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Note 2 - Principles Of Consoldiation, Acounting policies and measurement bases applied and recent IFRS pronouncements - Consolidated balance sheet summarized (Details) - EUR (€)
€ in Millions
Dec. 31, 2018
Aug. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
Assets          
BBVA Cash Balance Available To The Date € 58,196 € 4,577 € 42,680 € 40,039  
Total financial assets held for trading 90,117   64,695 74,950  
Derivative financial assets held for trading 30,536   35,265 42,955  
Equity Instruments Held For Trading 5,254   6,801 4,675  
Debt Instruments Held For Trading 25,577   22,573 27,166  
Loans and Advances to Central Banks Held for Trading 2,163   0 0  
Loans And Advances To Banks Held For Trading 14,566   0 0  
Loans and receivables Held For Trading 12,021   56 154  
Non Trading Financial Assets Mandatorily Measured At Fair Value Through Profit or Loss 5,135        
FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS 1,313   2,709 2,062  
Total Financial Assets At Fair Value Through Other Comprehensive Income 56,337   69,476 79,221  
Subtotal Equity instruments At Fair Value Through Other Comprehensive Income 2,595   3,224 4,641  
Subtotal Debt Instruments At Fair Value Through Other Comprehensive Income 53,709   66,251 74,580  
Loans and advances Financial Assets At Fair Value Through Other Comprehensive Income 33   0 0  
Financial Assets Available for sale     1,641 947  
FINANCIAL ASSETS AT AMORTIZED COST 419,660   445,275 483,672  
Debt Securities Financial Assets at Amortized Cost 32,530   24,093 28,905  
Loans and advances to central banks 3,941   7,300 8,894  
Loans and advances to banks 9,163   26,261 31,373  
Loans and Advances to customers 374,027   387,621 414,500  
HEDGING DERIVATIVES, ASSETS 2,892   2,485 2,833  
Investments In Subsidiaries Joint Ventures And Associates 1,578   1,588 765 € 879
INSURANCE OR REINSURANCE ASSETS 366   421 447  
Tangible Assets 7,229   7,191 8,941  
Intangible Assets 8,314   8,464 9,786  
Tax Assets 18,100   16,888 18,245  
Other Assets 5,472   4,359 7,274  
Non Current Assets Or Disposal Groups Clasified As Held For Sale 2,001   23,853 3,603  
TOTAL ASSETS 676,689   690,059 [1] 731,856 [1],[2]  
LIABILITIES AND EQUITY          
Financial Liabilities Held For Trading 80,774   46,182 54,675  
Total Financial Liabilities At Fair Value Through Profit or Loss 6,993   2,222 2,338  
FINANCIAL LIABILITIES AT AMORTIZED COST 509,185   543,713 589,210  
Deposits from cental banks [3] 27,281   37,054 34,740  
Deposits from credit institutions 31,978   54,516 63,501  
Customer deposits 375,970   376,379 401,465  
Debt certificates, at amortized cost 61,112   63,915 76,375  
Other financial liabilities, at amortized cost 12,844   11,850 13,129  
HEDGING DERIVATIVES, LIABILITIES 2,680   2,880 2,347  
LIABILITIES UNDER INSURANCE CONTRACTS 9,834   9,223 9,139  
Provisions 6,772   7,477 9,071  
Tax liabilities 3,276   3,298 4,668  
OTHER LIABILITIES 4,301   4,550 4,979  
LIABILITIES INCLUDED IN DISPOSAL GROUPS CLASSIFIED AS HELD FOR SALE 0   17,197 0  
TOTAL LIABILITIES 623,814   636,736 676,428  
Total shareholders' funds 54,326   53,283 50,985  
Capital (Capital base and capital management) 3,267   3,267 3,218  
Share Premium 23,992   23,992 23,992  
Equity Instruments issued other than capital 0   0 0  
Other Equity ( Capital base and management) 50   54 54  
Retained Earnings 23,018   23,612 21,844  
Revaluation reverse 3   12 20  
Other Reserves (58)   (35) (59)  
Less Treasury shares 296   96 48 € 309
Less Interim dividends 975   1,043 1,510  
Accumulated Other Comprehensive Income (7,215)   (6,939) [4] (3,622) [4]  
Total Non-Controlling interests 5,764   6,979 8,064  
TOTAL EQUITY 52,874   53,323 55,428  
Equity and liabilities 676,689   € 690,059 € 731,856  
December 2017 IAS 39 [Member]          
Assets          
BBVA Cash Balance Available To The Date 42,680        
Total financial assets held for trading 64,695        
Derivative financial assets held for trading 35,265        
Equity Instruments Held For Trading 6,801        
Debt Instruments Held For Trading 22,573        
Loans and Advances to Central Banks Held for Trading 0        
Loans And Advances To Banks Held For Trading 0        
