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ASB Asbisc

150.00
0.00 (0.00%)
24 May 2024 - Closed
Delayed by 15 minutes
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

Reinvigoration Plan - Part 2

24/12/2001 12:00pm

UK Regulatory


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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