Investor Presentaiton
GROUP
CRR2 LEVERAGE RATIO
_CRR2 phased-in Leverage Ratio (1)
In EURbn
Tier 1 Capital
Total prudential balance sheet (2)
Adjustments related to derivative financial instruments
Adjustments related to securities financing transactions (3)
Off-balance sheet exposure (loan and guarantee commitments
Technical and prudential adjustments
inc. central banks exemption
Leverage exposure
Phased leverage ratio
31.12.2022
31.12.2021
58.8
57.9
1,340
1,300
(7)
9
15
15
123
118
(126)
(252)
0
(118)
1,345
1,190
4.4%
4.9%
(1) Based on CRR2 rules adopted by the European Commission in June 2019. Fully loaded leverage ratio at 4.3% (see Methodology). Including net income of the period and grandfathered AT1 instruments governed by English law
(2) The prudential balance sheet corresponds to the IFRS balance sheet less entities accounted for through the equity method (mainly insurance subsidiaries)
(3) Securities financing transactions: repurchase transactions, securities lending or borrowing transactions and other similar transactions
SOCIETE
GENERALE
4TH QUARTER AND FULL YEAR 2022 RESULTS 18 FEBRUARY 2023View entire presentation