NOK 1 000 | Note | 2. quarter 2016 | 2. quarter 2015 | 01.01.2016 - 30.06.2016 | 01.01.2015 - 30.06.2015 | 2015 |
---|---|---|---|---|---|---|
Total interest income | 2 | 924,572 | 985,788 | 1,883,373 | 1,992,704 | 3,879,909 |
Total interest expenses | 2 | -817,253 | -889,343 | -1,663,595 | -1,793,717 | -3,473,052 |
Net interest income | 107,319 | 96,446 | 219,778 | 198,987 | 406,857 | |
Net gains/losses from financial instruments | 3 | -112,625 | -18,586 | -77,698 | 207,339 | 233,848 |
Net other operating income | -112,625 | -18,586 | -77,698 | 207,339 | 233,848 | |
Total operating income | -5,306 | 77,860 | 142,080 | 406,326 | 640,704 | |
Salaries and other ordinary personnel expenses | 4 | -2,043 | -2,075 | -5,143 | -4,669 | -10,700 |
Administration expenses | 5 | -2,299 | -2,578 | -5,021 | -5,245 | -10,625 |
Other operating expenses | 6 | -3,076 | -1,904 | -4,711 | -4,327 | -9,760 |
Depreciation/Amortization | -320 | -547 | -720 | -1,059 | -1,985 | |
Total operating expenses | -7,738 | -7,104 | -15,595 | -15,300 | -33,070 | |
Net profit before impairment losses | -13,044 | 70,756 | 126,485 | 391,026 | 607,635 | |
Write-downs on loans and guarantees | 8 | 0 | 0 | 0 | 0 | |
Pre-tax operating result | -13,044 | 70,756 | 126,485 | 391,026 | 607,635 | |
Tax expense | 3,261 | -19,104 | -31,621 | -105,577 | -134,535 | |
Net profit for the period | -9,783 | 51,652 | 94,864 | 285,449 | 473,100 |
NOK 1 000 | 2. quarter 2016 | 2. quarter 2015 | 01.01.2016 - 30.06.2016 | 01.01.2015 - 30.06.2015 | 2015 | |
---|---|---|---|---|---|---|
Profit/loss for the year | -9,783 | 51,652 | 94,864 | 285,449 | 473,100 | |
Items which will not impact the income statement in future periods: | - | |||||
Change in pension expense for an earlier period | - | - | - | |||
Estimate change for pension expense | - | - | - | 5,685 | ||
Tax effect of the estimate change | - | - | - | -1,421 | ||
Total profit/loss accounted for in equity | - | - | - | 4,264 | ||
Total profit/loss | -9,783 | 51,652 | 94,864 | 285,449 | 477,363 |
NOK 1 000 | Note | 30.06.2016 | 30.06.2015 | 2015 | ||
---|---|---|---|---|---|---|
Assets | ||||||
Lending to and deposits with credit institutions | 13 | 11,257,916 | 13,049,194 | 8,083,543 | ||
Norwegian Government Treasury Bills | 13 | 1,656,360 | 19,926 | 8,705,692 | ||
Bonds | 13 | 44,733,335 | 16,361,109 | 42,113,662 | ||
Lending to customers | 8 | 172,616,073 | 161,072,171 | 169,338,988 | ||
Financial derivatives | 12 | 32,728,300 | 27,178,048 | 40,947,743 | ||
Other assets | 7 | 1,833 | 3,696 | 3,671 | ||
Total assets | 262,993,817 | 217,684,144 | 269,193,299 | |||
Liabilities and equity | ||||||
Liabilities | ||||||
Debt incurred by issuing securities | 10 | 217,597,621 | 181,577,042 | 218,853,602 | ||
Collateral received under derivatives contracts | 21 | 31,632,419 | 24,404,974 | 36,950,453 | ||
Financial derivatives | 12 | 575,679 | 682,483 | 690,315 | ||
Deferred tax | 370,561 | 234,604 | 370,561 | |||
Tax payable | 31,621 | 105,577 | - | |||
Subordinated debt | 11 | 2,684,337 | 1,953,999 | 2,434,380 | ||
Other Liabilities | 16 | 133,917 | 169,507 | 156,116 | ||
Total liabilities | 253,026,155 | 209,128,186 | 259,455,427 | |||
Equity | ||||||
Paid in equity capital | 9,258,470 | 8,268,470 | 8,568,470 | |||
Other paid in equity (not yet registered) | 240,000 | - | 690,000 | |||
Accrued equity | 374,328 | 2,039 | 374,328 | |||
Net profit | 94,864 | 285,449 | ||||
