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Промежуточная консолидированная финансовая отчетность по МСФО или иным международно признанным стандартам

Опубликован: 2016-05-16 (2016 q1)
-in billions of russian roubles for the three-month period
----
0
0

ended 31 march
24BX
2 016
2 015

net profit/-loss
24AX
0.6
-18.3
FinIncomeNet

other comprehensive income/-loss other comprehensive income/-loss to be reclassified to profit or loss in subsequent periods
----
0
0

net result on financial assets available-for-sale net of tax
2400
4.1
5.7
F: 2400 = 24BX

cash flow hedges net of tax
----
-0.3

share of other comprehensive income of associates and joint ventures
----
-1.1
0.4

effect of translation net of tax
----
-12.4
-9

total other comprehensive loss to be reclassified to profit or loss in subsequent periods
----
-9.4
-3.2

other comprehensive income/-loss not to be reclassified to profit or loss in subsequent periods
----
0
0

land and premises revaluation net of tax
----
0.1

total other comprehensive income not to be reclassified to profit or loss in subsequent
----
0
0

periods
----
0.1

other comprehensive loss net of tax
----
-9.4
-3.1

total comprehensive loss
----
-8.8
-21.4

total comprehensive loss attributable to
----
0
0

shareholders of the parent
----
-7.2
-17.3

non-controlling interests
----
-1.6
-4.1

Валюта: RUB
Размерность: млрд
Длина периода: 3m
QL ( quarter, period length )
code
31 марта
31 марта

Y ( year )
 
2016 г
2016 г

активы

денежные средства и краткосрочные активы
16AX
909.9
570.7
cash_equivalents

обязательные резервы на счетах в центральных банках
16BX
77.9
70.8
shorttermReserves

непроизводные финансовые активы переоцениваемые по справедливой стоимости через прибыль или убыток
16CX
222
237.1
FinPortfolioBonds

производные финансовые активы
16DX
268.3
304.8
cash_equivalents

финансовые активы кроме кредитов и авансов клиентам и средств в банках заложенные по договорам «репо»
16EX
72.2
165
cash_equivalents | shorttermPrepayment

средства в банках; включая заложенные по договорам крепох
16FX
1090.6
1358.2

средства в банках
16GX
1064.5
1353.2

средства в банках; заложенные по договорам крепо>
16HX
26.1
5

кредиты и авансы клиентам включая заложенные по договорам крепох
16IX
8579.8
9437.5
FinPortfolioCredit | longtermPrepaymentMade

кредиты и авансы клиентам
16JX
8349.6
8827.7

кредиты и авансы клиентам заложенные по договорам «репо»
16KX
230.2
609.8

инвестиционные финансовые активы
16LX
343.6
259.3
cash_equivalents | longtermOtherInvestments

инвестиции в ассоциированные компании и совместные
16MX
8
45
investments

предприятия
16NX
97.4
104.3

активы групп выбытия; предназначенных для продажи
16OX
9.4
15.8
longtermAssetsForSale

земля и основные средства
1150
344
310.3
PropertyPlantEquipment

инвестиционная недвижимость
16PX
244.5
245
investments

гудвил и прочие нэмэтэриэльныэ активы
16QX
159.8
162
goodwill

отложенный актив по налогу на прибыль
1180
74.2
76.6

прочие активы
16RX
307.6
324.5

итого активы
1600
12801.2
13641.9
F: 1600 = 16AX + 16BX + 16CX + 16DX + 16EX + 16FX + 16IX + 16LX + 16NX + 16OX + 1150 + 16PX + 16QX + 1180 + 16RX
total_assets

обязательства

средства банков
19AX
965.8
1 224

средства клиентов
19BX
7431.7
7 267
FinDeposits

производные финансовые обязательства
19CX
227.2
284.1
credit | shorttermLiabilitiesCredit

