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Prospectus UBI Banca Covered Bond Programme

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<strong>Prospectus</strong><br />

Loans to customers as at 31 December 2008<br />

(In thousands of Euro)<br />

Gross<br />

exposure %<br />

Total net<br />

impairment<br />

losses<br />

Net<br />

exposure %<br />

TOTAL ........................................................................................................ 386,354 100.00 3,167 383,186 100.00<br />

Funding<br />

The following table presents the sources of the bank's funding as at 31 December 2008.<br />

Figures in thousands of Euro 31.12.2008<br />

Due to customers ................................................................................................................................................................... 630,978<br />

Securities in issue................................................................................................................................................................... 100,288<br />

TOTAL ................................................................................................................................................................................. 731,266<br />

Direct funding from customers 31.12.2008 %<br />

Current accounts and deposits................................................................................................................. 424,819 67.33<br />

Time deposits.......................................................................................................................................... 108 0.02<br />

Financing ................................................................................................................................................ 199,090 31.55<br />

Financial leasing................................................................................................................................. — —<br />

Other ................................................................................................................................................... 199,090 31.55<br />

Other payables ........................................................................................................................................ 6,961 1.10<br />

TOTAL .................................................................................................................................................. 630,978 100.00<br />

BALANCE SHEET<br />

(In thousands of Euro) 31.12.2008<br />

Assets<br />

Cash and cash equivalents.................................................................................................................................................... 4,044<br />

Financial assets held for trading........................................................................................................................................... 13<br />

Loans to banks ..................................................................................................................................................................... 405,571<br />

Loans to customers .............................................................................................................................................................. 383,186<br />

Hedging derivatives ............................................................................................................................................................. —<br />

Chance in fair value of hedged financial assets.................................................................................................................... 2,123<br />

Equity investments............................................................................................................................................................... 857<br />

Property, plant and equipment ............................................................................................................................................. 2,950<br />

Intangible assets................................................................................................................................................................... 30,675<br />

of which goodwill:................................................................................................................................................................ 30,671<br />

Tax assets............................................................................................................................................................................. 2,592<br />

(a) current .......................................................................................................................................................................... 1,180<br />

(b) deferred......................................................................................................................................................................... 1,412<br />

Other assets.......................................................................................................................................................................... 7,146<br />

Total assets ......................................................................................................................................................................... 839,157<br />

Liabilities and Shareholders' Equity<br />

Due to banks ........................................................................................................................................................................ 1,888<br />

Due to customers ................................................................................................................................................................. 630,978<br />

Securities issued................................................................................................................................................................... 100,288<br />

Financial liabilities held for trading ..................................................................................................................................... 14<br />

Hedging derivatives ............................................................................................................................................................. 4,467<br />

Tax liabilities:...................................................................................................................................................................... 1,361<br />

(a) current .......................................................................................................................................................................... 1,100<br />

(b) deferred......................................................................................................................................................................... 262<br />

Other liabilities .................................................................................................................................................................... 15,447<br />

Staff severance provisions ................................................................................................................................................... 801<br />

Provisions for liabilities and charges: .................................................................................................................................. 3,456<br />

(a) other provisions ............................................................................................................................................................ 3,456<br />

Valuation reserve ................................................................................................................................................................. (79)<br />

Reserves............................................................................................................................................................................... 10,729<br />

Share issue premium............................................................................................................................................................ 67,950<br />

Profit for the year................................................................................................................................................................. 1,857<br />

Total liabilities and shareholders' equity ......................................................................................................................... 839,157<br />

INCOME STATEMENT<br />

(In thousands of Euro) 31.12.2008<br />

Interest and similar income................................................................................................................................................ 34,245<br />

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