ANZ 2022 Full Year Results slide image

ANZ 2022 Full Year Results

ANZ 2022 Full Year Results 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 Investment Grade 93% 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 120
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