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Maturity analysis of assets, liabilities and off-balance sheet commitments (Tables)
12 Months Ended
Dec. 31, 2019
Financial Instruments [Abstract]  
Disclosure of maturity analysis of assets, liabilities and off-balance sheet commitments
HSBC
Maturity analysis of assets, liabilities and off-balance sheet commitments
 
Due not
more than
1 month

Due over
1 month
but not
more than
3 months

Due over
3 months
but not
more than
6 months

Due over
6 months
but not
more than
9 months

Due over
9 months
but not
more than
1 year

Due over
1 year
but not
more than
2 years

Due over
2 years
but not
more than
5 years

Due over
5 years

Total

 
$m

$m

$m

$m

$m

$m

$m

$m

$m

Financial assets
 
 
 
 
 
 
 
 
 
Cash and balances at central banks
154,099








154,099

Items in the course of collection from other banks
4,956








4,956

Hong Kong Government certificates of indebtedness
38,380








38,380

Trading assets
252,009

644

412

62

452

152

540


254,271

Financial assets designated or otherwise mandatorily measured at fair value
4,846

74

381

200

422

780

2,356

34,568

43,627

Derivatives
241,941

150

24

27

22

112

294

425

242,995

Loans and advances to banks
41,554

7,826

4,877

2,592

2,859

6,848

2,005

642

69,203

Loans and advances to customers
190,675

82,379

61,254

36,005

36,755

106,203

227,811

295,661

1,036,743

– personal
51,893

14,547

8,562

7,245

6,931

22,923

66,761

252,275

431,137

– corporate and commercial
118,585

61,629

45,924

25,006

25,069

71,751

147,139

39,958

535,061

– financial
20,197

6,203

6,768

3,754

4,755

11,529

13,911

3,428

70,545

Reverse repurchase agreements
– non-trading
164,741

38,997

17,933

8,226

6,305

2,298

2,362


240,862

Financial investments
36,128

64,472

35,795

17,485

18,202

48,427

90,193

132,610

443,312

Accrued income and other financial assets
80,661

5,544

2,532

915

495

432

363

2,037

92,979

Financial assets at 31 Dec 2019
1,209,990

200,086

123,208

65,512

65,512

165,252

325,924

465,943

2,621,427

Non-financial assets







93,725

93,725

Total assets at 31 Dec 2019
1,209,990

200,086

123,208

65,512

65,512

165,252

325,924

559,668

2,715,152

Off-balance sheet commitments received
 
 
 
 
 
 
 
 
 
Loan and other credit-related commitments
63,199








63,199

Financial liabilities
 
 
 
 
 
 
 
 
 
