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Quarterly Information Q12024 secured
bonds 19,288 20,402 Subordinated liabilities 601 603 Negative fair values of hedge accounting derivatives [...] 058 20,402 Subordinated liabilities - 17 - 574 12 603 Total financial liabilities 1,465 4,938 8,310 20
Quartalsmitteilung Q12024 geschuetzt
19.288 20.402 Nachrangige Verbindlichkeiten 601 603 Negative Fair Values der Sicherungsderivate 570 789 [...] 402 Nachrangige Verbindlichkeiten - 17 - 574 12 603 Summe der finanziellen Verbindlichkeiten 1.465 4
pbb Company Presentation 0125
-4 -4 6 -2 Operating Income 531 119 140 156 188 603 146 132 147 425 Net income from risk provisioning
090813HV2
315.736 33.110.868 1.123.652.951 (97,13%) 1.123.603.146 (97,13%) 1.124.108.308 (97,16%) 1.123.601.847
2003FY19 final en
03/19 06/19 09/19 12/19 12/19 Total assets 57.8 57.8 60.3 60.1 59.8 56.8 56.8 Equity 3.3 3.3 3.3 3.2 3.2 3
2003FY19 final de
03/19 06/19 09/19 12/19 12/19 Bilanzsumme 57,8 57,8 60,3 60,1 59,8 56,8 56,8 Eigenkapital 3,3 3,3 3,3 3,2
2014 Verguetungsbericht e
beneficiaries Fixed compensation 4.49 1.84 8.85 7.48 6.03 28.69 178 Special payments under individual contracts [...] 00 0.00 0 Total compensation 4.49 1.84 8.85 7.48 6.03 28.69 178 The amounts are divided up among the
2014 Verguetungsbericht
Anzahl Begünstigte Festvergütung 4,49 1,84 8,85 7,48 6,03 28,69 178 Einzelvertragliche Sonderzahlung 0,00 [...] 0,00 0,00 0 Gesamtvergütung 4,49 1,84 8,85 7,48 6,03 28,69 178 Die Beträge sind nach den Vorstandsressorts
Interim Report as of 30 June 2024 secured
bonds 18,207 20,402 Subordinated liabilities 591 603 Negative fair values of hedge accounting derivatives
240814 Q2 PM EN final
15 32 -4 -4 -8 Operating income 119 140 156 188 603 146 132 278 Net income from risk provi- sioning -2