~8%
What was the return on tangible equity (8.1%)?
Between 70% and 90%
How much higher year on year were the M&A revenues in the IB (80%)?
~13%
What was the CET1 ratio at the end of the quarter (12.8%)?
~-6%
What was the share price change on the day of the results (-5.6%)?
~€ 1.2bn
What was the after-tax profit (€ 1,227m)?
~€ 900bn
What were the Assets under Management in AM (€ 902bn)?
Between 4.0% and 4.5%
What was the pro-forma leverage ratio, including certain CB balances, at the end of the quarter (4.3%)?
Almost 100%
How much of the total transformation-related effects anticipated through end-2022 have now been recognised (98%)?
2017
The Q1 revenues were the highest since which year?
Between 17% and 20%
What was the operating leverage in the CB (18%)?
~€ 350m
What was the capital deduction for common share dividends (€ 354m)?
Between € 170bn and 190bn
What was the sustainable finance volume at the end of the quarter (€ 177bn)?
Between € 700m and 750m
What were the bank levies (€ 730m)?
>50%
What was the year on year increase in pre-tax profit in the PB (54%)?
Between 16bps and 19bps
What was the impact of the war in Ukraine on our CET1 ratio (17 bps)?
Between € 0.4bn and 0.6bn
What was the net loan exposure to Russia (€ 0.5bn)?
Between € 350m and 400m
What was the difference between reported adjusted costs (€ 5,385m) and consensus estimate (€ 5,029m)?
13% to 15%
What was the year on year RWA increase in the PB (13%), IB (14%) and CB (15%)?
~€ 25
What was the tangible book value per share?
Between € 0.8bn and 1.2bn
What was the additional contingent risk to Russia (€ 1.0bn)?