Annual / Quarterly Financial Statement • Feb 28, 2022
Annual / Quarterly Financial Statement
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Investor information and unaudited financial statements
| 31.12.2021, |
|---|
In accordance with the Capital Markets Act, Hrvatska poštanska Banka p.l.c. (Bank), as the parent company of the Hrvatska poštanska banka Group (Group), publishes unaudited financial statements for the period from January 01 to December 31, 2021.
Original and official quarterly report is published in Croatian.
The report includes:
3
Financial statements and notes have been compiled in accordance with instructions defined in Rulebook on the content and structure of the issuer's reports for periods during the year (NN 114/2018, 27/2021).
HPB Group is, apart from the parent company – Hrvatska poštanska Banka p.l.c., HPB Invest (investment fund management) and HPB-nekretnine (real estate agency).
The HPB Group's net profit after tax is HRK 202.6 million. The Group's result relates largely to the results of the parent company, while HPB Invest made a net profit of HRK 831.8 thousand and HPB-Nekretnine a net profit of HRK 585.7 thousand.
Marko Badurina Anto Mihaljević
4
President of the Management Board Member of the Management Board
Ivan Soldo
Member of the Management Board
In accordance with the Capital Market Act, the Management Board of HPB p.l.c., the parent company of HPB Group, states that according to their best knowledge the set of consolidated unaudited financial statements for the period from January 01 to December 31, 2021, are compiled in accordance with the accounting regulation applicable to credit institutions in Croatia, presents complete and accurate view of assets and liabilities, losses and gains, financial position and results of HPB p.l.c., as well as companies included in consolidation as a whole.
On behalf of HPB p.l.c., the parent company of HPB Group:
Tea Bažant
Executive Head of finance division
Marko Badurina
President of the Management Board
Anto Mihaljević
Member of the Management Board
Ivan Soldo
Member of the Management Board
| Annex 1 | ISSUER'S GENERAL DATA | ||||
|---|---|---|---|---|---|
| Reporting period: | 1.1.2021 | to | 31.12.2021 | ||
| Year: | 2021 | ||||
| Quarter: | 4 | ||||
| Quarterly financial statements | |||||
| Registration number (MB): | 03777928 | Issuer's home Member State code: |
HRVATSKA | ||
| Entity's registration number (MBS): |
080010698 | ||||
| Personal identification number (OIB): |
87939104217 | LEI: | 529900D5G4V6THXC5P79 | ||
| Institution code: |
319 | ||||
| Name of the issuer: HRVATSKA POŠTANSKA BANKA, p.l.c. | |||||
| Postcode and town: | 10000 | ZAGREB | |||
| Street and house number: JURIŠIĆEVA 4 | |||||
| E-mail address: [email protected] | |||||
| Web address: www.hpb.hr | |||||
| Number of employees (end of the reporting |
1315 | ||||
| Consolidated report: | KD | (KN-not consolidated/KD-consolidated) | KN | KD | |
| Audited: | RN | (RN-not audited/RD-audited) | RN | RD | |
| Names of subsidiaries (according to IFRS): | Registered office: | MB: | |||
| HPB Invest d.o.o. | Strojarska 20, 10000 Zagreb | 01972278 | |||
| HPB-nekretnine d.o.o. | Amruševa 8, 10000 Zagreb | 01972260 | |||
| Bookkeeping firm: | No | (Yes/No) | Yes No |
||
| Contact person: Tea Bažant | (name of the bookkeeping firm) | ||||
| (only name and surname of the contact person) Telephone: 014804670 |
|||||
| E-mail address: [email protected] | |||||
| Audit firm: | |||||
| Certified auditor: | (name of the audit firm) | ||||
| (name and surname) |
| BALANCE SHEET as at December 31, 2021 |
|||
|---|---|---|---|
| Submitter: Hrvatska poštanska banka p.l.c. | in HRK | ||
| Item | AOP code |
Last day of the preceding business year |
At the reporting date of the current period |
| 1 | 2 | 3 | 4 |
| Assets | |||
| Cash, cash balances at central banks and other demand deposits (from 2 to 4) | 001 | 3.662.500.484 | 6.177.641.914 |
