BPCE - 2020 Universal Registration Document
FINANCIAL REPORT
IFRS CONSOLIDATED FINANCIAL STATEMENTS OF BPCE SA GROUP AS AT DECEMBER 31, 2020
12/31/2019
Level 1
Level 2
Level 3
Total
in millions of euros
FINANCIAL ASSETS Debt instruments
11,859
102,588 99,867
3,042 2,701
117,489 102,568 14,921 36,160 36,160 51,156 35,294
Loans due from banks and customers
Debt securities
11,859 35,915 35,915
2,721
341
Equity instruments
185 185
60 60
Shares and other equity securities
Derivatives
924
48,143 34,474
2,088
Interest rate derivatives (2)
2
819 262 778 230
Equity derivatives
679
2,408
3,349
10,637
11,415
Currency derivatives (2)
Credit derivatives Other derivatives
373 251
602 495
243
Financial assets at fair value through profit or loss – Held for trading (1)
48,698
150,916
5,190
204,805
Derivatives
515 316 199 515
12 12
527 328 199 527
Interest rate derivatives Currency derivatives
Financial assets at fair value through profit or loss – Economic hedges
12
45
45
Debt instruments
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
2,397
1,763 1,622
2,430 1,235 1,195 2,430
6,590 2,856 3,734 6,590
Loans due from banks and customers
Debt securities
2,397 2,397
141
Financial assets at fair value through profit or loss – Non-standard
1,763
5
Equity instruments
230 230
10 10
641 641
880 880
Shares and other equity securities
Financial assets at fair value through profit or loss – Excluding assets held for trading
230
10
641
880
Debt instruments
14,853
680
52 39 12
15,585
Loans due from banks and customers
1
41
Debt securities
14,853
679 167 167 848
15,544
Equity instruments
185 185
1,178 1,178 1,230
1,531 1,531
Shares and other equity securities
Financial assets at fair value through other comprehensive income
15,038
17,116
Interest rate derivatives Currency derivatives Hedging derivatives
6,511 1,358 7,870
6,512 1,359 7,870
TOTAL FINANCIAL ASSETS AT FAIR VALUE
66,363
161,966
9,504
237,832
Excluding economic hedging. (1) Amounts not restated compared to the financial statements published in 2019, following a change in the presentation of premiums on options to be paid or received (see Note (2) 5.2.3).
487
UNIVERSAL REGISTRATION DOCUMENT 2020 | GROUPE BPCE
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