прочие заемные средства
19DX
1568.4
2121.5
credit | longtermLiabilitiesCredit

выпущенные долговые ценные бумаги
19EX
514
623.5
bonds

обязательства групп выбытия предназначенных для продажи
19FX
11.7
13

отложенное обязательство по налогу на прибыль
1420
30.8
30.2

прочие обязательства
19GX
359.1
361.7
longtermLiabilitiesOther

итого обязательства до субординированной задолженности
19HX
11108.7
11 925

субординированная задолженность
19IX
243.7
262.8
bonds_subordinated

итого обязательства
1900
11352.4
12187.8
F: 1900 = 19HX + 19IX

собственные средства

уставный капитал
1310
659.5
659.5
capitalAuthorized

эмиссионный доход
13AX
433.8
433.8
capitalAdditional

бессрочные ноты участия в кредите
13BX
152.1
164
credit

собственные акции выкупленные у акционеров и бессрочные ноты участия в кредите выкупленные у держателей
1320
-2.4
-2.9
credit | capitalTreasuryShares

прочие фонды
13CX
62.6
72.2

нераспределенная прибыль
1370
138.6
127.6
capitalRetainedProfit

собственные средства; принадлежащие акционерам материнского банка
130S
1444.2
1454.2
F: 130S = 1310 + 13AX + 13BX + 1320 + 13CX + 1370

неконтрольные доли участия
130X
4.6
-0.1
minority_interest

итого собственные средства
1300
1448.8
1454.1
F: 1300 = 130S + 130X
total_equity

итого обязательства и собственные средства
1700
12801.2
13641.9
F: 1700 = 1900 + 1300

Валюта: RUB
Размерность: млрд
-in billions of russian roubles for the three-month period

ended 31 march

note
2016
2 015

cash flows from operating activities

interest received
278.7
276.2

interest paid
-182.2
-198.6

payments to deposit insurance system
-2.7
-2

losses on operations with financial assets at fair value through profit or loss
-24.5

-losses/gains on dealing in foreign currency
-97.7
20.4

fees and commissions received
26.0
21.1

fees and commissions paid
-5.8
-5

other operating income received
4.3
4.2

other operating expenses paid
-3.3
-1.5

staff costs administrative expenses paid
-68.5
-68.8

income received from non-banking activities
10.8
9.5

expenses paid in non-banking activities
-9.7
-8.6

net insurance premiums received
27.4
16.4

net insurance claims paid
-15.4
-10.2

income tax paid
-8.4
-9.4

cash flows -used in / from operating activities before changes in operating

assets and liabilities
-71.0
43.7

net decrease/-increase in operating assets

net increase in mandatory cash balances with central banks
-7.4
-3.6

net decrease/-increase in restricted cash
0.9
-0.1

net -increase/decrease in correspondent accounts in precious metals
-0.5
2

net decrease in financial assets at fair value through profit or loss
31.5
86.2

net decrease/-increase in due from other banks
255.3
-631.2

net decrease in loans and advances to customers
537.5
287.3

net decrease in other assets
18.7
15.7

net -decrease/increase in operating liabilities

net decrease in due to other banks
-6.4
-1.8

net increase in customer deposits
252.1
757.6

net -decrease/increase in debt securities issued other than bonds issued
-34.9
3.9

net decrease in other liabilities
-2.1
-44

net cash from operating activities
973.7
515.7

cash flows used in investing activities

dividends and other distributions received
0.1
0.1

proceeds from sales or maturities of investment financial assets available-for-sale
43.6
66.3

purchase of investment financial assets available-for-sale
-52.0
-59.6

proceeds from sale of share in associates
0.7

purchase of investment financial assets held-to-maturity
-13.0
-15

proceeds from redemption of investment financial assets held-to-maturity
0.2
0.2

purchase of land premises and equipment
-15.4
-15.3

proceeds from sale of land premises and equipment
0.8
0.3

purchase or construction of investment property
-2.3
-2.6

proceeds from sale of investment property
0.9
0.9

purchase of intangible assets
-1.2
-2.4

proceeds from sale of intangible assets
0.6

net cash used in investing activities
-37.0
-27.1

the notes № 1-35 form an integral part of these interim condensed consolidated financial statements

