Investor Presentation - IDB Invest's Financial Profile and Risk Management Framework slide image

Investor Presentation - IDB Invest's Financial Profile and Risk Management Framework

INVESTOR PRESENTATION OUR FINANCIAL PROFILE AND RISK MANAGEMENT FRAMEWORK Strong Financial Profile AAA Rated Peer Comparison RAC-Ratio 31% 31% 34% 22% Multilateral Assets (USD Million) S&P Long Term Issuer Rating IDB-Invest 7.551 AA+ IADB 151.752 AAA EBRD 74.773 AAA IFC 105.264 AAA IDB Invest Source: S&P Global Ratings "Supranational Special Edition. October 2022" Data as of December 31, 2021, except for IFC, whose data are as of June 30, 2021. Debt/Total Assets 12M Liquidity Coverage Ratio Impaired Loans 75% 66% 2.4 61% 53% 1.6 1.5 1.3 5% 6.5% 2% 0.5% IDB Invest IADB EBRD IFC IDB Invest IADB EBRD IFC IDB Invest IADB EBRD IFC IDB Invest IADB EBRD IFC 10
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