P 01.01 - Assets





Actual current positionPlanned Year 1 PositionPlanned Year 2 PositionPlanned Year 3 Position
CodeLabel010 030 040 050
009 - Assets
010 Cash and cash balances at central banks434438434435434436434437
020 Reverse repurchase loans434686434669434670434671
030 Loans and advances to households (exc reverse repurchase loans)434554434545434546434547
035 o/w non-performing434553434542434543434544
040 Domestic activities434549434530434531434532
041 Accumulated impairment, accumulated negative changes in fair value due to credit risk for domestic activities (memo item)434740434731434732434733
070 o/w Loans collateralised by residential immovable property434548434527434528434529
091 Other EEA countries activities434551434536434537434538
092 Accumulated impairment, accumulated negative changes in fair value due to credit risk for other EEA countries activities (memo item)434741434734434735434736
093 o/w Loans collateralised by residential immovable property434550434533434534434535
096 Non-EEA countries activities434552434539434540434541
097 Accumulated impairment, accumulated negative changes in fair value due to credit risk for non-EEA countries activities (memo item)434742434737434738434739
100 Loans and advances to non-financial corporations (excl. reverse repurchase loans)434622434615434616434617
105 o/w non-performing434621434612434613434614
110 Domestic activities434618434603434604434605
111 Accumulated impairment, accumulated negative changes in fair value due to credit risk for domestic activities (memo item)434756434747434748434749
140 Small and Medium-sized Enterprises434585434579434580434581
150 Non-financial corporations other than SMEs434569434563434564434565
161 Other EEA countries activities434619434606434607434608
162 Accumulated impairment, accumulated negative changes in fair value due to credit risk for other EEA countries activities (memo item)434757434750434751434752
163 Small and Medium-sized enterprises434586434582434583434584
164 Non-financial corporations other than SMEs434570434566434567434568
167 Non-EEA countries activities434620434609434610434611
168 Accumulated impairment, accumulated negative changes in fair value due to credit risk for non-EEA countries activities (memo item)434758434753434754434755
180 Loans and advances to credit institutions (excl. reverse repurchase loans)434494434487434488434489
181 Domestic activities434491434478434479434480
182 Other EEA countries activities434492434481434482434483
183 Non-EEA countries activities434493434484434485434486
190 Loans and advances to other financial corporations (excl. reverse repurchase loans)434662434655434656434657
191 Domestic activities434659434646434647434648
192 Other EEA countries activities434660434649434650434651
193 Non-EEA countries activities434661434652434653434654
195 Loans and advances to central banks (excl. reverse repurchase loans)434458434455434456434457
197 Loans and advances to general governments (excl. reverse repurchase loans)434502434499434500434501
200 Derivatives434689434678434679434680
205 Debt securities434688434675434676434677
207 Equity instruments434690434681434682434683
211 Other assets435274435270435271435272
220 Total Assets435273435267435268435269
229 - Off Balance Sheet and Intra-group
230 Undrawn committed credit lines435615435612435613435614
239 - MEMO item: Intra-group
240 Loans and advances to group entities not within the prudential scope of consolidation (excl. reverse repurchase loans)434687434672434673434674




Dimensions
MetricDetails the data type (e.g. monetary, percentage, string) of the data point. In XBRL, it is the "primary item". Generally, it indicates the "metrics" of the Main category provided (i.e. answers the question: how is measured?). It should be defined for each data point. In the case of monetary values, when the data point is referred to a (change during a) period of time, the member name shall finish in "(flow)". When the member name has other terminations, the data point is a measurement at a date (i.e. "stock").
Metric - Details the data type (e.g. monetary, percentage, string) of the data point. In XBRL, it is the "primary item". Generally, it indicates the "metrics" of the Main category provided (i.e. answers the question: how is measured?). It should be defined for each data point. In the case of monetary values, when the data point is referred to a (change during a) period of time, the member name shall finish in "(flow)". When the member name has other terminations, the data point is a measurement at a date (i.e. "stock").
BaseDefines the basic conceptual meaning of a data point. Identifies the framework in which a data point is included. For FINREP, it indicates in which group of element of the financial statement should be included the data point (e.g. assets, liabilities, equity, income, expenses). For COREP, it indicates whether the data point should be computed in the numerator (own funds) or the denominator (exposures) of the Pillar I solvency ratio. It determines whether the data point has a "debit" or a "credit" attribute.
Base items - Defines the basic conceptual meaning of a data point. Identifies the framework in which a data point is included. For FINREP, it indicates in which group of element of the financial statement should be included the data point (e.g. assets, liabilities, equity, income, expenses). For COREP, it indicates whether the data point should be computed in the numerator (own funds) or the denominator (exposures) of the Pillar I solvency ratio. It may determine whether the data point has a "debit" or a "credit" attribute.
Main categorySpecifies the nature of the item reported (i.e. answers the question: what is reported?). For financial instruments, defines the instrument (e.g. deposits, debt securities issued...) or range of instruments reported. It should be defined for each data point.
Main category - Specifies the nature of the item reported (i.e. answers the question: what is reported?). For financial instruments, defines the instrument (e.g. deposits, debt securities issued...) or range of instruments reported. It should be defined for each data point.
Counterparty sectorDefines the sector of the counterparty of financial instruments (e.g. Central banks or Credit institutions).
Counterparty - Party other than the reporting institution in a contract or transaction.
Accounting portfolioAccounting portfolios shall mean financial instruments aggregated by valuation rules (e.g. "Available-for-sale financial assets"). Accounting portfolios only comprise financial assets and financial liabilities.
Portfolio - Defined the portfolios reported. It comprises both accounting portfolios (e.g. Available-for-sale) and prudential portfolios (e.g. trading book).
Main category of collateral or guarantee receivedDefines the main category of collateral or guarantees received
Main category - Specifies the nature of the item reported (i.e. answers the question: what is reported?). For financial instruments, defines the instrument (e.g. deposits, debt securities issued...) or range of instruments reported. It should be defined for each data point.
Location of the activitiesIdentifies the nature of the geographical area where activities are undertaken. "Location" means the jurisdiction of incorporation of the legal entity which has recognised the asset or liability; for branches, it means the jurisdiction of residence.
Boolean total - Dimensions having only two values (usually denoted true and false)
Reference date or periodSpecifies the date or the period to which the data is referred
Reference period - Defines a relative time point (reference date or period) to which the data refers.
Related parties/RelationshipsDefines the relationship between the reporting institution with an entity or a person; in particular, it specifies the type of related party.
Related parties/Relationships - Defines the relationship between the reporting institution with an entity or a person; in particular, it specifies the type of related party.
Performing statusIdentifies the performing status of financial assets and off-balance sheet items (performing, non-performing...)
Impairment - Concepts related with monitoring credit quality of financial assets and off-balance sheet items (e.g. past due, impaired, defaulted)
Contingent scenario/Assumptions usedContingent scenario whose impact is reported
Contingent scenario - Defines the contingent scenarios whose impact is reported
Size of the counterpartySpecifies the size category of the counterpart
Counterparty - Party other than the reporting institution in a contract or transaction.
Location of activity
Geographical area - Geographical area
InstrumentDefines instrument or product type of the main category item
Main category - Specifies the nature of the item reported (i.e. answers the question: what is reported?). For financial instruments, defines the instrument (e.g. deposits, debt securities issued...) or range of instruments reported. It should be defined for each data point.