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Note 29 (Tables)
6 Months Ended
Jun. 30, 2022
Capital Base And Capital Management [Abstract]  
Capital Ratios [Table Text Block]
The eligible capital instruments and the risk-weighted assets of the Group (phased-in) are shown below, calculated in accordance with the applicable regulation, considering the entities in scope required by such regulation, as of June 30, 2022 and December 31, 2021:
Capital ratios (phased-in)
 June
2022 (*)
December
2021
Eligible Common Equity Tier 1 capital (millions of Euros) (a)41,55539,949
Eligible Additional Tier 1 capital (millions of Euros) (b)5,2645,737
Eligible Tier 2 capital (millions of Euros) (c)6,8337,383
Risk Weighted Assets (millions of Euros) (d)330,819307,795
Common Tier 1 capital ratio (CET 1) (A)=(a)/(d)12.56 %12.98 %
Additional Tier 1 capital ratio (AT 1) (B)=(b)/(d)1.59 %1.86 %
Tier 1 capital ratio (Tier 1) (A)+(B)14.15 %14.84 %
Tier 2 capital ratio (Tier 2) (C)=(c)/(d)2.07 %2.40 %
Total capital ratio (A)+(B)+(C)16.22 %17.24 %
(*) Provisional data.
Leverage Ratio [Table Text Block]
The breakdown of the leverage ratio as of June 30, 2022 and December 31, 2021, calculated according to CCR, is as follows:
Leverage ratio
 June
2022 (*)
December
2021
Tier 1 (millions of Euros) (a)46,82045,686
Exposure to leverage ratio (millions of Euros) (b)752,718671,789
Leverage ratio (a)/(b) (percentage)6.22 %6.80 %
(*) Provisional data