10. Net impairment allowance and write-downs

For the year ended
31 December 2013
NoteValue at
the beginning
of the period
IncreasesDecreasesValue
at the end
of the period
Net – impact
on the
income statement
Recognised during the periodOtherDecrease due to derecognition of assets and settlementReversed during the periodCurrency translation differencesOther
Investment securities available for sale2223,24316,183-5,536-343233,455(16,183)
Debt securities available for sale5,5363,728-5,536--4323,296(3,728)
Equity securities17,70712,455---3-30,159(12,455)
Amounts due from banks1629,382---5-79428,5835
Loans and advances to customers measured
at amortised cost
216,776,2656,434,8392,0741,775,8114,406,50115,770364,3166,650,780(2,028,338)
Non-financial sector6,606,7556,378,3771,8061,770,8294,363,01114,818337,2346,501,046(2,015,366)
corporate loans3,458,5623,491,4461,8061,149,3552,183,19511,621278,2913,329,352(1,308,251)
consumer loans1,431,6891,561,370-425,1171,148,8906245,0791,413,349(412,480)
housing loans1,714,6981,300,280-196,3571,030,9262,57353,8641,731,258(269,354)
debt securities1,80625,281-----27,087(25,281)
Financial sector25,3769,05180-94995227,0825,524(8,102)
corporate loans25,3769,05180-94995227,0825,524(8,102)
Public sector21,990-188-10,651--11,52710,651
corporate loans19,640-188-9,279--10,5499,279
debt securities2,350---1,372--9781,372
Finance lease receivables122,14447,411-4,98231,890--132,683(15,521)
Non-current assets held for sale252,9061,634363,443963--1,680365,340(1,634)
Tangible fixed assets2813,9437902991,93233038330312,084(460)
Intangible assets27142,31311,021---9314153,011(11,021)
Investments in associates and jointly controlled entities24113,2267,617--4,311--116,532(3,306)
Inventories2631,50423,460-1,13623--53,805(23,437)
Other receivables145,04380,7421,83823,88339,0691275,792158,752(41,673)
Provisions for legal claims, loan commitments and guarantees granted36233,682265,3111,957318349,01019-151,60383,699
Provision for future liabilities11,9615,262-5499,729--6,9454,467
Total7,523,4686,846,859369,6111,810,1284,808,97816,311373,6317,730,890(2,037,881)

Reclassification of impairment allowances of loan portfolio of Finansowa Kompania ‘Prywatne Inwestycje’ Sp. z o.o., in connection with the planned disposal of the company, was recognised in position of other decreases in impairment allowances of ‘Loans and advances to customers’ and other increases in impairment allowances of ‘Non-current assets held for sale’.

For the year ended
31 December 2012
NoteValue at
the beginning
of the period
IncreasesDecreasesValue
at the end
of the period
Net – impact
on the
income statement
Recognised during the periodOtherDecrease due to derecognition of assets and settlementReversed during the periodCurrency translation differencesOther
Investment securities available for sale2220,56315,100-10,5481,564308-23,243(13,536)
Debt securities available for sale17,944--10,5481,564296-5,5361,564
Equity securities2,61915,100---12-17,707(15,100)
Amounts due from banks1632,812518--8563,09229,382338
Loans and advances to customers measured
at amortised cost
215,658,2435,870,95733,092934,3243,732,46054,32264,9216,776,265(2,138,497)
Non-financial sector5,497,0335,768,70732,123923,8263,650,80651,55564,9216,606,755(2,117,901)
corporate loans2,709,3602,522,17710,276284,4531,434,91341,42122,4643,458,562(1,087,264)
consumer loans1,463,8432,040,95019,447611,6841,472,1221,3787,3671,431,689(568,828)
housing loans1,323,8301,203,7742,40027,689743,7718,75635,0901,714,698(460,003)
debt securities-1,806-----1,806(1,806)
Financial sector37,05842,1453913,84847,6032,767-25,3765,458
corporate loans37,05842,1453913,84847,6032,767-25,3765,458
Public sector15,7798,763578-3,130--21,990(5,633)
corporate loans15,7796,413578-3,130--19,640(3,283)
debt securities-2,350-----2,350(2,350)
Finance lease receivables108,37351,342-6,65030,921--122,144(20,421)
Non-current assets held for sale252,958--52---2,906-
Tangible fixed assets286,38812,104-3,366305878-13,943(11,799)
Intangible assets27135,29511,3372394,558---142,313(11,337)
Investments in associates and jointly controlled entities2488,95324,273-----113,226(24,273)
Inventories2633,08810,705-11,322967--31,504(9,738)
Other receivables179,44731,4236,91550,05121,665539487145,043(9,758)
Provisions for legal claims, loan commitments and guarantees granted36132,204254,247-798151,44212517233,682(102,805)
Provision for future liabilities8,60823,249-47019,426--11,961(3,823)
Total6,298,5596,253,91340,2461,015,4893,928,68556,05969,0177,523,468(2,325,228)