Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover...

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Coöperatieve Rabobank U.A. Monthly Investor Report Dutch National Transparency Template Covered Bond Reporting Period: 1 May 2018 - 31 May 2018 Reporting Date: 25 June 2018 AMOUNTS ARE IN EURO [email protected] / [email protected] https://www.rabobank.com/nl/investors/funding/covered-bonds/index.html Report Version 2.1 - February 2016

Transcript of Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover...

Page 1: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

Coöperatieve Rabobank U.A.

Monthly Investor Report

Dutch National Transparency TemplateCovered Bond

Reporting Period: 1 May 2018 - 31 May 2018

Reporting Date: 25 June 2018

AMOUNTS ARE IN EURO

[email protected] / [email protected]

https://www.rabobank.com/nl/investors/funding/covered-bonds/index.html Report Version 2.1 - February 2016

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Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Table of Contents

Page

Covered Bonds 3

Asset Cover Test 4

Counterparty Credit Ratings & Triggers 5

Ledgers & Investments 6

Regulatory Information 7

Contact Information 28

Delinquencies 8

Stratifications 9

Glossary 26

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ISIN Currency Initial Principal Balance*

Outstanding Amount* Coupon Issuance

DateRedemption

TypeLCR HQLA Category

XS1622193248 EUR 1,500,000,000 1,500,000,000 0.2500% 31-05-17 Bullet 1

XS1622193321 EUR 1,000,000,000 1,000,000,000 1.2500% 31-05-17 Bullet 1

XS1766477522 EUR 1,250,000,000 1,250,000,000 0.8750% 08-02-18 Bullet 1

XS1769049096 EUR 90,000,000 90,000,000 1.5650% 12-02-18 Bullet N/A

XS1771890578 EUR 50,000,000 50,000,000 1.5140% 22-02-18 Bullet N/A

XS1785456713 EUR 25,000,000 25,000,000 1.5950% 08-03-18 Bullet N/A

XS1791750968 EUR 75,000,000 75,000,000 1.5450% 16-03-18 Bullet N/A

XS1811812574 EUR 1,250,000,000 1,250,000,000 1.5000% 26-04-18 Bullet 1

XS1811812145 EUR 750,000,000 750,000,000 0.6250% 26-04-18 Bullet 1

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Covered Bonds

Series Maturity Date IRS Counterparty

CB01 31-05-24

CB02 31-05-32

CB03 08-02-28

CB04 12-02-38

CB05 22-02-38

CB06 08-03-38

CB07 16-03-38

CB08 26-04-38

CB09 26-04-26

* Amounts to be reported in the relevant currency, and also the euro-equivalent amounts

The issuer believes that, at the time of issuance and based on transparency data made publicly available by the issuer, the above listed bonds meet the eligibility criteria for classification as a Level 1 or Level 2A asset (as specified in the column LCR HQLA Category) in accordance with Chapter 2 of the LCR delegated act. It should be noted that whether or not a bond is a liquid asset for the purposes of the Liquidity

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Asset Cover Test

A

B

C

D

E

X

Y

Z

A+B+C+D+E-X-Y-Z

Outstanding bondsPass/FailACT Cover Ratio

ParametersAsset percentage

Cap LTV Cut-Off indexed valuation % non-NHG

Cap LTV Cut-Off indexed valuation % NHG

% of Index Increases

% of Index Decreases

Reserve Fund

Supplemental Liquidity Reserve Amount

Deduction Set-Off

Ratings

S&P

Moody's

Fitch

Other

UCITS compliant

CRR compliant

ECBC Label compliant

Overcollateralisation

Legally required minimum OC

Documented minimum OC

Available Nominal OC

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Asset Cover Test

6,521,191,722.08

0.00

0.00

0.00

0.00

0.00

0.00

0.00

6,521,191,722.08

5,990,000,000.00

Pass

108.87%

100.00%

80.00%

80.00 %

90.00%

100.00%

0.00

0.00

0.00

NR

Aaa

NR

True

True

11.854%

True

5.00%

0.00%

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Role Party Rating trigger Current rating

Rating trigger

Current rating

Rating trigger

Current rating

Consequence if breached*

Account Bank Coöperatieve Rabobank U.A.

/ / P-1 / P-1 / / / Replacement of Account Bank or other remedy

Issuer Coöperatieve Rabobank U.A.

/ / P-1 / P-1 / / / Item "alpha" paragraph (g) of the Asset Cover Test is activated

(deposit set-off deduction)

Issuer Coöperatieve Rabobank U.A.

/ / P-1 / P-1 / / / Item "X" of Asset Cover Test is activated (interest rate risk

deduction)Issuer Coöperatieve Rabobank

U.A. / / / Baa1 / Aa3 / / Item "Y" of Asset Cover Test is

activated (commingling risk deduction)

Issuer Coöperatieve Rabobank U.A.

/ / / Baa3 / Aa3 / / Notification Event

Issuer Coöperatieve Rabobank U.A.

/ / / Baa1 / Aa3 / / Originators to pledge Residual Claims to the CBC or Residual

Claims deduction in Asset Cover Test

Issuer Coöperatieve Rabobank U.A.

