
Bank performance indicators
2025
Липень
Capital requirements and their components as of July 1, 2025
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of July 1, 2025
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of July 1, 2025
June
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of June 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of June 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of June 1, 2025
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of June 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of June 1, 2025
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of June 1, 2025
Capital requirements and their components as of June 1, 2025
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of June 1, 2025
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of June 1, 2025
May
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of May 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of May 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of May 1, 2025
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of May 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of May 1, 2025
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of May 1, 2025
Capital ratios and their components as of May 1, 2025
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of May 1, 2025
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of May 1, 2025
April
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of April 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of April 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of April 1, 2025
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of April 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of April 1, 2025
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of April 1, 2025
Capital requirements and their components as of April 1, 2025
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of April 1, 2025
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of April 1, 2025
March
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of March 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of March 1, 2025
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of March 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of March 1, 2025
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of March 1, 2025
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of March 1, 2025
Capital requirements and their components as of March 1, 2025
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of March 1, 2025
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of March 1, 2025
February
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of February 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of February 1, 2025
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of February 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of February 1, 2025
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of February 1, 2025
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of February 1, 2025
Capital ratios and their components as of February 1, 2025
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of February 1, 2025
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of February 1, 2025
January
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of January 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of January 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of January 1, 2025
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of January 1, 2025
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of January 1, 2025
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of January 1, 2025
Capital requirements and their components as of January 1, 2025
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of January 1, 2025
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of January 1, 2025
2024
December
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of December 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of December 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of December 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of December 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of December 1, 2024
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of December 1, 2024
Capital requirements and their components as of December 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of December 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency according to the Liquidity Coverage Ratio Calculation Methodology as of December 1, 2024
November
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of November 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of November 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of November 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of November 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of November 1, 2024
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of November 1, 2024
Capital requirements and their components as of November 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of November 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of November 1, 2024
October
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of October 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of October 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of October 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of October 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of October 1, 2024
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of October 1, 2024
Capital requirements and their components as of October 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of October 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency according to the Liquidity Coverage Ratio Calculation Methodology as of October 1, 2024
September
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of September 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of September 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of September 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of September 1, 2024
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of September 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments”, as of September 1, 2024
Capital requirements and their components as of September 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of September 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of September 1, 2024
August
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of August 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of August 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of August 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of August "01" 2024
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of 08/01/2024.
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments”, as of August 1, 2024
Capital requirements and their components as of August 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of August 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of August 1, 2024
July
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of July 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of July 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of July 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of July 1, 2024
Distribution of loans granted to individuals and legal entities by debtor classes as of July 1, 2024
Current account balance as of July 1, 2024
Capital requirements and their components as of July 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of July 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency according to the Liquidity Coverage Ratio Calculation Methodology as of July 1, 2024
June
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of June 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of June 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of June 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of June 1, 2024
Distribution of loans granted to individuals and legal entities by debtor classes as of June 1, 2024
Current account balance as of June 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of June 1, 2024
Capital requirements and their components as of June 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of June 1, 2024
May
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of May 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of May 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of May 1, 2024
Distribution of loans granted to individuals and legal entities by debtor classes as of May 1, 2024
Current account balance as of May 1, 2024
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of May 1, 2024
Prudential norms and limits of the open currency position, the calculation of which is provided for by Instruction No. 368 and Regulation No. 290, as of May 1, 2024
Capital ratios and their components as of May 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of May 1, 2024
April
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of April 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of April 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of April 1, 2024
Distribution of loans granted to individuals and legal entities by debtor classes as of April 1, 2024
Current account balance as of April 1, 2024
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of April 1, 2024
Standards and components of regulatory capital calculation as of April 1, 2024
Economic norms and limits of open currency position as of April 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of April 1, 2024
March
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments”, as of March 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of March 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of March 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of credit risk by debtor classes in accordance with Regulation No. 351, as of March "01" 2024
Current and balance sheet of JSC "CREDIT EUROPE BANK" as of March 1, 2024.
