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Note 32 (Tables)
12 Months Ended
Dec. 31, 2022
Capital Base And Capital Management [Abstract]  
Eligible capital resources [Table Text Block]
A reconciliation of the main figures between the accounting and regulatory own funds as of December 31, 2022, 2021 and 2020 is shown below:
Eligible capital resources (Millions of Euros)
Notes202220212020
Capital262,9553,2673,267
Share premium2720,85623,59923,992
Retained earnings, revaluation reserves and other reserves2834,88129,98430,344
Other equity instruments, net636042
Treasury shares29(29)(647)(46)
Profit (loss) attributable to the parent company56,4204,6531,305
Interim dividend(722)(532)
Total equity64,42260,38458,904
Accumulated other comprehensive income (loss)30(17,432)(16,476)(14,356)
Non-controlling interest313,6244,8535,471
Shareholders' equity50,61548,76050,020
Goodwill and other intangible assets(1,395)(1,484)(3,775)
Deductions(1,722)(1,484)(3,775)
Differences from solvency and accounting perimeter(123)(130)(186)
Equity not eligible at solvency level(123)(130)(186)
Other adjustments and deductions (1)
(6,032)(7,197)(3,128)
Common Equity Tier 1 (CET 1)42,73839,94942,931
Additional Tier 1 before Regulatory Adjustments5,1935,7376,666
Total Regulatory Adjustments to Additional Tier 1
Tier 147,93145,68649,597
Tier 25,9307,3838,548
Total Capital (Total Capital=Tier 1 + Tier 2)53,86153,06958,145
Total Minimum equity required43,11139,27545,042
(1) Other adjustments and deductions includes, among others, the adjustment of non-eligible minority interests, the amount of repurchase of own shares up to the maximum limit authorized by the ECB for the BBVA Group in 2021 (see Note 4) and the amount of shareholders remuneration pending to be distributed.
Amount of capital CC1 [Table Text Block]
The Group’s eligible own funds and risk-weighted assets (RWAs) in accordance with the aforementioned applicable regulation as of December 31, 2022, 2021 and 2020 are shown below:
Amount of capital CC1 (Millions of Euros)
202220212020
Capital and share premium 23,81026,86627,259
Retained earnings and equity instruments31,43630,74529,974
Other accumulated income and other reserves(13,952)(17,200)(14,023)
Minority interests1,8532,8003,656
Net interim attributable profit3,8142,573860
Common Equity Tier I (CET1) before other regulatory adjustments46,96245,78447,726
Goodwill and intangible assets(1,395)(1,484)(3,455)
Direct, indirect and synthetic holdings in own Common Equity Tier I instruments (1)
(356)(2,800)(366)
Deferred tax assets (1,057)(1,009)(1,478)
Other deductions and filters(1,416)(542)504
Total common equity Tier 1 regulatory adjustments(4,223)(5,835)(4,795)
Common equity TIER 1 (CET1)42,73839,94942,931
Capital instruments and share premium accounts classified as liabilities and qualifying as Additional Tier I4,8755,2656,130
Qualifying Tier 1 capital included in consolidated AT1 capital issued by subsidiaries and held by third parties318472536
Additional Tier 1 (CET 1) before regulatory adjustments5,1935,7376,666
Transitional CET 1 adjustments
Total regulatory adjustments to additional Tier 1
Additional Tier 1 (AT1) 5,1935,7376,666
Tier 1 (Common equity TIER 1+ additional TIER 1)47,93145,68649,597
Capital instruments and share premium accounted as Tier 23,5104,3244,540
Qualifying Tier 2 capital included in consolidated T2 capital issued by subsidiaries and held by third parties2,3102,5163,410
Credit risk adjustments213722604
Tier 2 before regulatory adjustments6,0337,5628,554
Tier 2 regulatory adjustments (103)(179)(6)
Tier 25,9307,3838,547
Total capital (Total capital=Tier 1 + Tier 2)53,86153,06958,145
Total RWA337,066307,795353,273
CET 1 (phased-in)12.68  %12.98  %12.15  %
Tier 1 (phased-in)14.22 %14.84 %14.04 %
Total capital (phased-in)15.98 %17.24 %16.46 %
(1) With respect to 2021, it includes mainly the amount of shares pending to be acquired under the share buyback program based on the maximum limit authorized by the ECB for the BBVA Group as of December 31, 2021 (see Note 4).
Leverage Ratio [Table Text Block]
Breakdown of leverage ratio as of December 31, 2022, 2021 and 2020, calculated according to CCR, is as follows:
Leverage ratio
202220212020
Tier 1 (millions of Euros) (a)47,93145,68649,597
Exposure to leverage ratio (millions of Euros) (b)737,990671,789741,095
Leverage ratio (a)/(b) (percentage)6.49  %6.80  %6.69  %