/ / P-1 / P-1 / / / Reserve Fund Required Amount to be at least Rating Trigger Required

AmountIssuer Coöperatieve Rabobank

U.A. / / / A3 / Aa3 / / Unless rating is regained within 12

months, Originators to pledge Residual Claims to the CBC or Residual Claims deduction in

Asset Cover TestIssuer or Administrator Coöperatieve Rabobank

U.A. / / / Baa3 / Aa3 / / Increase frequency of verification

by Asset Monitor of Asset Cover Test

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Counterparty Credit Ratings & Triggers

S&P (ST/LT) Moody's (ST/LT) Fitch (ST/LT) DBRS (ST/LT)

Current rating

Rating trigger

/ /

/ /

/ /

/ /

/ /

/ /

* Event is triggered if credit rating is below the rating as mentioned in the table

/ /

/ /

/ /

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Ledgers

Investments

Liquidity Buffer

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Ledgers & Investments

Revenue Ledger 0.00

Principal Ledger 0.00

Reserve Fund Ledger 0.00

Total 0.00

Substitution Assets Balance 0.00

Authorised Investments Balance 0.00

Total 0.00

Outflows 6,851,777.00

Required Liquidity Buffer 6,851,777.00

Bonds

Available Liquidity Buffer 102,294,094.00

Inflows 102,294,094.00

Cash

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Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Regulatory Information

CRR Article 129Article 129 CRR "Exposures in the form of covered bonds"(7) Exposures in the form of covered bonds are eligible for preferential treatment, provided that the institution investing in the covered bonds can demonstrate to the competent authorities that:(a) it receives portfolio information at least on:

(i) the value of the covered pool and outstanding covered bonds;

value of the cover pool table Portfolio characteristics

value of the outstanding covered bonds table Covered Bonds

(ii) the geographical distribution and type of cover assets, loan size, interest rate and currency risks;

geographical distribution of cover assets table 14 Geographical Distribution

type of cover assets table Portfolio Characteristics

loan size table 3 Outstanding Loan Amount

interest rate risk and currency risk table Covered Bonds for coupon and currency information of the covered bonds

table 10 Coupon for coupons of mortgages

table Counterparty Ratings & Triggers for IRS/TRS information

See base prospectus for information about hedging

Only EUR denominated mortgages: see BP

(iii) the maturity structure of cover assets and covered bonds; and

maturity structure of cover assets table 6 Legal Maturity

maturity structure of covered bonds table Covered Bonds

(iv) the percentage of loans more than ninety days past due; table Delinquencies

(b) the issuer makes the information referred to in point (a) available to the institution at least semi annually.

table Portfolio Characteristics

Nominal OC table Asset Cover Test

OvercollateralisationLegally required minimum OC table Asset Cover Test

Documented minimum OC table Asset Cover Test

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Until ( <= ) Arrears Amount Aggregate Outstanding Not.

Amount

% of Total Nr of Mortgage Loanparts

% of Total Weighted Average CLTIMV

Performing 0.00 6,685,467,052.24 99.783% 67,142 99.785% 68.512%

30 days 53,965.60 12,955,278.06 0.193% 130 0.193% 70.293%

60 days 4,201.66 725,350.18 0.011% 8 0.012% 73.382%

90 days 9,637.36 852,315.51 0.013% 7 0.01% 90.805%

120 days 0.00 0.00 0.00% 0 0.00% 0.00%

150 days 0.00 0.00 0.00% 0 0.00% 0.00%

180 days 0.00 0.00 0.00% 0 0.00% 0.00%

> 0.00 0.00 0.00% 0 0.00% 0.00%

Total 67,804.62 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

DelinquenciesFrom ( > ) Weighted

Average CouponWeighted Average Maturity

3.088% 32.08

<= 3.427% 33.04

30 days 3.407% 36.81

60 days 3.987% 35.30

90 days 0.00% 0.00

120 days 0.00% 0.00

150 days 0.00% 0.00

180 days 0.00% 0.00

3.089% 32.08

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Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

StratificationsPortfolio CharacteristicsPrincipal amount 6,978,424,221.86

Value of saving deposits 278,424,225.87

Net principal balance 6,699,999,995.99

Construction Deposits 8,083,853.84

Net principal balance excl. Construction and Saving Deposits 6,691,916,142.15

Number of loans 35,007

Number of loanparts 67,287

Average principal balance (borrower) 190,943.03

Average principal balance (loanpart) 99,573.47

Weighted average current interest rate 3.089%

Weighted average maturity (in years) 32.08

Weighted average remaining time to interest reset (in years) 9.46

Weighted average seasoning (in years) 3.08

Weighted average CLTOMV 78.293%

Weighted average CLTIMV 68.519%

Maximum current interest rate 6.85%

Frequency of publication National Transparancy Template: Monthly

Minimum current interest rate 1.20%

Type of cover assets: Dutch Residential Mortgages

Currency Portfolio: EUR

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Description Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

Interest Only 1,584,769,505.82 23.653% 18,752 27.869% 61.78%

Annuity 3,132,726,196.76 46.757% 30,751 45.701% 72.129%

Lineair 657,639,046.15 9.816% 7,005 10.411% 64.546%

Banksavings 1,324,865,247.26 19.774% 10,779 16.019% 70.014%

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

2. Redemption Type

Weighted Average Coupon

Weighted Average Maturity

2.956% 34.30

3.089% 32.08

2.791% 26.96

2.584% 26.50

4.202% 44.33

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From (>) - Until (<=) Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