| Cash in hand | 002 | 900.072.987 | 1.422.548.361 |
| Cash balances at central banks | 003 | 2.224.401.393 | 4.339.757.848 |
| Other demand deposits Financial assets held for trading (from 6 to 9) |
004 005 |
538.026.104 719.257.423 |
415.335.705 616.670.614 |
| Derivatives | 006 | - | - |
| Equity instruments Debt securities |
007 008 |
95.340.654 623.916.769 |
105.639.274 511.031.340 |
| Loans and advances | 009 | - | - |
| Non-trading financial assets mandatorily at fair value through profit or loss (from 11 to 13) Equity instruments |
010 | 38.865.901 20.000.000 |
9.316.729 - |
| Debt securities | 011 012 |
- | - |
| Loans and advances Financial assets at fair value through profit or loss (15 + 16) |
013 | 18.865.901 | 9.316.729 |
| Debt securities | 014 015 |
- - |
- - |
| Loans and advances | 016 | - | - |
| Financial assets at fair value through other comprehensive income (from 18 to 20) Equity instruments |
017 018 |
4.158.015.469 49.027.711 |
4.601.319.906 48.896.784 |
| Debt securities | 019 | 4.108.987.758 | 4.552.423.122 |
| Loans and advances Financial assets at amortised cost (22 + 23) |
020 | - | - |
| Debt securities | 021 022 |
16.413.935.375 1.978.784 |
15.955.565.325 454.371 |
| Loans and advances | 023 | 16.411.956.591 | 15.955.110.954 |
| Derivatives - hedge accounting Fair value changes of the hedged items in portfolio hedge of interest rate risk |
024 025 |
- - |
- - |
| Investments in subsidiaries, joint ventures and associates | 026 | 43 | 43 |
| Tangible assets Intangible assets |
027 028 |
326.574.638 91.824.941 |
311.192.057 93.395.736 |
| Tax assets | 029 | 2.797.956 | 642.640 |
| Other assets Fixed assets and disposal groups classified as held for sale |
030 | 49.114.278 | 58.932.881 |
| Total assets (1 + 5 + 10 + 14 + 17 + 21 + from 24 to 31) | 031 032 |
- 25.462.886.508 |
9.200.000 27.833.877.845 |
| Liabilities | |||
| Financial liabilities held for trading (from 34 to 38) | 033 | 21.172 | - |
| Derivatives | 034 | 21.172 | - |
| Short positions Deposits |
035 036 |
- - |
- - |
| Debt securities issued | 037 | - | - |
| Other financial liabilities Financial liabilities at fair value through profit or loss (from 40 to 42) |
038 | - - |
- - |
| Deposits | 039 040 |
- | - |
| Debt securities issued | 041 | - | - |
| Other financial liabilities Financial liabilities measured at amortised cost (from 44 to 46) |
042 043 |
- 22.680.817.227 |
- 24.590.499.484 |
| Deposits | 044 | 22.561.546.458 | 24.496.075.533 |
| Debt securities issued Other financial liabilities |
045 046 |
- 119.270.769 |
- 94.423.951 |
| Derivatives - hedge accounting | 047 | - | - |
| Fair value changes of the hedged items in portfolio hedge of interest rate risk | 048 | - | - |
| Provisions Tax liabilities |
049 050 |
125.688.739 25.697.310 |
341.273.561 64.392.779 |
| Share capital repayable on demand | 051 | - | - |
| Other liabilities Liabilities included in disposal groups classified as held for sale |
052 053 |
151.759.203 - |
180.966.028 - |
| Total liabilities (33 + 39 + 43 + from 47 to 53) | 054 | 22.983.983.651 | 25.177.131.852 |
| Equity | |||
| Initial capital | 055 | 1.214.775.000 | 1.214.775.000 |
| Share premium Equity instruments issued other than capital |
056 057 |
- - |
- - |
| Other equity instruments | 058 | - | - |
| Accumulated other comprehensive income Retained profit |
059 060 |
264.974.555 204.798.039 |
240.193.702 297.151.162 |
| Revaluation reserves | 061 | - | - |
| Other reserves | 062 | 611.448.069 | 702.479.141 |
| ( - ) Treasury shares Profit or loss attributable to owners of the parent |
063 064 |
(477.000) 183.384.194 |
(477.000) 202.623.988 |
| (--) Interim dividends | 065 | - | - |
| Minority interests [non-controlling interests] Total equity (from 55 to 66) |
066 067 |
- 2.478.902.857 |
- 2.656.745.993 |
| Total equity and liabilities (54 + 67) | 068 | 25.462.886.508 | 27.833.877.845 |
