Statement og Assets and Liabilities 30 June 2014

Glitnir hereby presents the Statement of Assets and Liabilities as of 30 June 2014.  The presentation also includes a summary of Glitnir´s Current Business plan (BP) which is based on an opening position of 30 June 2014.  The estimated cashflow in the BP at the end of each year are presented in three categories; 1) ISK, 2) FX from domestic counterparties, and 3) FX from foreign counterparties.

pdfGlitnir Statement of Assets and Liabilities 30 June 2014

Print