINANCIAL LIABILITIES Annex V.Part 2.99-100 Annex V.Part 2.99-100

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

By 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
010011020016022025030040
010 Interest rate Annex V.Part 2.129(a) Annex V.Part 2.129(a)
020of which: economic hedges Annex V.Part 2.137-139 Annex V.Part 2.137-139
030OTC options Annex V.Part 2.136 Annex V.Part 2.136
040OTC other Annex V.Part 2.136 Annex V.Part 2.136
050Organized market options Annex V.Part 2.136 Annex V.Part 2.136
060Organized 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)
080of which: economic hedges Annex V.Part 2.137-139 Annex V.Part 2.137-139
090OTC options Annex V.Part 2.136 Annex V.Part 2.136
100OTC other Annex V.Part 2.136 Annex V.Part 2.136
110Organized market options Annex V.Part 2.136 Annex V.Part 2.136
120Organized 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)
140of which: economic hedges Annex V.Part 2.137-139 Annex V.Part 2.137-139
150OTC options Annex V.Part 2.136 Annex V.Part 2.136
160OTC other Annex V.Part 2.136 Annex V.Part 2.136
170Organized market options Annex V.Part 2.136 Annex V.Part 2.136
180Organized 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)
195of 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
201of which: other economic hedges Annex V.Part 2.137-140 Annex V.Part 2.137-140
210Credit default swap
220Credit spread option
230Total return swap
240Other
250 Commodity Annex V.Part 2.129(e) Annex V.Part 2.129(e)
260of 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)
280of 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
300of 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
310of 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)
320of which: OTC - rest Annex V.Part 1.44(e), Part 2.141(c) Annex V.Part 1.44(e), Part 2.141(c)

11. Hedge accounting U.K.

11.2 Derivatives - Hedge accounting under National GAAP: Breakdown by type of risk U.K.
By product or by type of market References National GAAP based on BAD Carrying amount Notional amount Fair value
Positive value Negative value
Assets of which: assets carried at amortised cost / LOCOM Liabilities of which: liabilities carried at amortised cost / LOCOM Total Hedging of which: derivatives carried at amortised cost / LOCOM of which: sold of which: derivatives carried at amortised cost / LOCOM
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 2.133-135 Annex V.Part 2.124 Annex V.Part 2.133-135 Annex V.Part 2.124 Annex V.Part 2.132 Annex V.Part 2.132
005006007008010011020021030040
010 Interest rate Annex V.Part 2.129(a)
020OTC options Annex V.Part 2.136
030OTC other Annex V.Part 2.136
040Organized market options Annex V.Part 2.136
050Organized market other Annex V.Part 2.136
060 Equity Annex V.Part 2.129(b)
070OTC options Annex V.Part 2.136
080OTC other Annex V.Part 2.136
090Organized market options Annex V.Part 2.136
100Organized market other Annex V.Part 2.136
110 Foreign exchange and gold Annex V.Part 2.129(c)
120OTC options Annex V.Part 2.136
130OTC other Annex V.Part 2.136
140Organized market options Annex V.Part 2.136
150Organized market other Annex V.Part 2.136
160 Credit Annex V.Part 2.129(d)
170Credit default swap Annex V.Part 2.136
180Credit spread option Annex V.Part 2.136
190Total return swap Annex V.Part 2.136
200Other Annex V.Part 2.136
210 Commodity Annex V.Part 2.129(e)
220 Other Annex V.Part 2.129(f)
230 DERIVATIVES-HEDGE ACCOUNTING Annex V.Part 1.22, 26
231of which: fair value hedges Annex V.Part 2.143
232of which: cash flow hedges Annex V.Part 2.143
233of which: cost-price hedges Annex V.Part 2.143, 144
234of which: hedge in net investments in a foreign operation Annex V.Part 2.143
235of which: portfolio fair value hedges of interest rate risk Annex V.Part 2.143
236of which: portfolio cash flow hedges of interest rate risk Annex V.Part 2.143
240of which: OTC - credit institutions Annex V.Part 1.42(c), 44(e), Part 2.141(a), 142
250of which: OTC - other financial corporations Annex V.Part 1.42(d), 44(e), Part 2.141(b)
260of which: OTC - rest Annex V.Part 1.44(e), Part 2.141(c)

