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Note 10 - Financial assets and liabilities held for trading (Tables)
12 Months Ended
Dec. 31, 2018
Financial assets and liabilities held for trading  
Financial assets and liabilities held for traiding
Financial Assets and Liabilities Held-for-Trading (Millions of euros)
Notes201820172016
ASSETS
Derivatives30,53635,26542,955
Debt securities7.3.225,57722,57327,166
Loans and advances 7.3.228,75056154
Equity instruments7.3.25,2546,8014,675
Total Assets90,11764,69574,950
LIABILITIES
Derivatives31,81536,16943,118
Short positions11,02510,01311,556
Deposits37,934
Total Liabilities80,77446,18254,675
Financial Assets Held For Trading Debt Securities By Issuer
Financial Assets Held-for-Trading. Debt securities by issuer (Millions of euros)
201820172016
Issued by Central Banks1,0011,371544
Issued by public administrations22,95019,34423,621
Issued by financial institutions7908161,652
Other debt securities8361,0411,349
Total25,57722,57327,166
Financial Assets Held For Trading Loans and Advances
Financial Assets Held-for-Trading. Loans and advances (Millions of euros)
Notes201820172016
Loans and advances to central banks2,163--
Reverse repurchase agreements352,163--
Loans and advances to credit institutions14,566--
Reverse repurchase agreements3513,305--
Loans and advances to customers12,02156154
Reverse repurchase agreements3511,794--
Total 28,75056154
Financial Assets Held For Trading Equity Instruments By Issuer
Financial Assets Held-for-Trading. Equity instruments by Issuer (Millions of euros)
201820172016
Shares of Spanish companies
Credit institutions576617781
Other sectors536603956
Subtotal 1,1121,2201,737
Shares of foreign companies
Credit institutions304345220
Other sectors3,8385,2362,718
Subtotal 4,1425,5812,939
Total 5,2546,8014,675
Financial Liabilities Held for Trading Deposits
Financial Liabilities Held-for-Trading. Deposits (Millions of euros)
Notes201820172016
Deposits from central banks (*)10,511
Repurchase agreement3510,511
Deposits from credit institutions (*)15,687
Repurchase agreement3514,839
Deposits from customers (*)11,736
Repurchase agreement3511,466
Total 37,934
Derivatives By Type Of Risk By Product Or By Type Of Market
Derivatives by type of risk / by product or by type of market - December 2018 (Millions of Euros)
AssetsLiabilitiesNotional amount - Total
Interest rate19,14718,7692,929,371
OTC options1,9402,413207,107
OTC other17,20616,3562,702,909
Organized market options--6,092
Organized market other--13,263
Equity2,7992,956114,184
OTC options40034132,906
OTC other2301236,693
Organized market options2,1682,49272,062
Organized market other--2,524
Foreign exchange and gold8,3559,693432,283
OTC options22630921,293
OTC other8,1189,329405,659
Organized market options-145
Organized market other11545,286
Credit23239325,452
Credit default swap22824822,791
Credit spread option2-500
Total return swap21452,161
Commodities3367
DERIVATIVES30,53631,8153,501,358
of which: OTC - credit institutions16,97918,729897,384
of which: OTC - other financial corporations7,3727,7582,355,784
of which: OTC - other4,0052,780148,917

Derivatives by type of risk / by product or by type of market - December 2017 (Millions of Euros)
AssetsLiabilitiesNotional amount - Total
Interest rate22,60622,5462,152,490
OTC options2,4292,581212,554
OTC other20,17719,9651,916,920
Organized market options--600
Organized market other--22,416
Equity1,7782,33695,573
OTC options4951,11834,140
OTC other83908,158
Organized market options1,2001,12948,644
Organized market other--4,631
Foreign exchange and gold10,37110,729380,404
OTC options24525824,447
OTC other10,09210,430348,857
Organized market options-3104
Organized market other34376,997
Credit48951730,181
Credit default swap48050727,942
Credit spread option--200
Total return swap992,039
Commodities3336
Other1838561
DERIVATIVES35,26536,1692,659,246
of which: OTC - credit institutions21,01622,804898,209
of which: OTC - other financial corporations8,6959,2071,548,919
of which: OTC - other4,3162,986128,722

Derivatives by type of risk / by product or by type of market - December 2016 (Millions of Euros)
AssetsLiabilitiesNotional amount - Total
Interest rate25,77025,3221,556,150
OTC options3,3313,428217,958
OTC other22,33921,7921,296,183
Organized market options1-1,311
Organized market other10010240,698
Equity2,0322,25290,655
OTC options7181,22444,837
OTC other109915,312
Organized market options1,20593736,795
Organized market other--3,712
Foreign exchange and gold14,87215,179425,506
OTC options41753927,583
OTC other14,43614,624392,240
Organized market options3-175
Organized market other16165,508
Credit26133819,399
Credit default swap24623015,788
Credit spread option--150
Total return swap21081,895
Other14-1,565
Commodities66169
Other13221,065
DERIVATIVES42,95543,1182,092,945
of which: OTC - credit institutions26,43828,005806,096
of which: OTC - other financial corporations8,7869,3621,023,174
of which: OTC - other6,4044,694175,473