Mexico City
|
|
Lyssette Bravo
|
Andrea Colín
|
Public Affairs
|
Investor Relations
|
Telephone: +52 (55) 5721 2888
|
Telephone: +52 (55) 5721 3001
|
London
|
|
Brendan McNamara
|
Guy Lewis
|
Group Media Relations
|
Investor Relations
|
Telephone: +44 (0)20 7991 0655
|
Telephone: +44 (0)20 7992 1938
|
GROUP
|
BANK
|
|||||||
Figures in MXN millions
|
30 Jun
|
30 Jun
|
30 Jun
|
30 Jun
|
||||
2012
|
2011
|
2012
|
2011
|
|||||
Assets
|
||||||||
Cash and deposits in banks
|
51,365
|
53,637
|
51,374
|
53,634
|
||||
Margin accounts
|
31
|
8
|
31
|
8
|
||||
Investment in securities
|
158,463
|
177,551
|
143,224
|
163,419
|
||||
Trading securities
|
40,923
|
37,280
|
34,366
|
30,808
|
||||
Available-for-sale securities
|
102,451
|
125,401
|
102,451
|
125,401
|
||||
Held to maturity securities
|
15,089
|
14,870
|
6,407
|
7,210
|
||||
Repurchase agreements
|
5,402
|
7,774
|
5,402
|
7,773
|
||||
Derivative transactions
|
45,847
|
28,633
|
45,847
|
28,633
|
||||
Performing loans
|
||||||||
Commercial loans
|
106,589
|
96,623
|
106,589
|
96,623
|
||||
Loans to financial intermediaries
|
5,191
|
6,908
|
5,191
|
6,908
|
||||
Consumer loans
|
31,916
|
28,613
|
31,916
|
28,613
|
||||
Mortgage loans
|
18,629
|
17,834
|
18,629
|
17,834
|
||||
Loans to government entities
|
28,535
|
27,992
|
28,535
|
27,992
|
||||
Total performing loans
|
190,860
|
177,970
|
190,860
|
177,970
|
||||
Impaired loans
|
||||||||
Commercial loans
|
2,461
|
1,330
|
2,461
|
1,330
|
||||
Consumer loans
|
1,095
|
1,324
|
1,095
|
1,324
|
||||
Mortgage loans
|
655
|
1,850
|
655
|
1,850
|
||||
Total impaired loans
|
4,211
|
4,504
|
4,211
|
4,504
|
||||
Gross loans and advances to customers
|
195,071
|
182,474
|
195,071
|
182,474
|
||||
Allowance for loan losses
|
(10,639)
|
(9,720)
|
(10,639)
|
(9,720)
|
||||
Net loans and advances to customers
|
184,432
|
172,754
|
184,432
|
172,754
|
||||
Premium receivables
|
238
|
194
|
-
|
-
|
||||
Accounts receivables from reinsurers and rebonding companies
|
214
|
279
|
-
|
-
|
||||
Other accounts receivable
|
42,999
|
32,804
|
42,784
|
32,887
|
||||
Foreclosed assets
|
201
|
165
|
198
|
161
|
||||
Property, furniture and equipment, net
|
7,714
|
8,205
|
7,714
|
8,205
|
||||
Long-term investments in equity securities
|
197
|
192
|
111
|
113
|
||||
Assets held for sale
|
95
|
2,428
|
7
|
1
|
||||
Deferred taxes
|
6,042
|
5,454
|
5,946
|
5,328
|
||||
Goodwill
|
1,197
|
1,197
|
-
|
-
|
||||
Other assets, deferred charges and intangibles
|
3,549
|
4,277
|
3,160
|
3,917
|
||||
Total assets
|
507,986
|
495,552
|
490,230
|
476,833
|
GROUP
|
BANK
|
|||||||
Figures in MXN millions
|
30 Jun
|
30 Jun
|
30 Jun
|
30 Jun
|
||||
2012
|
2011
|
2012
|
2011
|
|||||
Liabilities
|
||||||||
Deposits
|
295,528
|
273,255
|
296,209
|
274,106
|
||||
Demand deposits
|
171,314
|
158,190
|
171,995
|
159,041
|
||||
Time deposits
|
119,977
|
110,829
|
119,977
|
110,829
|
||||
Money market instruments
|
4,237
|
4,236
|
4,237
|
4,236
|
||||
Bank deposits and other liabilities
|
25,034
|
30,161
|
25,034
|
30,161
|
||||
On demand
|
2,001
|
3,950
|
2,001
|
3,950
|
||||
Short-term
|
21,446
|
24,744
|
21,446
|
24,744
|
||||
Long-term
|
1,587
|
1,467
|
1,587
|
1,467
|
||||
Repurchase agreements
|
14,786
|
48,985
|
20,811
|
54,509
|
||||
Stock lending
|
-
|
1
|
-
|
2
|
||||
Financial assets pending to be settled
|
1,017
|
-
|
1,017
|
-
|
||||
Collateral sold
|
8,748
|
10,292
|
2,723
|
4,769
|
||||