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

18.0 Information on performing and non-performing exposures U.K.
References National GAAP based on BAD References National GAAP compatible IFRS Gross carrying amount / Nominal amount Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Maximum amount of the collateral or guarantee that can be considered Annex V. Part 2.119
Performing Non-performing Performing exposures -Accumulated impairment and provisions Non-performing exposures - Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Collateral received and financial guarantees received
Not past due or Past due <= 30 daysPast due > 30 days <= 90 daysOf which:Instruments without significant increase in credit risk since initial recognition (Stage 1)Of which:Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Unlikely to pay that are not past-due or past-due < = 90 daysPast due > 90 days <= 180 daysPast due > 180 days <= 1 yearPast due > 1 year <= 2 yearsPast due > 2 year <= 5 yearsPast due > 5 year <= 7 yearsPast due > 7 yearsOf which:Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Of which: defaultedof which: Credit-impaired instruments (Stage 3)of which: impairedof which: Instruments without significant increase in credit risk since initial recognition (Stage 1)of which: Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Unlikely to pay that are not past-due or past-due < = 90 daysPast due > 90 days <= 180 daysPast due > 180 days <= 1 yearPast due > 1 year < = 2 yearPast due > 2 year < = 5 yearPast due > 5 year <= 7 yearsPast due > 7 yearsOf which:Instruments with significant increase in credit risk since initial recognition but not credit-impaired (Stage 2)Of which: Credit-impaired instruments (Stage 3)Collateral received on performing exposuesCollateral received on non-performing exposuesFinancialguarantees received on performing exposuresFinancialguarantees received on non-performing exposures
010020030055056057060070080090101102106107109110121122130140141142150160170180191192196197950951201200205210
Annex V. Part 1.34, Part 2.118, 221 Annex V. Part 2. 213-216, 223-239 Annex V. Part 2. 222, 235 Annex V. Part 2. 222, 235 IFRS 9.5.5.5; IFRS 7.35M(a); Annex V. Part 2. 237(d) IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) Annex V. Part 2. 213-216, 223-239 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) CRR art 178; Annex V.Part 2.237(b) IFRS 9.5.5.1; IFRS 9.Appendix A; Annex V.Part 2.237(a) Annex V. Part 2. 238 Annex V. Part 2. 238 IFRS 9.5.5.5; IFRS 7.35M(a); Annex V. Part 2. 237(d) IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) Annex V. Part 2. 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 IFRS 9.5.5.3; IFRS 7.35M(b)(i); Annex V. Part 2. 237(c) IFRS 9.5.5.1; IFRS 9.Appendix A; Annex V.Part 2.237(a) Annex V. Part 2. 239 Annex V. Part 2. 239 Annex V. Part 2. 239 Annex V. Part 2. 239
Annex V. Part 1.34, Part 2.118, 221 Annex V. Part 2. 213-216, 223-239 Annex V. Part 2. 222, 235 Annex V. Part 2. 222, 235 Annex V. Part 2. 213-216, 223-239 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 Annex V. Part 2. 222, 235-236 CRR art 178; Annex V.Part 2.237(b) CRR art 4(95); Annex V.Part 2.237(a) Annex V. Part 2. 238 Annex V. Part 2. 238 Annex V. Part 2. 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 236, 238 Annex V. Part 2. 239 Annex V. Part 2. 239 Annex V. Part 2. 239 Annex V. Part 2. 239
005 Cash balances at central banks and other demand deposits BAD art 13(2); Annex V.Part 2.2, 3 Annex V.Part 2.2, 3
010 Debt securities Annex V.Part 1.31, 44(b) Annex V.Part 1.31, 44(b)
020Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
030General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
040Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
050Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
060Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
070 Loans and advances Annex V.Part 1.32, 44(a) Annex V.Part 1.32, 44(a)
080Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
090General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
100Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
110Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
120Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
130Of which: Small and Medium-sized Enterprises SME Art 1 2(a) SME Art 1 2(a)
140Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
150Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
160Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
170Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b) Annex V.Part 2.88(a), 234i (b)
180 DEBT INSTRUMENTS AT COST OR AT AMORTISED COST Annex V.Part 2.233(a) Annex V.Part 2.233(a)
181 Debt securities Annex V.Part 1.31, 44(b) Annex V.Part 1.31, 44(b)
182Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
183General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
184Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
185Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
186Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
191 Loans and advances Annex V.Part 1.32, 44(a) Annex V.Part 1.32, 44(a)
192Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
193General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
194Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
195Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
196Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
900Of which: Small and Medium-sized Enterprises SME Art 1 2(a) SME Art 1 2(a)
903Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
197Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
910Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
913Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b) Annex V.Part 2.88(a), 234i (b)
201 DEBT INSTRUMENTS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME OR THROUGH EQUITY SUBJECT TO IMPAIRMENT Annex V.Part 2.233(b) Annex V.Part 2.233(b)
211 Debt securities Annex V.Part 1.31, 44(b) Annex V.Part 1.31, 44(b)
212Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
213General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
214Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
215Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
216Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
221 Loans and advances Annex V.Part 1.32, 44(a) Annex V.Part 1.32, 44(a)
222Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
223General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
224Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
225Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
226Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
920Of which: Small and Medium-sized Enterprises SME Art 1 2(a) SME Art 1 2(a)
923Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
227Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
930Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
933Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b) Annex V.Part 2.88(a), 234i (b)
231 DEBT INSTRUMENTS AT STRICT LOCOM, OR FAIR VALUE THROUGH PROFIT OR LOSS OR THROUGH EQUITY NOT SUBJECT TO IMPAIRMENT Annex V.Part 2.233(c), 234 Annex V.Part 2.233(c), 234
330 DEBT INSTRUMENTS OTHER THAN HELD FOR TRADING OR TRADING Annex V.Part 2.217 Annex V.Part 2.217
335 DEBT INSTRUMENTS HELD FOR SALE Annex V.Part 2.220
340 Loan commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.112, 113, 224 CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 113, 116, 224
350Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
360General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
370Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
380Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
390Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
400Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
410 Financial guarantees given CRR Annex I; Annex V.Part 1.44(f), Part 2.112, 114, 225 IFRS 4 Annex A; CRR Annex I; Annex V.Part 1.44(f), Part 2.102-105, 114, 116, 225
420Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
430General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
440Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
450Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
460Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
470Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
480 Other Commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.112, 115, 224 CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 115, 116, 224
490Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
500General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
510Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
520Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
530Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
540Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
550 OFF-BALANCE SHEET EXPOSURES Annex V.Part 2.217 Annex V.Part 2.217