Hong Kong currency notes in circulation
38,380








38,380

Deposits by banks
46,397

4,167

2,773

454

844

2,455

876

1,056

59,022

Customer accounts1
1,287,358

81,038

38,343

11,530

11,342

5,275

4,075

154

1,439,115

– personal
646,843

49,405

29,320

8,484

6,852

3,631

2,646

71

747,252

– corporate and commercial
479,763

24,214

7,162

2,621

3,009

1,119

1,388

41

519,317

– financial
160,752

7,419

1,861

425

1,481

525

41

42

172,546

Repurchase agreements
– non-trading
132,042

3,402

1,579

1,882

59

354

2

1,024

140,344

Items in the course of transmission to other banks
4,817








4,817

Trading liabilities
82,130

209

265

148

102

287

29


83,170

Financial liabilities designated at
fair value
12,844

4,667

4,236

4,552

5,196

26,081

43,534

63,356

164,466

– debt securities in issue: covered bonds




1,139


2,663

1,159

4,961

– debt securities in issue: unsecured
8,884

2,046

2,946

3,757

3,030

22,950

34,753

47,036

125,402

– subordinated liabilities and preferred securities
23






2,131

8,396

10,550

– other
3,937

2,621

1,290

795

1,027

3,131

3,987

6,765

23,553

Derivatives
237,901

105

73

10

18

68

540

782

239,497

Debt securities in issue
8,183

17,374

12,799

13,152

11,382

14,572

20,048

7,045

104,555

– covered bonds





749

998


1,747

– otherwise secured
2,015

2

248

161


219

958

1,663

5,266

– unsecured
6,168

17,372

12,551

12,991

11,382

13,604

18,092

5,382

97,542

Accruals and other financial liabilities
87,796

9,078

3,914

1,244

2,058

1,592

2,823

2,890

111,395

Subordinated liabilities
1,502


22

1,993

100

755

424

19,804

24,600

Total financial liabilities at 31 Dec 2019
1,939,350

120,040

64,004

34,965

31,101

51,439

72,351

96,111

2,409,361

Non-financial liabilities







113,123

113,123

Total liabilities at 31 Dec 2019
1,939,350

120,040

64,004

34,965

31,101

51,439

72,351

209,234

2,522,484

Off-balance sheet commitments given
 
 
 
 
 
 
 
 


Loan and other credit-related commitments
794,336

600

590

313

551

442

458

318

797,608

– personal
221,952

40

39

56

167

208

392

299

223,153

– corporate and commercial
460,569

117

96

52

381

218

66

19

461,518

– financial
111,815

443

455

205

3

16



112,937

Maturity analysis of assets, liabilities and off-balance sheet commitments (continued)
 
Due not
more than
1 month

Due over
1 month
but not
more than
3 months

Due over
3 months
but not
more than
6 months

Due over
6 months
but not
more than
9 months

Due over
9 months
but not
more than
1 year

Due over
1 year
but not
more than
2 years

Due over
2 years
but not
more than
5 years

Due over
5 years

Total

 
$m

$m

$m

$m

$m

$m

$m

$m

$m

Financial assets
 
 
 
 
 
 
 
 
 
Cash and balances at central banks
162,843








162,843

Items in the course of collection from other banks
5,787








5,787

Hong Kong Government certificates of indebtedness
35,859








35,859

Trading assets
235,443

264

707

744

104

197

671


238,130

Financial assets designated at fair value
7,743

49

371

145

334

918

2,415

29,136

41,111

Derivatives
206,925

15

57

79

18

69

328

334

207,825

Loans and advances to banks
40,114

10,421

3,486

2,004

3,282

7,158

4,508

1,194

72,167

Loans and advances to customers
178,613

72,072

58,680

38,394

37,333

101,267

219,841

275,496

981,696

– personal
41,967

8,736

8,237

7,581

7,240

24,942

63,061

229,626

391,390

– corporate and commercial
118,294

58,623

45,918

27,001

25,597

67,093

143,959

42,540

529,025

– financial
18,352

4,713

4,525

3,812

4,496

9,232

12,821

3,330

61,281

Reverse repurchase agreements
– non-trading
172,795

41,084

13,308

5,763

3,574

5,253

1,027


242,804

Financial investments
40,421

58,731

30,464

15,707

15,357

41,866

92,846

112,041

407,433

Accrued income and other financial assets
62,067

6,893

2,403

561

307

349

731

2,237

75,548

Financial assets at 31 Dec 2018
1,148,610

189,529

109,476

63,397

60,309

157,077

322,367

420,438

2,471,203

Non-financial assets







86,921

86,921

Total assets at 31 Dec 2018
1,148,610

189,529

109,476

63,397

60,309

157,077

322,367

507,359

2,558,124

Off-balance sheet commitments received
 
 
 
 
 
 
 
 
 
Loan and other credit-related commitments
73,464




1

3

98

656

74,222

Financial liabilities
 
 
 
 
 
 
 
 
 
