Final Results - Part 10 of 13

RNS Number : 7731B
Royal Bank of Scotland Group PLC
24 February 2011
 

 

 

 

 

 

 

 

 

 

 

Appendix 1

 

Reconciliations of pro forma to statutory income statements and balance sheets

 

 

 



Appendix 1 Reconciliations of pro forma to statutory

income statements and balance sheets

 

Income statement for the quarter ended 31 December 2010

 


Pro forma 

RFS minority 

interest 

Reallocation 

of one-off 

 items 

Statutory 


£m 

£m 

£m 

£m 






Net interest income

3,578 

3,580 






Non-interest income (excluding insurance net premium income)

2,609 

359 

2,970 

Insurance net premium income

1,272 

1,272 






Non-interest income

3,881 

359 

4,242 






Total income

7,459 

359 

7,822 

Operating expenses

(4,081)

(6)

(420)

(4,507)






Profit before other operating charges

3,378 

(2)

(61)

3,315 

Insurance net claims

(1,182)

(1,182)






Operating profit before impairment losses

2,196 

(2)

(61)

2,133 

Impairment losses

(2,141)

(2,141)






Operating profit before fair value of own debt

55 

(2)

(61)

(8)

Fair value of own debt

582 

(582)






Operating profit/(loss)

637 

(2)

(643)

(8)

Amortisation of purchased intangible assets

(96)

96 

Integration and restructuring costs

(299)

299 

Strategic disposals

502 

(502)

Bonus tax

(15)

15 

Asset Protection Scheme credit default swap - fair value changes

(725)

725 

Write-down of goodwill and other intangible assets

(10)

10 






Loss before tax

(6)

(2)

(8)

Tax credit/(charge)

(4)






Profit/(loss) from continuing operations

(6)

(5)

Profit from discontinued operations, net of tax

55 

55 






Profit for the period

49 

50 

Non-controlling interests

11 

(49)

(38)






Profit attributable to ordinary and B shareholders

12 

12 

 



Appendix 1 Reconciliations of pro forma to statutory

income statements and balance sheets

 

Income statement for the quarter ended 30 September 2010

 


Pro forma 

RFS minority 

interest 

Reallocation 

of one-off 

 items 

Statutory 


£m 

£m 

£m 

£m 






Net interest income

3,404 

3,411 






Non-interest income (excluding insurance net premium income)

3,224 

(182)

(1,656)

1,386 

Insurance net premium income

1,289 

1,289 






Non-interest income

4,513 

(182)

(1,656)

2,675 






Total income

7,917 

(175)

(1,656)

6,086 

Operating expenses

(4,096)

(6)

(449)

(4,551)






Profit before other operating charges

3,821 

(181)

(2,105)

1,535 

Insurance net claims

(1,142)

(1,142)






Operating profit before impairment losses

2,679 

(181)

(2,105)

393 

Impairment losses

(1,953)

(1,953)






Operating profit/(loss) before fair value of own debt

726 

(181)

(2,105)

(1,560)

Fair value of own debt

(858)

858 






Operating loss

(132)

(181)

(1,247)

(1,560)

Amortisation of purchased intangible assets

(123)

123 

Integration and restructuring costs

(311)

311 

Strategic disposals

27 

(27)

Bonus tax

(15)

15 

Asset Protection Scheme credit default swap - fair value changes

(825)

825 






Loss before tax

(1,379)

(181)

(1,560)

Tax credit

261 

34 

295 






Loss from continuing operations

(1,118)

(147)

(1,265)

Profit from discontinued operations, net of tax

16 

18 






Loss for the period

(1,116)

(131)

(1,247)

Non-controlling interests

(30)

131 

101 






Loss attributable to ordinary and B shareholders

(1,146)

(1,146)

 



Appendix 1 Reconciliations of pro forma to statutory

income statements and balance sheets

 

Income statement for the quarter ended 31 December 2009

 


Pro forma 

RFS minority 

interest 

Reallocation 

of one-off 

 items 

Statutory 


£m 

£m 

£m 

£m 






Net interest income

3,446 

(27)

3,419 






Non-interest income (excluding insurance net premium income)

2,516 

(148)

104 

2,472 

Insurance net premium income

1,308 

1,308 






Non-interest income

3,824 

(148)

104 

3,780 






Total income

7,270 

(175)

104 

7,199 

Operating expenses

(4,473)

1,601 

(2,867)






Profit before other operating charges

2,797 

(170)

1,705 

4,332 

Insurance net claims

(1,321)

(1,321)






Operating profit before impairment losses

1,476 

(170)

1,705 

3,011 

Impairment losses

(3,099)

(3,099)






Operating loss before fair value of own debt

(1,623)

(170)

1,705 

(88)

