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Share Name | Share Symbol | Market | Type | Share ISIN | Share Description |
---|---|---|---|---|---|
Asbisc | LSE:ASB | London | Ordinary Share | CY1000031710 | ORD USD0.20 (DI) |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 150.00 | 0.00 | 01:00:00 |
Industry Sector | Turnover | Profit | EPS - Basic | PE Ratio | Market Cap |
---|---|---|---|---|---|
0 | 0 | N/A | 0 |
RNS Number:1006P Asahi Bank Ld 21 December 2001 PART 2 Table 4 Loan disclosure according to the Financial Reconstruction Law (Non-consolidated) (Millions of yen, %) Change As of from As of As of September March March 31, September 30, 2001 31, 2001 2001 30, 2000 Unrecoverable 160,070 (14,825) 174,895 179,939 Risk 650,325 (3,620) 653,945 476,604 Special attention 474,300 33,774 440,526 217,958 Financial Reconstruction Law total (A) 1,284,696 15,330 1,269,366 874,501 Nonclassified 20,135,261 (561,152) 20,696,413 21,021,909 Financial Reconstruction Law total 21,419,957 (545,822) 21,965,779 21,896,411 Total reserves 417,895 1,325 416,570 387,887 Coverage ratio 32.5 (0.3) 32.8 44.3 (Consolidated) (Millions of yen) Unrecoverable 196,101 (29,784) 225,885 197,975 Risk 770,882 26,454 744,428 531,929 Special attention 503,049 32,957 470,092 223,136 Financial Reconstruction Law total (A) 1,470,033 29,628 1,440,405 953,041 (Reserve for possible loan losses) (Non-consolidated) Reserve for possible loan losses 417,895 1,325 416,570 387,887 General reserve for possible loan losses 133,900 4,300 129,600 124,500 Specific reserve for possible 280,296 (2,037) 282,333 259,230 Specific reserve for certain overseas loans 3,698 (938) 4,636 4,156 Reserve for contingent liabilities related to loans sold 30,616 (7,038) 37,654 61,582 Reserve for losses incurred from supporting certain borrowers - (22,000) 22,000 6,603 Total 448,511 (27,714) 476,225 456,072 (consolidated) (Millions of yen) Reserve for possible loan losses 482,158 9,824 472,334 449,446 General reserve for possible loan losses 154,084 (313) 154,397 142,568 Specific reserves for possible loan losses 324,374 11,074 313,300 302,721 Special reserve for certain overseas loans 3,698 (938) 4,636 4,156 Reserve for contingent liabilities related to loans sold 30,616 (7,038) 37,654 61,582 Reserve for losses incurred from supporting certain borrowers - - - 6,603 Total 512,774 2,785 509,989 517,632 Table 5 Risk managed loans disclosure (Non-consolidated) (Millions of yen. %) Change As of from As of As of September March March 31, September 30, 2001 31, 2001 2001 30, 2000 Loans to borrowers in legal bankruptcy 71,920 (4,243) 76,163 77,811 Past due loans (for more than 6 months) 730,300 (14,266) 744,566 572,234 Loans past due over 3 months 86,121 (14,663) 100,784 97,771 Restructured loans 388,178 48,437 339,741 120,187 Risk-managed loans, total 1,276,521 15,265 1,261,256 868,004 Balance of loans 19,805,462 (521,893) 20,327,355 20,488,594 Risk-managed loans/ Balance of loans 6.44 0.24 6.20 4.23 (consolidated) (Millions of yen, %) Loans to borrowers in legal bankruptcy 79,634 (5,426) 85,060 80,557 Past due loans (for more than 6 months) 826,115 (19,309) 845,424 605,942 Loans past due over 3 months 108,139 (15,377) 123,516 102,215 Restructured loans 394,909 48,334 346,575 120,921 Risk-managed loans, total 1,408,799 8,223 1,400,576 909,637 Balance of loans 19,989,439 (626,889) 20,616,328 20,522,283 Risk-managed loans/ Balance of loans 7.04 0.25 6.79 4.43 Table 6 Disposal of non-performing assets (Non-consolidated) Interim Interim Fiscal period period year ended ended ended September September March 31, 30, 2001 Change 30, 2000 2001 Disposal of nonaccrual loans 55,370 (54,033) 109,403 327,615 Write-off of claims 31,570 (19,965) 51,535 114,849 Provision to specific reserve for losses 18,967 (26,409) 45,376 134,203 Losses on sales to Cooperative Credit Purchasing Company, Limited 1,708 716 992 11,538 Provision to reserve for contingent liabilities related to loans sold 3,591 (7,167) 10,758 12,128 Debt forgiveness - - - 28,800 Losses from the sale of other claims 319 (241) 560 2,924 Transfer to reserve for losses incurred from supporting certain borrowers - - - 22,000 Write-offs for foreign loans - (451) 451 1,587 Provision to specific reserve for losses on certa in overseas loans (786) (516) (270) (416) Table 7 Unrealized gains or losses on securities (Non-consolidated) (Millions of yen) As of September 30, 2001 As of March 31, 2001 Unreal- Change Unreal- ized from Unreal- Unreal- ized Unreal- Unreal- gains or previous ized ized gains or ized ized losses period gains losses losses gains losses Securities to be held to maturity - - - - - - - Securities of subsidiaries and associated companies - - - - - - - Other 316,759 200,072 70,761 387,520 (116,687) 138,267 254,954 Stocks 294,246 175,468 54,663 348,910 (118,778) 116,035 234,813 Bonds 13,187 5,056 14,735 1,547 18,243 20,261 2,018 Other 35,700 19,548 1,362 37,062 (16,152) 1,970 18,122 Total 316,759 200,072 70,761 387,520 116,035 138,267 254,954 Stocks 294,246 175,468 54,663 348,910 (118,778) 116,035 234,813 Bonds 13,187 5,056 14,735 1,547 18,243 20,261 2,018 Other 35,700 19,548 1,362 37,062 (16,152) 1,970 18,122 Notes: Figures include not only securities but also certificates of deposit included in cash and due from banks. The value of securities is based on market value at the balance sheet date, except for the value of stocks, which is based on the average value over the one-month period prior to the balance sheet date. As of September 30, 2001, the amount of the evaluation difference related to other securities was (263,059) million.
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