ANZ 2022 Full Year Debt Investor Presentation
ANZ 2022 Full Year Debt Investor Presentation
ANZ ASIAN INSTITUTIONAL PORTFOLIO
Market of incorporation
ANZ Asia industry composition
2%
4%
19%
8%
8%
2%
3%
3%
China
6%
A$116b¹
Japan
South Korea
India
3% 3%
12%
(Sep 22)
21%
Singapore
Hong Kong (SAR)
Taiwan
Indonesia
Other
8%
A$116b¹
53%
(Sep 22)
7%
26%
12%
Finance
Manufacturing
Wholesale Trade
Services to Finance & Insurance
Property & Business Services
Transport & Storage
Communication Services
Government Administration & Defence
Other
ANZ Asia portfolio composition, % of EAD
ANZ Asia product composition
93%
Investment Grade
7%
Non-Investment Grade
1%
12%
10%
41%
A$116b¹
(Sep 22)
19%
17%
Net Loans, Advances & Acceptances
Cash
Derivatives
Investment Securities
Contingents liabilities, commitments, and
other off-balance sheet exposures
Other assets
1. EAD excludes amounts for 'Securitisation' and 'Other Assets' Basel classes, as per APS330. Data provided is on a Post CRM basis, net of credit risk mitigation such as guarantees, credit derivatives, netting and financial collateral
85View entire presentation