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SIGNIFICANT ACCOUNTING POLICIES (Details 1) - PEN (S/)
S/ in Thousands
12 Months Ended
Jan. 01, 2018
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2018
Disclosure Of Significant Accounting Policies [Line Items]        
Cash and due from banks S/ 23,221,987      
Cash collateral, reverse repurchase agreements and securities borrowings 7,480,420 S/ 7,480,420 [1]   S/ 4,082,942 [1]
At fair value through profit or loss :        
Addition: From investments available for sale   24,423,891 [1]   0
Closing balance under IFRS 9 5,613,356      
At fair value through other comprehensive income (debt):        
Closing balance under IFRS 9 22,181,733      
At fair value through other comprehensive income (Designated equity instruments) 653,539     48,800
Available for sale:        
Subtraction: Reclassification to investments at fair value through profit or loss 4,413,373      
Closing balance under IFRS 9 0      
Amortized cost:        
Remeasurement: Expected loss (IFRS 9)   0 S/ 0  
Closing balance under IFRS 9 4,411,637      
Held-to-maturity:        
Closing balance under IFRS 9 0      
Loans, net 95,770,509      
Financial assets designated at fair value through profit or loss 537,685      
Premiums and other policies receivable 649,135      
Accounts receivable from reinsurers and coinsurers 715,553      
Due from customers on acceptances 532,034      
Derivative receivables 701,826 701,826   766,317
Other assets 1,759,125 4,999,998 [1]   5,586,753 [1]
Total financial assets 164,228,539 S/ 32,862,001 [1]   S/ 32,863,118 [1]
Financial assets impaired [member]        
Disclosure Of Significant Accounting Policies [Line Items]        
Cash and due from banks 0      
Cash collateral, reverse repurchase agreements and securities borrowings 0      
At fair value through other comprehensive income (debt):        
At fair value through other comprehensive income (Designated equity instruments) 0      
Amortized cost:        
Remeasurement: Expected loss (IFRS 9) (1,736)      
Held-to-maturity:        
Loans, net (206,768)      
Financial assets designated at fair value through profit or loss 0      
Premiums and other policies receivable (7,694)      
Accounts receivable from reinsurers and coinsurers (142)      
Due from customers on acceptances 0      
Derivative receivables 0      
Other assets 0      
Total financial assets 216,340      
Change of category [Member]        
Disclosure Of Significant Accounting Policies [Line Items]        
Cash and due from banks 0      
Cash collateral, reverse repurchase agreements and securities borrowings 0      
At fair value through profit or loss :        
Addition: From investments available for sale 1,588,619      
At fair value through other comprehensive income (debt):        
Addition: From investments available for sale 22,181,733      
At fair value through other comprehensive income (Designated equity instruments) 653,539      
Available for sale:        
Subtraction: Reclassification to investments at fair value through profit or loss (1,588,619)      
Subtraction: Reclassification to investments at fair value through other comprehensive income (debt) (22,181,733)      
Subtraction: Reclassification to investments at fair value through other comprehensive income (Designated - equity) (653,539)      
Held-to-maturity:        
Subtraction: Reclassification to investments at amortized cost (4,413,373)      
Loans, net 0      
Financial assets designated at fair value through profit or loss 0      
Premiums and other policies receivable 0      
Accounts receivable from reinsurers and coinsurers 0      
Due from customers on acceptances 0      
Derivative receivables 0      
Other assets 0      
Total financial assets 0      
IAS 39 [Member]        
Disclosure Of Significant Accounting Policies [Line Items]        
Cash and due from banks 23,221,987      
Cash collateral, reverse repurchase agreements and securities borrowings 7,480,420      
At fair value through profit or loss :        
Opening balance under IAS 39 4,024,737      
At fair value through other comprehensive income (debt):        
Opening balance under IAS 39 0      
At fair value through other comprehensive income (Designated equity instruments) 0      
Available for sale:        
Opening balance under IAS 39 24,423,891      
Amortized cost:        
Opening balance under IAS 39 0      
Held-to-maturity:        
Opening balance under IAS 39 4,413,373      
Loans, net 95,977,277      
Financial assets designated at fair value through profit or loss 537,685      
Premiums and other policies receivable 656,829      
Accounts receivable from reinsurers and coinsurers 715,695      
Due from customers on acceptances 532,034      
Derivative receivables 701,826      
Other assets 1,759,125      
Total financial assets S/ 164,444,879      
[1] The balances of financial instruments at December 31, 2018 have been prepared in accordance with IFRS 9; the balances of the previous period have not been restated, see Note 3(a)(i).