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Financial Statements - Balance sheets - EUR (€)
Jun. 30, 2020
Dec. 31, 2019
Assets    
BBVA Cash Balance Available To The Date € 65,877,000,000 € 44,303,000,000
Total financial assets held for trading 119,332,000,000 102,688,000,000
Derivative financial assets held for trading [1] 49,239,000,000 33,185,000,000
Equity Instruments Held For Trading 5,862,000,000 8,892,000,000
Debt Instruments Held For Trading 26,640,000,000 26,309,000,000
Loans and Advances to Central Banks Held for Trading 636,000,000 535,000,000
Loans And Advances To Banks Held For Trading 24,912,000,000 21,286,000,000
Loans And Advances To Customers Held For Trading 12,044,000,000 12,482,000,000
Total Non Trading Financial Assets Mandatorily Measured At Fair Value Through Profit or Loss 4,998,000,000 5,557,000,000
Equity Instruments Mandatorily Measured At Fair Value 4,058,000,000 4,327,000,000
Debt Securities At Fair Vale Mandatorily Measured At Fair Value 250,000,000 110,000,000
Loans And Advances To Customers Mandatorily Measured At Fair Value 690,000,000 1,120,000,000
FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS 1,098,000,000 1,214,000,000
Debt Securities, at fair value 1,098,000,000 1,214,000,000
Loans And Advances To Customers At Fair Value 0 0
Financial Assets At Fair Value Through Other Comprehensive Income 70,045,000,000 61,183,000,000
Subtotal Equity instruments At Fair Value Through Other Comprehensive Income 1,789,000,000 2,420,000,000
Subtotal Debt Instruments At Fair Value Through Other Comprehensive Income 68,223,000,000 58,731,000,000
Loans and advances Financial Assets At Fair Value Through Other Comprehensive Income 33,000,000 33,000,000
FINANCIAL ASSETS AT AMORTIZED COST 450,222,000,000 439,162,000,000
Debt Securities Financial Assets at Amortized Cost 43,396,000,000 38,877,000,000
Loans and advances to central banks 4,773,000,000 4,275,000,000
Loans and advances to banks 14,842,000,000 13,649,000,000
Loans and Advances to customers 387,212,000,000 382,360,000,000
HEDGING DERIVATIVES, ASSETS 2,531,000,000 1,729,000,000
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK, ASSETS 60,000,000 28,000,000
INVESTMENTS IN SUBSIDIARIES JOINT VENTURES AND ASSOCIATES 1,366,000,000 1,488,000,000
Joint ventures 150,000,000 154,000,000
Associates 1,216,000,000 1,334,000,000
INSURANCE OR REINSURANCE ASSETS 332,000,000 341,000,000
TANGIBLE ASSETS 9,057,000,000 10,068,000,000
Total Property, plant and equipment 8,796,000,000 9,816,000,000
For own use (PPE) 8,578,000,000 9,554,000,000
Assets leased out under an operating lease 217,000,000 263,000,000
Investment Property 261,000,000 252,000,000
INTANGIBLE ASSETS 4,623,000,000 6,966,000,000
Goodwill 2,760,000,000 4,955,000,000
Other intangible assets 1,863,000,000 2,010,000,000
TAX ASSETS 16,718,000,000 17,083,000,000
Current tax assets 1,182,000,000 1,765,000,000
Deferred tax assets 15,536,000,000 15,318,000,000
OTHER ASSETS 4,360,000,000 3,800,000,000
Insurance contracts linked to pensions 0 0
Inventories 615,000,000 581,000,000
Rest other assets 3,744,000,000 3,220,000,000
Non Current Assets Or Disposal Groups Clasified As Held For Sale 3,205,000,000 3,079,000,000
TOTAL ASSETS 753,824,000,000 698,690,000,000
LIABILITIES AND EQUITY    
FINANCIAL LIABILITIES HELD FOR TRADING 108,624,000,000 89,633,000,000
Derivative financial liabilities, held for trading [1] 50,154,000,000 35,019,000,000
Short positions, held for trading 11,832,000,000 12,249,000,000
Deposits from central banks, held for trading 5,685,000,000 7,635,000,000
Deposits from credit institutions, held for trading 28,617,000,000 24,969,000,000
Customer deposits, held for trading 12,335,000,000 9,761,000,000
Debt certificates, held for trading 0 0
Other Financial liabilities held for trading 0 0
TOTAL Financial Liabilities At Fair Value Through Profit or Loss 9,203,000,000 10,010,000,000
Deposits from central banks, at fair value 0 0
Deposits from credit institutions, at fair value 0 0
Customer deposits, at fair value 914,000,000 944,000,000
Debt certificates, at fair value 4,202,000,000 4,656,000,000
Other financial liabilities, at fair value 4,087,000,000 4,410,000,000
FINANCIAL LIABILITIES AT AMORTIZED COST 559,713,000,000 516,641,000,000
