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Fair value of assets and liabilities - Additional information (Details) - EUR (€)
€ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Disclosure of fair value measurement of assets and liabilities [Line Items]      
Financial assets classified as Level 3 based on quoted price € 7,000 € 2,200  
Percentage on financial asset based on unadjusted quoted price 76.70% 29.20%  
Amount of risk neutral designed financial assets € 300 € 4,200  
Remaining financial assets classified as level 3 using valuation techniques 1,800 1,100  
Financial liabilities measured at fair value 94,638 93,019  
Financial Liabilities classified as Level 3 based on unadjusted quoted price 400 20  
Financial Liabilities designed to be fully neutral in terms of market risk 300 600  
Debt securities      
Disclosure of fair value measurement of assets and liabilities [Line Items]      
Transfer from Level 2 to Level 1 2,400    
Transfer from Level 1 to Level 2 1,700    
Level 3      
Disclosure of fair value measurement of assets and liabilities [Line Items]      
Fair value of swap € 9,118 € 7,526 € 6,228
Percentage on financial asset based on unadjusted quoted price 50.00% 2.50%  
Financial liabilities measured at fair value € 729 € 732  
Remaining financial liabilities classified as level 3 using valuation techniques € 100 € 100