Geschäftsbericht 2008 - NordFinanz Bank AG

Geschäftsbericht 2008 - NordFinanz Bank AG Geschäftsbericht 2008 - NordFinanz Bank AG

04.05.2013 Aufrufe

ASSETS NordFinanz Bank Aktiengesellschaft, Bremen Consolidated balance sheet per December 31, 2008 1. Cash assets reserve a) Cash assets b) Credit at central banks thereunder: with Deutsche Bundesbank € 1.931.556,25 (previous year: K€ 1.692) 2. Receivables from credit institutes a) with daily notice b) other receivables 3. Receivables from customers thereunder: secured by mortgages € 6.610.639,58 (previous year: K€ 7.598) Municipal loans € 0,00 (previous year K€ 0) 4. Leasing objects 5. Obligations and other fixed-interest securities b) Loans and obligations ba) from public issuers bb) from other issuers thereunder: acceptable at the Deutsche Bundesbank € 4.163.907,53 (previous year: K€ 3.134) 6. Stocks and other non-fixed-interest securities 7. Participations thereunder: in credit institutes € 12.782,30 (previous year K€ 13) 8. Immaterial assets 9. Material assets 10. Other assests 11. Accruals and deferrals 44 | 45 € 948.895,27 2.178.429,73 6.119.109,91 0,00 3.160.724,32 1.003.156,56 31.12.2008 € 3.127.325,00 6.119.109,91 157.293.930,35 34.492.432,71 4.163.880,88 0,00 148.598,75 178.204,00 17.114.505,96 10.132.510,92 1.567.144,70 234.337.643,18 Vorjahr K€ 1.096 1.932 3.028 3.027 0 3.027 160.451 33.139 3.161 1.003 4.164 0 149 210 11.185 6.743 3.453 225.549

1. Bank debts a) with daily notice b) with fixed term or fixed notice 2. Amounts owed to depositors a) Savings aa) with three months notice ab) with more than three months notice b) other liabilities ba) with daily notice bb) with fixed term or fixed notice 3. Other liabilities 4. Accruals and deferrals 5. Provisions a) Provisions for pensions and similar commitments b) Provisions for tax c) other provisions 6. Subordinated liabilities 7. Equity a) Stock capital b) Capital reserves c) Retained earnings ca) legal reserve cb) Reserve for own shares cc) statutory reserves cd) other reserves d) Group loss Contingent liabilities a) Liabilities from guarantees and guarantee contracts Other liabilities a) Irrevocable credit commitments € 10.908.600,53 707.717,97 5.444.355,16 165.119.877,26 33.489,62 0,00 0,00 0,00 € 88.555,44 10.175.428,08 11.616.318,50 170.564.232,42 3.294.770,00 0,00 234.739,95 17.425.000,00 100.000,00 33.489,62 -3.817.903,41 31.12.2008 € 10.263.983,52 182.180.550,92 1.733.353,12 17.763.177,20 3.529.509,95 5.126.482,26 13.740.586,21 234.337.643,18 1.723.406,83 9.142.056,05 LIABILITIES Vorjahr K€ 82 6.406 6.488 13.771 168.057 181.828 1.551 16.525 3.149 0 217 3.366 5.126 14.350 100 33 0 0 0 -3.818 10.665 225.549 1.782 14.448 NF-Bank

ASSETS<br />

<strong>NordFinanz</strong> <strong>Bank</strong> Aktiengesellschaft, Bremen<br />

Consolidated balance sheet per December 31, <strong>2008</strong><br />

1. Cash assets reserve<br />

a) Cash assets<br />

b) Credit at central banks<br />

thereunder: with Deutsche Bundesbank € 1.931.556,25<br />

(previous year: K€ 1.692)<br />

2. Receivables from credit institutes<br />

a) with daily notice<br />

b) other receivables<br />

3. Receivables from customers<br />

thereunder: secured by mortgages € 6.610.639,58<br />

(previous year: K€ 7.598)<br />

Municipal loans € 0,00 (previous year K€ 0)<br />

4. Leasing objects<br />

5. Obligations and other fixed-interest securities<br />

b) Loans and obligations<br />

ba) from public issuers<br />

bb) from other issuers<br />

thereunder: acceptable at the Deutsche Bundesbank<br />

€ 4.163.907,53 (previous year: K€ 3.134)<br />

6. Stocks and other non-fixed-interest securities<br />

7. Participations<br />

thereunder: in credit institutes € 12.782,30 (previous year K€ 13)<br />

8. Immaterial assets<br />

9. Material assets<br />

10. Other assests<br />

11. Accruals and deferrals<br />

44 | 45<br />

€<br />

948.895,27<br />

2.178.429,73<br />

6.119.109,91<br />

0,00<br />

3.160.724,32<br />

1.003.156,56<br />

31.12.<strong>2008</strong><br />

€<br />

3.127.325,00<br />

6.119.109,91<br />

157.293.930,35<br />

34.492.432,71<br />

4.163.880,88<br />

0,00<br />

148.598,75<br />

178.204,00<br />

17.114.505,96<br />

10.132.510,92<br />

1.567.144,70<br />

234.337.643,18<br />

Vorjahr<br />

K€<br />

1.096<br />

1.932<br />

3.028<br />

3.027<br />

0<br />

3.027<br />

160.451<br />

33.139<br />

3.161<br />

1.003<br />

4.164<br />

0<br />

149<br />

210<br />

11.185<br />

6.743<br />

3.453<br />

225.549

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