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Hrvatska Poštanska Banka d.d.

Quarterly Report Apr 30, 2021

2090_10-q_2021-04-30_4c1570fa-6263-41c8-b81d-c95f2c728d60.pdf

Quarterly Report

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HPB Group Q1 2021 Investor information and unaudited Financial statements

Limitation of liability

  • The information and data contained in this presentation are intended to be general background information on Hrvatska poštanska banka p.l.c. as the parent company of the Hrvatska poštanska banka Group (hereinafter referred to as the Bank, Group or HPB and its activities. It is supplied in summary form and therefore not necessarily complete. Certain statements contained herein may be statements of future expectations and other forward-looking statements about HPB, which are based on management's current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. In addition to statements which are forward-looking by reason of context, words such as "may", "will", "should", "expects", "plans", "contemplates", "intends", "anticipates", "believes", "estimates", "predicts", "potential", or "continue" and similar expressions typically identify forward-looking statements. By their nature, forward-looking statements involve known and unknown risks and uncertainties because they relate to events and depend on circumstances that may or may not occur in the future. As such, no forwardlooking statement can be guaranteed. Undue reliance should not be placed on these forward-looking statements. Many factors could cause our results of operations, financial condition, liquidity, and the development of the industries in which we compete, to differ materially from those expressed or implied by the forward-looking statements contained herein.
  • This presentation contains financial and non-financial information and statistical data relating to HPB. Such information and data are presented for illustrative purposes only. This presentation may include information and data derived from publicly available sources that have not been independently verified, therefore HPB hereby expressly makes no representation of warranty of any kind, including, but not limited to the accuracy, completeness or reliability of the provided information and data. This presentation is for information purposes only and contains neither a recommendation to buy or sell nor an offer of sale or subscription to shares nor does it constitute an invitation to make an offer to sell shares.
  • This presentation has been prepared and the data checked with the greatest possible care. Nonetheless, rounding, transmission, typesetting and printing errors cannot be ruled out. In the summing up of rounded amounts and percentages, rounding-off differences may occur.

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 March 31, 2021.

Original and official quarterly report is published in Croatian.

The report includes:

  • Management report of HPB Group,
  • Statement by persons responsible for compiling the report,
  • Unaudited set of consolidated financial statements (balance sheet, profit or loss statement, statement of changes in equity, cash flow statement), and
  • Notes to the consolidated financial statements.

Financial statements and notes have been compiled in accordance with instructions defined in Rulebook on format and content of interim financial reports of issuers (NN 114/2018, 27/2021).

Type and name of prescribed information: Quarterly consolidated
financial statements for the period 01.01.2021 -
31.03.2021,
HPB Group Q1 2021 Investor information and unaudited Financial statements
Issuer name, headquarter and address: Hrvatska poštanska banka p.l.c., Jurišićeva 4, HR-10000 Zagreb
Issuer's Legal Entity Identifier (LEI) 529900D5G4V6THXC5P79
Home Member State: Republic of Croatia
International Securities Identification Number (ISIN) HRHPB0RA0002
Stock code (ticker): HPB-R-A
Regulated market and segment:
3
Zagreb Stock Exchage, Official market

Management report

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 40.6 million. The Group's result relates largely to the results of the parent company, while HPB Invest made a net profit of HRK 195.1 thousand and HPB-Nekretnine a net profit of HRK 107.7 thousand.

Marko Badurina Anto Mihaljević

President of the Management Board Member of the Management Board

Ivan Soldo

Member of the Management Board

Statement by persons accountable for compiling the report of HPB p.l.c.

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 March 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 Marko Badurina

Executive Head of finance division 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 31.3.2021
Year: 2021
Quarter: 1
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 319
code:
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
period):
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
Da
Bookkeeping firm: No (Yes/No) Ne
(name of the bookkeeping firm)
Contact person: Tea Bažant
Telephone: 014804670 (only name and surname of the contact person)
E-mail address: [email protected]
Audit firm:
Certified auditor: (name of the audit firm)