Declared dividend | - | - | 105,074 | |||
Total equity | 9,967,662 | 8,555,958 | 9,737,872 | |||
Total liabilites and equity | 262,993,816 | 217,684,144 | 269,193,299 |
NOK 1 000 | Share capital | Premium | Dividend | Fund for unrealized profits | Other equity | Total equity |
---|---|---|---|---|---|---|
Balance as of December 31. 2013 | 5,310,548 | 2,657,922 | 319,630 | - | 925 | 8,289,025 |
Share increase February 26 | 200,000 | 100,000 | - | - | - | 300,000 |
Dividend 2013 | - | - | -319,630 | - | - | -319,630 |
Result for the period | - | - | 203,890 | - | 1,149 | 205,039 |
Change in pension expense for an earlier period | - | - | - | - | 4,700 | 4,700 |
OCI - pension - estimate change | - | - | - | - | -4,736 | -4,736 |
Balance as of December 31. 2014 | 5,510,548 | 2,757,922 | 203,890 | - | 2,038 | 8,474,399 |
Dividend 2014 | - | - | -203,890 | - | - | -203,890 |
Share increase September 29 | 200,000 | 100,000 | - | - | - | 300,000 |
Share increase December 22 (not yet registered) | - | - | - | 690,000 | 690,000 | |
Result for the period | - | - | 105,074 | 368,026 | 473,100 | |
OCI - pension - estimate change | - | - | - | - | 4,263 | 4,263 |
Balance as of December 31. 2015 | 5,710,548 | 2,857,922 | 105,074 | 368,026 | 696,302 | 9,737,872 |
Regsitration of share increase (from Dec. 22. 2015) | 460,000 | 230,000 | - | -690,000 | - | |
Dividend 2015 | -105,074 | -105,074 | ||||
Share increase June 29 (not yet registered) | 240,000 | 240,000 | ||||
Result for the period | - | - | - | - | 94,864 | 94,864 |
Balance as of June 30. 2016 | 6,170,548 | 3,087,922 | - | 368,026 | 341,166 | 9,967,662 |
NOK 1 000 | 30.06.2016 | 42185 | 2015 |
---|---|---|---|
Cash flows from operations | |||
Interest received | 2,127,599 | 2,377,951 | 3,784,335 |
Paid expences. operations | -16,764 | -14,137 | -27,767 |
Paid tax | - | - | - |
Net cash flow relating to operations | 2,110,835 | 2,363,814 | 3,756,568 |
Cash flows from investments | |||
Net purchase of loan portfolio | -3,292,443 | 105,223 | -8,168,134 |
Net payments on the acquisition of government bills | 7,023,992 | 466,678 | -8,214,730 |
Net payments on the acquisition of bonds | -4,110,811 | 3,190,289 | -21,073,393 |
Net investments in intangible assets | -563 | -1,029 | -1,054 |
Net cash flows relating to investments | -379,825 | 3,761,161 | -37,457,311 |
Cash flows from funding activities | |||
Net receipt/payment from the issuance of certificates | 949,966 | -749,970 | -749,970 |
Net receipt/payment from the issuance of bonds | 5,987,836 | -3,614,914 | 19,811,929 |
Net receipt/payment from the issuance subordinated debt | 250,000 | - | 480,000 |
Net receipt/payment from the issuance of loans to credit institutions | -3,840,767 | -2,833,128 | 8,412,189 |
Equity capital subscription | 240,000 | - | 990,000 |
Paid dividend | -105,074 | -203,890 | -203,890 |
Net interest payments on funding activity | -1,915,219 | -2,168,336 | -3,433,837 |
Net cash flow relating to funding activities | 1,566,743 | -9,570,238 | 25,306,422 |
Net cash flow in the period | 3,297,753 | -3,445,263 | -8,394,321 |
Balance of cash and cash equivalents beginning of period | 8,083,543 | 16,268,940 | 16,268,940 |
Net receipt/payments on cash | 3,297,753 | -3,445,263 | -8,394,321 |
Exchange rate difference | -123,380 | 225,516 | 208,925 |
Balance of cash and cash equivalents end of period | 11,257,916 | 13,049,194 | 8,083,543 |