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Information related to Risk Management (Second Quarter of FY2015)

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We classify our risk exposures according to the various kinds of risk, including credit risk, market risk, liquidity risk and operational risk, and manage each type of risk according to its characteristics.

Index of Information related to Risk Management (Second Quarter of FY2015)

Credit Risk

Credit Risk Management Structure 2015 Integrated Report: P.97 (PDF/10,276KB)
Status of Credit Risk Exposure Form 6–K (Jan 2016): P.16 (PDF/531KB)
Credit Risk–weighted Assets by Asset Class and Ratings Segment Information Material (Sep 2015): P.6 (PDF/278KB)
Methods for Credit Risk Mitigation Form 6–K (Jan 2016): P.31 (PDF/531KB)
Counterparty Risk in Derivatives Transactions and Long–settlement Transactions Form 6–K (Jan 2016): P.32 (PDF/531KB)
Outstanding Loan Balances and Non–Accrual, Past Due & Restructured Loans Information Material (Sep 2015): P.5 (PDF/278KB)
Relationship between Obligor Ratings, Definition of Obligor Classifications of Self–Assessments and Claims Disclosed under the Financial Reconstruction Law Information Material (Sep 2015): P.7 (PDF/278KB)
Securitization Exposure Form 6–K (Jan 2016): P.34 (PDF/531KB)
Equity Exposure in Banking Book Form 6–K (Jan 2016): P.54 (PDF/531KB)

Market Risk

Liquidity Risk

Liquidity Risk Management Structure 2015 Integrated Report: P.104 (PDF/10,276KB)
Status of Liquid Assets Information Material (Sep 2015): P.8 (PDF/278KB)
Projected Repayment Amounts for Bonds and Notes, Borrowed Money, and Other Interest–bearing Liabilities 2015 Integrated Report: P.192 (PDF/10,276KB)

Operational Risk

Operational Risk Management Structure 2015 Integrated Report: P.105 (PDF/10,276KB)

BIS Capital

Composition of Capital Form 6–K (Jan 2016): P.4 (PDF/531KB)
Required Capital by Portfolio Classification Form 6–K (Jan 2016): P.14 (PDF/531KB)
Risk–weighted Assets by Risk Type and Operating Entity Information Material (Sep 2015): P.4 (PDF/278KB)
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