BALANCE SHEET

as at March 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 4,546,196,054
Cash in hand 002 900,072,987 1,033,037,483
Cash balances at central banks 003 2,224,401,393 2,963,997,701
Other demand deposits 004 538,026,104 549,160,870
Financial assets held for trading (from 6 to 9)
Derivatives
005
006
719,257,423
-
721,603,434
34,781
Equity instruments 007 95,340,654 99,716,726
Debt securities 008 623,916,769 621,851,927
Loans and advances
Non-trading financial assets mandatorily at fair value through profit or loss (from 11 to 13)
009 -
38,865,901
-
37,264,386
Equity instruments 010
011
20,000,000 20,000,000
Debt securities 012 - -
Loans and advances 013 18,865,901 17,264,386
Financial assets at fair value through profit or loss (15 + 16)
Debt securities
014
015
-
-
-
-
Loans and advances 016 - -
Financial assets at fair value through other comprehensive income (from 18 to 20) 017 4,158,015,469 4,232,585,894
Equity instruments 018 49,027,711 53,933,089
Debt securities
Loans and advances
019 4,108,987,758
-
4,178,652,805
-
Financial assets at amortised cost (22 + 23) 020
021
16,413,935,375 16,525,672,695
Debt securities 022 1,978,784 3,163,091
Loans and advances 023 16,411,956,591 16,522,509,604
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 027 326,574,638 337,181,273
Intangible assets 028 91,824,941 92,806,132
Tax assets
Other assets
029
030
2,797,956
49,114,278
1,557,858
39,342,233
Fixed assets and disposal groups classified as held for sale 031 - -
Total assets (1 + 5 + 10 + 14 + 17 + 21 + from 24 to 31) 032 25,462,886,508 26,534,210,002
Liabilities
Financial liabilities held for trading (from 34 to 38) 033 21,172 -
Derivatives
Short positions
034
035
21,172
-
-
-
Deposits 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 042 - -
Financial liabilities measured at amortised cost (from 44 to 46)
Deposits
043 22,680,817,227 23,608,836,584
Debt securities issued 044
045
22,561,546,458
-
23,485,989,223
-
Other financial liabilities 046 119,270,769 122,847,361
Derivatives - hedge accounting 047 - -
Fair value changes of the hedged items in portfolio hedge of interest rate risk
Provisions
048
049
-
125,688,739
-
161,805,341
Tax liabilities 050 25,697,310 49,128,740
Share capital repayable on demand 051 - -
Other liabilities
Liabilities included in disposal groups classified as held for sale
052 151,759,203
-
190,868,818
-
Total liabilities (33 + 39 + 43 + from 47 to 53) 053
054
22,983,983,651 24,010,639,483
Equity
Initial capital 055 1,214,775,000 1,214,775,000
Share premium 056 - -
Equity instruments issued other than capital
Other equity instruments
057
058
-
-
-
-
Accumulated other comprehensive income 059 264,974,555 268,998,898
Retained profit 060 204,798,039 388,182,234
Revaluation reserves 061 - -
Other reserves
( - ) Treasury shares
062
063
611,448,069
(477,000)
611,448,069
(477,000)
Profit or loss attributable to owners of the parent 064 183,384,194 40,643,318
(--) Interim dividends 065 - -
Minority interests [non-controlling interests]
Total equity (from 55 to 66)
066
067
-
2,478,902,857
-
2,523,570,519
Total equity and liabilities (54 + 67) 068 25,462,886,508 26,534,210,002

