BPCE - 2020 Universal Registration Document
FINANCIAL REPORT
IFRS CONSOLIDATED FINANCIAL STATEMENTS OF GROUPE BPCE AS AT DECEMBER 31, 2020
12/31/2019
Level 1
Level 2
Level 3
Total
in millions of euros
FINANCIAL ASSETS Debt instruments
13,419
101,173 97,500
3,706 2,823
118,297 100,323 17,975 40,928 40,928 46,624 30,296
Loans due from banks and customers
Debt securities
13,419 40,683 40,683
3,673
883
Equity instruments
185 185
60 60
Shares and other equity securities
Derivatives
1,080
43,479 29,434
2,066
Interest rate derivatives (2)
2
860 265 712 229
Equity derivatives
834
2,452
3,551
Currency derivatives (2)
10,968
11,680
Credit derivatives Other derivatives
374 252
603 495
243
Financial assets at fair value through profit or loss – Held for trading (1)
55,181
144,837
5,831
205,849
Derivatives
916 702 214 916
12 12
928 714 214 928
Interest rate derivatives Currency derivatives
Financial assets at fair value through profit or loss – Economic hedges
12
Debt instruments
45
45
Loans due from banks and customers
2
2
Debt securities
43 45
43 45
Financial assets designated at fair value through profit or loss
Debt instruments
2,662
1,015
6,205 2,545 3,660 6,205 1,752 1,752
9,881 3,232 6,649 9,881 2,063 2,063
Loans due from banks and customers
687 327
Debt securities
2,662 2,662
Financial assets at fair value through profit or loss – Non-standard
1,015
5
Equity instruments
259 259
52 52
Shares and other equity securities
Financial assets at fair value through profit or loss – Excluding assets held for trading
259
52
1,752
2,063
Debt instruments
38,895
2,123
524
41,541
Loans due from banks and customers
5
39
45
Debt securities
38,895
2,117
484
41,497
Equity instruments
347 347
522 522
2,220 2,220 2,743
3,089 3,089
Shares and other equity securities
Financial assets at fair value through other comprehensive income
39,242
2,645 7,913 1,370 9,283
44,630
Interest rate derivatives Currency derivatives Hedging derivatives
7,913 1,370 9,283
TOTAL FINANCIAL ASSETS AT FAIR VALUE
97,345
158,793
16,544
272,681
Excluding economic hedging. (1) Amounts not restated compared to the financial statements published in 2019, followinga change to the presentation of premiums on options to be paidor received (see Note 5.2.3). (2)
337
UNIVERSAL REGISTRATION DOCUMENT 2020 | GROUPE BPCE
Made with FlippingBook - Online Brochure Maker