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Note 15 (Tables)
12 Months Ended
Dec. 31, 2024
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 breakdown of 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)
202420232022
ASSETS
Derivatives - Hedge accounting1,1581,4821,891
Fair value changes of the hedged items in portfolio hedges of interest rate risk(65)(97)(148)
LIABILITIES
Derivatives - Hedge accounting2,5032,6253,303
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)
Notes202420232022
AssetsLiabilitiesAssetsLiabilitiesAssetsLiabilities
Interest rate257344422364656376
OTC 257344422364656376
Organized market
Equity
OTC
Organized market
Foreign exchange and gold73932213125983
OTC73932213125983
Organized market
Credit
Commodities
Other
FAIR VALUE HEDGES330437644395915459
Interest rate6181,5134902,0484702,763
OTC 6151,5134832,0484542,763
Organized market3716
Equity
Foreign exchange and gold1424312914123946
OTC 1424312914123945
Organized market11
Credit
Commodities
Other
CASH FLOW HEDGES7601,9447812,0897082,809
HEDGE OF NET INVESTMENTS IN A FOREIGN OPERATION661222713621326
PORTFOLIO FAIR VALUE HEDGES OF INTEREST RATE RISK23578
PORTFOLIO CASH FLOW HEDGES OF INTEREST RATE RISK27481
DERIVATIVES-HEDGE ACCOUNTING8.11,1582,5031,4822,6251,8913,303
of which:
OTC - credit institutions
9322,0051,2372,4041,5772,911
of which:
OTC - other financial corporations
223499237221297391
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 amountHedge 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 riskRecognized ineffectiveness in profit or loss
2024202320242023202420232024202320242023
ASSETS
Financial assets measured at fair value through other comprehensive income10,44911,308(409)(652)15517216(5)
Debt securities10,44911,308(409)(652)155172
Interest rate10,44611,308(409)(652)155172
Foreign exchange and gold2
Other
Loans and advances
Interest rate
Foreign exchange and gold
Other
Financial assets measured at amortized cost3,0033,248(16)(114)519685753936(2)14
Debt securities2,2322,304(48)(119)519685
Interest rate2,2322,304(48)(119)519685
Foreign exchange and gold
Loans and advances771944325753936
Interest rate757944325753936
Foreign exchange and gold14
LIABILITIES
Financial liabilities measured at amortized costs45,61347,180965091(5)(20)
Debt securities issued42,52137,9161726001
Interest rate42,52137,9151726001
Foreign exchange and gold1
Deposits3,0929,263(75)(91)
Interest rate3,0929,258(75)(91)
Foreign exchange and gold5
(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, 2024:
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 HEDGES5,18310,79923,50920,53060,021
Of which: Interest rate5,16010,65022,90320,02358,735
CASH FLOW HEDGES4,28016,77513,3465,28639,687
Of which: Interest rate4,28016,57711,6892,80135,348
HEDGE OF NET INVESTMENTS IN A FOREIGN OPERATION12,22286115013,234
PORTFOLIO FAIR VALUE HEDGES OF INTEREST RATE RISK8931791,3644062,841
PORTFOLIO CASH FLOW HEDGES OF INTEREST RATE RISK4747
DERIVATIVES-HEDGE ACCOUNTING22,57928,61438,21826,419115,830