STATEMENT OF PROFIT AND LOSS

for the period January 01, 2021 to March 31, 2021

Submitter: Hrvatska poštanska banka p.l.c. in HRK

Item Same period of the previous year Current period
Cumulative Quarter Cumulative Quarter
1 2 3 4 5 6
Interest income 001 150,216,013 150,216,013 143,774,898 143,774,898
(Interest expenses) 002 13,918,245 13,918,245 9,993,797 9,993,797
(Expenses on share capital repayable on demand) 003 - - - -
Dividend received 004 200,613 200,613 - -
Fees and commissions income 005 112,416,823 112,416,823 106,111,901 106,111,901
(Fees and commissions expenses) 006 67,582,504 67,582,504 62,157,773 62,157,773
Gains or (-) losses on derecognition of financial assets and liabilities not measured at fair value
through profit or loss, net
007 23,870,392 23,870,392 93,829 93,829
Gains or (-) losses on financial assets and liabilities held for trading, net 008 (5,416,693) (5,416,693) 14,760,520 14,760,520
Gains or losses on non-trading financial assets mandatorily at fair value through profit or loss, net 009 102,393 102,393 1,360,042 1,360,042
Gains or (-) losses on financial assets and liabilities at fair value through profit or loss, net 010 - - - -
Gains or (-) losses from hedge accounting, net
011 - - - -
Exchange rate differences [gain or (-) loss], net 012 (4,831,938) (4,831,938) (3,295,984) (3,295,984)
Gains or (-) losses on derecognition of non-financial assets, net 013 - - - -
Other operating income 014 2,187,791 2,187,791 2,715,605 2,715,605
(Other operating expenses) 015 10,270,728 10,270,728 2,349,243 2,349,243
Total operating income, net (1 – 2 – 3 + 4 + 5 – 6 + from 7 to 14 – 15) 016 186,973,917 186,973,917 191,019,998 191,019,998
(Administrative expenses) 017 94,512,689 94,512,689 94,937,843 94,937,843
(Contributions in cash rehabilitation committees and Deposit Insurance Schemes) 018 2,250,000 2,250,000 2,741,250 2,741,250
(Depreciation) 019 20,765,646 20,765,646 17,178,795 17,178,795
Modification gains or (-) losses, net 020 (29,391) (29,391) (3,309,564) (3,309,564)
(Provisions or (-) reversal of provisions) 021 884,318 884,318 3,212,236 3,212,236
(Impairment or (-) reversal of impairment on financial assets not measured at fair value through profit or
loss) 022 28,708,700 28,708,700 20,271,678 20,271,678
(Impairment or (-) reversal of impairment of investments in subsidiaries, joint ventures and associates) 023 - - - -
(Impairment or (-) reversal of impairment on non-financial assets) 024 - - - -
Negative goodwill recognised in profit or loss 025 - - - -
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 39,823,173 39,823,173 49,368,632 49,368,632
(Tax expense or (-) income related to profit or loss from continuing operations) 029 3,902,891 3,902,891 8,725,315 8,725,315
Profit or (-) loss after tax from continuing operations (27 – 28) 030 35,920,282 35,920,282 40,643,317 40,643,317
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) 033 - - - -
Profit or ( – ) loss for the year (29 + 30; 34 + 35) 034 35,920,282 35,920,282 40,643,317 40,643,317
Attributable to minority interest [non-controlling interests] 035 - - - -

Attributable to owners of the parent 036 35,920,282 35,920,282 40,643,317 40,643,317

STATEMENT OF OTHER COMPREHENSIVE INCOME

Income or (-) loss for the current year 037 35,920,282 35,920,282 40,643,317 40,643,317
Other comprehensive income (38 + 50)
Items that will not be reclassified to profit or loss (from 39 to 45) + 48 + 49)
038 (103,225,082) (103,225,082) 4,024,343 4,024,343
Tangible assets 039 - - (457,723) (457,723)
Intangible assets 040
041
-
-
-
-
-
-
-
-
Actuarial gains or (-) losses on defined benefit pension plans 042 - - - -
Fixed assets and disposal groups classified as held for sale 043 - - - -
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 045 - - - -
Gains or (-) losses from hedge accounting of equity instruments at fair value through other
comprehensive income, net 046 - - - -
Fair value changes of equity instruments measured at fair value through other comprehensive income
[hedged item]
047 - - - -
Fair value changes of equity instruments measured at fair value through other comprehensive income
[hedging instrument]
048 - - - -
Fair value changes of financial liabilities at fair value through profit or loss attributable to changes in
their credit risk
049 - - - -
Income tax relating to items that will not be reclassified 050 - - (457,723) (457,723)
Items that may be reclassified to profit or loss (from 51 to 58) 051 (103,225,082) (103,225,082) 4,482,066 4,482,066
Hedge of net investments in foreign operations [effective portion] 052 - - - -
Foreign currency translation 053 - - - -
Cash flow hedges [effective portion] 054 - - - -
Hedging instruments [not designated elements] 055 - - - -
Debt instruments at fair value through other comprehensive income 056 (125,884,247) (125,884,247) 5,465,934 5,465,934
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 058
associates - - - -
Income tax relating to items that may be reclassified to profit or (-) loss 059 22,659,165 22,659,165 (983,868) (983,868)
Total comprehensive income for the current year (36 + 37; 60 + 61) 060 (67,304,800) (67,304,800) 44,667,660 44,667,660
Attributable to minority interest [non-controlling interest] 061 - - - -
Attributable to owners of the parent 062 (67,304,800) (67,304,800) 44,667,660 44,667,660