Deposits from cental banks 46,667,000,000 25,950,000,000
Deposits from credit institutions 32,356,000,000 28,751,000,000
Customer deposits 402,184,000,000 384,219,000,000
Debt certificates, at amortized cost 64,421,000,000 63,963,000,000
Other financial liabilities, at amortized cost 14,085,000,000 13,758,000,000
HEDGING DERIVATIVES, LIABILITIES 2,368,000,000 2,233,000,000
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK, LIABILITIES 0 0
LIABILITIES UNDER INSURANCE CONTRACTS 9,462,000,000 10,606,000,000
PROVISIONS 6,494,000,000 6,538,000,000
Pensions and other post employment defined Benefit Obligations 4,427,000,000 4,631,000,000
Other long term employee benefits 53,000,000 61,000,000
Provisions for taxes and other legal contingencies 738,000,000 677,000,000
Provisions for contingent risks and commitments 774,000,000 711,000,000
Other Provisions [2] 502,000,000 457,000,000
TAX LIABILITIES 2,529,000,000 2,808,000,000
Current tax liabilities 560,000,000 880,000,000
Deferred tax liabilities 1,968,000,000 1,928,000,000
OTHER LIABILITIES 4,107,000,000 3,742,000,000
LIABILITIES INCLUDED IN DISPOSAL GROUPS CLASSIFIED AS HELD FOR SALE 1,769,000,000 1,554,000,000
TOTAL LIABILITIES 704,269,000,000 643,765,000,000
Total shareholders' funds 56,541,000,000 58,950,000,000
Capital 3,267,000,000 3,267,000,000
Paid up capital 3,267,000,000 3,267,000,000
Unpaid capital which has been called up 0 0
Share Premium 23,992,000,000 23,992,000,000
Equity Instruments issued other than capital 0 0
Other Equity ( Capital base and management) 37,000,000 56,000,000
Retained Earnings 30,589,000,000 29,388,000,000
Revaluation Reserves 0 0
Total Other Reserves (160,000,000) (119,000,000)
Reserves or accumulated losses of investments in subsidaries, joint ventures and associates (160,000,000) (119,000,000)
Other Reserves, other 0 0
Less Treasury shares (28,000,000) (62,000,000)
Profits or losses attributables to owners of the parent (1,157,000,000) 3,512,000,000
Less Interim dividends 0 (1,084,000,000)
Total accumulated other comprehensive income (12,822,000,000) (10,226,000,000)
Total Items that will not be reclassified to profit or loss balance (2,253,000,000) (1,875,000,000)
Actuarial gains or (-) losses on defined benefit pension plans (1,381,000,000) (1,498,000,000)
Non-current assets and disposal groups classified as held for sale (not reclassified) 1,000,000 2,000,000
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 (940,000,000) (403,000,000)
Total Hedge ineffectiveness of fair value hedge for equity instruments measured at fair value through other comprehensive income 0 0
Fair value changes of equity instruments measured at fair value through other comprehensive income [hedged item] 0 0
Fair value changes of equity instruments measured at fair value through other comprehensive income hedging instrument 0 0
Fair value changes of financial liabilities at fair value through profit or loss attributable to changes in their credit risk 67,000,000 24,000,000
Total Items that may be reclassified to profit or loss (10,570,000,000) (8,351,000,000)
Hedge of net investments in foreign operations(effective portion) (312,000,000) (896,000,000)
Foreign currency translation balance (12,351,000,000) (9,147,000,000)
Hedging derivatives.Cash flow hedges(efffective portion) 308,000,000 (44,000,000)
Changes In The Fair Value Of Debt Instruments Measured At Fair Value With Changes In Other Comprehensive Income 1,830,000,000 1,760,000,000
Other Comprehensive Income Net Of Tax Of Hedging Instruments 0 0
Non-current assets and disposal groups classified as held for sale (27,000,000) (18,000,000)
Share of other recognized income and expense of investments in subsidiaries joint ventures and associates (19,000,000) (5,000,000)
MINORITY INTERESTS (NON-CONTROLLING INTEREST) 5,836,000,000 6,201,000,000
Valuation adjustments (6,148,000,000) (5,572,000,000)
Rest non-controlling interest 11,984,000,000 11,773,000,000
TOTAL EQUITY 49,555,000,000 54,925,000,000
Equity and liabilities € 753,824,000,000 € 698,690,000,000
[1]

(*) The variation corresponds mainly to foreign exchange derivatives in BBVA S.A.

[2]

(*) Individually insignificant provisions or contingencies, for various concepts in different geographies.