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Note 15 (Tables)
12 Months Ended
Dec. 31, 2022
Hedging derivatives and fair value changes of the hedged items in portfolio hedge of interest rate risk [Abstract]  
Derivatives Hedge accounting and fair value changes of the hedged items in portfolio hedge of interest rate risk [Table Text Block]
The balance of these headings in the consolidated balance sheets is as follows:
Derivatives – Hedge accounting and fair value changes of the hedged items in portfolio hedge of interest rate risk (Millions of Euros)
202220212020
ASSETS
Derivatives - Hedge accounting1,8911,8051,991
Fair value changes of the hedged items in portfolio hedges of interest rate risk(148)551
LIABILITIES
Derivatives - Hedge accounting3,3032,6262,318
Fair value changes of the hedged items in portfolio hedges of interest rate risk
Derivatives Hedge accounting breakdown by type of risk and type of hedge [Table Text Block]
The details of the net positions by hedged risk of the fair value of the hedging derivatives recognized in the consolidated balance sheets are as follows:
Derivatives - Hedge accounting. Breakdown by type of risk and type of hedge (Millions of Euros)
202220212020
AssetsLiabilitiesAssetsLiabilitiesAssetsLiabilities
Interest rate656376697322989525
OTC 656376697322989525
Organized market
Equity
OTC
Organized market
Foreign exchange and gold25983463135435350
OTC25983463135435350
Organized market
Credit
Commodities
Other
FAIR VALUE HEDGES9154591,1604571,424874
Interest rate4702,7632281,7861541,055
OTC 4542,7632261,7861541,041
Organized market16215
Equity
Foreign exchange and gold239461807922555
OTC 239451807922550
Organized market15
Credit
Commodities
Other
CASH FLOW HEDGES7082,8094081,8653791,111
HEDGE OF NET INVESTMENTS IN A FOREIGN OPERATION21326198196166139
PORTFOLIO FAIR VALUE HEDGES OF INTEREST RATE RISK78189518170
PORTFOLIO CASH FLOW HEDGES OF INTEREST RATE RISK4812113323
DERIVATIVES-HEDGE ACCOUNTING1,8913,3031,8052,6261,9912,318
of which:
OTC - credit institutions
1,5772,9111,4542,2481,7181,965
of which:
OTC - other financial corporations
297391349378273333
Hedged items in fair value hedges [Table Text Block] Below there is a breakdown of the items covered by fair value hedges:
Hedged items in fair value hedges (Millions of Euros)
Carrying amount
Hedge adjustments included in the carrying amount of assets/liabilities (1)
Remaining adjustments for discontinued micro hedges including hedges of net positions (1)
Hedged items in portfolio hedge of interest rate risk
20222021202220212022202120222021
ASSETS
Financial assets measured at fair value through other comprehensive income13,99420,333(1,024)(52)211
Interest rate13,60220,285
Foreign exchange and gold327
Other6649
Financial assets measured at amortized cost4,8388,273(485)1681351,1791,997
Interest rate4,8358,270
Foreign exchange and gold32
LIABILITIES
Financial liabilities measured at amortized costs34,89824,5671,299(690)
Interest rate34,89424,563
Foreign exchange and gold55
(1) The balance of discontinued hedges is not significant.
Calendar of the notional maturities of the hedging instruments [Table Text Block]
The following is the breakdown, by their notional maturities, of the hedging instruments as of December 31, 2022:
Calendar of the notional maturities of the hedging instruments (Millions of Euros)
Up to 3 monthsFrom 3 months to 1 yearFrom 1 to 5 yearsMore than 5 yearsTotal
FAIR VALUE HEDGES2,6975,62931,05512,94452,325
Of which: Interest rate2,6975,52429,03112,94450,196
CASH FLOW HEDGES4,49517,90027,7323,05153,178
Of which: Interest rate4,43017,90025,7772,93251,040
HEDGE OF NET INVESTMENTS IN A FOREIGN OPERATION5,2924,73810,031
PORTFOLIO FAIR VALUE HEDGES OF INTEREST RATE RISK87271,6091,0672,790
PORTFOLIO CASH FLOW HEDGES OF INTEREST RATE RISK340140573651,118
DERIVATIVES-HEDGE ACCOUNTING12,91228,43460,96917,128119,442
Hedges affected by the IBOR reform [Table Text Block]
The nominal amount of the hedging instruments for hedging relationships directly affected by the IBOR reform as of December 31, 2022 is the following:
Hedges affected by the IBOR reform (Millions of Euros)
LIBOR USD LIBOR GBPOtherTotal
Cash flow hedges1,0613161,377
Fair value hedges7,2763696578,302