STATEMENT OF CASH FLOW for the period January 01, 2021 to March 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) 003 - -
(Fees and commissions paid) 004 - -
(Operating expenses paid) 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
-
49,368,632
-
Impairment and provisions 010 174,933,719 26,793,478
Depreciation 011 76,278,177 17,178,795
012 (73,479,009) (12,918,407)
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) (133,781,101)
Promjene u imovini i obvezama iz poslovnih aktivnosti - -
Deposits with the Croatian National Bank 015 (280,916,192) (739,596,308)
Deposits with financial institutions and loans to financial institutions 016 258,280,921 (11,134,766)
Loans and advances to other clients 017 (1,316,595,951) (134,134,255)
Securities and other financial instruments at fair value through other comprehensive income 018 468,611,329 (45,780,726)
Securities and other financial instruments held for trading 019 (65,609,242) 12,080,083
Securities and other financial instruments at fair value through statement of profit or loss, not traded 020 - -
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 (1,184,307)
Other assets from operating activities
Deposits from financial institutions
023 3,106,512 9,772,043
Transaction accounts of other clients 024 105,943,541 (45,589,059)
Savings deposits of other clients 025
026
1,255,559,114
720,175,408
1,480,641,804
349,512,555
Time deposits of other clients 027 (928,046,118) (209,650,769)
Derivative financial liabilities and other liabilities held for trading 028 5,952,655 3,555,420
Other liabilities from operating activities 029 (2,589,926) 79,572,309
Interest received from operating activities [indirect method] 030 588,918,099 143,774,898
Dividends received from operating activities [indirect method] 031 3,280,842 -
Interest paid from operating activities [indirect method] 032 (51,583,346) (9,993,797)
(Income tax paid) 033 - -
Net cash flow from operating activities (from 1 to 33) 034 635,825,049 828,486,522
Investing activities - -
Cash receipts from the sale / payments for the purchase of tangible and intangible assets 035 (60,106,596) (28,766,621)
Cash receipts from the sale / payments for the purchase of investments in branches, associates and joint
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 (1,184,307)
Other receipts/payments from investing activities
Net cash flow from investing activities (from 35 to 39)
039 - -
Financing activities 040 (57,779,685)
-
(29,950,928)
-
Net increase/(decrease) in loans received from financing activities 041 475,822,595 1,862,296
Net increase/(decrease) in debt securities issued 042 - -
Net increase/(decrease) in Tier 2 capital instruments 043 - -
Increase in share capital 044 - -
(Dividends paid) 045 - -
Other receipts/(payments) from financing activities 046 - -
Net cash flow from financing activities (from 41 to 46) 047 475,822,595 1,862,296
Net increase/(decrease) of cash and cash equivalents (34 + 40 + 47) 048 1,053,867,959 800,397,890
Cash and cash equivalents at the beginning of period 049 3,046,578,558 4,084,192,801
Effect of exchange rate fluctuations on cash and cash equivalents 050 (8,624,819) (3,295,984)
Cash and cash equivalents at the end of period (48 + 49 + 50) 051 4,091,821,698 4,881,294,707

STATEMENT OF CHANGES IN EQUITY for the period January 01, 2021 to March 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
sive
income
Other
items
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 - - - - - 183,384,195 - - - (183,384,195) - - - -
Share based payments 017 - - - - - - - - - - - - - -
Other increase or ( - ) decrease of equity instruments 018 - - - - - - - - - - - - - -
Total comprehensive income for the current year 019 - - - - 4,024,343 - - - - 40,643,319 - - - 44,667,662
Equity instruments increase or (-) decrease resulting from business combinations 020 - - - - - - - - - - - - - -
Closing balance [current period] (from 4 to 20) 021 1,214,775,000 - - - 268,998,898 388,182,234 - 611,448,069 (477,000) 40,643,318 - - - 2,523,570,519

Note: Decision of the General Assembly on net profit distribution in 2020 has not been made yet. Net profit will be distributed by capital positions (retained earnings and other reserves) after making above decision.