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of March 1, 2024
Standards and components of regulatory capital calculation as of March 1, 2024
Economic norms and limits of open currency position as of March 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of March 1, 2024
February
Distribution of individual deposits and the amount of possible reimbursement by the Individual Deposit Guarantee Fund as of February 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of February 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of February 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of February 1, 2024
Distribution of loans granted to individuals and legal entities by debtor classes as of February 1, 2024
Current account balance as of February 1, 2024
Standards and components of regulatory capital calculation as of February 1, 2024
Economic norms and limits of open currency position as of February 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of February 1, 2024
January
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of January 1, 2024
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of January 1, 2024
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of January 1, 2024
Distribution of loans granted to individuals and legal entities by debtor classes as of January 1, 2024
Distribution of individual deposits and the amount of possible reimbursement of the DGF as of January 1, 2024
Current account balance as of January 1, 2024
Standards and components of regulatory capital calculation as of January 1, 2024
Economic norms and limits of open currency position as of January 1, 2024
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of January 1, 2024
2023
December
Distribution of loans granted to individuals and legal entities in national and foreign currencies, and the amount of reserves formed by stages of depreciation under the international standard of financial reporting 9 “Financial instruments” state on December 01 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies, and the amount of reserves formed by stages of depreciation under the international standard of financial reporting 9 “Financial instruments” state on December 01 2023
The distribution of loans provided to economic entities in national and foreign currencies by types of economic activity that are classified by sections, of which are not worked in the definition given in Regulation No. 351, as of December 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of 1 December 2023
Current account balance as of December 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of December 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of December 1, 2023
Standards and components of regulatory capital calculation as of December 1, 2023
Economic norms and limits of open currency position as of December 1, 2023
November
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of November 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of November 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of November 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of November 1, 2023
Current account balance as of November 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of November 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of November 1, 2023
Standards and components of regulatory capital calculation as of November 1, 2023
Economic norms and limits of open currency position as of November 1, 2023
October
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of October 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of October 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of October 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of October 1, 2023
Current account balance as of October 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of October 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of October 1, 2023
Standards and components of regulatory capital calculation as of October 1, 2023
Economic norms and limits of open currency position as of October 1, 2023
September
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of September 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of September 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of September 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of September 1, 2023
Current account balance as of September 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of September 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of September 1, 2023
Standards and components of regulatory capital calculation as of September 1, 2023
Economic norms and limits of open currency position as of September 1, 2023
August
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of August 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of August 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of August 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of August 1, 2023
Current account balance as of August 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of August 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of August 1, 2023
Standards and components of regulatory capital calculation as of August 1, 2023
Economic norms and limits of open currency position as of August 1, 2023
July
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of July 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of July 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of July 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of July 1, 2023
Current account balance as of July 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of July 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of July 1, 2023
Standards and components of regulatory capital calculation as of July 1, 2023
Economic norms and limits of open currency position as of July 1, 2023
June
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of June 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of June 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of June 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of June 1, 2023
Current account balance as of June 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of June 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of June 1, 2023
Standards and components of regulatory capital calculation as of June 1, 2023
Economic norms and limits of open currency position as of June 1, 2023
May
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of May 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of May 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of May 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of May 1, 2023
Current account balance as of May 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of May 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of May 1, 2023
Standards and components of regulatory capital calculation as of May 1, 2023
Economic norms and limits of open currency position as of May 1, 2023
April
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of April 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of April 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of April 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of April 1, 2023
Current account balance as of April 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of April 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) for all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of April 1, 2023
Standards and components of regulatory capital calculation as of April 1, 2023
Economic norms and limits of open currency position as of April 1, 2023
March
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of March 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of March 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of March 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of March 1, 2023
Current account balance as of March 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of March 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of March 1, 2023
Standards and components of regulatory capital calculation as of March 1, 2023
Economic norms and limits of open currency position as of March 1, 2023
February
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of February 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of February 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of February 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of February 1, 2023
Current account balance as of February 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of February 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of February 1, 2023
Standards and components of regulatory capital calculation as of February 1, 2023
Economic norms and limits of open currency position as of February 1, 2023
January
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of January 1, 2023
Distribution of loans granted to individuals and legal entities in national and foreign currencies and the amount of formed reserves by stages of impairment according to International Financial Reporting Standard 9 “Financial Instruments” as of January 1, 2023
Distribution of loans granted to business entities in national and foreign currencies by types of economic activity classified by sections, including non-performing loans as defined in Regulation No. 351, as of January 1, 2023
Distribution of loans granted to individuals and legal entities by debtor classes as of January 1, 2023
Current account balance as of January 1, 2023
Components of the calculation of liquidity coverage ratios (LCR) in all currencies and in foreign currency in accordance with the Liquidity Coverage Ratio Calculation Methodology as of January 1, 2023
Distribution of individual deposits and the amount of possible reimbursement of the FGVFO as of January 1, 2023
Standards and components of regulatory capital calculation as of January 1, 2023
Economic norms and limits of open currency position as of January 1, 2023