Hong Kong currency notes in circulation
35,859








35,859

Deposits by banks
42,406

3,457

1,043

784

542

5,558

1,655

886

56,331

Customer accounts1
1,225,919

66,990

31,315

17,218

13,760

4,122

3,194

125

1,362,643

– personal
612,325

38,132

21,218

11,483

8,282

2,853

2,623

53

696,969

– corporate and commercial
457,661

22,922

8,029

4,599

4,317

1,092

509

29

499,158

– financial
155,933

5,936

2,068

1,136

1,161

177

62

43

166,516

Repurchase agreements – non-trading
154,383

8,140

1,750

629

73

408

501


165,884

Items in the course of transmission to other banks
5,641








5,641

Trading liabilities
82,867

251

326

633

81

235

36

2

84,431

Financial liabilities designated at
fair value
3,813

4,476

6,878

3,076

3,481

12,545

53,615

60,621

148,505

– debt securities in issue: covered bonds


205



1,190

2,721

1,137

5,253

– debt securities in issue: unsecured
981

1,562

2,659

2,290

2,353

9,143

47,443

37,633

104,064

– subordinated liabilities and preferred securities


2,125





12,568

14,693

– other
2,832

2,914

1,889

786

1,128

2,212

3,451

9,283

24,495

Derivatives
203,962

62

135

191

144

560

159

622

205,835

Debt securities in issue
6,777

11,194

12,556

8,075

3,330

10,670

19,713

13,027

85,342

– covered bonds






748


748

– otherwise secured
2,166

1,100

30



394

944

1,412

6,046

– unsecured
4,611

10,094

12,526

8,075

3,330

10,276

18,021

11,615

78,548

Accruals and other financial liabilities
69,958

8,986

3,296

659

1,269

885

1,027

1,300

87,380

Subordinated liabilities
6

89

3



1,996

1,384

18,959

22,437

Total financial liabilities at 31 Dec 2018
1,831,591

103,645

57,302

31,265

22,680

36,979

81,284

95,542

2,260,288

Non-financial liabilities







103,587

103,587

Total liabilities at 31 Dec 2018
1,831,591

103,645

57,302

31,265

22,680

36,979

81,284

199,129

2,363,875

Off-balance sheet commitments given
 
 
 
 
 
 
 
 
 
Loan and other credit-related commitments
769,311

5,281

941

1,972

1,257

361

731

412

780,266

– personal
203,622

974

59

32

201

280

556

331

206,055

– corporate and commercial
441,199

2,694

799

1,895

974

34

150

73

447,818

– financial
124,490

1,613

83

45

82

47

25

8

126,393

1
‘Customer accounts’ includes $408,090m (2018: $364,729m) insured by guarantee schemes.
HSBC Holdings
Maturity analysis of assets, liabilities and off-balance sheet commitments (continued)
 
Due not
more than
1 month

Due over
1 month
but not
more than
3 months

Due over
3 months
but not
more than
6 months

Due over
6 months
but not
more than
9 months

Due over
9 months
but not
more than
1 year

Due over
1 year
but not
more than
2 years

Due over
2 years
but not
more than
5 years

Due over
5 years

Total

 
$m

$m

$m

$m

$m

$m

$m

$m

$m

Financial assets
 
 
 
 
 
 
 
 
 
Cash at bank and in hand:
 
 
 
 
 
 
 
 
 
– balances with HSBC undertakings
2,382








2,382

Derivatives
596






230

1,176

2,002

Loans and advances to HSBC undertakings
102

672

120

25


600

1,909

6,790

10,218

Financial assets with HSBC undertakings designated and otherwise mandatorily measured
at fair value





