| CP701.00.01.01 | |||||||||||
| Current reporting month | Q1 | Q2 | Q3 | Q4 | Q5 | Q6 | Q7 | Q8 | Year-end following Q8 | ||
| 010 | 020 | 030 | 040 | 050 | 060 | 070 | 080 | 090 | 100 | ||
| Additional information in relation to capital resources, adjustments to capital resources and capital requirements | 009 | ||||||||||
| Dividends deducted in this period | 010 | ||||||||||
| Connected funding of a capital nature | 020 | ||||||||||
| Of which: Connected funding of CET1 nature | 030 | ||||||||||
| Of which: Connected funding of Tier 2 nature | 040 | ||||||||||
| Of which: Connected funding that is treated as a significant investment | 050 | ||||||||||
| Risk weighted exposure amount for counterparty credit risk | 060 | ||||||||||
| Of which: Relating to trading book | 070 | ||||||||||
| Additional information on investments in the capital of financial sector entities | 079 | ||||||||||
| Amount exceeding the 17.65% threshold: proportion attributable to significant investments (+) | 080 | ||||||||||
| Total significant investments in the CET1 capital of financial sector entities | 090 | ||||||||||
| Of which: within the scope of consolidated supervision | 100 | ||||||||||
| Risk weighted exposure amount of significant investments in CET1 which are not deducted from the institution's CET1 | 110 | ||||||||||
| Total significant investments in the AT1 capital of financial sector entities | 120 | ||||||||||
| Of which: within the scope of consolidated supervision | 130 | ||||||||||
| Total significant investments in the Tier 2 capital of financial sector entities | 140 | ||||||||||
| Of which: within the scope of consolidated supervision | 150 | ||||||||||
| Non-significant investments in the CET1 capital of financial sector entities within the scope of consolidated supervision | 160 | ||||||||||
| Non-significant investments in the AT1 capital of financial sector entities within the scope of consolidated supervision | 170 | ||||||||||
| Non-significant investments in the Tier 2 capital of financial sector entities within the scope of consolidated supervision | 180 | ||||||||||
| Memo: CET1 capital after applying full deduction treatment to financial sector investments | 190 | ||||||||||
| Memo: Total risk weighted exposure amount after applying full deduction treatment to financial sector investments | 200 | ||||||||||
| Additional information on capital issued out of subsidiaries that are institutions to third parties | 209 | ||||||||||
| Total CET1 capital in the group's subsidiaries that are institutions that is held by third party investors | 210 | ||||||||||
| Total Tier 1 capital in the group's subsidiaries that are institutions that is held by third party investors | 220 | ||||||||||
| Total capital (all tiers) in the group's subsidiaries that are institutions that is held by third party investors | 230 | ||||||||||
| Additional information on risk exposures which can either be deducted or subject to a 1250% risk weight (only report if risk-weighted) | 239 | ||||||||||
| Risk weighted exposure amount due to qualifying holdings outside the financial sector | 240 | ||||||||||
| Risk weighted exposure amount due to securitisation positions | 250 | ||||||||||
| Additional information on P&L, balance sheet and leverage data | 259 | ||||||||||
| Profit (+) or loss (-) for the period | 260 | ||||||||||
| Total balance sheet assets | 270 | ||||||||||
| Total Leverage Ratio exposure - using a fully phased-in definition of Tier 1 capital | 281 | ||||||||||