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Accounting Policies - Carrying Amounts of Financial Assets and Liabilities (Details) - USD ($)
$ in Thousands
Jan. 01, 2018
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39      
Closing balance December 31, 2017 - IAS 39        
Opening balance January 1, 2018   11,875,492 11,580,970 $ 11,413,072 $ 11,866,056
Financial liabilities at fair value through profit or loss, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 $ 39,799        
Financial liabilities at amortised cost, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 1,716,598        
Other reserves [member]          
Statement Line Items [Line Items]          
Reclassified bonds and other fixed income from FVPL to FVOCI (352)        
Opening balance January 1, 2018 (317,795) (322,310) [1] (320,569) [1] (313,088) [2] (298,682) [2]
Reclassify investments from HTM to FVOCI 3,126        
Retained earnings [member]          
Statement Line Items [Line Items]          
Reclassified bonds and other fixed income from FVPL to FVOCI 352        
Opening balance January 1, 2018 10,719,205 11,116,116 [3] 10,718,853 [3] $ 10,658,136 $ 11,110,469
Reclassify investments from HTM to FVOCI        
Financial assets at fair value through profit or loss, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 459,460 194,927 1,163,808    
Reclassified bonds and other fixed income from HTM to FVOCI        
Reclassified fixed income from FVPL to amortized cost (550,646)        
Reclassified fixed income from FVPL to amortized cost 550,646        
Reclassified bonds and other fixed income from FVPL to FVOCI (153,702)        
Closing balance December 31, 2017 - IAS 39   11,978 39,799    
Held-to-maturity investments, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39   344,336    
Reclassified bonds and other fixed income from HTM to FVOCI (344,336)        
Reclassified fixed income from FVPL to amortized cost        
Reclassified fixed income from FVPL to amortized cost        
Reclassified bonds and other fixed income from FVPL to FVOCI        
Closing balance December 31, 2017 - IAS 39        
Financial assets at amortised cost, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 2,092,370 2,445,413      
Reclassified bonds and other fixed income from HTM to FVOCI        
Reclassified fixed income from FVPL to amortized cost (550,646)        
Reclassified fixed income from FVPL to amortized cost 550,646        
Reclassified bonds and other fixed income from FVPL to FVOCI        
Closing balance December 31, 2017 - IAS 39   1,232,680      
Financial assets at fair value through other comprehensive income, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 519,610 328,635      
Reclassified bonds and other fixed income from HTM to FVOCI 344,336        
Reclassified fixed income from FVPL to amortized cost        
Reclassified fixed income from FVPL to amortized cost        
Reclassified bonds and other fixed income from FVPL to FVOCI 153,702        
Closing balance December 31, 2017 - IAS 39        
Previously stated [member]          
Statement Line Items [Line Items]          
Opening balance January 1, 2018     11,580,970    
Previously stated [member] | Financial liabilities at fair value through profit or loss, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 39,799        
Previously stated [member] | Financial liabilities at amortised cost, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 1,716,598        
Previously stated [member] | Other reserves [member]          
Statement Line Items [Line Items]          
Opening balance January 1, 2018 (320,569)   (320,569) [2]    
Previously stated [member] | Retained earnings [member]          
Statement Line Items [Line Items]          
Opening balance January 1, 2018 10,718,853   $ 10,718,853    
Previously stated [member] | Financial assets at fair value through profit or loss, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 1,163,808        
Previously stated [member] | Held-to-maturity investments, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 344,336        
Previously stated [member] | Financial assets at amortised cost, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 1,541,724        
Previously stated [member] | Financial assets at fair value through other comprehensive income, category [member]          
Statement Line Items [Line Items]          
Closing balance December 31, 2017 - IAS 39 $ 21,572        
[1] Other reserves include mainly the result of transactions with non-controlling interest that do not result in a loss of control, the remeasurement of post-employment benefit obligations, the changes in value of cash flow hedges and in financial instruments measured at fair value through other comprehensive income.
[2] Other reserves include mainly the result of transactions with non-controlling interest that do not result in a loss of control, the remeasurement of post-employment benefit obligations and the changes in value of cash flow hedges and in available for sale financial instruments.
[3] The Distributable Reserve and Retained Earnings calculated according to Luxembourg Law are disclosed in Note 24.