Derivative transactions
|
45,760
|
27,274
|
45,760
|
27,274
|
||||
Technical reserves
|
10,778
|
10,272
|
-
|
-
|
||||
Reinsurers
|
62
|
54
|
-
|
-
|
||||
Other payable accounts
|
48,497
|
37,495
|
47,559
|
38,743
|
||||
Income tax
|
1,334
|
1,162
|
909
|
694
|
||||
Contributions for future capital increases
|
-
|
-
|
-
|
2,013
|
||||
Sundry creditors and other accounts Payable
|
47,163
|
36,333
|
46,650
|
36,036
|
||||
Subordinated debentures outstanding
|
10,331
|
9,824
|
10,331
|
9,824
|
||||
Deferred taxes
|
516
|
628
|
498
|
606
|
||||
Total liabilities
|
461,057
|
448,241
|
449,942
|
439,994
|
||||
Equity
|
||||||||
Paid in capital
|
32,673
|
32,673
|
27,618
|
25,605
|
||||
Capital stock
|
5,111
|
5,111
|
5,261
|
5,087
|
||||
Additional paid in capital
|
27,562
|
27,562
|
22,357
|
20,518
|
||||
Other reserves
|
14,246
|
14,627
|
12,669
|
11,231
|
||||
Capital reserves
|
1,958
|
1,832
|
10,373
|
11,069
|
||||
Retained earnings
|
8,833
|
11,262
|
(202)
|
(302)
|
||||
Result from the valuation of available-for-sale securities
|
1,216
|
220
|
1,216
|
220
|
||||
Result from cash flow hedging transactions
|
(87)
|
(270)
|
(87)
|
(270)
|
||||
Net income
|
2,326
|
1,583
|
1,369
|
514
|
||||
Minority interest in capital
|
10
|
11
|
1
|
3
|
||||
Total equity
|
46,929
|
47,311
|
40,288
|
36,839
|
||||
Total liabilities and equity
|
507,986
|
495,552
|
490,230
|
476,833
|
GROUP
|
BANK
|
|||||||
Figures in MXN millions
|
30 Jun
|
30 Jun
|
30 Jun
|
30 Jun
|
||||
2012
|
2011
|
2012
|
2011
|
|||||
Memorandum Accounts
|
3,968,847
|
2,729,366
|
3,804,238
|
2,625,729
|
||||
Third party accounts
|
104,431
|
95,467
|
49,701
|
51,453
|
||||
Clients current accounts
|
(78)
|
149
|
-
|
-
|
||||
Custody operations
|
41,655
|
31,969
|
-
|
-
|
||||
Transactions on behalf of clients
|
13,153
|
11,896
|
-
|
-
|
||||
Third party investment banking operations, net
|
49,701
|
51,453
|
49,701
|
51,453
|
||||
Proprietary position
|
3,864,416
|
2,633,899
|
3,754,537
|
2,574,276
|
||||
Guarantees granted
|
9
|
16
|
9
|
16
|
||||
Contingent assets and liabilities
|
-
|
95
|
-
|
95
|
||||
Irrevocable lines of credit granted
|
25,203
|
16,909
|
25,203
|
16,909
|
||||
Goods in trust or mandate
|
368,631
|
311,753
|
368,630
|
311,753
|
||||
Goods in custody or under administration
|
295,763
|
265,996
|
290,653
|
260,885
|
||||
Collateral received by the institution
|
51,373
|
40,791
|
51,373
|
40,791
|
||||
Collateral received and sold or delivered as guarantee
|
50,255
|
40,524
|
44,235
|
34,990
|
||||
Values in deposit
|
53
|
53
|
-
|
-
|
||||
Suspended interest on impaired loans
|
123
|
224
|
123
|
224
|
||||
Recovery guarantees for issued bonds
|
82,821
|
36,649
|
-
|
-
|
||||
Paid claims
|
12
|
14
|
-
|
-
|
||||
Cancelled claims
|
7
|
2
|
-
|
-
|
||||
Responsibilities from bonds in force
|
3,718
|
3,614
|
-
|
-
|
||||
Other control accounts
|
2,986,448
|
1,917,259
|
2,974,311
|
1,908,613
|
GROUP
|
BANK
|
|||||||
Figures in MXN millions
|
30 Jun
|
30 Jun
|
30 Jun
|
30 Jun
|
||||
2012
|
2011
|
2012
|
2011
|
|||||
Interest income
|
15,831
|
14,800
|
15,444
|
14,447
|
||||
Interest expense
|
(5,609)
|
(4,799)
|
(5,615)
|
(4,810)
|
||||
Earned premiums
|
1,557
|
1,376
|
-
|
-
|
||||
Technical reserves
|
(339)
|
(115)
|
-
|
-
|
||||
Claims
|
(592)
|
(620)
|
-
|
-
|
||||
Net interest income
|
10,848
|
10,642
|
9,829
|
9,637
|
||||
Loan impairment charges
|
(3,335)
|
(3,202)
|
(3,335)
|
(3,202)
|