19. Information forborne exposures U.K.

References National GAAP based on BAD References National GAAP compatible IFRS Gross carrying amount / nominal amount of exposures with forbearance measures Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Maximum amount of the collateral or guarantee that can be considered Annex V. Part 2.119
Performing exposures with forbearance measures Non-performing exposures with forbearance measures Perfoming exposures with forbearance measures - Accumulated impairment and provisions Non-performing exposures with forbearance measures - Accumulated impairment, accumulated negative changes in fair value due to credit risk and provisions Collateral received and financial guarantees received
Instruments with modifications in their terms and conditionsRefinancingof which: Performing forborne exposures under probation reclassified from non-performingInstruments with modifications in their terms and conditionsRefinancingof which: Defaultedof which: Impairedof which: Forbearance of exposures non-performing prior to forbearanceInstruments with modifications in their terms and conditionsRefinancingCollateral received on exposures with forbearance measuresFinancialguarantees received on exposures with forbearance measures
Of which: Collateral received on non-performing exposures with forbearance measuresOf which: Financialguarantees received on non-performing exposures with forbearance measures
010020030040050060070080090100110120130140150160170175180185
Annex V. Part 1.34, Part 2. 118, 240-245, 251-258 Annex V. Part 2. 256, 259-262 Annex V. Part 2.241(a), 266 Annex V. Part 2. 241 (b), 265-266 Annex V. Part 2. 256(b), 261 Annex V. Part 2. 259-263 Annex V. Part 2.241(a), 266 Annex V. Part 2. 241 (b), 265-266 CRR art 178; Annex V. Part 2.264(b) IFRS 9.5.5.1; IFRS 9.Appendix A; Annex V.Part 2.264(a) Annex V. Part 2. 231, 252(a), 263 Annex V. Part 2. 267 Annex V. Part 2. 207 Annex V. Part 2. 207 Annex V. Part 2. 241(a), 267 Annex V. Part 2. 241(b), 267 Annex V. Part 2. 268 Annex V. Part 2. 268 Annex V. Part 2. 268 Annex V. Part 2. 268
Annex V. Part 1.34, Part 2. 118, 240-245, 251-255 Annex V. Part 2. 256, 259-262 Annex V. Part 2.241(a), 266 Annex V. Part 2. 241 (b), 265-266 Annex V. Part 2. 256(b), 261 Annex V. Part 2. 259-263 Annex V. Part 2.241(a), 266 Annex V. Part 2. 241 (b), 265-266 CRR art 178; Annex V. Part 2.264(b) CRR art 4(95); Annex V.Part 2.264(a) Annex V. Part 2. 231, 252(a), 263 Annex V. Part 2. 267 Annex V. Part 2. 207 Annex V. Part 2. 207 Annex V. Part 2. 241(a), 267 Annex V. Part 2. 241(b), 267 Annex V. Part 2. 268 Annex V. Part 2. 268 Annex V. Part 2. 268 Annex V. Part 2. 268
005 Cash balances at central banks and other demand deposits BAD art 13(2); Annex V.Part 2.2, 3 Annex V.Part 2.2, 3
010 Debt securities Annex V.Part 1.31, 44(b) Annex V.Part 1.31, 44(b)
020Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
030General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
040Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
050Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
060Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
070 Loans and advances Annex V.Part 1.32, 44(a) Annex V.Part 1.32, 44(a)
080Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
090General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
100Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
110Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
120Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
130Of which: Small and Medium-sized Enterprises SME Art 1 2(a) SME Art 1 2(a)
140Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
150Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
160Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
170Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b) Annex V.Part 2.88(a), 234i (b)
180 DEBT INSTRUMENTS AT COST OR AT AMORTISED COST Annex V.Part 2.249(a) Annex V.Part 2.249(a)
181 Debt securities Annex V.Part 1.31, 44(b) Annex V.Part 1.31, 44(b)
182Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
183General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
184Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
185Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
186Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
191 Loans and advances Annex V.Part 1.32, 44(a) Annex V.Part 1.32, 44(a)
192Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
193General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
194Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
195Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
196Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
900Of which: Small and Medium-sized Enterprises SME Art 1 2(a) SME Art 1 2(a)
903Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
197Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
910Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
913Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b) Annex V.Part 2.88(a), 234i (b)
201 DEBT INSTRUMENTS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME OR THROUGH EQUITY SUBJECT TO IMPAIRMENT Annex V.Part 2.249(b) Annex V.Part 2.249(b)
211 Debt securities Annex V.Part 1.31, 44(b) Annex V.Part 1.31, 44(b)
212Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
213General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
214Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
215Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
216Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
221 Loans and advances Annex V.Part 1.32, 44(a) Annex V.Part 1.32, 44(a)
222Central banks Annex V.Part 1.42(a) Annex V.Part 1.42(a)
223General governments Annex V.Part 1.42(b) Annex V.Part 1.42(b)
224Credit institutions Annex V.Part 1.42(c) Annex V.Part 1.42(c)
225Other financial corporations Annex V.Part 1.42(d) Annex V.Part 1.42(d)
226Non-financial corporations Annex V.Part 1.42(e) Annex V.Part 1.42(e)
920Of which: Small and Medium-sized Enterprises SME Art 1 2(a) SME Art 1 2(a)
923Of which: Loans collateralised by commercial immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
227Households Annex V.Part 1.42(f) Annex V.Part 1.42(f)
930Of which: Loans collateralised by residential immovable property Annex V.Part 2.86(a), 87, 234i (a) Annex V.Part 2.86(a), 87, 234i (a)
933Of which: Credit for consumption Annex V.Part 2.88(a), 234i (b) Annex V.Part 2.88(a), 234i (b)
231 DEBT INSTRUMENTS AT STRICT LOCOM, OR FAIR VALUE THROUGH PROFIT OR LOSS OR THROUGH EQUITY NOT SUBJECT TO IMPAIRMENT Annex V.Part 2.249 Annex V.Part 2.249
330 DEBT INSTRUMENTS OTHER THAN HELD FOR TRADING OR TRADING Annex V.Part 2.246 Annex V.Part 2.246
335 DEBT INSTRUMENTS HELD FOR SALE Annex V.Part 2.247
340 Loan commitments given CRR Annex I; Annex V.Part 1.44(g), Part 2.112, 113, 246 CRR Annex I; Annex V.Part 1.44(g), Part 2.102-105, 113, 116, 246

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