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Note 8 Fair value of financial instruments at amortized cost by levels (Details) - EUR (€)
€ in Millions
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
[1]
Dec. 31, 2021
Fair value of financial instruments at amortized cost by levels [Line Items]        
Cash and cash equivalents € 51,145 € 75,416 € 79,756 € 67,799
Financial assets at amortised cost 502,400 451,732 414,421 [2]  
Debt instruments held at amortised cost 59,014 49,462 36,639 [2],[3],[4]  
Loans and advances at amortised cost 443,386 402,270 377,782  
Financial liabilities at amortised cost 584,339 557,589 529,172 [5]  
Deposits at amortised cost 496,720 473,835 459,662  
Debt instruments issued at amortised cost 69,867 68,707 55,429 [5]  
Other financial liabilities 17,753 15,046 14,081 [5],[6]  
Carrying amount presented as fair value [Member]        
Fair value of financial instruments at amortized cost by levels [Line Items]        
Cash and cash equivalents 51,145 [7] 75,416 [8] 79,756 [9]  
Financial assets at amortised cost 32,615 [7] 34,826 [8] 33,953 [9]  
Debt instruments held at amortised cost 0 [7] 0 [8] 0 [9]  
Loans and advances at amortised cost 32,615 [7] 34,826 [8] 33,953 [9]  
Financial liabilities at amortised cost 378,530 [7] 358,657 [8] 380,520 [9]  
Deposits at amortised cost 360,777 [7] 343,611 [8] 369,387 [9]  
Debt instruments issued at amortised cost 0 [7] 0 [8] 0 [9]  
Other financial liabilities 17,753 [7] 15,046 [8] 11,132 [9]  
Level 1 Of Fair Value Hierarchy [Member]        
Fair value of financial instruments at amortized cost by levels [Line Items]        
Cash and cash equivalents 0 0 0  
Financial assets at amortised cost 50,771 41,950 26,239  
Debt instruments held at amortised cost 50,771 41,950 26,239  
Loans and advances at amortised cost 0 0 0  
Financial liabilities at amortised cost 47,323 42,742 40,752  
Deposits at amortised cost 0 1,269 2,810  
Debt instruments issued at amortised cost 47,323 41,472 37,942  
Other financial liabilities 0 0 0  
Level 2 Of Fair Value Hierarchy [Member]        
Fair value of financial instruments at amortized cost by levels [Line Items]        
Cash and cash equivalents 0 0 0  
Financial assets at amortised cost 24,157 10,533 10,580  
Debt instruments held at amortised cost 6,589 6,244 9,313  
Loans and advances at amortised cost 17,568 4,290 1,267  
Financial liabilities at amortised cost 58,016 86,390 43,205  
Deposits at amortised cost 37,647 62,049 35,965  
Debt instruments issued at amortised cost 20,369 24,341 7,240  
Other financial liabilities 0 0 0  
Level 3 Of Fair Value Hierarchy [Member]        
Fair value of financial instruments at amortized cost by levels [Line Items]        
Cash and cash equivalents 0 0 0  
Financial assets at amortised cost 394,496 359,062 342,194  
Debt instruments held at amortised cost 921 759 759  
Loans and advances at amortised cost 393,575 358,303 341,435  
Financial liabilities at amortised cost 101,025 68,127 61,118  
Deposits at amortised cost 98,038 64,601 49,731  
Debt instruments issued at amortised cost 2,986 3,526 8,368  
Other financial liabilities 0 0 3,019  
Aggregate of fair values [member]        
Fair value of financial instruments at amortized cost by levels [Line Items]        
Cash and cash equivalents 51,145 75,416 79,756  
Financial assets at amortised cost 502,039 446,371 412,965  
Debt instruments held at amortised cost 58,281 48,952 36,311  
Loans and advances at amortised cost 443,759 397,418 376,655  
Financial liabilities at amortised cost 584,894 555,915 525,595  
Deposits at amortised cost 496,461 471,530 457,894  
Debt instruments issued at amortised cost 70,679 69,339 53,550  
Other financial liabilities € 17,753 € 15,046 € 14,151  
[1]
(1) Balances corresponding to 2022 have been restated according to IFRS 17 (see Note 1.3).
[2]
(1) This includes redesignations to the heading "Financial assets at fair value through other comprehensive income" due to the application of IFRS 17 (see Note 1.3).
[3]
(1) Balances corresponding to 2022 have been restated according to IFRS 17 (see Note 1.3).
[4]
(1) Balances corresponding to 2022 have been restated according to IFRS 17 (see Note 1.3).
[5]
(1) Balances corresponding to 2022 have been restated according to IFRS 17 (see Note 1.3).
[6]
(1) Balances corresponding to 2022 have been restated according to IFRS 17 (see Note 1.3).
[7]
(1) Financial instruments whose book value is presented as an approximation to their fair value, mainly short-term financial instruments.
[8]
(1) Financial instruments whose book value is presented as an approximation to their fair value, mainly short-term financial instruments.
[9]
(2) Financial instruments whose book value is presented as an approximation to their fair value, mainly short-term financial instruments.