(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -17.34%335.96B | 7.67%362.5B | 3.43%355.06B | 23.42%550.7B | 23.42%550.7B | 21.59%406.44B | 3.38%336.67B | 2.29%343.29B | -23.17%446.21B | -23.17%446.21B |
-Cash and cash equivalents | -17.34%335.96B | 7.67%362.5B | 3.43%355.06B | 40.01%277.85B | 40.01%277.85B | 21.59%406.44B | 3.38%336.67B | 2.29%343.29B | -39.27%198.46B | -39.27%198.46B |
-Money market investments | ---- | ---- | ---- | 10.13%272.84B | 10.13%272.84B | ---- | ---- | ---- | -2.44%247.75B | -2.44%247.75B |
Receivables | 6.51%8.84B | 20.72%8.17B | 45.95%9.39B | 221.99%7.26B | 221.99%7.26B | 56.02%8.3B | 89.19%6.77B | 68.85%6.44B | -34.61%2.26B | -34.61%2.26B |
Prepaid assets | 46.03%12.84B | -7.10%12.38B | 7.91%10.64B | -36.58%10.81B | -36.58%10.81B | -28.16%8.8B | -16.22%13.33B | -31.33%9.86B | -8.14%17.05B | -8.14%17.05B |
Net loan | 4.87%1.9T | 4.20%1.89T | -6.36%1.86T | -7.83%1.63T | -7.83%1.63T | -11.27%1.81T | -10.53%1.81T | -3.62%1.98T | -1.75%1.77T | -1.75%1.77T |
-Allowance for loans and lease losses | ---- | ---- | ---- | -0.04%16.96B | -0.04%16.96B | ---- | ---- | ---- | -16.73%16.97B | -16.73%16.97B |
-Trading securities | -14.70%514.3B | -11.07%497.4B | -14.49%487.03B | -5.85%196.47B | -5.85%196.47B | -23.15%602.92B | -15.43%559.31B | -7.62%569.58B | -16.32%208.68B | -16.32%208.68B |
-Available for sale securities | -1.43%341.73B | -2.24%348.1B | -2.47%349.87B | -0.36%333.52B | -0.36%333.52B | -5.26%346.68B | -4.64%356.1B | -5.25%358.72B | -2.31%334.74B | -2.31%334.74B |
Long term equity investment | -7.68%529M | 3.01%581M | 9.54%528M | 14.18%612M | 14.18%612M | 166.51%573M | 168.57%564M | 129.52%482M | 160.19%536M | 160.19%536M |
Derivative assets | ---- | ---- | ---- | -18.23%351.72B | -18.23%351.72B | ---- | ---- | ---- | 65.29%430.12B | 65.29%430.12B |
Net PPE | -5.40%10.99B | 15.66%11.27B | 14.14%11.41B | 12.03%11.43B | 12.03%11.43B | 11.23%11.62B | -10.07%9.74B | -12.56%10B | -18.42%10.2B | -18.42%10.2B |
-Gross PPE | -5.40%10.99B | 15.66%11.27B | 14.14%11.41B | 12.03%11.43B | 12.03%11.43B | 11.23%11.62B | -10.07%9.74B | -12.56%10B | -18.42%10.2B | -18.42%10.2B |
Assets held for sale | -34.04%78.1B | -24.42%91.2B | 33,869.01%96.47B | 31,529.71%110.7B | 31,529.71%110.7B | 47,645.16%118.41B | 48,166.00%120.67B | -98.82%284M | -98.78%350M | -98.78%350M |
Goodwill and other intangible assets | 1.58%6.17B | -0.16%6.08B | -0.25%6.05B | 0.31%6.06B | 0.31%6.06B | -14.16%6.07B | -31.09%6.09B | -32.64%6.06B | -31.45%6.05B | -31.45%6.05B |
-Goodwill | ---- | ---- | ---- | 0.23%4.44B | 0.23%4.44B | ---- | ---- | ---- | -27.79%4.43B | -27.79%4.43B |
-Other intangible assets | ---- | ---- | ---- | 0.56%1.63B | 0.56%1.63B | ---- | ---- | ---- | -39.81%1.62B | -39.81%1.62B |