Notes to financial statements

1) INTEREST INCOME in HRK
AOP 001 Same period of the previous year 01.01.- Current period 01.01. – 31.03.2021.
31.03.2020.
Cumulative
Quarter Cumulative Quarter
Debt securities
Loans and advances
22,027,279
127,938,311
22,027,279
127,938,311
19,496,752
124,277,820
19,496,752
124,277,820
Other assets
Deposits
249,014
1,409
249,014
1,409
-
326
-
326
Other liabilities
Total
-
150,216,013
-
150,216,013
-
143,774,898
-
143,774,898
2) INTEREST EXPENSE in HRK
AOP 002 Same period of the previous year 01.01.-
31.03.2020.
Current period 01.01. – 31.03.2021.
Debt securities Cumulative
-
Quarter
-
Cumulative
-
Quarter
-
Loans and advances
Other assets
531,838
-
531,838
-
605,058
-
605,058
-
Deposits
Other liabilities
12,933,460
452,947
12,933,460
452,947
9,387,175
1,564
9,387,175
1,564
Total 13,918,245 13,918,245 9,993,797 9,993,797
3) FEE AND COMMISSION INCOME in HRK
AOP 005 Same period of the previous year 01.01.-
31.03.2020.
Current period 01.01. – 31.03.2021.
Securities Cumulative
-
Quarter
-
Cumulative
712,761
Quarter
712,761
Asset management
Custody [according to the type of client]
73,995
1,121,542
73,995
1,121,542
11,505
1,229,951
11,505
1,229,951
Loan commitments
Other
1,269,446
109,951,840
1,269,446
109,951,840
11,393
104,146,292
11,393
104,146,292
Total 112,416,823 112,416,823 106,111,901 106,111,901
4) FEE AND COMMISSION EXPENSE Same period of the previous year 01.01.- in HRK
Current period 01.01. – 31.03.2021.
AOP 006 31.03.2020.
Cumulative
Quarter Cumulative Quarter
Bank clearing and settlement
Other
368,965
67,213,539
368,965
67,213,539
446,254
61,711,519
446,254
61,711,519
Total 67,582,504 67,582,504 62,157,773 62,157,773
5) GAIN/LOSSES ON TERMINATION OF FINANCIAL ASSETS AND FINANCIAL LIABILITIES Same period of the previous year 01.01.- in HRK
AOP 007 31.03.2020.
Cumulative
Quarter Cumulative Current period 01.01. – 31.03.2021.
Quarter
Debt securities 23,870,392 23,870,392 - -
Loans and advances
Deposits
-
-
-
-
-
-
-
-
Debt Securities issued
Other financial liabilities
-
-
-
-
-
93,829
-
93,829
Total 23,870,392 23,870,392 93,829 93,829
6) GAINS OR (-) LOSSES ON FINANCIAL ASSETS AND LIABILITIES HELD FOR TRADING
AOP 008
Same period of the previous year 01.01.- in HRK
Current period 01.01. – 31.03.2021.
31.03.2020.
Cumulative
Quarter Cumulative Quarter
Equity instruments
Debt securities
(11,294,858)
(7,587,117)
(11,294,858)
(7,587,117)
4,329,892
(1,324,176)
4,329,892
(1,324,176)
FX transactions and derivatives
Total
13,465,282
(5,416,693)
13,465,282
(5,416,693)
11,754,803
14,760,520
11,754,803
14,760,520
7) GAINS OR LOSSES ON NON-TRADING FINANCIAL ASSETS MANDATORILY AT FAIR VALUE THROUGH PROFIT OR LOSS
AOP 009 Same period of the previous year 01.01.-
31.03.2020.
Current period 01.01. – 31.03.2021.
Equity instruments Cumulative
-
Quarter
-
Cumulative
-
Quarter
-
Debt securities
Loans and advances
-
102,393
-
102,393
-
1,360,042
-
1,360,042
Total 102,393 102,393 1,360,042 1,360,042
8) OPERATING EXPENSES Same period of the previous year 01.01.- in HRK
AOP 015 & AOP 017 & AOP 018 31.03.2020.
Cumulative
Quarter Cumulative Current period 01.01. – 31.03.2021.
Quarter
Other operating expenses
Administrative expenses
10,270,728 10,270,728 2,349,243
94,937,843
2,349,243
94,937,843
Employee expenses 94,512,689
56,090,953
94,512,689
56,090,953
58,692,177 58,692,177
Other administrative expenses
(Contributions in cash rehabilitation committees and Deposit Insurance Schemes) 2,250,000
38,421,736 38,421,736
2,250,000
36,245,665
2,741,250
36,245,665
2,741,250
Amortization
Property, plant and equipment
20,765,646
