Regulatory Capital
Consolidated Capital Adequacy Ratio
The consolidated total capital ratio as of Mar 31, 2014 was 21.8%.
Mar 31, 2014 | ||
---|---|---|
Total Qualifying Capital | (D)=(A)+(B)+(C) | 10,804 |
Common Equity Tier 1 | (A) | 10,218 |
Additional Tier 1 | (B) | 157 |
Tier 2 Capital | (C) | 429 |
Total Risk-Weighted Assets | (E) | 49,515 |
Credit Risk | 29,205 | |
Market Risk *1 | 11,557 | |
Operational Risk *1 | 8,753 | |
Consolidated Common Equity Tier 1 Capital Ratio | (A)/(E) | 20.6% |
Consolidated Tier 1 Capital Ratio | ((A)+(B))/(E) | 20.9% |
Consolidated Total Capital Ratio *2 | (D)/(E) | 21.8% |
- *1Market and Operational Risk hereunder is computed by multiplying each risk amount by 12.5 (the Reciprocal of 8%).
- *2Consolidated Capital Adequacy Ratio hereunder is calculated under the principal of Financial Service Agency Public Notice 130 of the Financial Instruments and the Exchange Act (Article 57-17-1).