<= 25.000 5,950,007.41 0.089% 319 0.911% 9.087%

25,000 - 50,000 46,312,269.57 0.691% 1,159 3.311% 20.22%

50,000 - 75,000 88,091,201.58 1.315% 1,390 3.971% 32.218%

75,000 - 100,000 239,967,909.60 3.582% 2,687 7.676% 48.608%

100,000 - 150,000 1,085,284,815.51 16.198% 8,503 24.289% 64.124%

150,000 - 200,000 1,461,433,205.30 21.812% 8,395 23.981% 70.905%

200,000 - 250,000 1,283,334,976.76 19.154% 5,743 16.405% 73.089%

250,000 - 300,000 735,031,482.13 10.971% 2,697 7.704% 71.186%

300,000 - 350,000 489,627,907.67 7.308% 1,515 4.328% 70.727%

350,000 - 400,000 317,459,902.11 4.738% 851 2.431% 71.513%

400,000 - 450,000 219,794,557.14 3.281% 518 1.48% 70.076%

450,000 - 500,000 164,733,798.27 2.459% 348 0.994% 70.762%

500,000 - 550,000 135,254,230.87 2.019% 258 0.737% 70.946%

550,000 - 600,000 98,049,850.78 1.463% 171 0.488% 69.565%

600,000 - 650,000 70,475,540.07 1.052% 113 0.323% 71.169%

650,000 - 700,000 68,736,279.02 1.026% 102 0.291% 69.888%

700,000 - 750,000 57,262,900.23 0.855% 79 0.226% 70.789%

750,000 - 800,000 44,170,939.72 0.659% 57 0.163% 71.434%

800,000 - 850,000 32,884,373.88 0.491% 40 0.114% 69.101%

850,000 - 900,000 30,681,915.97 0.458% 35 0.10% 72.559%

900,000 - 950,000 16,666,364.97 0.249% 18 0.051% 75.465%

950,000 - 1,000,000 8,795,567.43 0.131% 9 0.026% 74.161%

> 1.000.000

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

3. Outstanding Loan Amount

Weighted Average Coupon

Weighted Average Maturity

2.702% 18.57

2.749% 20.80

2.792% 23.51

3.013% 26.81

3.057% 30.00

3.082% 31.90

3.134% 33.53

3.23% 34.48

3.153% 33.43

3.107% 33.28

3.047% 33.20

3.033% 32.40

3.034% 32.75

2.989% 33.02

2.907% 32.79

2.992% 32.04

2.928% 32.75

2.758% 31.02

2.871% 32.21

3.089% 32.08

3.037% 31.91

3.092% 33.60

2.549% 28.79

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From (>=) - Until (<) Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

< 1995

1995 - 1996

1996 - 1997

1997 - 1998

1998 - 1999

1999 - 2000

2000 - 2001

2001 - 2002

2002 - 2003

2003 - 2004

2004 - 2005

2005 - 2006

2006 - 2007

2007 - 2008

2008 - 2009

2009 - 2010

2010 - 2011

2011 - 2012

2012 - 2013 1,201,405,026.95 17.931% 10,574 15.715% 69.697%

2013 - 2014 651,597,612.25 9.725% 6,771 10.063% 64.771%

2014 - 2015 847,983,517.74 12.656% 9,092 13.512% 63.655%

2015 - 2016 1,138,751,271.33 16.996% 12,054 17.914% 64.403%

2016 - 2017 1,427,629,951.84 21.308% 14,585 21.676% 68.098%

2017 - 2018 1,408,204,790.24 21.018% 13,866 20.607% 75.977%

>= 2018 24,427,825.64 0.365% 345 0.513% 65.857%

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

4. Origination Year

Weighted Average Coupon

Weighted Average Maturity

4.219% 41.19

3.799% 33.10

3.281% 28.68

2.844% 29.34

3.089% 32.08

2.511% 29.88

2.472% 30.38

2.517% 30.13

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From (>=) - Until (<) Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

< 1 year 932,402,837.93 13.916% 9,080 13.494% 77.895%

1 year - 2 years 1,323,204,910.70 19.749% 13,367 19.866% 70.223%

2 years - 3 years 1,351,949,534.00 20.178% 14,300 21.252% 65.469%

3 years - 4 years 989,895,484.38 14.775% 10,501 15.606% 63.802%

4 years - 5 years 584,430,236.41 8.723% 6,312 9.381% 63.771%

5 years - 6 years 1,054,601,248.35 15.74% 9,729 14.459% 68.05%

6 years - 7 years 463,515,744.22 6.918% 3,998 5.942% 70.81%

7 years - 8 years

8 years - 9 years

9 years - 10 years

>= 10 years

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

5. Seasoning

Weighted Average Coupon

Weighted Average Maturity

2.48% 30.44

2.43% 30.10

2.738% 29.58

3.077% 28.90

3.635% 28.75

4.053% 40.20

4.358% 40.91

3.089% 32.08

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From (>=) - Until (<) Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

< 2018

2018 - 2020 4,822,586.56 0.072% 114 0.169% 38.275%

2020 - 2025 31,313,835.91 0.467% 769 1.143% 38.994%

2025 - 2030 82,630,368.55 1.233% 1,462 2.173% 41.351%

2030 - 2035 128,370,101.81 1.916% 2,148 3.192% 47.037%

2035 - 2040 204,175,893.83 3.047% 2,809 4.175% 54.569%

2040 - 2045 1,147,945,019.78 17.134% 11,990 17.819% 64.409%

2045 - 2050 2,840,963,188.81 42.402% 27,199 40.422% 72.444%

2050 - 2055 367,167,352.71 5.48% 3,943 5.86% 62.508%

2055 - 2060 459,540,034.92 6.859% 4,449 6.612% 66.988%

2060 - 2065 587,835,305.83 8.774% 5,296 7.871% 69.975%

2065 - 2070 601,671,791.91 8.98% 5,113 7.599% 73.17%

2070 - 2075 237,619,197.53 3.547% 1,939 2.882% 75.622%

2075 - 2080 5,735,900.22 0.086% 54 0.08% 78.57%

2080 - 2085 69,450.00 0.001% 1 0.001% 58.02%

2085 - 2090 139,967.62 0.002% 1 0.001% 39.54%

2090 - 2095

2095 - 2100

>= 2100

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

6. Legal Maturity

Weighted Average Coupon

Weighted Average Maturity

2.46% 0.82

2.555% 4.35

2.606% 9.43

2.801% 14.12

2.917% 19.12

3.294% 25.37

2.577% 28.23

3.342% 34.18

3.517% 39.23

3.658% 44.11

3.911% 49.04

4.046% 53.17

3.606% 57.24

2.70% 62.33

2.40% 69.92

3.089% 32.08

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From (>=) - Until (<) Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

