Consolidated balance sheet

As at 31 December 2018

(before profit appropriation)

Notes

Page number

IFRS 9
20181

IAS 39
20171

     

Assets

    

Banks

(1)

96

54,642

71,763

Short-term deposits

(2)

96

  

-of which: Amortized cost

  

391,635

-

-of which: Fair value through profit or loss

  

756,216

1,544,089

Interest-bearing securities

(3)

96

  

-of which: Available for sale

  

-

364,905

-of which: Amortized cost

  

402,380

-

Derivative financial instruments

(4)

97

247,823

282,507

Loans to the private sector

(5), (8)

99, 102

  

-of which: Amortized cost

  

4,085,022

4,200,948

-of which: Fair value through profit or loss

  

685,799

-

Equity investments

(6)

100

  

-of which: Available for sale

  

-

1,502,833

-of which: Fair value through OCI

  

77,553

-

-of which: Fair value through profit or loss

  

1,504,427

-

Investments in associates

(7)

101

215,539

207,482

Property, plant and equipment

(9)

104

15,182

12,866

Current tax receivables

(28)

113

24,448

7,458

Deferred income tax assets

(28)

113

8,357

10,587

Current accounts with State funds and other programs

(10)

104

494

274

Other receivables

(11)

105

20,597

117,217

Total assets

  

8,490,114

8,322,929

     

Liabilities

    

Short-term credits

(12)

105

76,051

125,935

Derivative financial instruments

(4)

97

217,174

173,701

Debentures and notes

(13)

105

5,139,881

5,123,146

Current accounts with State funds and other programs

(14)

106

4,173

182

Wage tax liabilities

  

262

117

Deferred income tax liabilities

(28)

113

2,801

9,682

Other liabilities

(15)

106

1,331

2,143

Accrued liabilities

(16)

106

10,086

8,586

Provisions

(17)

106

54,547

49,484

Total liabilities

  

5,506,306

5,492,976

     

Shareholders’ equity

    

Share capital

  

9,076

9,076

Share premium reserve

  

29,272

29,272

Contractual reserve

  

2,261,694

1,726,404

Development fund

  

657,981

657,981

Available for sale reserve

  

-

400,687

Fair value reserve

  

17,773

-

Actuarial result pensions

  

-21,123

-21,369

Translation reserve

  

-6,758

-16,696

Other reserves

  

32,162

31,971

Undistributed profit

  

3,570

5,556

Shareholders’ equity (parent)

  

2,983,647

2,822,882

Non-controlling interests

  

161

7,071

Total shareholders’ equity

(18)

108

2,983,808

2,829,953

Total liabilities and shareholders’ equity

  

8,490,114

8,322,929

     

Contingent assets and liabilities:

    

- Effective guarantees issued

(29)

115

75,066

68,129

- Effective guarantees received

(29)

115

-199,027

-175,042

Irrevocable facilities

(29)

115

1,809,189

1,785,159

  • 1 In 2018 and 2017 the accrued income and part of accrued liabilities are not presented separately but included as part of the carrying value of the relevant financial asset.