Defined pension benefit | -1.28%922M | -44.01%865M | -46.97%850M | -45.76%806M | -45.76%806M | -49.49%934M | -24.67%1.55B | -37.58%1.6B | -39.37%1.49B | -39.37%1.49B |
Other assets | ---1M | --2M | 0.00%-1M | ---1M | ---1M | ---- | ---- | 0.00%-1M | ---- | ---- |
Total assets | -2.24%3.74T | 0.86%3.76T | -2.15%3.71T | -0.52%3.77T | -0.52%3.77T | -11.20%3.83T | -8.40%3.73T | -6.45%3.79T | -3.69%3.79T | -3.69%3.79T |
Liabilities | ||||||||||
Total deposits | -1.64%1.35T | 0.79%1.38T | -5.30%1.35T | -6.61%1.18T | -6.61%1.18T | -8.22%1.38T | -7.19%1.37T | -6.74%1.42T | -0.67%1.26T | -0.67%1.26T |
Payables | 11.42%62.81B | 5.80%57.94B | 9.49%56.64B | 4.18%47.46B | 4.18%47.46B | -6.94%56.37B | 1.38%54.77B | 7.94%51.73B | -2.40%45.56B | -2.40%45.56B |
-Accounts payable | 14.44%61.07B | 6.72%56.24B | 11.27%54.92B | 5.64%45.91B | 5.64%45.91B | -8.25%53.36B | 2.53%52.69B | 9.52%49.36B | -3.03%43.46B | -3.03%43.46B |
-Total tax payable | -42.11%1.74B | -17.70%1.71B | -27.43%1.72B | -25.96%1.56B | -25.96%1.56B | 24.39%3.01B | -21.05%2.07B | -17.03%2.37B | 12.82%2.1B | 12.82%2.1B |
Trading liabilities | -30.44%368.18B | -22.40%372.51B | -21.94%398.32B | ---- | ---- | -26.12%529.34B | -18.67%480.02B | 6.98%510.3B | ---- | ---- |
Long term debt and capital lease obligation | 5.13%1.14T | 6.37%1.13T | 1.05%1.1T | 4.62%1.1T | 4.62%1.1T | 5.18%1.08T | 1.18%1.06T | -1.03%1.09T | -10.10%1.05T | -10.10%1.05T |
Derivative product liabilities | ---- | ---- | ---- | -21.65%340.92B | -21.65%340.92B | ---- | ---- | ---- | 79.81%435.14B | 79.81%435.14B |
Other liabilities | 200.00%3M | 300.00%4M | 0.00%1M | 14.06%310.71B | 14.06%310.71B | -66.67%1M | -300.00%-2M | 0.00%1M | -16.53%272.4B | -16.53%272.4B |
Total liabilities | -2.57%3.57T | 0.64%3.59T | -2.49%3.54T | -0.97%3.6T | -0.97%3.6T | -11.92%3.66T | -8.70%3.56T | -6.42%3.63T | -3.43%3.63T | -3.43%3.63T |
Shareholders'equity | ||||||||||
Share capital | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B |
-common stock | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B | 0.00%8.62B |
Retained earnings | 3.87%171.11B | 3.92%173.06B | 4.70%168.76B | 5.00%163.6B | 5.00%163.6B | 8.30%164.73B | 0.41%166.53B | -1.78%161.2B | -3.49%155.81B | -3.49%155.81B |
Total stockholders'equity | 4.91%176.92B | 5.58%178.06B | 5.37%173.42B | 9.65%175.74B | 9.65%175.74B | 7.83%168.64B | -1.60%168.65B | -7.29%164.58B | -9.30%160.28B | -9.30%160.28B |
Total equity | 4.91%176.92B | 5.58%178.06B | 5.37%173.42B | 9.65%175.74B | 9.65%175.74B | 7.83%168.64B | -1.60%168.65B | -7.29%164.58B | -9.30%160.28B | -9.30%160.28B |
Currency Unit | DKK | DKK | DKK | DKK | DKK | DKK | DKK | DKK | DKK | DKK |
No Data