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Note 8 - Fair Value - Fair Value Instruments Carried At Cost - Main Valuation Techniques - Assets (Details) - EUR (€)
€ in Millions
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
[1]
Dec. 31, 2016
[1],[2]
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets € 676,689 € 690,059 € 731,856
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Financial Assets At Amortised Cost Member | Central Banks [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Valuation Technique used in fair value measurement assets Present-value method (Discounted future cash flows)    
Description Of Inputs Used In Fair Value Measurement Assets - Credit spread - Prepayment rates - Interest rate yield    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Financial Assets At Amortised Cost Member | Loans And Advances To Credit Institutions [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Valuation Technique used in fair value measurement assets Present-value method (Discounted future cash flows)    
Description Of Inputs Used In Fair Value Measurement Assets - Credit spread - Prepayment rates - Interest rate yield    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Financial Assets At Amortised Cost Member | Customers [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Valuation Technique used in fair value measurement assets Present-value method (Discounted future cash flows)    
Description Of Inputs Used In Fair Value Measurement Assets - Credit spread - Prepayment rates - Interest rate yield    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Financial Assets At Amortised Cost Member | Debt Securities [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Valuation Technique used in fair value measurement assets Present-value method (Discounted future cash flows)    
Description Of Inputs Used In Fair Value Measurement Assets - Credit spread - Interest rate yield    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 2 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets € 204,619    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 2 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Central Banks [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 0    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 2 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Loans And Advances To Credit Institutions [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 4,934    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 2 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Customers [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 190,666    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 2 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Debt Securities [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 9,019    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 3 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 193,819    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 3 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Central Banks [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 1    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 3 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Loans And Advances To Credit Institutions [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 4,291    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 3 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Customers [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets 183,645    
Not Measured At Fair Value In Statement Of Financial Position But For Which Fair Value Is Disclosed Member | Level 3 Of Fair Value Hierarchy Member | Financial Assets At Amortised Cost Member | Debt Securities [Member]      
Disclosure Of Fair Value Instruments Carried At Cost Main Valuation Techniques Assets Line Items      
Contributed To Consolidated Group Assets € 5,881    
[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.