Financial Information

Information on the liquidity coverage ratio (LCR)

Drucken

The Raiffeisen Group is required for the first time as of 30 June 2015 to disclose information on the liquidity coverage ratio (LCR). Disclosures are made in line with FINMA Circular 2008/22 (disclosure requirements relating to capital adequacy and liquidity). The calculations are based on the specifications of FINMA Circular 2015/2 (liquidity – banks).

Liquidity reporting is updated twice a year and is also included in the annual report of the Raiffeisen Group at year-end.

 

31.12.2017

Liquidity coverage ratio (LCR) (PDF, 66.9KB)

30.06.2017

Liquidity coverage ratio (LCR) (PDF, 69.6KB)

31.12.2016

Liquidity coverage ratio (LCR) (PDF, 195.1KB)

30.06.2016

Liquidity coverage ratio (LCR) (PDF, 35.4KB)

31.12.2015

Liquidity coverage ratio (LCR) (PDF, 39.7KB)

30.06.2015

Liquidity coverage ratio (LCR) (PDF, 32.2KB)