| STATEMENT OF PROFIT AND LOSS for the period January 01, 2021 to December 31, 2021 |
|||||
|---|---|---|---|---|---|
| Submitter: Hrvatska poštanska banka p.l.c. | in HRK | ||||
| Item | AOP | Same period of the previous | Current period | ||
| code | year Cumulative |
Quarter | Cumulative | Quarter | |
| 1 | 2 | 3 | 4 | 5 | 6 |
| Interest income (Interest expenses) |
001 002 |
588.820.078 51.590.120 |
147.709.924 11.630.448 |
560.475.854 36.367.350 |
135.480.489 8.838.120 |
| (Expenses on share capital repayable on demand) Dividend received Fees and commissions income |
003 004 005 |
- 3.292.513 459.757.903 |
- 11.671 110.572.450 |
- 1.143.665 492.742.014 |
- 53.598 115.488.772 |
| (Fees and commissions expenses) Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value through |
006 | 273.899.127 | 65.273.989 | 290.106.697 | 69.032.354 |
| profit or loss, net | 007 | 35.035.565 | - | 671.529 | 507 |
| Gains or (-) losses on financial assets and liabilities held for trading, net | 008 | 47.068.263 | 18.424.922 | 59.962.657 | 10.403.671 |
| Gains or losses on non-trading financial assets mandatorily at fair value through profit or loss, net | 009 010 |
(571.077) - |
(787.789) - |
30.491.412 - |
53.461 - |
| Gains or (-) losses on financial assets and liabilities at fair value through profit or loss, net Gains or (-) losses from hedge accounting, net |
011 | - | - | - | - |
| Exchange rate differences [gain or (-) loss], net | 012 | (8.624.819) | (1.037.018) | (7.592.753) | (1.436.657) |
| Gains or (-) losses on derecognition of non-financial assets, net Other operating income |
013 014 |
- 13.725.920 |
- 4.834.277 |
- 20.267.730 |
- 11.837.756 |
| (Other operating expenses) | 015 | 14.000.990 | 4.453.293 | 19.349.962 | 10.964.899 |
| Total operating income, net (1 – 2 – 3 + 4 + 5 – 6 + from 7 to 14 – 15) | 016 | 799.014.109 | 198.370.707 | 812.338.099 | 183.046.224 |
| (Administrative expenses) (Contributions in cash rehabilitation committees and Deposit Insurance Schemes) |
017 018 |
391.864.512 42.002.367 |
74.161.495 10.488.737 |
418.161.923 13.916.357 |
127.075.427 3.479.089 |
| (Depreciation) | 019 | 76.278.177 | 17.820.633 | 67.823.078 | 16.981.062 |
| Modification gains or (-) losses, net | 020 | (3.386.347) | (2.550) | (4.328.639) | (2.350.084) |
| (Provisions or (-) reversal of provisions) (Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or |
021 022 |
(61.671.217) 109.876.155 |
1.020.378 26.428.653 |
306.219 63.262.189 |
(20.428.201) 61.565.821 |
| loss) (Impairment or (-) reversal of impairment of investments in subsidiaries, joint ventures and associates) |
023 | - | - | - | - |
| (Impairment or (-) reversal of impairment on non-financial assets) Negative goodwill recognised in profit or loss |
024 025 |
8.711.610 - |
8.711.610 - |
(1.903.399) - |
(1.903.399) - |
| Share of the profit or (-) loss of investments in subsidiaries, joint ventures and associates accounted for using the equity method |
026 | - | - | - | - |
| Profit or (-) loss from fixed assets and disposal groups classified as held for sale not qualifying as discontinued operations |
027 | - | - | - | - |
| Profit or (-) loss before tax from continuing operations (16 – 17 – 18 + 19 – from 20 to 23 + from 24 to 26) |
028 | 228.566.158 | 59.736.651 | 246.443.093 | (6.073.659) |
| (Tax expense or (-) income related to profit or loss from continuing operations) | 029 | 45.181.964 | 10.892.924 | 43.819.105 | (1.961.079) |
| Profit or (-) loss after tax from continuing operations (27 – 28) | 030 | 183.384.194 | 48.843.727 | 202.623.988 | (4.112.580) |
| Profit or (-) loss after tax from discontinued operations (31 – 32) | 031 | - | - | - | - |
| Profit or (-) loss before tax from discontinued operations | 032 | - | - | - | - |
| (Tax expense or (-) income related to discontinued operations) Profit or ( – ) loss for the year (29 + 30; 34 + 35) |
033 | - | - | - | - |
| Attributable to minority interest [non-controlling interests] | 034 035 |
