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Laporan Leverage Ratio Desember 2016

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PT Bank Tabungan Negara (Persero), Tbk.

Pengungkapan

Leverage Ratio

Posisi 31 Desember 2016

(Dasar : Surat OJK No. S-196/PB-11/2014)

I. Informasi Leverage Ratio Utama

a. Modal Inti

Modal Inti (Tier I) Bank posisi 31 Desember 2016 sebesar Rp 16,38 Triliun (atau 16,50% dari ATMR), telah sesuai dengan Peraturan Otoritas Jasa Keuangan yang tertuang dalam POJK No.11/POJK.03/2016 sebagaimana diubah dengan POJK No. 34/POJK.03/2016 tanggal 22 September 2016 tentang Kewajiban Penyediaan Modal Minimum Bank Umum, yang mensyaratkan modal inti paling rendah sebesar 6%.

b. Exposure Measure

Jumlah Exposure Measure Bank posisi 31 Desember 2016 sebesar Rp 215,94 Triliun yang terdiri dari eksposur aset di neraca, transaksi derivatif, SFT dan eksposur transaksi rekening administratif.

c. Leverage Ratio

Leverage Ratio posisi 31 Desember 2016 dibandingkan dengan angka 3 (tiga) triwulan terakhir, sebagaimana Tabel 1 berikut ini :

Tabel 1 Leverage Ratio

Keterangan 31 Desember 2016 30 September 2016 30 Juni 2016 31 Maret 2016 Leverage Ratio 7,59% 7,80% 8,05% 6,92%

II. Summary Information Table

Tabel Perbandingan antara total aset di neraca (accounting asset) dengan perhitungan eksposur Leverage Ratio (leverage ratio exposure measure) sebagaimanaTabel 2 berikut ini :

Tabel 2

Summary Comparison Of Accounting Assets Vs Leverage Ratio Exposure Measure

Posisi Desember 2016 (Rp Juta)

1 Total consolidated assets as per published financial statements 214,001,678

2 Adjustment for investments in banking, financial, insurance or commercial entities that are consolidated for accounting purposes but outside the scope of regulatory concolidation

3 Adjustment for fiduciary assets recognised on the balance sheet pursuant to the operative accounting framework but excluded from the leverage ratio exposure measure

4 Adjustment for derivative financial instruments

5 Adjustments for securities financing transactions (ie repos and similar secured lending) 1,662,489

6 Adjustments for off-balance sheet items (ie conversion to credit equivalent amounts of off balance sheet exposures)

3,419,798

7 Other adjustments (3,142,763)

8 Leverage Ratio Exposure 215,941,202

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III. Common Disclosure Template

Tabel 3 berikut ini adalah template Leverage Ratio Common Disclosure Bank posisi 31 Desember 2016.

Tabel 3

Leverage Ratio Common Disclosure

IV. Informasi Kualitatif Pendukung

Mengacu pada POJK No.11/POJK.03/2016 sebagaimana diubah dengan POJK No. 34/POJK.03/2016 tanggal 22 September 2016 tentang Kewajiban Penyediaan Modal Minimum Bank Umum, Bank telah melakukan penyesuaian terhadap perhitungan Modal Inti (Tier 1) yang digunakan dalam perhitungan Leverage Ratio posisi 31 Desember 2016.

Posisi Desember 2016

(Rp Juta)

1 On-balance sheet items (excluding derivatives and SFTs, but including collateral) 212,672,441

2 (Assets amounts deducted in determining Basel III Tier 1 capital) (1,813,526)

3 Total on-balance sheet exposures (excluding derivatives and SFTs) (sum of lines 1-2) 210,858,915

4 Replacement cost associated with all derivatives transactions (ie net of eligible cash variation margin)

5 Add-on amounts for PFE associated with all derivatives transactions

6 Gross-up for derivatives collateral provided where deducted from the balance sheets assets pursuant to the operative accounting framework

7 (Deductions of recievables 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)

11 Total derivatives exposures (sum of lines 4-10) -

12 Gross SFT assets (with no recognition of netting) after adjusting for sales accounting transactions 1,532,768

13 (Netted amounts of cash payables and cash recieveables of gross SFT assets)

14 CCR exposure for SFT assets 129,721

15 Agent transaction exposures

16 Total securities financing transaction exposures (sum of lines 12-15) 1,662,489

17 Off-balance sheet exposure at gross notional amount 18,922,738

18 (Adjustments for conversion to credit equivalent amount) (15,502,940)

19 Off-balance sheets item (sum 17-18) 3,419,798

20 Tier 1 capital 16,381,568

21 Total exposures (sum 3,11,16,19) 215,941,202

22 Basel III Leverage Ratio 7.59%

Capital and total exposures

Jenis Akun

On-balance sheet exposures

Derivatives Eksposures

Securities financing transaction exposures

Other off-balance sheet exposures

Gambar

Tabel 2 Summary Comparison Of Accounting Assets Vs Leverage Ratio Exposure Measure
Tabel 3 Leverage Ratio Common Disclosure

Referensi

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