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DNB Bank ASA

Annual Report Apr 20, 2023

3579_rns_2023-04-20_f34d4e4a-7605-412d-88fe-9511a7a72e3e.pdf

Annual Report

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DNB Group (page 1 of 2)

- restated comparative figures for 2022

Income statement 4Q22 3Q22 2Q22 1Q22 Full year 2022
Amounts in NOK million Reported Change Restated Reported Change Restated Reported Change Restated Reported Change Restated Reported Change Restated
Interest income, amortised cost 27 417 27 417 19 893 19 893 15 311 15 311 12 620 12 620 75 241 75 241
Other interest income 1 811 1 811 1 436 1 436 817 817 687 687 4 751 4 751
Interest expenses, amortised cost (14 992) (14 992) (8 389) (8 389) (3 807) (3 807) (1 892) (1 892) (29 080) (29 080)
Other interest expenses (166) (166) (687) (687) (796) (796) (969) (969) (2 619) (2 619)
Net interest income 14 071 14 071 12 253 12 253 11 525 11 525 10 445 10 445 48 294 48 294
Commission and fee income etc. 3 963 (285) 3 678 3 813 (290) 3 522 3 847 (299) 3 548 3 720 (284) 3 435 15 343 (1 159) 14 184
Commission and fee expenses etc. (926) (44) (970) (1 070) 23 (1 047) (1 018) 28 (990) (876) 28 (848) (3 890) 34 (3 856)
Net gains on financial instruments at fair value 256 0 256 706 0 706 1 624 0 1 624 1 562 (0) 1 562 4 147 0 4 147
Net financial result, life insurance (prior to IFRS 17) 194 (194) (40) 40 (175) 175 (98) 98 (119) 119
Net risk result, life insurance (prior to IFRS 17) 160 (160) 123 (123) 73 (73) 130 (130) 487 (487)
Net insurance result (IFRS 17) 504 504 261 261 277 277 192 192 1 235 1 235
Profit from investments accounted for by the equity method 482 (22) 460 5 54 60 144 22 165 (15) 75 60 617 129 746
Net gains on investment properties (9) (9) 4 4 2 2 (4) (4) (7) (7)
Other income 336 231 567 334 27 361 297 (60) 237 276 (50) 226 1 244 147 1 390
Net other operating income 4 457 30 4 487 3 875 (8) 3 867 4 794 69 4 863 4 695 (73) 4 623 17 821 18 17 840
Total income 18 527 30 18 558 16 128 (8) 16 120 16 319 69 16 388 15 141 (73) 15 068 66 115 18 66 133
Salaries and other personnel expenses (4 275) 49 (4 226) (3 625) 48 (3 578) (3 627) 42 (3 585) (3 344) 42 (3 302) (14 871) 181 (14 690)
Other expenses (2 357) 114 (2 243) (1 947) 134 (1 812) (2 022) 92 (1 930) (1 772) 110 (1 662) (8 098) 450 (7 648)
Depreciation and impairment of fixed and intangible assets (916) 19 (897) (901) 19 (882) (874) 19 (856) (850) 19 (831) (3 541) 76 (3 465)
Total operating expenses (7 548) 182 (7 366) (6 473) 201 (6 272) (6 524) 154 (6 370) (5 966) 171 (5 795) (26 510) 707 (25 803)
Pre-tax operating profit before impairment 10 979 213 11 192 9 655 192 9 848 9 795 223 10 018 9 175 98 9 273 39 605 726 40 331
Net gains on fixed and intangible assets (25) (25) 1 0 1 0 (0) 0 1 1 (24) (24)
Impairment of financial instruments (674) (674) 148 148 209 209 589 589 272 272
Pre-tax operating profit 10 280 213 10 493 9 803 192 9 996 10 005 223 10 227 9 765 98 9 863 39 854 726 40 579
Tax expense (460) (59) (519) (2 255) (35) (2 289) (2 301) (50) (2 351) (2 246) (6) (2 252) (7 262) (149) (7 411)
Profit from operations held for sale, after taxes 127 127 26 26 81 81 36 36 270 270
Profit for the period 9 947 154 10 101 7 575 158 7 733 7 785 172 7 957 7 555 92 7 647 32 861 577 33 438
Portion attributable to shareholders 9 704 154 9 858 7 397 158 7 555 7 611 172 7 783 7 299 92 7 391 32 010 577 32 587
Portion attributable to non-controlling interests 9 9 6 6 36 36 31 31 82 82
Portion attributable to additional Tier 1 capital holders 234 234 172 172 138 138 225 225 769 769
Profit for the period 9 947 154 10 101 7 575 158 7 733 7 785 172 7 957 7 555 92 7 647 32 861 577 33 438
Earnings/diluted earnings per share (NOK) 6.26 0.10 6.36 4.77 0.10 4.87 4.91 0.11 5.02 4.71 0.06 4.77 20.65 0.37 21.02
Earnings per share excluding operations held for sale (NOK) 6.18 0.10 6.28 4.75 0.11 4.86 4.86 0.11 4.97 4.68 0.06 4.74 20.47 0.37 20.84
Key figures 4Q22 3Q22 2Q22 1Q22 Full year 2022
Per cent Reported Change Restated Reported Change Restated Reported Change Restated Reported Change Restated Reported Change Restated
Cost/income ratio 40.7 (1.0) 39.7 40.1 (1.2) 38.9 40.0 (1.1) 38.9 39.4 (0.9) 38.5 40.1 (1.1) 39.0
Return on equity, annualised 16.2 0.9 17.1 12.7 0.9 13.6 13.3 0.9 14.2 12.9 0.8 13.7 13.8 0.9 14.7

DNB Group (page 2 of 2)

