| Current period | Quarter (Year -1) | Year (-1) | ||
| Balance | Balance | Balance | ||
| 1 | 1 | 1 | ||
| Credit exposure deriving from securitization structures sponsored by the banking corporation or related entities | ||||
| Maximum amount of credit exposure deriving from credit strengthening to securitization structures in the form of guarantees, deferred securities purchased notes,and other reinforcements | 1 | |||
| Commitments to supply liquidity for unutilized securitization structures | 2 | |||
| Other credit risk in respect of securitization structures | 3 | |||
| Credit exposure deriving from securitization structures sponsored by others | ||||
| Maximum amount of credit exposure deriving from credit strengthening to securitization structures in the form of guarantees, deferred securities purchased notes,and other reinforcements | 4 | |||
| Commitments to supply liquidity for unutilized securitization structures | 5 | |||
| Other credit risk in respect of securitization structures | 6 | |||
| Total credit exposure deriving from securitization structures | 7 | |||