< 1 year 3,010,575.86 0.045% 61 0.091% 39.592%

1 year - 2 years 3,669,536.65 0.055% 92 0.137% 38.709%

2 years - 3 years 3,845,820.65 0.057% 99 0.147% 36.038%

3 years - 4 years 7,181,069.23 0.107% 172 0.256% 38.474%

4 years - 5 years 6,098,226.39 0.091% 164 0.244% 39.665%

5 years - 6 years 7,846,394.52 0.117% 182 0.27% 39.922%

6 years - 7 years 8,471,460.64 0.126% 201 0.299% 38.632%

7 years - 8 years 11,762,240.68 0.176% 228 0.339% 40.801%

8 years - 9 years 12,996,482.12 0.194% 257 0.382% 39.367%

9 years - 10 years 23,978,741.98 0.358% 410 0.609% 39.89%

10 years - 11 years 18,791,564.91 0.28% 298 0.443% 44.053%

11 years - 12 years 18,407,065.87 0.275% 320 0.476% 41.995%

12 years - 13 years 27,386,892.55 0.409% 510 0.758% 46.136%

13 years - 14 years 24,844,609.18 0.371% 429 0.638% 46.274%

14 years - 15 years 26,219,129.25 0.391% 413 0.614% 46.662%

15 years - 16 years 26,764,070.04 0.399% 405 0.602% 48.94%

16 years - 17 years 30,506,089.33 0.455% 467 0.694% 51.142%

17 years - 18 years 36,197,468.89 0.54% 541 0.804% 49.698%

18 years - 19 years 43,098,860.50 0.643% 588 0.874% 55.082%

19 years - 20 years 45,478,399.85 0.679% 589 0.875% 56.129%

20 years - 21 years 40,622,453.88 0.606% 557 0.828% 55.34%

21 years - 22 years 43,656,286.24 0.652% 582 0.865% 56.72%

22 years - 23 years 47,618,158.49 0.711% 573 0.852% 54.364%

23 years - 24 years 62,816,319.24 0.938% 795 1.182% 58.391%

24 years - 25 years 153,202,975.57 2.287% 1,840 2.735% 62.93%

25 years - 26 years 429,610,121.99 6.412% 4,282 6.364% 65.519%

26 years - 27 years 713,250,124.65 10.646% 6,930 10.299% 66.472%

27 years - 28 years 900,843,787.78 13.445% 8,792 13.066% 68.902%

28 years - 29 years 898,605,437.33 13.412% 8,365 12.432% 73.303%

29 years - 30 years 676,435,166.43 10.096% 6,318 9.39% 80.005%

>= 30 years 2,346,784,465.30 35.027% 21,827 32.439% 69.242%

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

7. Remaining Legal Tenor

Weighted Average Coupon

Weighted Average Maturity

2.453% 0.58

2.44% 1.48

2.401% 2.46

2.568% 3.53

2.691% 4.44

2.492% 5.48

2.685% 6.51

2.543% 7.53

2.605% 8.55

2.558% 9.63

2.671% 10.50

2.629% 11.43

2.83% 12.49

2.732% 13.46

2.793% 14.45

2.846% 15.45

2.917% 16.50

2.768% 17.49

2.919% 18.48

2.869% 19.43

3.05% 20.46

2.964% 21.48

2.959% 22.47

3.084% 23.49

3.357% 24.58

3.50% 25.48

3.044% 26.47

2.702% 27.48

3.089% 32.08

2.394% 28.43

2.446% 29.25

3.669% 43.32

Page 16: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

16 of 27

From (>) - Until (<=) Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

<= 10 % 6,957,973.31 0.104% 275 0.786% 6.783%

10 % - 20 % 49,100,091.12 0.733% 979 2.797% 13.848%

20 % - 30 % 108,039,573.01 1.613% 1,338 3.822% 22.164%

30 % - 40 % 198,199,467.97 2.958% 1,693 4.836% 30.723%

40 % - 50 % 346,126,816.93 5.166% 2,359 6.739% 39.795%

50 % - 60 % 517,045,269.66 7.717% 2,839 8.11% 48.472%

60 % - 70 % 823,455,363.83 12.29% 3,880 11.083% 57.243%

70 % - 80 % 757,075,803.37 11.30% 3,655 10.441% 65.977%

80 % - 90 % 1,398,273,350.43 20.87% 5,882 16.802% 74.744%

90 % - 100 % 2,360,463,021.27 35.231% 11,564 33.033% 83.674%

100 % - 110 % 135,099,829.53 2.016% 542 1.548% 91.126%

110 % - 120 % 163,435.56 0.002% 1 0.003% 101.45%

120 % - 130 %

130 % - 140 %

140 % - 150 %

> 150%

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

8. Current Loan To Original Market Value

Weighted Average Coupon

Weighted Average Maturity

2.606% 20.98

2.655% 22.32

2.709% 24.56

2.768% 26.39

2.786% 27.53

2.873% 30.49

2.878% 31.31

3.243% 33.04

3.186% 33.58

3.20% 33.08

3.128% 35.19

5.00% 51.58

3.089% 32.08

Page 17: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

17 of 27

From (>) - Until (<=) Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

<= 10 % 11,326,120.00 0.169% 399 1.14% 7.645%

10 % - 20 % 72,338,774.17 1.08% 1,239 3.539% 15.816%

20 % - 30 % 164,402,186.26 2.454% 1,722 4.919% 25.569%

30 % - 40 % 305,603,215.98 4.561% 2,237 6.39% 35.436%

40 % - 50 % 541,853,416.89 8.087% 3,176 9.072% 45.422%

50 % - 60 % 823,041,263.82 12.284% 4,147 11.846% 55.303%

60 % - 70 % 1,065,546,668.11 15.904% 4,888 13.963% 65.339%

70 % - 80 % 1,650,442,650.05 24.633% 7,533 21.519% 75.347%

80 % - 90 % 1,514,961,883.41 22.611% 7,118 20.333% 84.355%

90 % - 100 % 547,597,434.16 8.173% 2,532 7.233% 93.264%

100 % - 110 % 2,886,383.14 0.043% 16 0.046% 101.068%

