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Note 22 (Tables)
12 Months Ended
Dec. 31, 2021
Financial liabilities at amortised cost [Abstract]  
Financial liabilities at amortised cost [Table Text Block]
The breakdown of the balance under these headings in the accompanying consolidated balance sheets is as follows:
Financial liabilities measured at amortized cost (Millions of Euros)
202120202019
Deposits416,947415,467438,919
Deposits from central banks47,35145,17725,950
Demand deposits816323
Time deposits and other41,79038,27425,101
Repurchase agreements5,5536,740826
Deposits from credit institutions19,83427,62928,751
Demand deposits7,6017,1967,161
Time deposits and other (**)8,59916,07918,896
Repurchase agreements3,6344,3542,693
Customer deposits (*)349,761342,661384,219
Demand deposits293,015266,250280,391
Time deposits and other (**)55,47975,666103,293
Repurchase agreements1,267746535
Debt certificates55,76361,78063,963
Other financial liabilities15,18313,35813,758
Total 487,893490,606516,641
(*) Variation in 2020 is mainly due to the companies in the United States included in the USA Sale (see Notes 1.3, 3 and 21).
(**) The variation in 2021 is mainly due to the decrease in time deposits at Banco Bilbao Vizcaya Argentaria, S.A. offset by the increase in demand deposits and investment funds (off-balance) due to the current interest rate environment.
Deposits from banks [Table Text Block] The breakdown by geographical area and the nature of the related instruments of this heading in the accompanying consolidated balance sheets is as follows:
Deposits from credit institutions (Millions of Euros)
Demand deposits Time deposits and other (*)Repurchase agreementsTotal
December 2021
Spain1,6713752,047
Mexico4445581,002
Turkey8367237792
South America5321,2251,757
Rest of Europe1,8413,1102,5497,500
Rest of the world3,0302,6571,0486,736
Total 7,6018,5993,63419,834
December 2020
Spain3451,40511,751
Mexico6896721881,549
Turkey858028617
South America5571,4842,041
Rest of Europe2,8424,5314,07011,444
Rest of the world2,7557,4066710,228
Total 7,19616,0794,35427,629
December 2019
Spain2,1041,11313,218
The United States2,0824,2956,377
Mexico4321,0331681,634
Turkey3026174924
South America3942,2851612,840
Rest of Europe1,6525,1802,3589,190
Rest of the world1944,3744,568
Total 7,16118,8962,69328,751
(*) Subordinated deposits are included amounting to €14, €12 and €195 million as of December 31, 2021, 2020 and 2019, respectively.
Customer Deposits [Table Text Block] The breakdown by geographical area of this heading in the accompanying consolidated balance sheets, by type of instrument is as follows:
Customer deposits (Millions of Euros)
Demand depositsTime deposits and other (*)Repurchase agreementsTotal
December 2021
Spain181,56510,4072191,974
Mexico53,35910,38350564,247
Turkey19,72513,644633,376
South America28,0399,82237,861
Rest of Europe8,9339,54675419,234
Rest of the world1,3931,6773,070
Total 293,01555,4791,267349,761
December 2020
Spain168,69020,0652188,757
Mexico43,76810,51411754,398
Turkey17,90616,707834,621
South America25,73011,25936,989
Rest of Europe8,43512,37361921,427
Rest of the world1,7204,7486,468
Total 266,25075,666746342,661
December 2019
Spain146,65124,9582171,611
The United States46,37219,81066,181
Mexico43,32612,71452356,564
Turkey13,77522,2571036,042
South America22,74813,91336,661
Rest of Europe6,6108,74915,360
Rest of the world9098921,801
Total 280,391103,293535384,219
(*) It includes subordinated deposits amounting to €189 million as of December 31, 2019.
Deposits from debt certificates [Table Text Block] The breakdown of the balance under this heading, by financial instruments and by currency, is as follows:
Debt certificates (Millions of Euros)
202120202019
In Euros36,28942,46240,185
Promissory bills and notes319860737
Non-convertible bonds and debentures15,71214,53812,248
Covered bonds (*)9,93013,27415,542
Hybrid financial instruments (**)366355518
Securitization bonds2,3022,5381,354
Wholesale funding4382,3311,817
Subordinated liabilities7,2218,5667,968
Convertible perpetual certificates3,5004,5005,000
Non-convertible preferred stock15983
Other non-convertible subordinated liabilities3,7213,9072,885
In foreign currencies19,47519,31823,778
Promissory bills and notes5791,0241,210
Non-convertible bonds and debentures7,8858,69110,587
Covered bonds (*)178217362
Hybrid financial instruments (**)2,8434551,156
Securitization bonds4417
Wholesale funding4121,016780
Subordinated liabilities7,5747,9119,666
Convertible perpetual certificates1,7711,6331,782
Non- convertible preferred stock3576
Other non-convertible subordinated liabilities5,8036,2437,808
  Total55,76361,78063,963
(*) Including mortgage-covered bonds. In 2021 and 2020, several mortgage-covered bonds reached their maturity date.
(**) Corresponds to structured note issuances whose underlying risk is different from the underlying risk of the derivative.
Memorandum item subordinated liabilities at amortized cost [Table Text Block]
The breakdown of this heading in the accompanying consolidated balance sheets is as follows:
Memorandum item: Subordinated liabilities at amortized cost (Millions of Euros)
202120202019
Subordinated deposits1412384
Subordinated certificates 14,79416,47617,635
Preferred stock194159
Compound convertible financial instruments 5,2716,1336,782
Other non-convertible subordinated liabilities9,52310,14910,693
Total14,80816,48818,018
Preferred securities by issuer [Table Text Block]
The breakdown by issuer of the balance under this heading in the accompanying consolidated balance sheets is as follows:
Preferred securities by issuer (Millions of Euros)
202120202019
BBVA International Preferred, S.A.U. 3537
Unnim Group (*)15983
BBVA USA19
BBVA Colombia20
Total194159
(*) Unnim Group: Issuances prior to the acquisition by BBVA.
Other Financial Liabilities [Table Text Block]
The breakdown of the balance under this heading in the accompanying consolidated balance sheets is as follows:
Other financial liabilities (Millions of Euros)
202120202019
Lease liabilities2,5602,6743,335
Creditors for other financial liabilities2,6572,4082,623
Collection accounts3,8393,2753,306
Creditors for other payment obligations (*)6,1275,0004,494
Total15,18313,35813,758
(*) In 2021, this heading includes the amount committed for the acquisition of treasury shares under the buyback program (see Notes 2.2.14 and 4).
Maturity of future payment obligations [Table Text Block]
A breakdown of the maturity of the lease liabilities, due after December 31, 2021 is provided below:
Maturity of future payment obligations (Millions of Euros)
Up to 1 year1 to 3 years3 to 5 yearsOver 5 yearsTotal
Leases2184064281,5072,560