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Management Board Report
Letter from the Chairman
At a Glance
Highlights and main events
Summary of the results
Market indicators and ratings
Information on important agreements and events
Awards and achievements
Market conditions and business prospects
Macroeconomic environment
Banking sector
Strategy and business perspectives
Financial Situation
Group profit and loss account
Balance Sheet and Off - Balance Sheet items
Results of Business Segments
Business Activity
Retail Banking
Corporate Banking
Treasury and investment operations
Business activity of subsidiaries
Risk Management
Risk Management Framework
Capital adequacy
Credit Risk
Other Risks
Human resources management
Personnel Policy
Employment and personnel costs
Remuneration Policy
Responsible business and CSR
Additional Information
Statement of Management Board
Consolidated Financial Statement
Financial Highlights
Quarterly financial information
Consolidated financial statement
Consolidated income statement
Consolidated statement of total comprehensive income
Consolidated Balance Sheet
Consolidated Statement of Changes in Equity
Consolidated Cash Flow Statement
General Information about Issuer
Accounting policy
Statement of compliance with the IFR Standards
Standars and interpretations applied in 2014
Adopted accounting principles
Financial Risk Management
Group's Risk Management Rules
Capital Management
Credit Risk
Market Risk
Liquidity Risk
Operational Risk
Operational Segments
Transactions with Related Entities
Fair Value
Conditional Liabilities and Assets
Notes to the Consolidated Financial Statements
Supplementary Information
Corporate Governance
Statement
Shareholders and GMS
Supervisory Board
Management Board
Internal Control, External Audit and Compliance Policy
Capital Adequacy
Disclosure in accordance with the CRR
Risk management objectives and strategies
Own funds
Key components
Reconciliation of items of own funds
Items not deducted from own funds
Own Funds and the EU Commission Regulation
Capital requirements
Exposure to counterparty credit risk
Capital buffers
Credit risk adjustments
Encumbered assets
Use of ECAIs
Exposure to market risk
Operational risk
Exposures in equities
Exposure to interest rate risk
Exposure to securitisation positions
Remuneration policy
Leverage
Qualifying requirements
Declaration of the Management Board
Bank Millennium Site
Annual Report 2013
Annual Report 2012
CSR Report 2013
Tools
Financial tables
Interactive KPI
Download center
Strona Banku Millennium
Raport Roczny 2013
Raport Roczny 2012
Raport CSR 2013
Narzędzia
Tabele Finansowe
Interaktywne KPI
Centrum Pobrań