110 % - 120 %

120 % - 130 %

130 % - 140 %

140 % - 150 %

> 150%

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

9. Current Loan To Indexed Market Value

Weighted Average Coupon

Weighted Average Maturity

2.609% 20.70

2.651% 22.88

2.753% 25.16

2.796% 27.48

2.858% 29.32

2.955% 31.06

3.196% 32.67

3.298% 33.44

3.157% 33.65

2.828% 32.99

3.201% 35.38

3.089% 32.08

Page 18: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

18 of 27

From (>=) - Until (<) Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

< 0.5 %

0.5 % - 1.0 %

1.0 % - 1.5 % 33,438,083.87 0.499% 406 0.603% 50.575%

1.5 % - 2.0 % 726,763,966.23 10.847% 8,044 11.955% 65.748%

2.0 % - 2.5 % 1,288,050,547.63 19.225% 13,825 20.546% 63.61%

2.5 % - 3.0 % 1,567,922,823.90 23.402% 15,492 23.024% 71.283%

3.0 % - 3.5 % 976,349,382.86 14.572% 9,692 14.404% 69.334%

3.5 % - 4.0 % 572,323,386.84 8.542% 5,411 8.042% 71.077%

4.0 % - 4.5 % 708,118,587.57 10.569% 6,833 10.155% 70.429%

4.5 % - 5.0 % 506,716,285.28 7.563% 4,558 6.774% 69.97%

5.0 % - 5.5 % 240,383,192.90 3.588% 2,301 3.42% 68.942%

5.5 % - 6.0 % 74,680,445.21 1.115% 667 0.991% 70.262%

6.0 % - 6.5 % 5,129,095.78 0.077% 54 0.08% 72.493%

6.5 % - 7.0 % 124,197.92 0.002% 4 0.006% 71.754%

>= 7.0 %

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

10. Loanpart Coupon (interest rate bucket)

Weighted Average Coupon

Weighted Average Maturity

1.414% 28.08

1.773% 28.69

2.215% 29.12

2.694% 30.02

3.177% 30.84

3.671% 31.76

4.241% 38.34

4.693% 40.01

5.176% 40.05

5.632% 40.73

6.086% 40.81

6.667% 31.84

3.089% 32.08

Page 19: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

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From (>=) - Until (<) Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

< 1 year 223,168,903.26 3.331% 2,904 4.316% 59.164%

1 year - 2 years 134,758,634.03 2.011% 1,596 2.372% 60.695%

2 years - 3 years 82,353,066.42 1.229% 1,049 1.559% 61.376%

3 years - 4 years 270,103,917.47 4.031% 2,506 3.724% 70.816%

4 years - 5 years 651,747,358.52 9.728% 6,012 8.935% 70.136%

5 years - 6 years 288,559,288.28 4.307% 2,956 4.393% 66.536%

6 years - 7 years 585,047,561.26 8.732% 6,058 9.003% 65.791%

7 years - 8 years 871,020,925.76 13.00% 8,972 13.334% 64.082%

8 years - 9 years 999,987,648.62 14.925% 10,011 14.878% 67.833%

9 years - 10 years 830,733,758.41 12.399% 8,014 11.91% 74.085%

10 years - 11 years 40,439,756.62 0.604% 495 0.736% 65.587%

11 years - 12 years 51,491,352.13 0.769% 599 0.89% 63.117%

12 years - 13 years 78,816,938.68 1.176% 928 1.379% 63.709%

13 years - 14 years 88,938,258.36 1.327% 955 1.419% 67.238%

14 years - 15 years 139,277,663.30 2.079% 1,299 1.931% 70.337%

15 years - 16 years 15,894,293.16 0.237% 199 0.296% 64.246%

16 years - 17 years 75,952,571.38 1.134% 799 1.187% 64.997%

17 years - 18 years 378,011,304.99 5.642% 3,646 5.419% 67.403%

18 years - 19 years 449,613,167.64 6.711% 4,197 6.237% 71.674%

19 years - 20 years 328,332,981.98 4.90% 3,049 4.531% 79.172%

20 years - 21 years 7,179,262.05 0.107% 86 0.128% 66.195%

21 years - 22 years 5,123,975.72 0.076% 52 0.077% 69.536%

22 years - 23 years 8,906,798.21 0.133% 98 0.146% 68.244%

23 years - 24 years 19,011,651.64 0.284% 149 0.221% 74.875%

24 years - 25 years 23,220,977.50 0.347% 178 0.265% 75.073%

25 years - 26 years 2,870,644.38 0.043% 28 0.042% 71.649%

26 years - 27 years 13,069,337.36 0.195% 126 0.187% 71.012%

27 years - 28 years 20,730,371.70 0.309% 194 0.288% 74.501%

28 years - 29 years 10,150,369.56 0.151% 84 0.125% 79.53%

29 years - 30 years 5,487,257.60 0.082% 48 0.071% 84.941%

30 year >=

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

11. Remaining Interest Rate Fixed Period

Weighted Average Coupon

Weighted Average Maturity

2.405% 30.62

2.885% 30.64

3.301% 31.50

4.336% 39.79

4.253% 40.92

4.053% 29.84

3.227% 29.12

2.639% 29.85

2.273% 30.26

2.392% 31.22

3.392% 30.77

3.418% 29.39

3.143% 29.72

3.803% 33.95

4.283% 37.74

5.062% 31.64

3.819% 30.75

3.121% 30.48

3.025% 30.94

3.091% 31.47

4.56% 34.67

4.095% 35.64

3.827% 37.37

5.191% 45.41

5.383% 44.85

5.585% 27.52

4.229% 27.58

3.768% 28.92

3.089% 32.08

3.563% 29.04

3.586% 29.56

Page 20: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

20 of 27

Description Aggregate Outstanding Amount % of Total Nr of Loanparts % of Total Weighted Average CLTIMV

