Company: BBD
Filing Date: 2025-10-30
Form Type: 6-K
Source: 0001292814-25-003701
Chunk: 157

Company: BANK BRADESCO
Filing Date: 2025-10-30
Form: 6-K
Chunk 157
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899,391 Bradesco does not offer its Key Management Personnel long-term benefits related to
severance pay or share-based compensation, pursuant to CPC 10 – Share-Based Payment, approved by CMN Resolution No. 3,989/11. Shareholding
Together, members of the Board of Directors and Board of Executive Officers had the following shareholding in Bradesco: Direct ownership
On September 30, 2025 ● Common shares 0,32% ● Preferred shares 1,07% ● Total shares (1) 0,70% (1) On September 30, 2025,
direct and indirect shareholding of the members of Bradesco’s Board of Directors and Board of Executive Officers amounted to 2.15%
of common shares, 1.10% of preferred shares and 1.63% of all shares. BRADESCO | Consolidated Financial Statements 137 Conso lidated Financial
Statements | Notes to the Consolidated Financial Statements 38) RISK AND CAPITAL MANAGEMENT For the period ended on September 30, 2025,
Bradesco maintained the same criteria disclosed in the financial statements as of December 31, 2024, especially regarding the criteria
related to measurement according to hierarchical levels, sensitivity analysis of financial assets classified in Level 3, and methodologies
used to determine fair values. Detailed information on risk management process, including credit risk, market risk, liquidity risk, social,
environmental, and climate risks and also Bradesco's risks exposures may be found in the Organization's Risk Management Report. a) Capital
Management The Basel Ratio is part of the set of indicators monitored in the process of Capital Management Its purpose is to measure capital
adequacy in relation to risk exposure. The table below shows the composition of the Reference Equity and of the Risk Weighted Assets,
according to the standards of Bacen. Throughout the analyzed period, Bradesco complied with all minimum regulatory requirements. Below
is the Basel Ratio: Calculation basis - Basel Ratio R$ thousands Basel III On September 30, 2025 Calculation basis - Basel Ratio Regulatory
capital - values Common equity 121,615,610 Level I 142,577,729 Reference Equity - RE 169,227,988 Risk-weighted assets (RWA) - amounts
Total RWA 1,067,378,808 Regulatory capital as a proportion of RWA Index of Common equity - ICP 11.4% Tier I Capital 13.4