Yapi Kredi Bank Azerbaijan CJSC increased loan and deposit portfolio in 2021
Information on structure and adequacy of bank capital
Information on management of bank risks
Information on bank’s corporate management system (organizational structure of the bank, competencies of managing bodies, internal audit and its competencies, financial management, accounting and internal control processes)
Semi-annual Report on Consumer Appeals 2019
Information on outsourced auditor implementing the audit of the bank for the last financial year, rules and criteria for his selection
The list of shareholders having significant participation interest and share of their participation 29.07.2019
The amount of outstanding loan debts, total amount of agreements concluded with involved persons and proportion of these amounts to bank’s own funds
The amount of loans with expired period and their relative share in loan portfolio 29.07.2019
The sum of nonprime loans and the amount per each category and their relative share in portfolio loan (upon disclosure of information on loans with expired period and nonprime loans definitions given per those loans in “Rules of creating reserves for classification of assets and indemnification of possible losses” of the Central Bank should be indicated) 29.07.2019
The amount of non-appropriated and appropriated reserves created per loans and their proportion to loan portfolio
The amount of liabilities out of balance and the amount per types 29.07.2019
Geographical distribution of loans per regions, including loans with expired period 29.07.2019
Distribution of loans per economic sectors, including loans with expired period 29.07.2019
Risk of foreign currency, including position of open currency 29.07.2019
Agencies realizing risk management and their competencies
Systems and methods of risk measurement
Profit and loss report 29.07.2019
Report on financial state (Balance report) 29.07.2019
Report on movement of money means 29.07.2019
Report on shares issued by bank (kind, state registration number, nominal price, rights of shareholders)
Information on other investment securities issued by bank (kind, nominal price, payment term, profitability, rights of owners of securities)
Information on distribution of periods of payment of assets and liabilities per each currency
Classification according to sensitivity to interest risk
Classification of assets and liabilities with fixed and non-fixed interest 29.07.2019
Report on Changes in the structure of capital 29.07.2019
Dividend policy.
Remuneration Policy
Corporate Policy