Floating 42,779,936.07 0.639% 846 1.257% 53.185%

Fixed 6,657,220,059.92 99.361% 66,441 98.743% 68.617%

Total 6,699,999,995.99 100.00% 67,287 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

12. Interest Payment Type

3.095% 32.11

3.089% 32.08

Weighted Average Coupon

Weighted Average Maturity

2.045% 28.49

Page 21: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

21 of 27

Description Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

Appartement 972,015,380.78 14.508% 6,713 19.176% 67.754%

House 5,727,984,615.21 85.492% 28,294 80.824% 68.648%

Business

Other

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

13. Property Description

Weighted Average Coupon

Weighted Average Maturity

2.87% 29.11

3.089% 32.08

3.126% 32.59

Page 22: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

22 of 27

Province Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

Groningen 139,571,744.66 2.083% 937 2.677% 72.67%

Friesland 272,382,791.38 4.065% 1,748 4.993% 71.574%

Drenthe 183,379,216.77 2.737% 1,113 3.179% 72.978%

Overijssel 483,589,722.09 7.218% 2,672 7.633% 71.041%

Gelderland 808,627,969.63 12.069% 4,266 12.186% 69.07%

Flevoland 123,227,702.67 1.839% 714 2.04% 73.055%

Utrecht 599,948,062.95 8.954% 2,724 7.781% 65.681%

Noord-Holland 990,321,322.15 14.781% 4,556 13.015% 63.412%

Zuid-Holland 1,329,015,753.73 19.836% 6,766 19.328% 68.221%

Zeeland 202,222,654.38 3.018% 1,271 3.631% 73.682%

Noord-Brabant 1,161,979,625.75 17.343% 5,848 16.705% 68.718%

Limburg 405,733,429.83 6.056% 2,392 6.833% 72.033%

Unspecified

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

14. Geographical Distribution (by province)

Weighted Average Coupon

Weighted Average Maturity

2.972% 30.91

2.851% 30.83

3.007% 30.72

3.109% 32.64

3.058% 31.90

3.021% 31.46

3.105% 32.89

2.998% 32.00

3.124% 32.13

3.107% 31.03

3.089% 32.08

3.151% 32.60

3.275% 31.73

Page 23: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

23 of 27

Description Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

Owner Occupied 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Buy-to-let

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

15. Occupancy

3.089% 32.08

Weighted Average Coupon

Weighted Average Maturity

3.089% 32.08

Page 24: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

24 of 27

Description Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

Monthly 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Quarterly

Semi-annually

Annually

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

16. Loanpart Payment Frequency

Weighted Average Coupon

Weighted Average Maturity

3.089% 32.08

3.089% 32.08

Page 25: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

25 of 27

Description Aggregate Outstanding Amount % of Total Nr of Loans % of Total Weighted Average CLTIMV

NHG Guarantee 2,834,060,058.11 42.299% 17,701 50.564% 75.732%

Non-NHG Guarantee 3,865,939,937.88 57.701% 17,306 49.436% 63.222%

Total 6,699,999,995.99 100.00% 35,007 100.00% 68.519%

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

17. Guarantee Type

2.956% 31.10

3.089% 32.08

Weighted Average Coupon

Weighted Average Maturity

3.269% 33.42

Page 26: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

Glossary

Term Definition / Calculation

Account Bank The bank at which the AIC Account is maintained from time to time being, as at the Programme Date, Rabobank and following termination of the AIC Account Agreement, such other replacement account bank as may be appointed in accordance with the AIC Account Agreement (unless the context otherwise requires).

ACT Asset Cover Test. Asset Cover Test has the meaning ascribed to such term in Clause 3 (Asset Cover Test) of the Asset Monitor Agreement.

ACT (alfa) " α" means for each Transferred Receivable the lower of its Current Balance and the sum of the following elements, to the extent applicable to it: (a) if it is a Category 3 Receivable: an amount calculated on the basis of a method notified to the Rating Agency related to the Savings and Accrued Savings Interest in connection with such Transferred Receivable, provided that no amount will be deducted if and to the extent that a Master Sub-Participation Agreement is effective in relation to the relevant Transferred Receivable; (b) if it was used to fund a Construction Deposit: the amount of the Construction Deposit; (c) if it was in breach of the Receivable Warranties as of the relevant Transfer Date: such amount as is necessary to reduce its Adjusted Current Balance or Current Balance, as the case may be, to zero; (d) if it is a Defaulted Receivable: such amount as is necessary to reduce its Current Balance to zero; (e) if it is 3 months or more in arrears (other than any Defaulted Receivable): such amount as is necessary to reduce its Current Balance to 30 per cent. of its Current Balance; (f) if it is a Bank Savings Receivable: the amount standing to the credit of the related Bank Savings Account, unless it concerns a Participation Receivable, in which case an amount equal to the relevant Participation is already deducted as part of the definition of Net Outstanding Principal Balance; (g) if any of the Issuer's ratings from the Rating Agency fall below the relevant minimum rating determined to be applicable or agreed by the Rating Agency, being as at the Programme Date 'P-1(cr)' (short-term) by Moody's and the related Borrower has a deposit with Rabobank or any other Originator that engages in the business of, amongst other things, attracting or accepting deposits: an amount equal to the amount by which the aggregate deposits of such Borrower (other than any deposit relating to a Bank Savings Loan) exceeds EUR 100,000 (or such other amount which is not advanced to a Borrower in accordance with the Dutch deposit guarantee scheme (depositogarantiestelsel)); and/or (h) if the Originator has a Residual Claim (excluding, for the avoidance of doubt, a Further Advance) and (i) a RC Trigger Event has occurred and (ii) a RC Deduction Notice has been delivered to the CBC and the Trustee: an amount equal to the Deductible Residual Claim;