458

24,845

36,661

61,964

Financial investments
2,754

3,493

1,873

2,251

2,721

3,014



16,106

Accrued income and other financial assets
93

277

97

48

16

12



543

Total financial assets at
31 Dec 2019
5,927

4,442

2,090

2,324

2,737

4,084

26,984

44,627

93,215

Non-financial assets







162,025

162,025

Total assets at 31 Dec 2019
5,927

4,442

2,090

2,324

2,737

4,084

26,984

206,652

255,240

Financial liabilities


















Amounts owed to HSBC undertakings

464







464

Financial liabilities designated at fair value





5,651

6,710

17,942

30,303

– debt securities in issue





5,651

6,710

12,326

24,687

– subordinated liabilities and preferred securities







5,616

5,616

Derivatives
1,838





20

85

78

2,021

Debt securities in issue





10,134

23,786

22,924

56,844

Accruals and other financial liabilities
900

574

303

55

10



35

1,877

Subordinated liabilities
1,503






2,076

14,782

18,361

31 Dec 2019
4,241

1,038

303

55

10

15,805

32,657

55,761

109,870

Non-financial liabilities







326

326

Total liabilities at 31 Dec 2019
4,241

1,038

303

55

10

15,805

32,657

56,087

110,196

Off-balance sheet commitments given


















Undrawn formal standby facilities, credit lines and other commitments to lend









Maturity analysis of assets, liabilities and off-balance sheet commitments (continued)
 
Due not
more than
1 month

Due over
1 month
but not
more than
3 months

Due over
3 months
but not
more than
6 months

Due over
6 months
but not
more than
9 months

Due over
9 months
but not
more than
1 year

Due over
1 year
but not
more than
2 years

Due over
2 years
but not
more than
5 years

Due over
5 years

Total

 
$m

$m

$m

$m

$m

$m

$m

$m

$m

Financial assets
 
 
 
 
 
 
 
 
 
Cash at bank and in hand:
 
 
 
 
 
 
 
 
 
– balances with HSBC undertakings
3,509








3,509

Derivatives
540







167

707

Loans and advances to HSBC undertakings
3,052

11,563

158

968

1


14,062

26,340

56,144

Loans and advances to HSBC undertakings designated at fair value






8,116

15,397

23,513

Financial investments in HSBC undertakings









Accrued income and other financial assets
33

27








60

Total financial assets at 31 Dec 2018
7,134

11,590

158

968

1


22,178

41,904

83,933

Non-financial assets







161,248

161,248

Total assets at 31 Dec 2018
7,134

11,590

158

968

1


22,178

203,152

245,181

Financial liabilities









Amounts owed to HSBC undertakings

949







949

Financial liabilities designated at fair value


2,125




12,306

10,618

25,049

– debt securities in issue






12,306

5,461

17,767

– subordinated liabilities and preferred securities


2,125





5,157

7,282

Derivatives
1,321






339

499

2,159

Debt securities in issue






23,770

27,030

50,800

Accruals and other financial liabilities
319

353

188

36

5



41

942

Subordinated liabilities







17,715

17,715

Total financial liabilities at 31 Dec 2018
1,640

1,302

2,313

36

5


36,415

55,903

97,614

Non-financial liabilities







214

214

Total liabilities at 31 Dec 2018
1,640

1,302

2,313

36

5


36,415

56,117

97,828

Off-balance sheet commitments given









Undrawn formal standby facilities, credit lines and other commitments
to lend









Disclosure of cash flows payable under financial liabilities by remaining contractual maturities
Cash flows payable by HSBC under financial liabilities by remaining contractual maturities
 

Due not more than 1 month

Due over 1 month but not more than 3 months

Due over 3 months but not more than 1 year

Due over 1 year but not more than 5 years

Due over
5 years

Total


$m

$m

$m

$m

$m

$m

Deposits by banks
46,471

4,167

4,227

3,371

1,084

59,320

Customer accounts
1,288,577

81,037

62,105

9,900

191

1,441,810

Repurchase agreements – non-trading
132,156

3,403

3,565

368

1,036

140,528

Trading liabilities
83,170





83,170

Financial liabilities designated at fair value
13,447

4,666

14,747

76,155

68,045

177,060

Derivatives
237,897

105

522

1,076

1,691

241,291

Debt securities in issue
8,757

17,374

38,423

36,584

8,177

109,315

Subordinated liabilities
1,847


2,908

5,197

27,892

37,844

Other financial liabilities
127,898

9,079

6,792

5,637

2,992

152,398

 
1,940,220

119,831

133,289

138,288

111,108

2,442,736

Loan and other credit-related commitments
795,243

601

561

886

317

797,608

Financial guarantees1
20,007

37

102

68


20,214

At 31 Dec 2019
2,755,470

120,469

133,952

139,242

111,425

3,260,558

Proportion of cash flows payable in period
85%

4%

4%

4%

3%

 
 