11,299,203
20,765,646
11,299,203
17,178,795
10,991,911
17,178,795
10,991,911
Investment property
Other intangible assets
-
9,466,444
-
9,466,444
-
6,186,885
-
6,186,885
Total 127,799,063 127,799,063 117,207,131 117,207,131
9) IMPAIRMENT LOSSES AND PROVISION EXPENSES
AOP 019 & AOP 020 & AOP 021 & AOP 023
Same period of the previous year 01.01.- in HRK
Current period 01.01. – 31.03.2021.
31.03.2020.
Cumulative
Quarter Cumulative Quarter
Modification gains or (-) losses, net
Financial assets at fair value through other comprehensive income
(29,391)
-
(29,391)
-
(3,309,564)
-
(3,309,564)
-
Financial assets at amortized cost
(Provisions or (-) reversal of provisions)
(29,391)
884,318
(29,391)
884,318
(3,309,564)
3,212,236
(3,309,564)
3,212,236
(Liabilities and Guarantees)
(Other Provisions)
339,153
545,166
339,153
545,166
2,914,535
297,701
2,914,535
297,701
(Impairment or (-) reversal of impairment on financial assets that are
not measured at fair value through profit or loss)
28,708,699 28,708,699 20,271,678 20,271,678
(Financial assets at fair value through other comprehensive income)
(Financial assets at amortized cost)
(1,127,923)
29,836,623
(1,127,923)
29,836,623
331,751
19,939,926
331,751
19,939,926
(Impairment or (-) reversal of impairment off of investments in subsidiaries,
joint ventures, and associates)
- - - -
(Impairment or (-) reversal of impairment off non-financial assets)
(Property, plant and equipment)
-
-
-
-
-
-
-
-
(Investment property)
(Goodwill)
-
-
-
-
-
-
-
-
(Other intangible assets)
(Other)
-
-
-
-
-
-
-
-
Total 29,622,409 29,622,409 26,793,478 26,793,478
10) LOANS AND ADVANCES
AOP 023
31.12.2020. 31.03.2021. in HRK
Central banks Stage 1
1,219,156,918
Stage 2
-
Stage 3
-
Stage 1
1,252,705,881
Stage 2
-
Stage 3
-
Gross loans
Allowance
1,219,156,918
-
-
-
-
-
1,252,705,881
-
-
-
-
-
Government
Gross loans
2,513,669,837
2,520,514,249
10,294,601
10,456,303
-
-
2,488,559,337
2,497,840,637
4,899
5,308
-
-
Allowance
Credit institutuions
(6,844,412)
368,510,087
(161,702)
-
-
-
(9,281,301)
318,147,009
(409)
-
-
-
Gross loans
Allowance
57,300
27
-
-
-
-
62,424
-
-
-
-
-
Deposits
Allowance
368,996,913
(544,154)
-
-
-
-
319,566,863
(1,482,278)
-
-
-
-
Other financial institutions
Gross loans
178,937,655
168,353,095
3,893
3,983
-
-
160,914,640
150,329,215
1,307
1,377
-
-
Allowance
Deposits
(584,453)
11,262,954
(90)
-
-
-
(535,431)
11,831,110
(70)
-
-
-
Allowance
Non - financial institutions
(93,941)
3,626,597,766
-
422,197,574
-
636,986,564
(710,255)
3,498,367,129
-
560,502,924
-
642,806,763
Gross loans
Allowance
3,753,026,824
(126,429,057)
480,885,197
(58,687,623)
1,456,527,825
(819,541,261)
3,614,155,845
(115,788,716)
633,893,816
(73,390,892)
1,462,015,554
(819,208,791)
Retail
Gross loans
7,022,395,635
7,060,888,859
251,126,985
272,846,699
162,079,076
688,049,269
7,131,589,899
7,169,840,316
291,742,342
313,449,244
177,167,474
721,567,183
Allowance
Total
(38,493,224)
14,929,267,898
(21,719,714)
683,623,053
(525,970,193)
799,065,640
(38,250,416)
14,850,283,894
(21,706,902)
852,251,472
(544,399,709)
819,974,238
11) NON-TRADING FINANCIAL ASSETS MEASURED AT FAIR VALUE THROUGH PROFIT OR LOSS
AOP 013
31.12.2020. 31.03.2021. in HRK

12) DEPOSITS in HRK AOP 044 31.12.2020. 31.03.2021. Government 400,000,000 401,036,192 Local state 5,325,746,428 5,814,181,681 Credit institutions 209,013,088 390,151,159 Other financial institutions 1,391,175,468 1,353,463,695 Non - financial institutions 3,161,262,055 3,389,664,533 Retail 12,074,349,419 12,137,491,963 Total 22,561,546,458 23,485,989,223

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