37.1. Securities covered with underwriting agreements (maximum liability of the Group to acquire securities):
Issuer of securities underwritten | Type of underwritten securities | Off-balance sheet liabilities resulting from underwriting agreement | Contract period | Sub-issue type |
---|---|---|---|---|
As at 31 December 2013 | ||||
Company A | corporate bonds | 1,633,000 | 15.06.2022 | Bonds Issue Agreement* |
Company B | corporate bonds | 800,000 | 31.07.2015 | Bonds Issue Agreement* |
Company C | corporate bonds | 50,000 | 19.12.2022 | Bonds Issue Agreement* |
Company D | corporate bonds | 34,000 | 31.12.2022 | Bonds Issue Agreement* |
Company E | corporate bonds | 24,238 | 29.06.2018 | Bonds Issue Agreement* |
Company F | corporate bonds | 13,410 | 31.10.2017 | Bonds Issue Agreement* |
Total | 2,554,648 | |||
As at 31 December 2012 | ||||
Company A | corporate bonds | 1,633,000 | 15.06.2017 | Bonds Issue Agreement* |
Company B | corporate bonds | 537,000 | 31.07.2013 | Bonds Issue Agreement* |
Company C | corporate bonds | 102,700 | 31.10.2013 | Bonds Issue Agreement* |
Company D | corporate bonds | 89,749 | 31.12.2024 | Bonds Issue Agreement* |
Company E | corporate bonds | 67,070 | 31.10.2017 | Bonds Issue Agreement* |
Company F | corporate bonds | 50,000 | 19.12.2022 | Bonds Issue Agreement* |
Company G | corporate bonds | 34,000 | 31.12.2022 | Bonds Issue Agreement* |
Total | 2,513,519 |
* Relates to the Agreement for Organisation, Conducting and Servicing of the Bond Issuance Programme.
All securities of the Group under the sub-issue (underwriting) programme have an unlimited transferability, are not listed on the stock exchange and are not traded on a regulated OTC market.
37.2. Contractual commitments
As at 31 December 2013 the value of contractual commitments concerning intangible assets amounted to PLN 347 636 thousand (as at 31 December 2012 amounted to PLN 157 320 thousand).
As at 31 December 2013 the value of contractual commitments concerning tangible fixed assets amounted to PLN 48 629 thousand (as at 31 December 2012 amounted to PLN 71 513 thousand).
37.3. Loan commitments granted
by nominal value | 31.12.2013 | 31.12.2012 |
---|---|---|
to financial entities | 737,531 | 913,713 |
to non-financial entities | 30,203,660 | 29,137,031 |
to State budged entities | 3,269,584 | 2,462,680 |
Total | 34,210,775 | 32,513,424 |
of which: irrevocable loan commitments | 7,708,424 | 7,871,614 |
37.4. Guarantee liabilities granted
31.12.2013 | 31.12.2012 | |
---|---|---|
Guarantees in domestic and foreign trading | 6,227,396 | 6,534,174 |
to financial entities | 64,444 | 49,575 |
to non-financial entities | 6,151,081 | 6,471,912 |
to State budged entities | 11,871 | 12,687 |
Guarantees and pledge granted – domestic corporate bonds | 3,466,648 | 3,346,209 |
to non-financial entities | 3,466,648 | 3,346,209 |
Letters of credit granted | 491,768 | 372,615 |
to financial entities | - | - |
to non-financial entities | 491,669 | 372,615 |
to State budged entities | 99 | - |
Guarantees and pledge granted – payment guarantee | 117,420 | 881 |
to financial entities | 117,420 | 881 |
Guarantees and pledge granted – domestic municipal bonds | 83,773 | 123,256 |
to State budged entities | 83,773 | 123,256 |
Total | 10,387,005 | 10,377,135 |
In the years ended 31 December 2013 and 31 December 2012 respectively, the Bank and its subsidiaries did not issue any guarantees in respect of loans or advances and did not issue any guarantees to a single entity or a subsidiary thereof with a total value accounting for 10% of the Group’s equity.
Information on provisions for off-balance sheet guarantees and financial liabilities is included in Note 36 ‘Provisions’.
Liabilities granted by maturity
31 December 2013
Up to 1 month | From 1 monthts to 3 months | From 3 months to 1 year | From 1 year to 5 years | Over 5 years | Total | |
---|---|---|---|---|---|---|
Loan commitments granted | 20,719,932 | 823,022 | 3,690,204 | 3,220,801 | 5,756,816 | 34,210,775 |
Guarantee liabilities granted | 194,722 | 348,890 | 2,354,950 | 6,450,394 | 1,038,049 | 10,387,005 |
Total | 20,914,654 | 1,171,912 | 6,045,154 | 9,671,195 | 6,794,865 | 44,597,780 |
31 December 2012
Up to 1 month | From 1 monthts to 3 months | From 3 months to 1 year | From 1 year to 5 years | Over 5 years | Total | |
---|---|---|---|---|---|---|
Loan commitments granted | 18,666,885 | 812,123 | 3,497,042 | 3,543,538 | 5,993,836 | 32,513,424 |
Guarantee liabilities granted | 140,931 | 539,641 | 2,926,372 | 6,219,014 | 551,177 | 10,377,135 |
Total | 18,807,816 | 1,351,764 | 6,423,414 | 9,762,552 | 6,545,013 | 42,890,559 |
37.5 Off-balance sheet liabilities received
31.12.2013 | 31.12.2012 | |
---|---|---|
Financial | 369,303 | 1,831,357 |
Guarantees | 2,570,701 | 1,780,305 |
Total | 2,940,004 | 3,611,662 |
Right to sell or pledge collateral established for the Group
As at 31 December 2013 and as at 31 December 2012, there was no collateral established for the Group, which the Group was entitled to sell or encumber with another pledge in the event of fulfilment of all obligations by the owner of the collateral.