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Q124 pbb AP FINAL1 -14052024
-26 -5 -7 -2 15 1 -5 Net income 228 36 55 44 52 187 27 42 8 14 91 29 EpS1 1.58 0.24 0.38 0.29 0.36
Q3 2003
30.9.2004 31.12.2003 Total assets 22.8 15.9 Shareholders’ equity 1.6 1.4 Key capital ratios (per IFSRA [...] Tier Two 771 854 Total Own Fund 2,228 2,161 Risk weighted assets ( in Bn € ) 30.9.2004 31.12.2003 Banking
Q3 2005 Final internet
to other depositors 12 509 281 228 +81.1 Promissory notes and other liabilities evidenced by securities
Quartalsmitteilung 31032026
an Kreditinstitute 1.340 1.228 Forderungen an Kunden 29.527 30.294 Forderungen aus [...] Kreditinstitute 581 2 350 295 - 1.228 Forderungen an Kunden 53 2.636 6.412 17.040 4.153 30.294 Forderungen
Quartalsmitteilung 31032026
an Kreditinstitute 1.340 1.228 Forderungen an Kunden 29.527 30.294 Forderungen aus [...] Kreditinstitute 581 2 350 295 - 1.228 Forderungen an Kunden 53 2.636 6.412 17.040 4.153 30.294 Forderungen
Quartalsmitteilung Q12024 geschuetzt
nach Wertberichtigungen 44.574 45.228 Finanzielle Vermögenswerte zu fortgeführten Anschaffungskosten
Quartalsmitteilung zum 30. September 2024 geschuetzt
nach Wertberichtigungen 40.354 45.228 Finanzielle Vermögenswerte zu fortgeführten Anschaffungskosten
Quarterly Information 31032026
advances to other banks 1,340 1,228 Loans and advances to customers 29,527 30,294 Claims from finance [...] to other banks 581 2 350 295 - 1,228 Loans and advances to customers 53 2,636 6,412 17,040 4,153 30,294
Quarterly Information 31032026
advances to other banks 1,340 1,228 Loans and advances to customers 29,527 30,294 Claims from finance [...] to other banks 581 2 350 295 - 1,228 Loans and advances to customers 53 2,636 6,412 17,040 4,153 30,294
Quarterly Information Q12024 secured
credit loss allowances 44,574 45,228 Financial assets at amortised cost before credit loss allowances