183.384.194 - |
48.843.727 - |
202.623.988 - |
(4.112.580) - |
| Attributable to owners of the parent | 036 | 183.384.194 | 48.843.727 | 202.623.988 | (4.112.580) |
| STATEMENT OF OTHER COMPREHENSIVE INCOME Income or (-) loss for the current year |
037 | - 183.384.194 |
- 48.843.727 |
- 202.623.988 |
- (4.112.580) |
| Other comprehensive income (38 + 50) | 038 | (82.538.216) | 11.010.500 | (24.780.852) | (18.042.638) |
| Items that will not be reclassified to profit or loss (from 39 to 45) + 48 + 49) | 039 | (4.199.151) | (2.373.526) | 1.831.095 | 2.288.818 |
| Tangible assets Intangible assets |
040 041 |
(7.533.354) - |
(4.199.151) - |
6.411.028 - |
6.411.028 - |
| Actuarial gains or (-) losses on defined benefit pension plans Fixed assets and disposal groups classified as held for sale |
042 043 |
1.825.625 - |
1.825.625 - |
(2.968.225) - |
(2.968.225) - |
| Share of other recognised income and expense of entities accounted for using the equity method | 044 | - | - | - | - |
| Fair value changes of equity instruments measured at fair value through other comprehensive income Gains or (-) losses from hedge accounting of equity instruments at fair value through other comprehensive |
045 | - | - | - | - |
| income, net Fair value changes of equity instruments measured at fair value through other comprehensive income |
046 | - | - | - | - |
| [hedged item] Fair value changes of equity instruments measured at fair value through other comprehensive income |
047 | - | - | - | - |
| [hedging instrument] Fair value changes of financial liabilities at fair value through profit or loss attributable to changes in their |
048 | - | - | - | - |
| credit risk | 049 | - | - | - | - |
| Income tax relating to items that will not be reclassified Items that may be reclassified to profit or loss (from 51 to 58) |
050 051 |
1.508.578 (78.339.065) |
- 13.384.026 |
(1.611.708) (26.611.947) |
(1.153.985) (20.331.456) |
| Hedge of net investments in foreign operations [effective portion] | 052 | - | - | - | - |
| Foreign currency translation | 053 | - | - | - | - |
| Cash flow hedges [effective portion] Hedging instruments [not designated elements] |
054 055 |
- - |
- - |
- - |
- - |
| Debt instruments at fair value through other comprehensive income | 056 | (95.463.311) | 16.394.117 | (32.525.728) | (24.866.593) |
| Fixed assets and disposal groups classified as held for sale | 057 | - | - | - | - |
| Share of other recognised income and expense of investments in subsidiaries, joint ventures and associates |
058 | - | - | - | - |
| Income tax relating to items that may be reclassified to profit or (-) loss | 059 | 17.124.246 | (3.010.091) | 5.913.781 | 4.535.137 |
| Total comprehensive income for the current year (36 + 37; 60 + 61) | 060 | 100.845.978 | 59.854.227 | 177.843.136 | (22.155.218) |
| Attributable to minority interest [non-controlling interest] Attributable to owners of the parent |
061 062 |
- 100.845.978 |
- 59.854.227 |
- 177.843.136 |
- (22.155.218) |
| for the period January 01, 2021 to December 31, 2021 | |||
|---|---|---|---|
| Submitter: Hrvatska poštanska banka p.l.c. | in HRK | ||
| Item | AOP code |
Same period of the previous year |
Current period |
| 1 | 2 | 3 | 4 |
| Operating activities - direct method | |||
| Interest received and similar receipts | 001 | - | - |
| Fees and commissions received | 002 | - | - |
| (Interest paid and similar expenditures) (Fees and commissions paid) |
003 | - | - |
| (Operating expenses paid) | 004 005 |
- - |
- - |
| Net gains/losses from financial instruments at fair value through statement of profit or loss | 006 | - | - |
| Other receipts | 007 | - | - |
| (Other expenditures) | 008 | - | - |
| Operating activities - indirect method | |||
| Profit/(loss) before tax Adjustments: |
009 | 228.612.358 - |
246.443.093 - |
| Impairment and provisions | 010 | 174.933.719 | 67.897.047 |
| Depreciation | 011 | 76.278.177 | 67.823.078 |