 
 
 
 
 
 
Deposits by banks
42,569

3,457

2,419

7,507

556

56,508

Customer accounts
1,226,828

66,990

62,963

7,617

130

1,364,528

Repurchase agreements – non-trading
154,541

8,140

2,487

950


166,118

Trading liabilities
84,431





84,431

Financial liabilities designated at fair value
4,478

4,476

15,591

75,578

89,261

189,384

Derivatives
204,360

62

927

2,065

1,323

208,737

Debt securities in issue
7,295

11,194

24,902

36,599

13,656

93,646

Subordinated liabilities
349

89

793

7,600

27,670

36,501

Other financial liabilities
110,337

8,987

4,694

2,367

1,260

127,645

 
1,835,188

103,395

114,776

140,283

133,856

2,327,498

Loan and other credit-related commitments
772,557

5,279

1,109

944

377

780,266

Financial guarantees1
22,942

113

289

160

14

23,518

At 31 Dec 2018
2,630,687

108,787

116,174

141,387

134,247

3,131,282

Proportion of cash flows payable in period
84%

3%

4%

5%

4%

 
1
Excludes performance guarantee contracts to which the impairment requirements in IFRS 9 are not applied.
Cash flows payable by HSBC Holdings under financial liabilities by remaining contractual maturities
 
 
 
Due not more than 1 month

Due over 1 month but not more than 3 months

Due over 3 months but not more than 1 year

Due over 1 year but not more than 5 years

Due over
5 years

Total

 
Footnotes
$m

$m

$m

$m

$m

$m

Amounts owed to HSBC undertakings
 

464




464

Financial liabilities designated at fair value
 
88

168

784

14,776

18,184

34,000

Derivatives
 
1,838



105

78

2,021

Debt securities in issue
 
128

244

1,137

38,690

25,310

65,509

Subordinated liabilities
 
1,588

154

718

5,743

21,533

29,736

Other financial liabilities
 
956

519

365



1,840

 
 
4,598

1,549

3,004

59,314

65,105

133,570

Loan commitments
 






Financial guarantees
1
11,061





11,061

At 31 Dec 2019
 
15,659

1,549

3,004

59,314

65,105

144,631

 
 
 
 
 
 
 
 
Amounts owed to HSBC undertakings
 

949




949

Financial liabilities designated at fair value
 

237

2,656

14,384

11,653

28,930

Derivatives
 
1,321



339

499

2,159

Debt securities in issue
 

379

1,159

29,178

30,801

61,517

Subordinated liabilities
 

248

757

4,019

25,311

30,335

Other financial liabilities
 

675

228



903

 
 
1,321

2,488

4,800

47,920

68,264

124,793

Loan commitments
 






Financial guarantees
1
8,627





8,627

At 31 Dec 2018
 
9,948

2,488

4,800

47,920

68,264

133,420

1
Excludes performance guarantee contracts to which the impairment requirements in IFRS 9 are not applied.
Disclosure of cash flows payable under derivative financial liabilities by remaining contractual maturities
Cash flows payable by HSBC under financial liabilities by remaining contractual maturities
 