ACT (bèta) For each Transferred Receivable the lower of (i) the LTV Cut-Off Percentage of its Indexed Valuation and (ii) α minus L. "L" means for each Transferred Receivable its Current Balance minus the LTV Cut-Off Percentage of its Indexed Valuation provided that if the result is negative, L shall be zero and if the result exceeds α, L shall equal α;

ACT A The lower of:(a) the sum of all Adjusted Current Balances of all Transferred Receivables. The "Adjusted Current Balance" of a Transferred Receivable is the lower of: (i) the Current Balance of such Transferred Receivable minus α; and (ii) the LTV Cut-Off Percentage of the Indexed Valuation relating to such Transferred Receivable, minus β; and(b) the Asset Percentage of: the sum of the Current Balance minus α of all Transferred Receivables;

ACT B The aggregate amount of all Principal Receipts, all Adjusted Revenue Receipts on the Transferred Receivables and (without double counting) all amounts received by the CBC under any Swap Agreement after netting up to the end of the immediately preceding Calculation Period which have not been applied in accordance with the Trust Deed;

ACT C The aggregate amount of (i) all Transferred Collateral in cash which has not been applied in accordance with the Trust Deed and (ii) the amounts standing to the credit of the Reserve Ledger;

ACT D The aggregate outstanding principal balance of all Transferred Collateral in Substitution Assets and accrued interest thereon which has not been applied in accordance with the Trust Deed. Substitution Assets will be valued on a monthly basis and be taken into account for their mark-to-market value at a discount based on a methodology proposed to the Rating Agency;

ACT E Not applicable

ACT X In respect of each Series of Covered Bonds in respect of which no Portfolio Swap is entered into by the CBC, for as long as (i) the Issuer's rating from the Rating Agency falls below the relevant minimum rating determined to be applicable or agreed by the Rating Agency, being as at the Programme Date 'P-1(cr)' by Moody's and (ii) the interest payable in respect of the relevant Series of Covered Bonds (expressed as a percentage per annum) exceeds the weighted average interest rate of all Transferred Assets, an amount equal to the higher of:(a) zero; and(b) the product of: (i) the aggregate of: (A) the interest (expressed as a percentage per annum) payable in respect of the relevant Series of Covered Bonds in respect of which no Portfolio Swap is entered into by the CBC less (B) the weighted average interest rate of all Transferred Assets; (ii) the remaining maturity in years of the relevant Series of Covered Bonds; (iii) the euro equivalent of the aggregate Principal Amount Outstanding of the relevant Series of Covered Bonds (and in respect of those Covered Bonds not denominated in euro, converted into euro at the respective Structured Swap Rate);For the purpose of calculating the interest payable by the CBC in respect of any Series of Covered Bonds which is a Floating Rate Covered Bond, the interest as most recently determined in respect of such Series of Covered Bonds shall be used.

ACT Y Means: (a) if the Issuer's rating from the Rating Agency falls below the relevant minimum rating determined to be applicable or agreed by the Rating Agency, being as at the Programme Date 'Baa1(cr)' by Moody's, an amount equal to the Net Outstanding Principal Balance of all Receivables on the last day of the month immediately preceding the Calculation Date multiplied by the Monthly Payment Ratio as calculated in respect of the calendar month immediately preceding the Calculation Date, in connection with commingling risk; or (b) if (i) the Issuer's credit rating from the Rating Agency is at least equal the relevant minimum rating determined to be applicable or agreed by the Rating Agency, being as at the Programme Date 'Baa1(cr)'; or (ii) following the occurrence of a Notification Event and the relevant Borrowers have been notified of the assignment of the Receivables,zero;

Asset Percentage 100% or such other percentage figure as is determined from time to time in accordance with the Asset Monitor Agreement.

Available Liquidity Buffer Means available liquid assets on reserved accounts of the CBC, plus interest payments and principal repayments from the underlying assets (including derivatives) to which the CBC is contractually entitled for the following six (6) months period.

Calculation Date The date falling two Business Days before each CBC Payment Date. The "relevant" Calculation Date in respect of any Calculation Period will be the first Calculation Date falling after the end of that period and the "relevant" Calculation Date in respect of any CBC Payment Date will be the last Calculation Date prior to that CBC Payment Date;

CLTIMV Current Loan to Indexed Market Value means the ratio calculated by dividing the current outstanding loan amount by the Indexed Valuation.

CLTOMV Current Loan to Original Market Value means the ratio calculated by dividing the current outstanding loan amount by the Market Value.

Construction Deposit Certain Eligible Receivables result from a mortgage loan agreement under which the relevant Borrower has requested part of the loan to be disbursed into a blocked deposit account specifically opened in his name for such purpose, in anticipation of construction or improvement costs to be incurred by him at a later stage in connection with the Property (a "Construction Deposit"; bouwdepot)

26 of 28

Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Page 27: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

Term Definition / Calculation

Credit Rating An assessment of the credit worthiness of the notes assigned by the credit rating agencies.

Current Balance In relation to an Eligible Receivable at any date, the aggregate (without double counting) of the Net Outstanding Principal Balance, Accrued Interest (unless it concerns calculations for either the Asset Cover Test or the Amortisation Test Aggregate Receivable Amount, in which case Accrued Interest will not be included) and Arrears of Interest as at that date;

Index The index of increases or decreases, as the case may be, of house prices issued by the Land Registry in relation to residential properties in The Netherlands.