Fair value of own debt

270 

(270)






Operating loss

(1,353)

(170)

1,435 

(88)

Amortisation of purchased intangible assets

(59)

59 

Integration and restructuring costs

(228)

228 

Strategic disposals

(166)

166 

Bonus tax

(208)

208 

Gains on pensions curtailment

2,148 

(2,148)

Write-down of goodwill and other intangible assets

(52)

52 






Profit/(loss) before tax

82 

(170)

(88)

Tax charge

(649)

(644)






Loss from continuing operations

(567)

(165)

(732)

Loss from discontinued operations, net of tax

(7)

(128)

(135)






Loss for the period

(574)

(293)

(867)

Non-controlling interests

(47)

293 

246 

Preference share and other dividends

(144)

(144)






Loss attributable to ordinary and B shareholders

(765)

(765)

 

 



Appendix 1 Reconciliations of pro forma to statutory

income statements and balance sheets

 

Income statement for the year ended 31 December 2010

 


Pro forma 

RFS minority 

interest 

Reallocation 

of one-off 

 items 

Statutory 


£m 

£m 

£m 

£m 






Net interest income

14,200 

14,209 






Non-interest income (excluding insurance net premium income)

13,334 

(151)

(652)

12,531 

Insurance net premium income

5,128 

5,128 






Non-interest income

18,462 

(151)

(652)

17,659 






Total income

32,662 

(142)

(652)

31,868 

Operating expenses

(16,710)

(8)

(1,510)

(18,228)






Profit before other operating charges

15,952 

(150)

(2,162)

13,640 

Insurance net claims

(4,783)

(4,783)






Operating profit before impairment losses

11,169 

(150)

(2,162)

8,857 

Impairment losses

(9,256)

(9,256)






Operating profit/(loss) before fair value of own debt

1,913 

(150)

(2,162)

(399)

Fair value of own debt

174 

(174)






Operating profit/(loss)

2,087 

(150)

(2,336)

(399)

Amortisation of purchased intangible assets

(369)

369 

Integration and restructuring costs

(1,032)

1,032 

Gain on redemption of own debt

553 

(553)

Strategic disposals

171 

(171)

Bonus tax

(99)

99 

Asset Protection Scheme credit default swap - fair value changes

(1,550)

1,550 

Write-down of goodwill and other intangible assets

(10)

10 






Loss before tax

(249)

(150)

(399)

Tax charge

(663)

29 

(634)






Loss from continuing operations

(912)

(121)

(1,033)

Loss from discontinued operations, net of tax

(28)

(605)

(633)






Loss for the period

(940)

(726)

(1,666)

Non-controlling interests

(61)

726 

665 

Preference share and other dividends

(124)

(124)






Loss attributable to ordinary and B shareholders

(1,125)

(1,125)

 



Appendix 1 Reconciliations of pro forma to statutory

income statements and balance sheets

 

Income statement for the year ended 31 December 2009

 


Pro forma 

RFS minority 

interest 

Reallocation 

of one-off 

 items 

Statutory 


£m 

£m 

£m 

£m 






Net interest income

13,567 

(179)

13,388 






Non-interest income (excluding insurance net premium income)

10,734 

(142)

3,780 

14,372 

Insurance net premium income

5,266 

5,266 






Non-interest income

16,000 

(142)

3,780 

19,638 






Total income

29,567 

(321)

3,780 

33,026 

Operating expenses

(17,401)

(35)

19 

(17,417)






Profit before other operating charges

12,166 

(356)

3,799 

15,609 

Insurance net claims

(4,357)

(4,357)






Operating profit before impairment losses

7,809 

(356)

3,799 

11,252 

Impairment losses

(13,899)

(13,899)






Operating loss before fair value of own debt

(6,090)

(356)

3,799 

(2,647)

Fair value of own debt

(142)

142 






Operating loss

(6,232)

(356)

3,941 

(2,647)

Amortisation of purchased intangible assets

(272)

272 

Integration and restructuring costs

(1,286)

1,286 

Gain on redemption of own debt

3,790 

(3,790)

Strategic disposals

132 

(132)

Bonus tax

(208)

208 

Gains on pensions curtailment

2,148 

(2,148)

Write-down of goodwill and other intangible assets

(363)

363 






Loss before tax

(2,291)

(356)

(2,647)

Tax credit

339 

90 

429 






Loss from continuing operations

(1,952)

(266)

(2,218)

Loss from discontinued operations, net of tax

(72)

(33)

(105)






Loss for the period

(2,024)

(299)

(2,323)

Non-controlling interests

(648)

299 

(349)

Preference share and other dividends

(935)

(935)






Loss attributable to ordinary and B shareholders

(3,607)

(3,607)

