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Luottolaitosten, sijoituspalveluyritysten ja ... - Finanssivalvonta

Luottolaitosten, sijoituspalveluyritysten ja ... - Finanssivalvonta

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Pakolliset taulukot osat 1–4<br />

■ PART 3<br />

■<br />

■<br />

■<br />

■<br />

■<br />

■<br />

■<br />

■<br />

■<br />

■<br />

■<br />

■<br />

7 Derivatives: held for trading<br />

8 Derivatives: hedge accounting<br />

9 Breakdown of loans and advances by product<br />

10 Credit risk<br />

10.1 Geographical breakdown of financial exposures subject to credit risk by residence of the counterparty<br />

10.2 Breakdown of loans and advances to non-financial corporations by NACE codes<br />

10.3 Geographical breakdown of debt securities held from general governments by residence of the counterparty<br />

and by residual maturity<br />

11 Impairment<br />

11.1 Impairment on financial and non-financial assets<br />

11.2 Movements in allowances for credit losses and impairment of equity instruments<br />

12 Financial assets pledged as collateral: derecognition and financial liabilities associated with<br />

transferred financial assets<br />

13 Fair value hierarchy: financial instruments at fair value<br />

<strong>Finanssivalvonta</strong> | Finansinspektionen | Financial Supervisory Authority ■ ■<br />

17.2.2012 Maj-Britt Tapiainen<br />

18

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