| 012 | (73.479.009) | (91.125.598) | |
| Net unrealised (gains)/losses on financial assets and liabilities at fair value through statement of profit or loss | |||
| (Profit)/loss from the sale of tangible assets Other non-cash items |
013 | - | - |
| 014 | (537.334.753) | (524.108.504) | |
| Promjene u imovini i obvezama iz poslovnih aktivnosti | |||
| Deposits with the Croatian National Bank Deposits with financial institutions and loans to financial institutions |
015 | (280.916.192) | (107.284.615) |
| Loans and advances to other clients | 016 017 |
258.280.921 (1.316.595.951) |
- 496.539.424 |
| Securities and other financial instruments at fair value through other comprehensive income | 018 | 468.611.329 | (470.382.081) |
| Securities and other financial instruments held for trading | 019 | (65.609.242) | 171.790.050 |
| Securities and other financial instruments at fair value through statement of profit or loss, not traded | 020 | - | 50.800.000 |
| Securities and other financial instruments mandatorily at fair value through statement of profit or loss | 021 | - | - |
| Securities and other financial instruments at amortised cost | 022 | 2.326.911 | 1.524.413 |
| Other assets from operating activities Deposits from financial institutions |
023 024 |
3.106.512 105.943.541 |
(9.818.603) (78.058.830) |
| Transaction accounts of other clients | 025 | 1.255.559.114 | 913.204.182 |
| Savings deposits of other clients | 026 | 720.175.408 | 1.918.206.578 |
| Time deposits of other clients | 027 | (928.046.118) | (773.984.130) |
| Derivative financial liabilities and other liabilities held for trading | 028 | 5.952.655 | (24.867.990) |
| Other liabilities from operating activities | 029 | (2.589.926) | 244.485.428 |
| Interest received from operating activities [indirect method] Dividends received from operating activities [indirect method] |
030 031 |
588.918.099 3.280.842 |
553.864.096 1.143.665 |
| Interest paid from operating activities [indirect method] | 032 | (51.583.346) | (36.367.350) |
| (Income tax paid) | 033 | - | - |
| Net cash flow from operating activities (from 1 to 33) | 034 | 635.825.049 | 2.617.723.353 |
| Investing activities | |||
| Cash receipts from the sale / payments for the purchase of tangible and intangible assets Cash receipts from the sale / payments for the purchase of investments in branches, associates and joint |
035 | (60.106.596) | (63.211.292) |
| ventures | 036 | - | - |
| Cash receipts from the sale / payments for the purchase of securities and other financial instruments held to | |||
| maturity | 037 | - | - |
| Dividends received from investing activities | 038 | 2.326.911 | 1.524.413 |
| Other receipts/payments from investing activities Net cash flow from investing activities (from 35 to 39) |
039 | - | - |
| Financing activities | 040 | (57.779.685) | (61.686.879) |
| Net increase/(decrease) in loans received from financing activities | 041 | 475.822.595 | (44.838.724) |
| Net increase/(decrease) in debt securities issued | 042 | - | - |
| Net increase/(decrease) in Tier 2 capital instruments | 043 | - | - |
| Increase in share capital | 044 | - | - |
| (Dividends paid) Other receipts/(payments) from financing activities |
045 | - | - |
| Net cash flow from financing activities (from 41 to 46) | 046 047 |
- 475.822.595 |
- (44.838.724) |
| Net increase/(decrease) of cash and cash equivalents (34 + 40 + 47) | 048 | 1.053.867.959 | 2.511.197.750 |
| Cash and cash equivalents at the beginning of period | 049 | 3.046.578.558 | 4.091.821.698 |
| Effect of exchange rate fluctuations on cash and cash equivalents | 050 | (8.624.819) | (7.592.753) |
| Cash and cash equivalents at the end of period (48 + 49 + 50) | 051 | 4.091.821.698 | 6.595.426.695 |
STATEMENT OF CASH FLOW
| STATEMENT OF CHANGES IN EQUITY for the period January 01, 2021 to December 31, 2021 |
in HRK | ||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Attributable to owners of the parent | Non-controlling interest |
