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pdfFR Y-14Q Schedule C: Regulatory Capital Instruments Quarterly Schedule
Institution Name:
RSSD ID:
Date of Data Submission:
As of Date:
FR Y-14Q Schedule C.1—Regulatory Capital Instruments as of Quarter End
A
MDRMs
1
2
3
4
5
6
7
8
9
10
…
B
C
D
CUSIP or unique
Revised
identifier
regulatory
provided by
capital rule (July
BHC/IHC
Instrument type 2013) treatment
CQCNP083
CQCNQ744
CQCNQ746
E
F
Cumulative / Notional amount
($Millions)
noncumulative
CQCNQ747
CQCNQ748
G
Amount
recognized in
regulatory
capital
($Millions)
CQCNQ749
H
Comments
CQCNQ750
FR Y-14Q Schedule C.2—Regulatory Capital Instrument Repurchases/Redemptions During Quarter
A
MDRMs
1
2
3
4
5
6
7
8
9
10
…
B
CUSIP or unique
identifier
provided by
BHC/IHC
CQCRP083
C
Instrument type
CQCRQ744
D
Revised
regulatory capital
rule (July 2013)
treatment
CQCRQ746
E
Redemption
action
CQCRQ754
F
G
Date on which
Notional amount
action was executed
transacted
($Millions)
(mm/dd/yyyy)
CQCRQ755
CQCRQ756
H
Regulatory
capital amount
transacted
($Millions)
CQCRQ757
I
J
Amount
recognized in
Notional amount regulatory capital
remaining at
remaining at
quarter end
quarter end
($Millions)
($Millions)
CQCRQ758
CQCRQ759
K
Comments
CQCRQ750
FR Y-14Q Schedule C.3 – Regulatory Capital Instruments Issuances During Quarter
A
MDRMs
1
2
3
4
5
6
7
8
9
10
…
A
MDRMs
1
2
3
4
5
6
7
8
9
10
…
A
B
C
D
E
F
G
H
I
J
K
L
Date of issuance
(mm/dd/yyyy)*
CQCIN477
Revised regulatory
capital rule
treatment
CQCIQ746
Cumulative /
noncumulative
CQCIQ747
Notional amount
transacted
($Millions)
CQCIQ756
Regulatory capital
amount transacted
($Millions)
CQCIQ757
Perpetual / dated
CQCIQ769
If dated, date of
maturity
(mm/dd/yyyy)*
CQCI9914
CUSIP or unique
identifier
provided by
BHC/IHC
CQCIP083
Instrument type
CQCIQ744
O
P
Q
R
S
T
U
V
W
X
Fixed / floating
CQCIN189
Coupon / dividend
rate (bps) at
issuance
CQCIQ772
Index at Issuance
CQCIQ773
Spread over index
(bps) at issuance
CQCIQ774
Date at which
coupon terms
change
CQCIR625
Coupon/dividend
rate (bps) when
terms change
CQCIR626
Index when terms
change
CQCIR627
Spread over index
(bps) when terms
change
CQCIR628
Existence of step up
or other incentive to
redeem
CQCIQ775
II
JJ
BB
Carrying Value
($Millions), as-of
quarter end
MDRMs
CQCIR629
1
2
3
4
5
6
7
8
9
10
11
If conversion,
Is issuance result indicate CUSIP of
of conversion? original instrument
CQCIQ762
CQCIQ763
CC
DD
EE
FF
GG
HH
Unamortized
discounts,
Notional Amount of
premiums, and fees
Fair value of
Interest Rate Swap Interest Rate Swap Associated Interest Interest Rate Swap
as of quarter end associated swaps
Issue Date
Fixed Payment Rate
maturity date
Rate Swap
($Millions)
($Millions)
(mm/dd/yyyy)
(mm/dd/yyyy)
($Millions)
(bps)
CQCIR630
CQCIR631
CQCIR632
CQCIR633
CQCIR634
CQCIR635
M
N
Issuer call
CQCIQ770
If callable, optional
call date
(mm/dd/yyyy)*
CQCIQ771
Z
AA
Convertible / nonconvertible
CQCIQ776
Y
If convertible,
mandatory or
optional
conversion?
CQCIQ777
If convertible, specify
instrument type into
which it will convert
CQCIQ778
Comments
CQCIQ750
KK
LL
MM
NN
OO
Currency of Foreign
Exchange Swap
Payment
CQCIR639
Notional Amount of
Foreign Exchange
Swap ($Millions)
CQCIR640
Exchange Rate of
Foreign Exchange
Swap (II/HH)
CQCIR641
Y9C BHCK 4062
Reconciliation
CQCIR642
Interest Rate Swap Interest Rate Swap Currency denomination
Payment Index
of instrument
Payment Spread (bps)
CQCIR636
CQCIR637
CQCIR638
File Type | application/pdf |
File Modified | 0000-00-00 |
File Created | 0000-00-00 |