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pdfTable 1A: Foreign Exchange and Gold Contracts (Notional Amounts Outstanding)
(A)
(D)
of which, contracts involving the following currencies (report both sides):
Total FX
contracts
(B)
(C)
Additional currencies in which the reporter has a material
amount of contracts outstanding
USD EUR JPY GBP CHF CAD SEK DKK AUD HKD IDR MXP NZD SGD THB
OTC Contracts
1. Forwards and FX Swaps
with reporting dealers
with other financial institutions
with non-financial customers
2. Currency Swaps
with reporting dealers
with other financial institutions
with non-financial customers
3. Bought Options
with reporting dealers
with other financial institutions
with non-financial customers
4. Sold Options
with reporting dealers
with other financial institutions
with non-financial customers
Total FX
contracts
including
gold
Table 1B: Foreign Exchange and Gold Contracts (Gross Positive Market Values)
(A)
(D)
of which, contracts involving the following currencies (report both sides):
Total FX
contracts
(B)
(C)
Additional currencies in which the reporter has a material
amount of contracts outstanding
USD
OTC Contracts
1. Forwards and FX Swaps
with reporting dealers
with other financial institutions
with non-financial customers
2. Currency Swaps
with reporting dealers
with other financial institutions
with non-financial customers
3. Bought Options
with reporting dealers
with other financial institutions
with non-financial customers
4. Sold Options
with reporting dealers
with other financial institutions
with non-financial customers
EUR
JPY
GBP
CHF
CAD
SEK
DKK
AUD
HKD
IDR
MXP
NZD
SGD
THB
Total FX
contracts
including
gold
Table 1C: Foreign Exchange and Gold Contracts (Gross Negative Market Values)
(A)
(D)
of which, contracts involving the following currencies (report both sides):
Total FX
contracts
(B)
(C)
Additional currencies in which the reporter has a material
amount of contracts outstanding
USD
OTC Contracts
1. Forwards and FX Swaps
with reporting dealers
with other finnancial institutions
with non-financial customers
2. Currency Swaps
with reporting dealers
with other finnancial institutions
with non-financial customers
3. Bought Options
with reporting dealers
with other finnancial institutions
with non-financial customers
4. Sold Options
with reporting dealers
with other finnancial institutions
with non-financial customers
EUR
JPY
GBP
CHF
CAD
SEK
DKK
AUD
HKD
IDR
MXP
NZD
SGD
THB
Total FX
contracts
including
gold
Table 2A: Single-Currency Interest Rate Contracts (Notional Amounts Outstanding)
(A)
of which, contracts involving interest rates of the following currencies:
Total
interest
rate
contracts
OTC Contracts
1. Forwards and FX Swaps
with reporting dealers
with other financial institutions
with non-financial customers
2. Single-Currency Interest Rate Swaps
with reporting dealers
with other financial institutions
with non-financial customers
3. Bought Options
with reporting dealers
with other financial institutions
with non-financial customers
4. Sold Options
with reporting dealers
with other financial institutions
with non-financial customers
(B)
(C)
Additional currencies in which the reporter has a material
amount of contracts outstanding
USD EUR JPY GBP CHF CAD SEK DKK AUD HKD IDR MXP NZD SGD THB
Table 2B: Single-Currency Interest Rate Contracts (Gross positive market values)
(A)
of which, contracts involving interest rates of the following currencies:
Total
interest
rate
contracts
OTC Contracts
1. Forwards and FX Swaps
with reporting dealers
with other financial institutions
with non-financial customers
2. Single-Currency Interest Rate Swaps
with reporting dealers
with other financial institutions
with non-financial customers
3. Bought Options
with reporting dealers
with other financial institutions
with non-financial customers
4. Sold Options
with reporting dealers
with other financial institutions
with non-financial customers
(B)
(C)
Additional currencies in which the reporter has a material
amount of contracts outstanding
USD EUR JPY GBP CHF CAD SEK DKK AUD HKD IDR MXP NZD SGD THB
Table 2C: Single-Currency Interest Rate Contracts (Gross negative market value)
(A)
of which, contracts involving interest rates of the following currencies:
Total
interest
rate
contracts
OTC Contracts
1. Forwards and FX Swaps
with reporting dealers
with other financial institutions
with non-financial customers
2. Single-Currency Interest Rate Swaps
with reporting dealers
with other financial institutions
with non-financial customers
3. Bought Options
with reporting dealers
with other financial institutions
with non-financial customers
4. Sold Options
with reporting dealers
with other financial institutions
with non-financial customers
(B)
(C)
Additional currencies in which the reporter has a material
amount of contracts outstanding
USD EUR JPY GBP CHF CAD SEK DKK AUD HKD IDR MXP NZD SGD THB
Phase 2, effective as of end-December 2005
Table 4A: Credit Default Swaps by Remaining Maturity (Notional Amounts Outstanding)
(B)
(A)
Instruments
All Contracts
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Single-name instruments
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Multi-name instruments
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Total
Bought
Sold
of which, contracts with remaining maturity of:
One year or less
Bought
Sold
Over one year
through five years
Bought
Sold
Over five years
Bought
Sold
Phase 2, effective as of end-December 2005
Table 4B: Single-Name Credit Default Swaps by Rating Category (Notional Amounts Outstanding)
(B)
(A)
Instruments
Single-name instruments
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Total
Bought
Sold
of which, contracts involving
reference entities with the following ratings:
Investment grade
Bought
Sold
Below
investment grade
Bought
Sold
Not rated
Bought
Sold
Phase 2, effective as of end-December 2005
Table 4C: Single-Name Credit Default Swaps by Sector of Reference Entity (Notional Amounts Outstanding)
(B)
(A)
Instruments
Single-name instruments
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Total
Bought
Sold
of which, contracts involving
reference entities that are:
Sovereigns
Bought
Sold
Non-sovereigns
Bought
Sold
Phase 2, effective as of end-December 2005
Table 4D: Credit Default Swaps (Gross Positive and Gross Negative Market Values)
Instruments
All Contracts
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Single-name instruments
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Multi-name instruments
with reporting dealers
with other financial institutions, of which:
banks and securities firms
insurance firms
other
with non-financial
Gross
Positive
Market
Values
Gross
Negative
Market
Values
Table 5: Notional Amounts of OTC Derivatives Contracts by Remaining Maturity
Forwards and swaps
Bought Options
Sold Options
Total
Over one
One year Over one year Over five One year Over one year Over five One year Over one year Over five One year
years
or less
year through
years
or less
through five
years
or less
through five
or less
through five
years
years
five years
years
1. Foreign Exchange Contracts
with reporting dealers
with other financial institutions
with non-financial customers
2. Interest Rate Contracts
with reporting dealers
with other financial institutions
with non-financial customers
3. Equity Contracts
with reporting dealers
with other financial institutions
with non-financial customers
Over five
years
Table 6: Credit Exposures and Liabilities Arising From OTC Derivatives Contracts
Credit Exposures
Gross positive/negative market value
of which with reporting dealers
Market value after netting agreements
of which with reporting dealers
Liabilities
File Type | application/pdf |
File Modified | 2006-12-13 |
File Created | 2004-11-23 |