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Financial Statements - Balance sheets - EUR (€)
€ in Millions
Jun. 30, 2018
Dec. 31, 2017
Assets    
BBVA Cash Balance Available To The Date € 37,279 € 42,680
Financial Assets Held For Trading 91,018 64,695
Derivative financial assets held for trading 35,277 35,265
Equity Instruments Held For Trading 5,250 6,801
Debt Instruments Held For Trading 26,953 22,573
Loans and Advances to Central Banks Held for Trading 699 0
Loans And Advances To Banks Held For Trading 13,588 0
Loans and receivables Held For Trading 9,251 56
Total Non Trading Financial Assets At Fair Value Through Profit Or Loss Mandatorily Measured At Fair Value 4,377  
Equity Instruments Mandatorily Measured At Fair Value 2,758  
Debt Securities At Fair Vale Mandatorily Measured At Fair Value 290  
Loans And Advances To Central Banks Mandatorily Measured At Fair Value 0  
Loans And Advances To Banks Mandatorily Measured At Fair Value 0  
Loans And Advances To Customers Mandatorily Measured At Fair Value 1,329  
FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS 1,487 2,709
Equity instruments at fair value 0 1,888
Debt Securities, at fair value 1,327 174
Loans and advances to central banks, at fair value 0 0
Loans and advances to credit institutions, at fair value 160 0
Loans And Advances To Customers At Fair Value 0 648
Total Financial Assets At Fair Value Through Other Comprehensive Income 63,212 69,476
Subtotal Equity instruments At Fair Value Through Other Comprehensive Income 2,579 3,224
Subtotal Debt Instruments At Fair Value Through Other Comprehensive Income 60,600 66,251
Loans and advances at fair value through other comprehensive income 33 0
FINANCIAL ASSETS AT AMORTIZED COST 426,349 445,275
Debt Securities Financial Assets at Amortized Cost 32,082 24,093
Loans and advances to central banks 5,309 7,300
Loans and advances to banks 11,783 26,261
Loans and Advances to customers 377,175 387,621
HEDGING DERIVATIVES, ASSETS 3,035 2,485
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK, ASSETS (39) (25)
INVESTMENTS IN SUBSIDIARIES JOINT VENTURES AND ASSOCIATES 1,470 1,588
Joint ventures 228 256
Associates 1,242 1,332
INSURANCE OR REINSURANCE ASSETS 414 421
TANGIBLE ASSETS 6,736 7,191
Total Property, plant and equipment 6,585 6,996
For own use (PPE) 6,209 6,581
Assets leased out under an operating lease 376 415
Investment Property 151 195
INTANGIBLE ASSETS 8,373 8,464
Goodwill 6,148 6,062
Other intangible assets 2,225 2,402
TAX ASSETS 17,416 16,888
Current tax assets 2,195 2,163
Deferred tax assets 15,221 14,725
OTHER ASSETS 4,901 4,359
Insurance contracts linked to pensions 0 0
Inventories 219 229
Rest other assets 4,681 4,130
Non Current Assets Or Disposal Groups Clasified As Held For Sale 23,604 23,853
TOTAL ASSETS 689,632 690,059
LIABILITIES AND EQUITY    
Financial Liabilities Held For Trading 83,667 46,182
Derivative financial liabilities, held for trading 36,591 36,169
Short positions, held for trading 12,240 10,013
Deposits from central banks, held for trading 2,882 0
Deposits from credit institutions, held for trading 21,459 0
Customer deposits, held for trading 10,495 0
Debt certificates, held for trading 0 0
Other financial liabilities, held for trading 0 0
FINANCIAL LIABILITIES DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS 6,221 2,222
Deposits from central banks, at fair value 0 0
Deposits from credit institutions, at fair value 0 0
Customer deposits, at fair value 997 0
Debt certificates, at fair value 2,494 0
Other financial liabilities, at fair value 2,730 2,222
FINANCIAL LIABILITIES AT AMORTIZED COST 503,073 543,713
Deposits from cental banks [1] 28,734 37,054
Deposits from credit institutions 33,307 54,516
Customer deposits 367,312 376,379
Debt certificates, at amortized cost 62,349 63,915
Other financial liabilities, at amortized cost 11,370 11,850
HEDGING DERIVATIVES, LIABILITIES 2,616 2,880
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK, LIABILITIES 0 (7)
LIABILITIES UNDER INSURANCE CONTRACTS 9,500 9,223
PROVISIONS 7,045 7,477
Pensions and other post employment defined Benefit Obligations 5,013 5,407
Other long term employee benefits 61 67
Provisions for taxes and other legal contingencies 750 756
Provisions for contingent risks and commitments 598 578
Other Provisions 622 669
TAX LIABILITIES 3,614 3,298
Current tax liabilities 1,428 1,114
Deferred tax liabilities 2,186 2,184
OTHER LIABILITIES 4,918 4,550
LIABILITIES INCLUDED IN DISPOSAL GROUPS CLASSIFIED AS HELD FOR SALE 16,890 17,197
TOTAL LIABILITIES 637,544 636,736
Total shareholders' funds 55,619 55,136
Capital 3,267 3,267
Paid up capital 3,267 3,267
Unpaid capital which has been called up 0 0
Share Premium 23,992 23,992
Equity Instruments issued other than capital 0 0
Other equity 47 54
Retained Earnings 26,075 25,474
Revaluation reverse 11 12
Total Other Reserves (48) (44)
Reserves or accumulated losses of investments in subsidaries, joint ventures and associates (48) (44)
Other Reserves, other 0 0
Less: Treasury shares 205 96
Profits or losses attributables to owners of the parent 2,649 3,519
Less: Interim dividends 170 1,043
Total accumulated other comprehensive income (9,868) (8,792)
Total Items that will not be reclassified to profit or loss balance (1,311) (1,183)
Actuarial gains or (-) losses on defined benefit pension plans (1,205) (1,183)
Non-current assets and disposal groups classified as held for sale (not reclassified) 0 0
Share of other recognized income and expense of investments in subsidiaries, joint ventures and associates 0 0
Other Comprehensive Income Net Of Tax Change At fair Value Of Equity Instruments Measured At Fair Value (174) 0
Hedge ineffectiveness of fair value hedge for equity instruments measured at fair value through other comprehensive income 0  
Fair value changes of financial liabilities at fair value through profit or loss attributable to changes in their credit risk 68 0
Fair value changes of equity instruments measured at fair value through other comprehensive income [hedged item] 0 0
Fair value changes equity instruments measured at fair value through other comprehensive income [hedging instrument] 0 0
Total Items that may be reclassified to profit or loss (8,557) (7,609)
Hedge of net investments in foreign operations(effective portion) (53) 1
Foreign currency translation balance (9,607) (9,159)
Hedging derivatives.Cash flow hedges(efffective portion) (98) (34)
Changes In The Fair Value Of Debt Instruments Measured At Fair Value With Changes In Other Comprehensive Income 1,233 1,641
Other Comprehensive Income Net Of Tax Of Hedging Instruments 0  
Non-current assets and disposal groups classified as held for sale 1 (26)
Share of other recognized income and expense of investments in subsidiaries joint ventures and associates (35) (31)
MINORITY INTERESTS (NON-CONTROLLING INTEREST) 6,336 6,979
Valuation adjustments (4,243) (3,378)
Rest non-controlling interest 10,579 10,358
TOTAL EQUITY 52,087 53,323
Equity and liabilities € 689,632 € 690,059
[1]

(*) Of which: balance relating to repurchase agreement as of June 30, 2018 and December 31, 2017 is €1,849 million and € 6,155 million, respectively.