BDO Unibank: H1 Statement of Condition
BDO Unibank: H1 Statement of Condition
BDO Unibank: H1 Statement of Condition
BALANCE SHEET
ASSETS
TOTAL LIABILITIES
Capital Stock
Other Capital Accounts
Retained Earnings
Assigned Capital
24,521,649,053.46 P
322,813,842,402.82
29,854,922,365.24
4,895,298,818.18
167,267,946,338.51
0.00
5,832,921,753.88
302,035,092.87
988,388,100,915.25
0.00
35,365,996,602.04
935,015,227,548.43
30,462,000,000.00
12,455,123,235.22
8,061,894,132.58
23,130,294,537.05
18,698,060,625.90
6,094,248,935.83
1,228,559,407.96
39,743,823,314.35
0.00
22,881,676,161.54
364,612,778,791.65
23,554,642,970.64
3,434,788,381.48
161,277,888,629.57
0.00
0.00
302,193,003.58
932,982,548,630.84
0.00
26,459,622,290.73
918,428,406,001.95
0.00
11,905,479,661.84
7,929,244,938.78
22,498,861,152.88
18,106,191,667.01
6,129,086,327.52
1,278,269,976.26
36,934,255,279.64
0.00
P 1,640,833,597,693.88 P 1,601,922,425,911.39
LIABILITIES
Financial Liabilities at Fair Value through Profit or Loss
Deposit Liabilities
Due to Other Banks
Bills Payable
a) BSP (Rediscounting and Other Advances)
b) Interbank Loans Payable
c) Other Deposit Substitutes
d) Others
Bonds Payable-Net
Unsecured Subordinated Debt-Net
Redeemable Preferred Shares
Special Time Deposit
Due to Bangko Sentral ng Pilipinas
Other Financial Liabilities
Other Liabilities
Net Due to Head Office/Branches/Agencies (Philippine branch of a foreign bank)
STOCKHOLDERS' EQUITY
1,711,756,091.75 P
1,146,958,368.21
1,331,112,424,382.66
1,301,732,218,620.65
619,615.83
635,635.41
44,480,694,650.06
40,043,088,484.59
67,081,320.00
61,211,390.01
20,685,735,000.00
16,424,205,000.00
11,957,669,319.20
13,101,597,405.47
11,770,209,010.86
10,456,074,689.11
26,131,776,456.64
26,823,585,500.67
0.00
0.00
0.00
0.00
0.00
0.00
0.00
156,613,324.66
13,383,782,704.83
16,089,972,970.94
55,914,760,789.91
50,463,295,872.17
0.00
0.00
P 1,472,735,814,691.68 P 1,436,456,368,777.30
P
104,846,759,334.26 P
12,089,337,603.36
51,161,686,064.58
0.00
104,846,759,334.26
6,330,288,135.90
54,289,009,663.93
0.00
168,097,783,002.20 P
165,466,057,134.09
P 1,640,833,597,693.88 P 1,601,922,425,911.39
CONTINGENT ACCOUNTS
Guarantees Issued
Financial Standby Letters of Credit
Performance Standby Letters of Credit
Commercial Letters of Credit
Trade Related Guarantees
Commitments
Spot Foreign Exchange Contracts
Securities Held Under Custodianship by Bank Proper
Trust Department Accounts
a) Trust and Other Fiduciary Accounts
b) Agency Accounts
c) Advisory/Consultancy
Derivatives
Others
TOTAL CONTINGENT ACCOUNTS
AMOUNT
Current Quarter
Previous Quarter
19,149,194.40 P
0.00
21,031,281,345.94
26,657,982,863.67
1,530,554,048.21
122,815,643,196.58
11,534,895,450.02
0.00
570,611,784,129.35
424,196,394,768.14
146,415,389,361.21
0.00
338,839,541,258.32
13,047,713,775.47
19,644,278.60
0.00
18,719,381,378.06
23,354,431,062.85
1,882,651,715.75
126,683,351,623.81
15,388,516,510.88
0.00
536,564,209,401.39
399,163,716,644.30
137,400,492,757.09
0.00
391,765,841,924.29
11,976,761,875.28
P 1,106,088,545,261.96 P 1,126,354,789,770.91
ADDITIONAL INFORMATION
Gross total loan portfolio (TLP)
1,017,493,392,373.70
Specific allowance for credit losses on the TLP
16,650,168,223.23
Non-Performing Loans (NPLs)
a. Gross NPLs
17,868,067,253.39
b. Ratio of gross NPLs to gross TLP (%)
1.76%
c. Net NPLs
1,217,899,030.16
d. Ratio of Net NPLs to gross TLP (%)
0.12%
Classified Loans and Other Risk Assets, gross of allowance for credit losses
64,407,959,095.04
DOSRI loans and receivables, gross of allowance for credit losses
66,692,396,795.00
Ratio of DOSRI loans and receivables, gross of allowance for credit losses, to gross TLP (%)
6.55%
Gross non-performing DOSRI loans and receivables
771,886.68
Ratio of gross non-performing DOSRI loans and receivables to gross TLP (%)
0.00%
Percent Compliance with Magna Carta (%)
a. 8% for Micro and Small Enterprises
2.24%
b. 2% for Medium Enterprises
3.14%
Return on Equity (ROE) (%)
13.30%
Capital Adequacy Ratio (CAR) on Solo Basis, as prescribed under existing regulations
a. Total CAR (%)
13.08%
b. Tier 1 Ratio (%)
12.10%
c. Common Equity Tier 1 Ratio (%)
11.62%
Deferred Charges not yet Written Down
104,738,110.99
Unbooked Allowance for Credit Losses on Financial Instruments Received
0.00
960,941,277,879.78
16,053,249,587.10
17,110,528,484.20
1.78%
1,057,278,897.10