||||||||||||||
| Item | AOP code |
Equity | Share premium |
Equity instruments issued other than capital |
Other equity instruments |
Accumulated other comprehensive income |
Retained profit Revaluation | reserves | Other reserves | ( ) Treasury shares |
Profit or ( - ) loss attributable to owners of the parent |
(-) Interim dividends Accumulat |
ed other comprehen Other items sive income |
Total | |
| 1 | 2 | 3 | 4 | 5 | 6 7 |
8 | 9 | 10 | 11 | 12 | 13 | 14 | 15 | 16 | |
| Opening balance [before restatement] | 001 | 1.214.775.000 | - | - | - 264.974.555 |
204.798.039 | - | 611.448.069 | (477.000) | 183.384.194 | - | - | - | 2.478.902.857 | |
| Effects of error corrections | 002 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Effects of changes in accounting policies | 003 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Opening balance [current period] (1 + 2 + 3) | 004 | 1.214.775.000 | - | - | - 264.974.555 |
204.798.039 | - | 611.448.069 | (477.000) | 183.384.194 | - | - | - | 2.478.902.857 | |
| Ordinary shares issue | 005 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Preference shares issue | 006 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Issue of other equity instruments | 007 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Exercise or expiration of other equity instruments issued | 008 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Conversion of debt to equity | 009 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Capital reduction | 010 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Dividends | 011 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Purchase/sale of treasury shares | 012 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Sale or cancellation of treasury shares | 013 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Reclassification of financial instruments from equity to liability | 014 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Reclassification of financial instruments from liability to equity | 015 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Transfers among components of equity instruments | 016 | - | - | - | - - |
92.353.123 | - | 91.031.072 | - | (183.384.194) | - | - | - | 1 | |
| Share based payments Other increase or ( - ) decrease of equity instruments |
017 018 |
- - |
- - |
- - |
- - - - |
- - |
- - |
- - |
- - |
- - |
- - |
- - |
- - |
- - |
|
| Total comprehensive income for the current year | 019 | - | - | - | - (24.780.853) |
- | - | - | - | 202.623.988 | - | - | - | 177.843.135 | |
| Equity instruments increase or (-) decrease resulting from business combinations | 020 | - | - | - | - - |
- | - | - | - | - | - | - | - | - | |
| Closing balance [current period] (from 4 to 20) | 021 | 1.214.775.000 | - | - | - 240.193.702 |
297.151.162 | - | 702.479.141 | (477.000) | 202.623.988 | - | - | - | 2.656.745.993 |
| Notes to financial statements | ||||||
|---|---|---|---|---|---|---|
| 1) INTEREST INCOME | in HRK | |||||
| AOP 001 | Same period of the previous year 01.01.- 31.12.2020. |
Current period 01.01. – 31.12.2021. | ||||
| Cumulative | Quarter | Cumulative | Quarter | |||
| Debt securities Loans and advances |
81.200.505 507.302.008 |
19.781.506 127.826.178 |
72.516.026 487.949.750 |
16.735.784 118.744.492 |
||
| Other assets Deposits |
314.906 2.659 |
102.233 6 |
9.298 780 |
0 212 |
||
| Other liabilities Total |
0 588.820.078 |
0 147.709.924 |
0 560.475.854 |
0 135.480.489 |
||
| 2) INTEREST EXPENSE | in HRK | |||||
| AOP 002 | Same period of the previous year 01.01.- 31.12.2020. |
Current period 01.01. – 31.12.2021. | ||||
| Debt securities | Cumulative - |
Quarter - |
Cumulative 123.676,38 |
Quarter 123.676,38 |
||
| Loans and advances Other assets |
2.873.661 - |
847.064 - |
4.101.144 - |
1.495.434 - |
||
| Deposits Other liabilities |
47.526.635 1.189.824 |
10.310.102 473.282 |
32.077.254 65.276 |
