BPCE - 2018 Risk report / Pillar III
5 CREDIT RISK
Quantitative disclosures
Quantitative disclosures 5.4
Exposure to creditand counterparty risks
PORTFOLIO BREAKDOWN BY EXPOSURE CLASS (EXCLUDING OTHER ASSETS) 12/31/2018 ➡ 12/31/2017 ➡
Securitization 1%
Securitization 1%
Central banks and other sovereign exposures 13% Central government 5% Public sector and similar entities 8%
Central banks and other sovereign exposures 14%
Equities 1%
Equities 1%
Central government 5% Public sector and similar entities 8%
Retail 39%
Retail 38%
€1,151bn 12/31/2018
€1,136bn 12/31/2017
Institutions 5% Corporates 28%
Institutions 5% Corporates 28%
Groupe BPCE’stotal gross exposures amounted to more than € 1,151
billion at 12/31/2018, up € 15 billion.
BREAKDOWN OF GROSS EXPOSURES TO CORPORATE CUSTOMERS BY ECONOMIC SECTOR 12/31/2018 ➡
16%
Real estate
15%
Energy Finance/Insurance
10%
7%
Distribution-Trade
6%
Real estate leasing International commodities trade Other Holding companies and diversified Food & Beverage Construction
4% 4% 4% 4% 4%
3% 3% 3% 3% 3% 3% 3%
Transportation
Electrical and mechanical construction
Basic industry
Pharma - Healthcare Services
Communication Technology Consumer goods Tourism - Hotels Catering Utilities Administration
2% 2% 2%
1%
The top threesectorsare real estate,finance/Insuranceand energy.Concentration of exposures in the threetop sectors remains moderate.
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Risk Report Pillar III 2018
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