Indexed Valuation At any date in relation to any Transferred Receivable secured over any Property:(a) where the Original Market Value of that Property is equal to or greater than the Price Indexed Valuation as at that date, the Price Indexed Valuation; or(b) where the Original Market Value of that Property is less than the Price Indexed Valuation as at that date, the Original Market Value plus [•]% (or, if a different percentage is required or sufficient from time to time for the Covered Bonds to comply with Article 129 CRR and the Issuer wishes to apply such different percentage, then such different percentage) of the difference between the Original Market Value and the Price Indexed Valuation;

IRS Interest rate swap (if any)

Liquidity Buffer Test Means a monthly check, whether the Available Liquidity Buffer is equal to / or higher than the Required Liquidity Buffer, calculated in accordance with article 40(g) of the Decree on Prudential Rules under the FSA (Besluit prudentiele regels Wft) and annually checked by the Asset Monitor.

Loan Any loan (including the Initial Advance and any Further Advance) or loan part (leningdeel) granted by the relevant Originator to a Borrower pursuant to the terms of a Loan Agreement;

Loanpart(s) One or more of the loan parts (leningdelen) of which a Rabobank Mortgage Loan or RHB Mortgage Loan consists.

LTV Cut-Off Percentage Such percentage as is required from time to time for the Covered Bonds to comply with Article 129 CRR, currently being 80% for all Transferred Receivables.

Market Value The market value (marktwaarde) given to that Property by the most recent valuation addressed to the Originator that transferred the relevant Transferred Receivable to the CBC;

Maturity Date (Bonds) In respect of a Series the Interest Payment Date which falls no more than 45 years after the Issue Date of such Series and on which the Covered Bonds of such Series are expected to be redeemed at their Principal Amount Outstanding in accordance with the Conditions as specified in the relevant Final Terms;

Minimum Overcollateralization The minimum overcollateralization required by either law, the programme documentation or rating agencies.

Net Outstanding Principal Balance In relation to a Transferred Receivable, at any date, the Gross Outstanding Principal Balance of such Receivable less, if it is a Participation Receivable, an amount equal to the Participation on such date.

NHG Guarantee Guarantees (borgtochten) issued by Stichting Waarborgfonds Eigen Woningen under the terms and conditions of the National Mortgage Guarantee (Nationale Hypotheek Garantie), as from time to time amended;

Nominal OC The actual overcollateralization which is calculated by dividing (i) the total outstanding balance of the cover assets included in the cover pool by (ii) the total amount of outstanding covered bonds (both excluding accrued interest).

NPV assumptions (when stated) Not applicable

Occupancy The way the mortgaged property is used (e.g. owner occupied).

Original Market Value The market value (marktwaarde) given to that Property by the most recent valuation addressed to the Originator that transferred the relevant Transferred Receivable to the CBC;

Originator The time in years from the reporting date to the maturity date of a loan.

Pre-Maturity Liquidity Ledger Not applicable

Remaining Tenor The time in years from the reporting date to the maturity date of a loan.

Required Liquidity Buffer Means an amount which is such amount as required for covered bonds pursuant to the CB Regulations to meet the obligation regarding interest payments and redemptions (the latter only in case of hard bullet covered bonds) under the covered bonds for the following six (6) months period including senior cost.

Reserve Fund Pursuant to the Trust Deed, the CBC will be required to maintain a Reserve Fund on the AIC Account (which Reserve Fund is administered through the Reserve Fund Ledger). In consideration for the CBC to assume the Guarantee, the Issuer will transfer to the CBC an amount equal to the Reserve Fund Required Amount and such further amounts as are necessary from time to time to ensure that an amount up to the Reserve Fund Required Amount is standing to the credit of the Reserve Fund Ledger.

Savings With respect to (i) a Category 3 Receivable, the savings part of all premiums received by the Participant from the relevant Borrower under or pursuant to the relevant insurance policy, and (ii) a Bank Savings Receivable, all payments made by the relevant Borrower to the related Bank Savings Account

Seasoning The time between the origination of the relevant loan the respective reporting period.

Series A Tranche of Covered Bonds together with any further Tranche or Tranches of Covered Bonds which are (i) expressed to be consolidated and form a single series and (ii) identical in all respects (including as to listing) except for their respective Issue Dates, Interest Commencement Dates and/or Issue Prices.

Servicer Rabobank

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Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018

Page 28: Coöperatieve Rabobank U.A. Monthly Investor Report Dutch ... · Page Covered Bonds 3 Asset Cover Test 4 Counterparty Credit Ratings & Triggers 5 Ledgers & Investments 6 Regulatory

Contact Information

Account Bank Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Arranger Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

CBC Rabo Covered Bond Company B.V.

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

Dealer Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Holding Stichting Holding Rabo Covered Bond Company

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

Initial Originators Rabohypotheekbank N.V.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Issuer Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Listing Agent Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Registrar Citigroup Global Markets Deutschland AG

Reuterweg 16

60323 Frankfurt

Germany

Trustee Stichting Security Trustee Rabo Covered Bond CompanyPrins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

Administrator Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Asset Monitor KPMG Accountants N.V.

Laan van Langerhuize 1

1186 DS Amstelveen

The Netherlands

CBC's Director Intertrust Management B.V.

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

Guarantor Rabo Covered Bond Company B.V.

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

Initial Originators Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Initial Servicer Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Issuer or Administrator Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Principal Paying Agent Citibank, N.A., London Branch

Canada Square, Canary Wharf

E14 5LB London

United Kingdom

Servicer Coöperatieve Rabobank U.A.

Croeselaan 18

3521 CB Utrecht

The Netherlands

Trustee's Director Amsterdamsch Trustee's Kantoor B.V.

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

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Coöperatieve Rabobank U.A.

Investor Report: 1 May 2018 - 31 May 2018