7.162.359 56.651 |
||
| Total | 51.590.120 | 11.630.448 | 36.367.350 | 8.838.120 | ||
| 3) FEE AND COMMISSION INCOME | in HRK | |||||
| AOP 005 | Same period of the previous year 01.01.- 31.12.2020. |
Current period 01.01. – 31.12.2021. | ||||
| Securities | Cumulative 3.269.735 |
Quarter 3.037.509 |
Cumulative 3.023.066 |
Quarter 757.563 |
||
| Asset management Custody [according to the type of client] |
44.754 3.651.553 |
10.656 97.941 |
35.100 5.336.081 |
6.632 1.375.488 |
||
| Loan commitments Other |
72.553 452.719.307 |
13.757 107.412.587 |
25.465 484.322.302 |
4.283 113.344.806 |
||
| Total | 459.757.903 | 110.572.450 | 492.742.014 | 115.488.772 | ||
| 4) FEE AND COMMISSION EXPENSE | Same period of the previous year 01.01.- | in HRK | ||||
| AOP 006 | 31.12.2020. Cumulative |
Quarter | Cumulative | Current period 01.01. – 31.12.2021. Quarter |
||
| Bank clearing and settlement Other |
1.726.624 | 454.600 | 1.936.040 | 397.663 | ||
| Total | 272.172.503 273.899.127 |
64.819.389 65.273.989 |
288.170.657 290.106.697 |
68.634.690 69.032.354 |
||
| 5) GAIN/LOSSES ON TERMINATION OF FINANCIAL ASSETS AND FINANCIAL LIABILITIES | in HRK | |||||
| AOP 007 | Same period of the previous year 01.01.- 31.12.2020. |
Current period 01.01. – 31.12.2021. | ||||
| Debt securities | Cumulative 35.035.564,60 |
Quarter - |
Cumulative - |
Quarter - |
||
| Loans and advances Deposits |
- - |
- - |
- - |
- - |
||
| Debt Securities issued Other financial liabilities |
- - |
- - |
- 671.529 |
- 507 |
||
| Total | 35.035.565 | 0 | 671.529 | 507 | ||
| 6) GAINS OR (-) LOSSES ON FINANCIAL ASSETS AND LIABILITIES HELD FOR TRADING | in HRK | |||||
| AOP 008 | Same period of the previous year 01.01.- 31.12.2020. |
Current period 01.01. – 31.12.2021. | ||||
| Equity instruments | Cumulative (770.953) |
Quarter (770.953) |
Cumulative 10.326.550 |
Quarter 1.868.962 |
||
| Debt securities FX transactions and derivatives |
(7.006.878) 54.846.094 |
5.373.210 13.822.665 |
(7.400.995) 57.037.101 |
(4.798.306) 13.333.015 |
||
| Total | 47.068.263 | 18.424.922 | 59.962.657 | 10.403.671 | ||
| 7) GAINS OR LOSSES ON NON-TRADING FINANCIAL ASSETS MANDATORILY AT FAIR VALUE THROUGH PROFIT OR LOSS | Same period of the previous year 01.01.- | |||||
| AOP 009 | 31.12.2020. | Current period 01.01. – 31.12.2021. | ||||
| Equity instruments | Cumulative 0 |
Quarter 0 |
Cumulative 30.800.000 |
Quarter 0 |
||
| Debt securities Loans and advances |
0 (571.077) |
0 (787.789) |
0 (308.588) |
0 53.461 |
||
| Total | (571.077) | (787.789) | 30.491.412 | 53.461 | ||
| 8) OPERATING EXPENSES | Same period of the previous year 01.01.- | in HRK | ||||
| AOP 015 & AOP 017 & AOP 018 | 31.12.2020. Cumulative |
Quarter | Cumulative | Current period 01.01. – 31.12.2021. Quarter |
||
| Other operating expenses Administrative expenses |
14.000.990 391.864.512 |
4.453.293 74.161.496 |
19.349.961 418.161.923 |
10.964.898 127.075.427 |
||
| Employee expenses | 234.533.337 | 62.693.898 | 249.253.627 | 74.116.635 | ||
| Other administrative expenses (Contributions in cash rehabilitation committees and Deposit Insurance Schemes) |
158.494.839 42.002.367 |
44.144.892 10.488.737 |
168.908.296 13.916.357 |
52.958.792 3.479.089 |
||
| Amortization Property, plant and equipment |
76.278.176 43.473.575 |
17.820.632 20.611.707 |
67.823.078 42.643.529 |
16.981.063 10.551.196 |
||
| Investment property Other intangible assets |
- 32.804.602 |
- (2.791.073) |
- 25.179.550 |
- 6.429.867 |
||
| Total | 524.146.046 | 106.924.158 | 519.251.320 | 158.500.477 | ||
| 9) IMPAIRMENT LOSSES AND PROVISION EXPENSES | Same period of the previous year 01.01.- | in HRK | ||||
| AOP 019 & AOP 020 & AOP 021 & AOP 023 | 31.12.2020. | Current period 01.01. – 31.12.2021. | ||||
| Modification gains or (-) losses, net | Cumulative (3.386.347) |
Quarter (2.549) |
Cumulative (4.328.639) |
Quarter (2.350.084) |
||
| Financial assets at fair value through other comprehensive income Financial assets at amortized cost |