Due not more than 1 month

Due over 1 month but not more than 3 months

Due over 3 months but not more than 1 year

Due over 1 year but not more than 5 years

Due over
5 years

Total


$m

$m

$m

$m

$m

$m

Deposits by banks
46,471

4,167

4,227

3,371

1,084

59,320

Customer accounts
1,288,577

81,037

62,105

9,900

191

1,441,810

Repurchase agreements – non-trading
132,156

3,403

3,565

368

1,036

140,528

Trading liabilities
83,170





83,170

Financial liabilities designated at fair value
13,447

4,666

14,747

76,155

68,045

177,060

Derivatives
237,897

105

522

1,076

1,691

241,291

Debt securities in issue
8,757

17,374

38,423

36,584

8,177

109,315

Subordinated liabilities
1,847


2,908

5,197

27,892

37,844

Other financial liabilities
127,898

9,079

6,792

5,637

2,992

152,398

 
1,940,220

119,831

133,289

138,288

111,108

2,442,736

Loan and other credit-related commitments
795,243

601

561

886

317

797,608

Financial guarantees1
20,007

37

102

68


20,214

At 31 Dec 2019
2,755,470

120,469

133,952

139,242

111,425

3,260,558

Proportion of cash flows payable in period
85%

4%

4%

4%

3%

 
 
 
 
 
 
 
 
Deposits by banks
42,569

3,457

2,419

7,507

556

56,508

Customer accounts
1,226,828

66,990

62,963

7,617

130

1,364,528

Repurchase agreements – non-trading
154,541

8,140

2,487

950


166,118

Trading liabilities
84,431





84,431

Financial liabilities designated at fair value
4,478

4,476

15,591

75,578

89,261

189,384

Derivatives
204,360

62

927

2,065

1,323

208,737

Debt securities in issue
7,295

11,194

24,902

36,599

13,656

93,646

Subordinated liabilities
349

89

793

7,600

27,670

36,501

Other financial liabilities
110,337

8,987

4,694

2,367

1,260

127,645

 
1,835,188

103,395

114,776

140,283

133,856

2,327,498

Loan and other credit-related commitments
772,557

5,279

1,109

944

377

780,266

Financial guarantees1
22,942

113

289

160

14

23,518

At 31 Dec 2018
2,630,687

108,787

116,174

141,387

134,247

3,131,282

Proportion of cash flows payable in period
84%

3%

4%

5%

4%

 
1
Excludes performance guarantee contracts to which the impairment requirements in IFRS 9 are not applied.
Cash flows payable by HSBC Holdings under financial liabilities by remaining contractual maturities
 
 
 
Due not more than 1 month

Due over 1 month but not more than 3 months

Due over 3 months but not more than 1 year

Due over 1 year but not more than 5 years

Due over
5 years

Total

 
Footnotes
$m

$m

$m

$m

$m

$m

Amounts owed to HSBC undertakings
 

464




464

Financial liabilities designated at fair value
 
88

168

784

14,776

18,184

34,000

Derivatives
 
1,838



105

78

2,021

Debt securities in issue
 
128

244

1,137

38,690

25,310

65,509

Subordinated liabilities
 
1,588

154

718

5,743

21,533

29,736

Other financial liabilities
 
956

519

365



1,840

 
 
4,598

1,549

3,004

59,314

65,105

133,570

Loan commitments
 






Financial guarantees
1
11,061





11,061

At 31 Dec 2019
 
15,659

1,549

3,004

59,314

65,105

144,631

 
 
 
 
 
 
 
 
Amounts owed to HSBC undertakings
 

949




949

Financial liabilities designated at fair value
 

237

2,656

14,384

11,653

28,930

Derivatives
 
1,321



339

499

2,159

Debt securities in issue
 

379

1,159

29,178

30,801

61,517

Subordinated liabilities
 

248

757

4,019

25,311

30,335

Other financial liabilities
 

675

228



903

 
 
1,321

2,488

4,800

47,920

68,264

124,793

Loan commitments
 






Financial guarantees
1
8,627





8,627

At 31 Dec 2018
 
9,948

2,488

4,800

47,920

68,264

133,420

1
Excludes performance guarantee contracts to which the impairment requirements in IFRS 9 are not applied.