Loans and receivables Held For Trading 56        
FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS 2,709        
Financial Assets Available for sale 69,476        
FINANCIAL ASSETS AT AMORTIZED COST 431,521        
Debt Securities Financial Assets at Amortized Cost 10,339        
Loans and advances to central banks 7,300        
Loans and advances to banks 26,261        
Loans and Advances to customers 387,621        
Held to Maturity Investment 13,754        
HEDGING DERIVATIVES, ASSETS 2,485        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Assets (25)        
Investments In Subsidiaries Joint Ventures And Associates 1,588        
INSURANCE OR REINSURANCE ASSETS 421        
Tangible Assets 7,191        
Intangible Assets 8,464        
Tax Assets 16,888        
Other Assets 4,359        
Non Current Assets Or Disposal Groups Clasified As Held For Sale 23,853        
TOTAL ASSETS 690,059        
LIABILITIES AND EQUITY          
Financial Liabilities Held For Trading 46,182        
Total Financial Liabilities At Fair Value Through Profit or Loss 2,222        
FINANCIAL LIABILITIES AT AMORTIZED COST 543,713        
Deposits from cental banks 37,054        
Deposits from credit institutions 54,516        
Customer deposits 376,379        
Debt certificates, at amortized cost 63,915        
Other financial liabilities, at amortized cost 11,850        
HEDGING DERIVATIVES, LIABILITIES 2,880        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Liabilities (7)        
LIABILITIES UNDER INSURANCE CONTRACTS 9,223        
Provisions 7,477        
Tax liabilities 3,298        
OTHER LIABILITIES 4,550        
LIABILITIES INCLUDED IN DISPOSAL GROUPS CLASSIFIED AS HELD FOR SALE 17,197        
TOTAL LIABILITIES 636,736        
Total shareholders' funds 53,283        
Capital (Capital base and capital management) 3,267        
Share Premium 23,992        
Equity Instruments issued other than capital 0        
Other Equity ( Capital base and management) 54        
Retained Earnings 23,612        
Revaluation reverse 12        
Other Reserves (35)        
Less Treasury shares 96        
Profit Loss Attributable To Owners Of Parent shareholder funds 3,519        
Less Interim dividends 1,043        
Accumulated Other Comprehensive Income (6,939)        
Total Non-Controlling interests 6,979        
TOTAL EQUITY 53,323        
Equity and liabilities 690,059        
Financial Instruments Classification and Measurement [Member]          
Assets          
BBVA Cash Balance Available To The Date 0        
Total financial assets held for trading 27,159        
Derivative financial assets held for trading 0        
Equity Instruments Held For Trading 48        
Debt Instruments Held For Trading 0        
Loans and Advances to Central Banks Held for Trading 245        
Loans And Advances To Banks Held For Trading 14,895        
Loans and receivables Held For Trading 11,970        
Non Trading Financial Assets Mandatorily Measured At Fair Value Through Profit or Loss 4,451        
FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS (1,690)        
Total Financial Assets At Fair Value Through Other Comprehensive Income 62,107        
Subtotal Equity instruments At Fair Value Through Other Comprehensive Income 2,761        
Subtotal Debt Instruments At Fair Value Through Other Comprehensive Income 59,293        
Loans and advances Financial Assets At Fair Value Through Other Comprehensive Income 140        
Financial Assets Available for sale (69,476)        
FINANCIAL ASSETS AT AMORTIZED COST (8,680)        
Debt Securities Financial Assets at Amortized Cost 19,623        
Loans and advances to central banks (245)        
Loans and advances to banks (15,622)        
Loans and Advances to customers (12,435)        
Held to Maturity Investment (13,754)        
HEDGING DERIVATIVES, ASSETS 0        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Assets 0        
Investments In Subsidiaries Joint Ventures And Associates 1        
INSURANCE OR REINSURANCE ASSETS 0        
Tangible Assets 0        
Intangible Assets 0        
Tax Assets 8        
Other Assets 0        
Non Current Assets Or Disposal Groups Clasified As Held For Sale (1)        
TOTAL ASSETS 125        
LIABILITIES AND EQUITY          
