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Net Gain From Measurement Of Financial Instruments At Fair Value
12 Months Ended
Dec. 31, 2021
Statement [LineItems]  
Net gain from Measurement of Financial Instruments At Fair Value
34
NET GAIN FROM MEASUREMENT OF FINANCIAL INSTRUMENTS AT FAIR VALUE
 
Composition
  
12/31/2021
    
12/31/2020
    
12/31/2019
 
For measurement of financial liabilities at fair value through profit or loss
                          
Gain from government securities
     16,914,637        15,210,215        3,879,781  
Gain from private securities
     1,242,871        1,279,712        1,710,968  
(Loss) / Gain from derivative financial instruments
                          
Forward transactions
               114,640        3,096,621  
Put options
     (1,045,763      629,470        1,161,480  
(Loss) / Gain from other financial assets
     (9,785      4,014        371,853  
(Loss) / Gain from equity instruments at fair value through profit or loss
     (1,038,511 )      3,809,140        6,838,401  
Gain / (Loss) from sales or derecognition of financial assets at fair value
     714,877        52,479        (757,773
For measurement of financial liabilities at fair value through profit or loss
                          
Loss from derivative financial instruments
                          
Forwards transactions
     (93,665                  
    
 
 
    
 
 
    
 
 
 
Total
  
 
16,684,661
 
  
 
21,099,670
 
  
 
16,301,331