Solvency

Grupo Cooperativo Cajamar Solvency
Data as of 30 June 2026(*)
CET 1 ratio phased in (%) 14.1%
Capital ratio phased in (%) 16.6%
Leverage ratio phased in (%) 6.4%

(*) This information corresponds to that provided in the Second Quarter 2026 Results Presentation on August 4, 2026.