Financial Liabilities Held For Trading 34,601        
Total Financial Liabilities At Fair Value Through Profit or Loss 3,273        
FINANCIAL LIABILITIES AT AMORTIZED COST (37,595)        
Deposits from cental banks (3,261)        
Deposits from credit institutions (19,381)        
Customer deposits (12,690)        
Debt certificates, at amortized cost (2,266)        
Other financial liabilities, at amortized cost 1        
HEDGING DERIVATIVES, LIABILITIES (112)        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Liabilities 0        
LIABILITIES UNDER INSURANCE CONTRACTS 0        
Provisions 0        
Tax liabilities (24)        
OTHER LIABILITIES 0        
LIABILITIES INCLUDED IN DISPOSAL GROUPS CLASSIFIED AS HELD FOR SALE 1        
TOTAL LIABILITIES 142        
Total shareholders' funds 71        
Capital (Capital base and capital management) 0        
Share Premium 0        
Equity Instruments issued other than capital 0        
Other Equity ( Capital base and management) 0        
Retained Earnings 71        
Revaluation reverse 0        
Other Reserves 0        
Less Treasury shares 0        
Profit Loss Attributable To Owners Of Parent shareholder funds 0        
Less Interim dividends 0        
Accumulated Other Comprehensive Income (109)        
Total Non-Controlling interests 21        
TOTAL EQUITY (17)        
Equity and liabilities 125        
Impairment member          
Assets          
BBVA Cash Balance Available To The Date 0        
Total financial assets held for trading 0        
Derivative financial assets held for trading 0        
Equity Instruments Held For Trading 0        
Debt Instruments Held For Trading 0        
Loans and Advances to Central Banks Held for Trading 0        
Loans And Advances To Banks Held For Trading 0        
Loans and receivables Held For Trading 0        
Non Trading Financial Assets Mandatorily Measured At Fair Value Through Profit or Loss 0        
FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS 0        
Total Financial Assets At Fair Value Through Other Comprehensive Income 8        
Subtotal Equity instruments At Fair Value Through Other Comprehensive Income 0        
Subtotal Debt Instruments At Fair Value Through Other Comprehensive Income 8        
Loans and advances Financial Assets At Fair Value Through Other Comprehensive Income 0        
Financial Assets Available for sale 0        
FINANCIAL ASSETS AT AMORTIZED COST (1,158)        
Debt Securities Financial Assets at Amortized Cost (3)        
Loans and advances to central banks 0        
Loans and advances to banks 22        
Loans and Advances to customers (1,177)        
Held to Maturity Investment 0        
HEDGING DERIVATIVES, ASSETS 0        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Assets 0        
Investments In Subsidiaries Joint Ventures And Associates 0        
INSURANCE OR REINSURANCE ASSETS 0        
Tangible Assets 0        
Intangible Assets 0        
Tax Assets 400        
Other Assets 0        
Non Current Assets Or Disposal Groups Clasified As Held For Sale (21)        
TOTAL ASSETS (770)        
LIABILITIES AND EQUITY          
Financial Liabilities Held For Trading 0        
Total Financial Liabilities At Fair Value Through Profit or Loss 0        
FINANCIAL LIABILITIES AT AMORTIZED COST 0        
Deposits from cental banks 0        
Deposits from credit institutions 0        
Customer deposits 0        
Debt certificates, at amortized cost 0        
Other financial liabilities, at amortized cost 0        
HEDGING DERIVATIVES, LIABILITIES 0        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Liabilities 0        
LIABILITIES UNDER INSURANCE CONTRACTS 0        
Provisions 125        
Tax liabilities 17        
OTHER LIABILITIES 0        
LIABILITIES INCLUDED IN DISPOSAL GROUPS CLASSIFIED AS HELD FOR SALE (10)        
TOTAL LIABILITIES 132        
Total shareholders' funds (923)        
Capital (Capital base and capital management) 0        
Share Premium 0        
Equity Instruments issued other than capital 0        
Other Equity ( Capital base and management) 0        
Retained Earnings (923)        
Revaluation reverse 0        
Other Reserves 0        
Less Treasury shares 0        
Profit Loss Attributable To Owners Of Parent shareholder funds 0        