- (3.386.347) |
- (2.549) |
- (4.328.639) |
- (2.350.084) |
||
| (Provisions or (-) reversal of provisions) Liabilities towards resolution committees and deposit insurance systems |
(61.671.217) - |
1.020.378 - |
306.219 - |
(20.428.201) - |
||
| (Liabilities and Guarantees) (Other Provisions) |
17.214.299 (78.885.516) |
6.384.646 (5.364.268) |
(16.209.564) 16.515.783 |
(20.877.744) 449.543 |
||
| (Impairment or (-) reversal of impairment on financial assets that are not measured at fair value through profit or loss) |
109.876.155 | 26.428.653 | 63.262.189 | 61.565.820 | ||
| (Financial assets at fair value through other comprehensive income) (Financial assets at amortized cost) |
577.174 109.298.981 |
(99.553) 26.528.206 |
6.409.709 56.852.480 |
8.141.886 53.423.934 |
||
| (Impairment or (-) reversal of impairment off of investments in subsidiaries, joint ventures, and associates) |
- | - | - | - | ||
| (Impairment or (-) reversal of impairment off non-financial assets) | 8.711.610 | 8.711.611 | (1.903.398) | (1.903.397) | ||
| (Property, plant and equipment) (Investment property) (Goodwill) |
- 8.711.610 - |
- 8.711.611 - |
(1.791.199) (112.200) - |
(1.791.199) (112.200) - |
||
| (Other intangible assets) (Other) |
- - |
- - |
- - |
- - |
||
| Total | 60.302.895 | 36.163.191 | 65.993.648 | 41.584.305 | ||
| 10) LOANS AND ADVANCES | ||||||
| AOP 023 | Stage 1 | 31.12.2020. Stage 2 |
Stage 3 | Stage 1 | 31.12.2021. Stage 2 |
|
| Central banks Gross loans |
1.219.156.918 1.219.156.918 |
- - |
- - |
1.326.441.533 1.326.441.533 |
- - |
|
| Allowance Government |
- 3.942.201.966 |
- 30.961.917 |
- 645 |
- 3.442.887.361 |
- 27.214.597 |
|
| Gross loans Allowance |
3.964.782.989 (22.581.024) |
32.372.813 (1.410.896) |
92.659 (92.014) |
3.456.836.667 (13.949.306) |
27.813.410 (598.813) |
|
| Credit institutuions Gross loans |
368.510.087 57.300 |
- - |
- - |
277.890.317 117.158 |
- - |
|
| Allowance Deposits |
27 368.996.913 |
- - |
- - |
(0) 278.323.532 |
- - |
|
| Allowance Other financial institutions |
(544.154) 179.270.857 |
- 3.893 |
- - |
(550.373) 170.320.447 |
- 122 |
|
| Gross loans Allowance |
168.686.297 (584.453) |
3.983 (90) |
- - |
160.489.050 (2.059.031) |
122 (0) |
|
| Deposits | 11.262.954 | - | - | 12.188.549 | - | |
| Allowance Non - financial institutions |
(93.941) 2.197.948.615 |
- 401.530.258 |
- 636.985.919 |
(298.121) 1.635.385.261 |
- 770.088.173 |
|
| Gross loans Allowance |
2.308.641.061 (110.692.446) |
458.968.687 (57.438.429) |
1.456.435.166 (819.449.247) |
1.661.243.557 | 836.572.344 (25.858.296) (66.484.172) |
|
| Retail Gross loans |
7.022.179.455 7.060.672.678 |
251.126.985 272.846.699 |
162.079.076 687.755.861 |
7.096.378.085 7.190.592.928 |
372.303.977 413.935.430 |
|
| Allowance Total |
(38.493.224) 14.929.267.898 |
(21.719.714) 683.623.053 - |
(525.676.785) 799.065.640 |
13.949.303.005 1.169.606.868 | (94.214.842) (41.631.453) | |
| 11) NON-TRADING FINANCIAL ASSETS MEASURED AT FAIR VALUE THROUGH PROFIT OR LOSS | ||||||
| AOP 013 Central banks |
31.12.2020. - |
31.12.2021. - |
||||
| Local state Credit institutions |
- - |
- - |
||||
| Other financial institutions Non - financial institutions |
- 5.093.283 |
- 2.895.155 |
||||
| Retail | 13.772.618 | 6.421.574 | ||||
| Total | 18.865.901 | 9.316.729 | in HRK Stage 3 - - - - 92.006 (92.006) - - - - - - - - - - 615.079.209 1.333.341.814 (718.262.605) 221.121.872 831.400.100 (610.278.228) 836.201.081 in HRK |
|||
| 12) DEPOSITS AOP 044 |
31.12.2020. | 31.12.2021. | ||||
| Government Local state |
400.000.000 5.325.746.428 |
401.789.616 6.575.113.951 |
||||
| Credit institutions Other financial institutions |
209.013.088 1.391.175.468 |
103.484.950 1.466.863.467 |
in HRK | |||
| Non - financial institutions Retail Total |
3.161.262.055 12.074.349.419 22.561.546.458 |
3.598.925.458 12.349.898.092 24.496.075.533 |
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