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Note 23 Maturity of liabilities under insurance and reinsurance contracts (Details) - EUR (€)
€ in Millions
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash flows of liabilities under insurance and reinsurance contracts [Line Items]        
Insurance contracts issued that are liabilities € 10,981 € 12,110 € 10,131 [1],[2] € 9,972
Not later than one year [member]        
Cash flows of liabilities under insurance and reinsurance contracts [Line Items]        
Insurance contracts issued that are liabilities 1,556 1,356 1,754  
Later than one year and not later than three years [member]        
Cash flows of liabilities under insurance and reinsurance contracts [Line Items]        
Insurance contracts issued that are liabilities 319 962 663  
Later than three years and not later than five years [member]        
Cash flows of liabilities under insurance and reinsurance contracts [Line Items]        
Insurance contracts issued that are liabilities 720 2,425 1,664  
Later than five years [member]        
Cash flows of liabilities under insurance and reinsurance contracts [Line Items]        
Insurance contracts issued that are liabilities € 8,387 € 7,367 € 6,050  
[1]
(1) Balances corresponding to 2022 have been restated according to IFRS 17 (see Note 1.3).
[2]
(3) Balances corresponding to 2022 have been restated according to IFRS 17 (see Note 1.3).