vtb bank interim consolidated statement of cash flows -continued

for the three months ended 31 march -unaudited

-in billions of russian roubles for the three-month period

ended 31 march

note
2016
2 015

cash flows used in financing activities

proceeds from issuance of local bonds
0.1

repayment of local bonds
-42.3
-22.8

buy-back of local bonds
-16.1
-1.7

proceeds from sale of previously bought-back local bonds
26.4
1

repayment of eurobonds
-15.4
-134

buy-back of eurobonds
-4.7
-14.5

proceeds from sale of previously bought-back eurobonds
3.2
8.4

proceeds from syndicated loans
0.5

repayment of syndicated loans
-0.4
-1.3

proceeds from other borrowings and funds from local central banks
1001.1
3215.2

repayment of other borrowings and funds from local central banks
-1532.5
-3554.8

buy-back of subordinated debt
-8.4
-2.3

proceeds from sale of previously bought-back subordinated debt
1.2

cash received from sale of treasury shares
7.9
2.4

cash paid for treasury shares
-7.9
-2.2

cash received from sale of non-controlling interests in subsidiaries and non-parent

interests in consolidated funds
5.5

buy-back of perpetual loan participation notes
-0.8
-0.4

proceeds from sale of previously bought-back perpetual loan participation notes
1.3

net cash used in financing activities
-582.6
-505.7

effect of exchange rate changes on cash and cash equivalents
-14.5
-1.4

net increase /-decrease in cash and cash equivalents
339.6
-18.5

at the beginning of period
561.6
687.7

at the end of period
901.2
669.2

Валюта: RUB
Размерность: млрд
Длина периода: 3m
тысячи рублей
2016 q1
2015 q1
изменение
 
FinIncomeNet
600 000
-18 300 000
 
Dividend
-2 700 000
-2 000 000
Buyback
-16 100 000
-1 700 000
Investing net cashflow
-37 000 000
-27 100 000
Financial cashflow
-582 600 000
-505 700 000
тысячи рублей
2016 q1
 
изменение
Total equity
1 205 100 000
1 191 300 000
+1.2%
Total assets
12 801 200 000
13 641 900 000
-6.2%
FinPortfolioCredit
8 579 800 000
9 437 500 000
-9.1%
FinPortfolioBonds
222 000 000
237 100 000
-6.4%
FinDeposits
7 431 700 000
7 267 000 000
+2.3%
cash_equivalents
1 594 000 000
1 299 800 000
+22.6%
investments
252 500 000
290 000 000
-12.9%
credit
1 945 300 000
2 566 700 000
-24.2%
minority_interest
4 600 000
-100 000
bonds
514 000 000
623 500 000
-17.6%
Прочие параметры (до вычета)
2016 q1
balance
shorttermReserves
77 900 000
70 800 000
+10.0%
shorttermPrepayment
72 200 000
165 000 000
-56.2%
PropertyPlantEquipment
344 000 000
310 300 000
+10.9%
goodwill
159 800 000
162 000 000
-1.4%
longtermOtherInvestments
343 600 000
259 300 000
+32.5%
longtermPrepaymentMade
8 579 800 000
9 437 500 000
-9.1%
longtermAssetsForSale
9 400 000
15 800 000
-40.5%
shorttermLiabilitiesCredit
227 200 000
284 100 000
-20.0%
longtermLiabilitiesCredit
1 568 400 000
2 121 500 000
-26.1%
longtermLiabilitiesOther
359 100 000
361 700 000
-0.7%
capitalAuthorized
659 500 000
659 500 000
0.0%
capitalAdditional
433 800 000
433 800 000
0.0%
capitalRetainedProfit
138 600 000
127 600 000
+8.6%
capitalTreasuryShares
-2 400 000
-2 900 000
cashflow
cashflowPurchaseOfOtherFinancial
-52 000 000
-59 600 000
cashflowPurchaseOfIntangibleAssets
-1 200 000
-2 400 000
cashflowEffectOfExchangeRate
-14 500 000
-1 400 000
cashflowObligationsIssued
-34 900 000
3 900 000
-994.9%
netChangeCash
294 200 000
netChangeReserves
7 100 000