June, 2015

Leverage Ratio as of June 2015 Position
Summary Comparison Table (in Million IDR)
No.

Item

1 Total Consolidated assets as per published financial statements
Adjustment for investment in banking, financial, insurance or
2 commercial entities that are consolidated for accounting purposes but
outside the scope of regulatory consolidation
Adjustment for fiduciary assets recognised on the balance sheet
3 pursuant to the operative accounting framework but excluded from the
leverage ratio exposure measure
4 Adjustment for derivative financial instruments
5 Adjustment for securities financing transactions
6 Adjustment for off-balance sheet items
7 other adjustments
8 Leverage Ratio Exposure

Table 1
Amount in IDR

Mar-15
Jun-15
23,542,209

24,798,090

-

-

-

-

6,080,297
-

5,984,094
-


29,622,506

30,782,184

Leverage Ratio as of June 2015 Position
Common Disclosure Template (in Million IDR)
No.

1

Table 2

Item

March-15

On-Balance Sheet Exposures
On-balance sheet items (excluding derivatives and SFTs, but including
collateral)


2

(Asset amounts deducted in determining Basel III Tier 1 Capital)

3

Total on-Balance sheet exposures

June-15

23,510,952

24,770,133

-

-

23,510,952


24,770,133

31,257

27,957

Derivatives exposures
4

Replacement cost associated with all derivatives transactions

5

Add-on amounts for PFE associated with all derivatives transactions

-

-

6


Gross-up for derivatives collateral provided where deducted form the
balance sheet assets pursuant to the operative accounting framework

-

-

7

(deducting of receivables assets for cash variation margin provided in
derivatives transactions)

-

-

8

(Exempted CCP leg of client-cleared trade exposures)


-

-

9

Adjusted effective notional amount of written credit derivatives

-

-

10

(Adjusted effective notional offsets and add-on deductions for written
credit derivatives)

-


-

31,257

11 Total Derivative exposures

27,957

Securities financing transaction exposures
12 Gross SFT assets after adjusting for sales accounting transactions

-

-

-

-

14 CCR exposure for SFT assets


-

-

15 Agent transaction exposures

-

-

16 Total securities financing transaction exposures

-

-

13

(netted amounts of cash payables and cash receivables of gross SFT

assets)

Other off-balance sheet exposures
17 Off-balance sheet exposure at gross notional amount

8,860,264

8,920,295

18 (Adjustments for conversion to credit equivalent amounts)

(2,779,967)

(2,936,202)

19 Off-balance sheet items

6,080,297

5,984,094


1,022,940

1,022,940

29,622,506

30,782,184

Capital and Total Exposures
20 Tier 1 Capital (CEMA)
21 Total Exposures

LEVERAGE RATIO
22 Basel III Leverage Ratio

3.45%

3.32%