||||
Risk-adjusted net interest income
|
7,513
|
7,440
|
6,494
|
6,435
|
||||
Fees and commissions receivable
|
4,152
|
3,876
|
3,925
|
3,723
|
||||
Fees payable
|
(1,149)
|
(928)
|
(904)
|
(677)
|
||||
Trading income
|
1,462
|
1,896
|
1,347
|
1,521
|
||||
Other operating income
|
2,070
|
2,532
|
2,173
|
2,731
|
||||
Total operating income
|
14,048
|
14,816
|
13,035
|
13,733
|
||||
Administrative and personnel expenses
|
(11,117)
|
(12,939)
|
(11,376)
|
(13,096)
|
||||
Net operating income
|
2,931
|
1,877
|
1,659
|
637
|
||||
Undistributed income from subsidiaries
|
28
|
17
|
25
|
18
|
||||
Net income before taxes
|
2,959
|
1,894
|
1,684
|
655
|
||||
Income tax
|
(765)
|
(751)
|
(377)
|
(318)
|
||||
Deferred income tax
|
70
|
225
|
62
|
183
|
||||
Net income before discontinued operations
|
2,264
|
1,368
|
1,369
|
520
|
||||
Discontinued operations
|
62
|
221
|
-
|
-
|
||||
Minority interest
|
-
|
(6)
|
-
|
(6)
|
||||
Net income
|
2,326
|
1,583
|
1,369
|
514
|
Capital contributed
|
Capital reserves
|
Retained
earnings
|
Result from valuation of available-for-sale
securities
|
Result from cash flow hedging
transactions
|
Net income
|
Minority interest
|
Total
equity
|
|
Figures in MXN millions
|
||||||||
Balances at
1 January 2012
|
32,673
|
1,832
|
8,849
|
547
|
(243)
|
2,510
|
11
|
46,179
|
Movements inherent to the shareholders'
decision
|
||||||||
Transfer of result of prior years
|
-
|
126
|
2,384
|
-
|
-
|
(2,510)
|
-
|
-
|
Cash dividends
|
-
|
-
|
(2,400)
|
-
|
-
|
-
|
-
|
(2,400)
|
Total
|
-
|
126
|
(16)
|
-
|
-
|
(2,510)
|
-
|
(2,400)
|
Movements for the recognition of the comprehensive income
|
||||||||
Net income
|
-
|
-
|
-
|
-
|
-
|
2,326
|
-
|
2,326
|
Result from
valuation of available-
for-sale securities
|
-
|
-
|
-
|
669
|
-
|
-
|
-
|
669
|
Result from cash flow
hedging transactions
|
-
|
-
|
-
|
-
|
156
|
-
|
-
|
156
|
Others
|
(1)
|
(1)
|
||||||
Total
|
-
|
-
|
-
|
669
|
156
|
2,326
|
(1)
|
3,150
|
Balances at
30 June 2012
|
32,673
|
1,958
|
8,833
|
1,216
|
(87)
|
2,326
|
10
|
46,929
|
Figures in MXN millions
|
Capital contributed
|
Capital reserves
|
Retained earnings
|
Result from valuation of available-for-sale securities
|
Result from cash flow hedging transactions
|
Net income
|
Minority interest
|
Total equity
|
Balances at
1 January 2012
|
27,618
|
11,057
|
(202)
|
547
|
(243)
|
716
|
3
|
39,496
|
Movements inherent to
the shareholders'
decision
|
||||||||
Transfer of result of prior years
|
-
|
-
|
716
|
-
|
-
|
(716)
|
-
|
-
|
Constitution of reserves
|
-
|
716
|
(716)
|
-
|
-
|
-
|
-
|
-
|
Cash dividends
|
-
|
(1,400)
|
-
|
-
|
-
|
-
|
-
|
(1,400)
|
Total
|
-
|
(684)
|
-
|
-
|
-
|
(716)
|
-
|
(1,400)
|
Movements for the
recognition of the
comprehensive income
|
||||||||
Net income
|
-
|
-
|
-
|
-
|
-
|
1,369
|
-
|
1,369
|
Result from
valuation of available-
for-sale securities
|
-
|
-
|
-
|
669
|
-
|
-
|
-
|
669
|
Result from cash flow
hedging transactions
|
-
|
-
|
-
|
-
|
156
|
-
|
-
|
156
|
Others
|
-
|
-
|
-
|
-
|
-
|
-
|
(2)
|
(2)
|
Total
|
-
|
-
|
-
|
669
|
156
|
1,369
|
(2)
|
2,192
|
Balances at
30 June 2012
|
27,618
|
10,373
|
(202)
|
1,216
|
(87)
|
1,369
|
1
|
40,288
|
Figures in MXN millions
|
30 Jun 2012
|
Net income
|
2,326
|
Adjustments for items not involving cash flow:
|
4,142
|
Depreciation and amortisation
|
903
|
Provisions
|
2,097
|
Income tax and deferred taxes
|
695
|
Technical reserves
|
339
|
Discontinued operations
