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7. Net income from financial instruments designated at fair value
| 2013 | 2012 |
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Change in fair value of financial instruments measured at fair value through profit and loss determined using the valuation techniques | 46,261 | (8,120) |
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Derivative instruments, of which: | 65,103 | 3,186 |
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an ineffective portion related to cash flow hedges | 24,333 | 7,938 |
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Structured bank securities measured at fair value through profit and loss | (18,842) | (11,306) |
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Debt securities | 8,841 | 103,343 |
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Equity instruments | (793) | (1,035) |
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Total | 54,309 | 94,188 |
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2013 | Gains | Losses | Net result |
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Trading assets | 12,844,531 | (12,773,738) | 70,793 |
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Financial assets designated upon initial recognition at fair value through profit and loss | 74,478 | (90,962) | (16,484) |
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Total | 12,919,009 | (12,864,700) | 54,309 |
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2012 | Gains | Losses | Net result |
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Trading assets | 14,016,797 | (14,000,105) | 16,692 |
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Financial assets designated upon initial recognition at fair value through profit and loss | 151,334 | (73,838) | 77,496 |
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Total | 14,168,131 | (14,073,943) | 94,188 |
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