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|
Guaranty Portfolio Report |
(As of December 31, 2007) |
|
Guaranty Program |
Approved Lines |
Availed Lines |
Available Balance |
Outstanding Guarantees |
||||||
Value
|
% to Total |
Cash
|
Standard
|
Bond |
No. of Accounts |
|||||
| I. RETAIL | ||||||||||
| A. Developers CTS Line | 3,500,000,000
|
2,936,361,704
|
563,638,296
|
1,207,419,227
|
1.66%
|
- |
14,209,943
|
1,193,209,284
|
2,843
|
|
| B. Financial Institutions Line (Mortages & CTS) | 134,540,000,000
|
119,204,796,721
|
15,335,203,279
|
61,464,304,176
|
84.40%
|
779,654,460
|
1,527,054,672
|
59,157,595,044
|
157,464 |
|
| Sub-Total | 138,040,000,000
|
122,141,158,426
|
15,898,841,574
|
62,671,723,403 |
86.06% |
779,654,460 |
1,541,264,615 |
60,350,804,328 |
160,307 |
|
| II. DEVELOPMENTAL |
- |
|||||||||
A. Developer's Line |
7,600,000,000 |
5,196,863,437
|
2,403,136,563
|
1,153,792,761
|
1.58% |
69,277,811
|
- |
1,084,514,951
|
13,297
|
|
| III. SECURITIZATION SCHEME |
||||||||||
| A.Bonds B.A/MBS |
9,000,000,000
500,000,000 |
9,000,000,000
92,652,278 |
- 407,347,722 |
9,000,000,000
- |
12.36% 0.00% |
7,000,000,000
- |
- |
2,000,000,000
- |
34,163
- |
|
| Sub-Total | 9,500,000,000 |
9,092,652,278 |
407,347,722 |
9,000,000,000 |
12.36% |
7,000,000,000 |
- |
2,000,000,000 |
34,163 |
|
| TOTAL | 155,140,000,000
|
136,430,674,141
|
18,709,325,859
|
72,825,516,164 |
100.00%
|
7,848,932,271 |
1,541,264,615 |
63,435,319,279
|
207,767
|
|
Percentage of Retail to Total Guarantees |
98.42% |
|---|---|
Percentage of Developmental to Total Guarantees |
1.58% |
Guaranty Limit (HGC's Networth x 20) |
147.43 B |
HGC's networth as of November 30, 2007 |
7.37 B |
Percentage of Outstanding Guaranty to Guaranty Limit |
49.40% |
Note:
1. The Guaranty Portfolio report is a summary report of the Outstanding Guarantees extended by HGC, classified according to programs
or product type.
2. The Guaranty limit indicates HGC's capacity to extend guarantees which is 20 times its Networth.