|
62
|
Undistributed income from subsidiaries
|
46
|
Changes in items related to operating activities:
|
|
Margin accounts
|
(4)
|
Investment securities
|
19,280
|
Repurchase agreements
|
348
|
Stock borrowing
|
(4)
|
Derivative (assets)
|
(2,941)
|
Loan portfolio
|
(7,693)
|
Foreclosed assets
|
5
|
Operating assets
|
(13,711)
|
Deposits
|
(1,901)
|
Bank deposits and other liabilities
|
(7,504)
|
Settlement accounts
|
1,017
|
Creditors repo transactions
|
5,459
|
Collateral sold or delivered as guarantee
|
(8,955)
|
Derivative (liabilities)
|
2,464
|
Subordinated debentures outstanding
|
(156)
|
Accounts receivables from reinsurers and coinsurers
|
29
|
Accounts receivables from premiums
|
(194)
|
Reinsurers and bonding
|
52
|
Other operating liabilities
|
10,518
|
Funds provided by operating activities
|
(3,891)
|
Investing activities:
|
|
Acquisition of property, furniture and equipment
|
(528)
|
Intangible asset acquisitions
|
492
|
Funds used in investing activities
|
(36)
|
Financing activities:
|
|
Cash dividends
|
(2,400)
|
Funds used in financing activities
|
(2,400)
|
Financing activities:
|
|
Increase / Decrease in cash and equivalents
|
141
|
Cash and equivalents at beginning of period
|
51,224
|
Cash and equivalents at end of period
|
51,365
|
Figures in MXN millions
|
30 Jun 2012
|
Net income
|
1,369
|
Adjustments for items not involving cash flow:
|
3,290
|
Depreciation and amortisation
|
903
|
Provisions
|
2,097
|
Income tax and deferred taxes
|
315
|
Undistributed income from subsidiaries
|
(25)
|
Changes in items related to operating activities:
|
|
Margin accounts
|
(4)
|
Investment securities
|
20,366
|
Repurchase agreements
|
348
|
Derivative (assets)
|
(2,941)
|
Loan portfolio
|
(7,693)
|
Foreclosed assets
|
5
|
Operating assets
|
(13,450)
|
Deposits
|
(1,912)
|
Bank deposits and other liabilities
|
(7,504)
|
Creditors repo transactions
|
5,439
|
Stock borrowing
|
(4)
|
Collateral sold or delivered as guarantee
|
(8,935)
|
Derivative (liabilities)
|
2,464
|
Subordinated debentures outstanding
|
(156)
|
Other operating liabilities
|
11,994
|
Income tax paid
|
(978)
|
Funds provided by operating activities
|
(2,961)
|
Investing activities:
|
|
Acquisition of property, furniture and equipment
|
(494)
|
Intangible asset acquisitions
|
346
|
Funds used in investing activities
|
(148)
|
Financing activities:
|
|
Cash dividends
|
(1,400)
|
Funds used in financing activities
|
(1,400)
|
Financing activities:
|
|
Increase / Decrease in cash and equivalents
|
150
|
Cash and equivalents at beginning of period
|
51,224
|
Cash and equivalents at end of period
|
51,374
|
|
|||
Figures in MXN millions
|
30 Jun 2012
|
||
Grupo Financiero HSBC - Net Income Under Mexican GAAP
|
2,326
|
||
Differences arising from:
|
|||
Valuation of defined benefit pensions and post retirement healthcare benefits*
|
48
|
||
Deferral of fees received and paid on the origination of loans*
|
23
|
||
Loan impairment charges*
|
1,244
|
||
Purchase accounting adjustments*
|
(6)
|
||
Recognition of the present value in-force of long-term insurance contracts*
|
(20)
|
||
Other differences in accounting principles*
|
(251)
|
||
Net income under IFRS
|
3,364
|
||
US dollar equivalent (millions)
|
253
|
||
Add back tax expense
|
1,340
|
||
Profit before tax under IFRS
|
4,704
|
||
US dollar equivalent (millions)
|
354
|
||
Exchange rate used for conversion
|
13.29
|
||