ANZ 2022 Full Year Debt Investor Presentation slide image

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 85
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