Less Interim dividends 0        
Accumulated Other Comprehensive Income 13        
Total Non-Controlling interests 8        
TOTAL EQUITY (902)        
Equity and liabilities (770)        
Opening Balance Current Year IFRS 9 [Member]          
Assets          
BBVA Cash Balance Available To The Date 42,680        
Total financial assets held for trading 91,854        
Derivative financial assets held for trading 35,265        
Equity Instruments Held For Trading 6,849        
Debt Instruments Held For Trading 22,573        
Loans and Advances to Central Banks Held for Trading 245        
Loans And Advances To Banks Held For Trading 14,895        
Loans and receivables Held For Trading 12,026        
Non Trading Financial Assets Mandatorily Measured At Fair Value Through Profit or Loss 4,451        
FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS 1,019        
Total Financial Assets At Fair Value Through Other Comprehensive Income 62,115        
Subtotal Equity instruments At Fair Value Through Other Comprehensive Income 2,761        
Subtotal Debt Instruments At Fair Value Through Other Comprehensive Income 59,301        
Loans and advances Financial Assets At Fair Value Through Other Comprehensive Income 140        
FINANCIAL ASSETS AT AMORTIZED COST 421,685        
Debt Securities Financial Assets at Amortized Cost 29,959        
Loans and advances to central banks 7,055        
Loans and advances to banks 10,661        
Loans and Advances to customers 374,009        
HEDGING DERIVATIVES, ASSETS 2,485        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Assets (25)        
Investments In Subsidiaries Joint Ventures And Associates 1,589        
INSURANCE OR REINSURANCE ASSETS 421        
Tangible Assets 7,191        
Intangible Assets 8,464        
Tax Assets 17,296        
Other Assets 4,359        
Non Current Assets Or Disposal Groups Clasified As Held For Sale 23,832        
TOTAL ASSETS 689,414        
LIABILITIES AND EQUITY          
Financial Liabilities Held For Trading 80,783        
Total Financial Liabilities At Fair Value Through Profit or Loss 5,495        
FINANCIAL LIABILITIES AT AMORTIZED COST 506,118        
Deposits from cental banks 33,793        
Deposits from credit institutions 35,135        
Customer deposits 363,689        
Debt certificates, at amortized cost 61,649        
Other financial liabilities, at amortized cost 11,851        
HEDGING DERIVATIVES, LIABILITIES 2,768        
Accumulated Fair Value Hedge Adjustment or Hedged Item Included In Carrying Amount Liabilities (7)        
LIABILITIES UNDER INSURANCE CONTRACTS 9,223        
Provisions 7,602        
Tax liabilities 3,291        
OTHER LIABILITIES 4,550        
LIABILITIES INCLUDED IN DISPOSAL GROUPS CLASSIFIED AS HELD FOR SALE 17,188        
TOTAL LIABILITIES 637,010        
Total shareholders' funds 52,432        
Capital (Capital base and capital management) 3,267        
Share Premium 23,992        
Equity Instruments issued other than capital 0        
Other Equity ( Capital base and management) 54        
Retained Earnings 22,760        
Revaluation reverse 12        
Other Reserves (35)        
Less Treasury shares 96        
Profit Loss Attributable To Owners Of Parent shareholder funds 3,519        
Less Interim dividends 1,043        
Accumulated Other Comprehensive Income (7,036)        
Total Non-Controlling interests 7,008        
TOTAL EQUITY 52,404        
Equity and liabilities € 689,414        
[1]

(1) The figures corresponding to 2017 have been restated (see Note 1.3).

[2]

(2) Financial information for 2016 has not been revised to reflect changes in our operating segments in 2018, including the inclusion of BBVA Bancomer’s branch in Houston (which was previou sly part of our United States operating segment) in our Mexico operating segment since 2018. If BBVA Bancomer’s branch in Houston had been part of our Mexico operating segment in 2016 (rather than of our United States operating segment), total assets of th e United States and the Mexico operating segments would have been €84,726 million and €97,492 million, respectively, as of December 31, 2016.

[3]

(*) As of December 31, 2018, balance relating to repurchase agreements in Central Banks is €375 million (see Note 35).

[4]

(*) See Note 1.3.