0.11%
62,494,987,014.07
62,065,298,306.83
6.46%
1,686,547.48
0.00%
2.10%
2.96%
14.17%
13.33%
12.34%
11.84%
123,221,307.01
0.00
AMOUNT
Current Quarter
Previous Quarter
ASSETS
P 1,699,871,712,747.44 P 1,658,311,283,075.71
LIABILITIES
Financial Liabilities at Fair Value through Profit or Loss
Deposit Liabilities
Due to Other Banks
Bills Payable
a) BSP (Rediscounting and Other Advances)
b) Interbank Loans Payable
c) Other Deposit Substitutes
d) Others
Bonds Payable-Net
Unsecured Subordinated Debt-Net
Redeemable Preferred Shares
Special Time Deposit
Due to Bangko Sentral ng Pilipinas
Other Financial Liabilities
Other Liabilities
Net Due to Head Office/Branches/Agencies (Philippine branch of a foreign bank)
TOTAL LIABILITIES
Capital Stock
Other Capital Accounts
Retained Earnings
Assigned Capital
Minority Interest In Subsidiaries
23,064,150,286.91
377,347,688,088.55
26,179,310,687.37
7,334,299,422.04
176,069,431,869.58
0.00
0.00
314,859,698.58
962,350,027,909.72
0.00
26,459,622,290.73
939,072,763,894.36
9,000,000,000.00
12,182,358,275.37
9,029,016,966.90
5,208,267,210.78
19,798,139,197.69
6,253,190,583.09
1,520,380,275.29
43,842,520,879.21
0.00
STOCKHOLDERS' EQUITY
2,471,623,970.12
2,446,253,623.96 P
1,333,947,831,994.95
1,365,441,972,123.03
635,635.41
619,615.83
54,654,396,818.12
59,746,394,650.06
61,211,390.01
67,081,320.00
16,424,205,000.00
20,685,735,000.00
13,101,597,405.47
11,957,669,319.20
25,067,383,022.64
27,035,909,010.86
26,823,585,500.67
26,131,776,456.64
0.00
0.00
0.00
0.00
0.00
0.00
173,258,954.81
0.00
17,107,124,184.95
14,498,392,296.77
57,013,469,661.03
63,004,716,769.97
0.00
0.00
P 1,531,270,125,536.26 P 1,492,191,926,720.06
P
104,846,759,334.26 P
12,089,510,554.51
51,097,836,573.79
0.00
567,480,748.62
104,846,759,334.26
6,356,449,923.61
54,344,749,119.20
0.00
571,397,978.58
168,601,587,211.18 P
166,119,356,355.65
1,699,871,712,747.44 P 1,658,311,283,075.71
P
19,149,194.40 P
0.00
21,031,281,345.94
26,657,982,863.67
1,530,554,048.21
123,434,377,193.07
13,780,786,714.67
0.00
774,827,776,428.87
608,623,914,493.76
166,203,861,935.11
0.00
389,885,415,071.57
13,047,776,990.47
19,644,278.60
0.00
18,719,381,378.06
23,354,431,062.85
1,882,651,715.75
126,902,624,985.61
16,958,375,247.33
0.00
734,675,466,319.47
577,539,453,910.93
157,136,012,408.54
0.00
440,641,311,322.59
11,976,821,688.28
P 1,364,215,099,850.87 P 1,375,130,707,998.54
ADDITIONAL INFORMATION
1. List of Bank's Financial Allied Subsidiaries (Excluding Subsidiary Insurance Companies)
a. BDO Capital & Investment Corporation
b. BDO Elite Savings Bank, Inc.
c. BDO Leasing and Finance, Inc.
d. BDO Private Bank, Inc.
e. BDO Remit (USA), Inc.
f. BDO Strategic Holdings, Inc.
g. BDORO Europe Ltd.
h. Citibank Savings, Inc.
I. Express Padala Frankfurt GmbH
j. Express Padala (Hongkong) Limited
k. PCIB Europe SPA
l. PCIB Securities, Inc.
2. List of Subsidiary Insurance Companies
a. BDO Insurance Brokers, Inc.
3. Capital Adequacy Ratio (CAR) on Consolidated Basis, as prescribed under existing regulations
a. Total CAR (%)
b. Tier 1 Ratio (%)
c. Common Equity Tier 1 Ratio (%)
14.51%
13.54%
13.08%
14.83%
13.86%
13.38%
We, LUCY CO DY and NESTOR V. TAN of the above-mentioned bank do solemnly swear that all matters set forth in the above balance
sheet are true and correct to the best of my/our knowledge and belief.
We, LUCY CO DY and NESTOR V. TAN of the above-mentioned bank do solemnly swear that all matters set forth in the above balance
sheet are true and correct to the best of my/our knowledge and belief.
LUCY CO DY
Executive Vice President & Comptroller
(Signature Over Printed Name)
NESTOR V. TAN
President
(Signature Over Printed Name)
SUBSCRIBED AND SWORN to before me this Aug. 1, 2014 at Makati City, affiant exhibiting his/her/their Community Tax Certificate No.
2254646, issued at Makati City on February 10, 2014 and Community Tax Certificate No. 2254577, issued at Makati City on February 10, 2014
LUCY CO DY
Executive Vice President & Comptroller
(Signature Over Printed Name)
NESTOR V. TAN
President
(Signature Over Printed Name)
SUBSCRIBED AND SWORN to before me this Aug. 1, 2014 at Makati City, affiant exhibiting his/her/their Community Tax Certificate No.
2254646, issued at Makati City on February 10, 2014 and Community Tax Certificate No. 2254577, issued at Makati City on February 10, 2014