- restated comparative figures for 2022

Balance sheet 31 December 2022 30 September 2022 30 June 2022 31 March 2022 31 December 2021/ 1 January 2022
Amounts in NOK million Reported Change Restated Reported Change Restated Reported Change Restated Reported Change Restated Reported Change Restated
Assets
Cash and deposits with central banks 309 988 309 988 441 873 441 873 382 631 382 631 383 193 383 193 296 727 296 727
Due from credit institutions 20 558 0 20 558 67 039 0 67 039 47 012 0 47 012 63 084 0 63 084 44 959 44 959
Loans to customers 1 961 464 1 961 464 1 959 268 8 1 959 276 1 924 509 11 1 924 520 1 840 303 15 1 840 318 1 744 922 20 1 744 942
Commercial paper and bonds 488 087 (2 646) 485 440 427 356 (5 811) 421 544 430 426 (4 600) 425 826 409 938 (840) 409 098 425 267 4 180 429 448
Shareholdings 33 350 (0) 33 350 36 220 (0) 36 220 34 614 0 34 614 38 866 0 38 866 35 297 35 297
Assets, customers bearing the risk 138 259 0 138 259 128 365 (0) 128 365 130 260 0 130 260 137 361 0 137 361 138 747 138 747
Financial derivatives 185 687 185 687 312 574 312 574 235 950 235 950 156 951 156 951 135 400 135 400
Investment properties 14 651 14 651 18 092 0 18 092 18 283 0 18 283 18 006 18 006 17 823 17 823
Investments accounted for by the equity method 19 257 (12) 19 246 18 790 10 18 800 18 843 (44) 18 799 19 593 (66) 19 527 19 549 (141) 19 409
Intangible assets 10 273 10 273 10 173 10 173 10 266 10 266 10 175 10 175 5 804 5 804
Deferred tax assets 510 510 768 1 447 2 215 723 1 590 2 314 613 1 618 2 231 649 1 683 2 332
Fixed assets 21 254 21 254 22 055 22 055 21 690 21 690 21 429 21 429 21 430 21 430
Assets held for sale 1 767 1 767 1 822 1 822 2 072 2 072 2 218 2 218 2 245 2 245
Other assets 31 324 (368) 30 956 40 994 (264) 40 730 50 528 (400) 50 128 46 179 (282) 45 898 30 423 (289) 30 135
Total assets 3 236 431 (3 026) 3 233 405 3 485 388 (4 612) 3 480 777 3 307 807 (3 443) 3 304 364 3 147 909 446 3 148 356 2 919 244 5 454 2 924 698
Liabilities and equity
Due to credit institutions 177 298 177 298 229 776 0 229 776 226 847 226 847 208 934 208 934 149 611 149 611
Deposits from customers 1 396 630 1 396 630 1 470 882 1 470 882 1 393 381 1 393 381 1 321 825 1 321 825 1 247 719 1 247 719
Financial derivatives 190 142 190 142 279 309 279 309 211 668 211 668 137 429 137 429 114 348 114 348
Debt securities issued 737 886 737 886 788 949 788 949 778 553 778 553 765 485 765 485 702 759 702 759
Insurance liabilities, customers bearing the risk 138 259 0 138 259 128 365 (0) 128 365 130 260 0 130 260 137 361 0 137 361 138 747 138 747
Insurance liabilities 191 059 9 542 200 601 191 565 8 080 199 646 193 449 8 983 202 431 196 931 11 914 208 845 199 379 17 166 216 545
Payable taxes 4 057 4 057 6 233 6 233 4 643 4 643 5 539 0 5 539 3 054 3 054
Deferred taxes 5 136 (3 081) 2 055 1 720 (1 695) 25 1 624 (1 585) 38 1 634 (1 607) 27 1 571 (1 549) 23
Other liabilities 34 200 (228) 33 972 47 735 (1 583) 46 151 53 275 (1 269) 52 006 56 745 (118) 56 627 39 718 (327) 39 390
Liabilities held for sale 541 541 461 461 476 476 550 550 896 896
Provisions 977 977 1 089 1 089 1 007 1 007 1 200 1 200 1 642 1 642
Pension commitments 4 657 4 657 4 383 4 383 4 538 4 538 4 643 4 643 5 073 5 073
Senior non-preferred bonds 59 702 59 702 54 069 54 069 40 617 40 617 37 952 37 952 37 769 37 769
Subordinated loan capital 36 788 36 788 29 841 29 841 28 345 28 345 27 201 27 201 33 047 33 047
Total liabilities 2 977 332 6 233 2 983 565 3 234 377 4 802 3 239 179 3 068 684 6 128 3 074 812 2 903 428 10 189 2 913 618 2 675 332 15 290 2 690 622
Additional Tier 1 capital 16 089 16 089 14 849 14 849 11 438 11 438 11 317 11 317 16 974 16 974
Non-controlling interests 227 227 421 421 399 399 325 325 266 266
Share capital 19 378 19 378 19 380 19 380 19 380 19 380 19 380 19 380 19 379 19 379
Share premium 18 733 18 733 18 733 18 733 18 733 18 733 18 733 18 733 18 733 18 733
Other equity 204 672 (9 259) 195 413 197 629 (9 413) 188 216 189 173 (9 571) 179 602 194 726 (9 743) 184 983 188 559 (9 836) 178 723
Total equity 259 098 (9 259) 249 840 251 011 (9 413) 241 598 239 123 (9 571) 229 552 244 481 (9 743) 234 738 243 912 (9 836) 234 076
Total liabilities and equity 3 236 431 (3 026) 3 233 405 3 485 388 (4 612) 3 480 777 3 307 807 (3 443) 3 304 364 3 147 909 446 3 148 356 2 919 244 5 454 2 924 698

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