Note 16 - Liquidity risk

Liquidity risk is the risk that the group will be unable to refinance its debt or unable to finance increases in its assets. See note 6 on risk factors for a detailed description.

Group            
At 31 Dec 2023 (NOKm) On demand Below 3 months 3-12 months 1 - 5 yrs Above 5 yrs Total
Cash flows related to liabilities 2)            
Deposits from credit institutions 10,399 90 344 1,938 20 12,792
Deposits from and debt to customers 89,914 23,961 10,120 8,894 - 132,888
Debt created by issue of securities - 3,164 2,513 44,528 1,295 51,499
Derivatives - contractual cash flow out - 1,130 4,101 26,309 1,397 32,937
Other liabilities - 1,004 1,207 551 269 3,031
Subordinated loan capital 1) - 38 505 2,180 - 2,723
Total cash flow, liabilities 100,313 29,386 18,790 84,401 2,981 235,871
             
Derivatives net cash flows            
Contractual cash flows out - 1,130 4,101 26,309 1,397 32,937
Contractual cash flows in - -805 -3,331 -24,630 -1,360 -30,126
Net contractual cash flows - 325 770 1,679 37 2,811
             
             
Group            
At 31 Dec 2022 (NOKm) On demand Below 3 months 3-12 months 1 - 5 yrs Above 5 yrs Total
Cash flows related to liabilities 2)            
Debt to credit institutions 11,180 1,194 161 2,125 26 14,685
Deposits from and debt to customers 89,936 19,376 7,480 5,217 - 122,010
Debt created by issuance of securities - 951 8,442 41,837 1,746 52,977
Derivatives - contractual cash flow out - 798 8,532 26,947 1,655 37,932
Other liabilities - 1,361 787 386 258 2,792
Subordinated loan capital 1) - 16 824 1,459 - 2,299
Total cash flow, liabilities 101,116 23,696 26,226 77,972 3,684 232,694
             
Derivatives net cash flows            
Contractual cash flows out - 798 8,532 26,947 1,655 37,932
Contractual cash flows in - -622 -8,176 -25,412 -1,633 -35,843
Net contractual cash flows - 176 356 1,535 21 2,089

Does not include value adjustments for financial instruments at fair value
1) For subordinated debt the call date is used for cash settlement
2) Contractual cash-flows include calculated interest and the total amount therefore deviate from recognised liabilities

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Annual report and notes

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