 



Appendix 1 Reconciliations of pro forma to statutory

income statements and balance sheets

 

Balance sheet at 31 December 2010

 


Pro forma 

Transfers 

Statutory 


£m 

£m 

£m 





Assets




Cash and balances at central banks

57,014 

57,014 

Net loans and advances to banks

57,909 

57,911 

Reverse repurchase agreements and stock borrowing

42,607 

42,607 

Loans and advances to banks

100,516 

100,518 

Net loans and advances to customers

502,748 

502,748 

Reverse repurchase agreements and stock borrowing

52,512 

52,512 

Loans and advances to customers

555,260 

555,260 

Debt securities

217,480 

217,480 

Equity shares

22,198 

22,198 

Settlement balances

11,605 

11,605 

Derivatives

427,077 

427,077 

Intangible assets

14,448 

14,448 

Property, plant and equipment

16,543 

16,543 

Deferred tax

6,373 

6,373 

Prepayments, accrued income and other assets

12,568 

12,576 

Assets of disposal groups

11,552 

932 

12,484 





Total assets

1,452,634 

942 

1,453,576 





Liabilities




Bank deposits

65,938 

113 

66,051 

Repurchase agreements and stock lending

32,739 

32,739 

Deposits by banks

98,677 

113 

98,790 

Customer deposits

428,599 

428,599 

Repurchase agreements and stock lending

82,094 

82,094 

Customer accounts

510,693 

510,693 

Debt securities in issue

218,372 

218,372 

Settlement balances

10,991 

10,991 

Short positions

43,118 

43,118 

Derivatives

423,967 

423,967 

Accruals, deferred income and other liabilities

23,074 

15 

23,089 

Retirement benefit liabilities

2,288 

2,288 

Deferred tax

2,111 

31 

2,142 

Insurance liabilities

6,794 

6,794 

Subordinated liabilities

27,053 

27,053 

Liabilities of disposal groups

8,940 

488 

9,428 





Total liabilities

1,376,078 

647 

1,376,725





Equity




Non-controlling interests

1,424 

295 

1,719 

Owners' equity

75,132 

75,132 





Total equity

76,556 

295 

76,851





Total liabilities and equity

1,452,634 

942 

1,453,576 



Appendix 1 Reconciliations of pro forma to statutory

income statements and balance sheets

 

Balance sheet at 31 December 2009

 


Pro forma 

Transfers 

Statutory 


£m 

£m 

£m 





Assets




Cash and balances at central banks

51,548 

713 

52,261 

Net loans and advances to banks

48,777 

7,879 

56,656 

Reverse repurchase agreements and stock borrowing

35,097 

35,097 

Loans and advances to banks

83,874 

7,879 

91,753 

Net loans and advances to customers

554,654 

132,699 

687,353 

Reverse repurchase agreements and stock borrowing

41,040 

41,040 

Loans and advances to customers

595,694 

132,699 

728,393 

Debt securities

249,095 

18,159 

267,254 

Equity shares

15,960 

3,568 

19,528 

Settlement balances

12,024 

12,033 

Derivatives

438,199 

3,255 

441,454 

Intangible assets

14,786 

3,061 

17,847 

Property, plant and equipment

17,773 

1,624 

19,397 

Deferred tax

6,492 

547 

7,039 

Prepayments, accrued income and other assets

18,604 

2,381 

20,985 

Assets of disposal groups

18,432 

110 

18,542 





Total assets

1,522,481 

174,005 

1,696,486 





Liabilities




Bank deposits

115,642 

(11,504)

104,138 

Repurchase agreements and stock lending

38,006 

38,006 

Deposits by banks

153,648 

(11,504)

142,144 

Customer deposits

414,251 

131,598 

545,849 

Repurchase agreements and stock lending

68,353 

68,353 

Customer accounts

482,604 

131,598 

614,202 

Debt securities in issue

246,329 

21,239 

267,568 

Settlement balances

10,412 

10,413 

Short positions

40,463 

40,463 

Derivatives

421,534 

2,607 

424,141 

Accruals, deferred income and other liabilities

24,624 

5,703 

30,327 

Retirement benefit liabilities

2,715 

248 

2,963 

Deferred tax

2,161 

650 

2,811 

Insurance liabilities

7,633 

2,648 

10,281 

Subordinated liabilities

31,538 

6,114 

37,652 

Liabilities of disposal groups

18,857 

33 

18,890 





Total liabilities

1,442,518 

159,337 

1,601,855 





Equity




Non-controlling interests

2,227 

14,668 

16,895 

Owners' equity

77,736 

77,736 





Total equity

79,963 

14,668 

94,631 





Total liabilities and equity

1,522,481 

174,005 

1,696,486 

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
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