Total | Dominante | Dominada | |||||||
---|---|---|---|---|---|---|---|---|---|
Total | R.C. > 0 | B.I. > 0 | Total | R.C. > 0 | B.I. > 0 | Total | R.C. > 0 | B.I. > 0 | |
NUMERO | 259 | 204 | 191 | 32 | S.E. | 21 | 59 | 47 | 42 |
A C T I V O | |||||||||
Caja y depósitos en bancos centrales | 77.143.345 | 70.802.063 | 37.532.569 | 65.288.621 | S.E. | 28.183.357 | 6.333.184 | 4.764.192 | 4.330.911 |
Cartera de negociación | 211.165.009 | 205.319.946 | 73.976.651 | 179.969.113 | S.E. | 49.446.041 | 12.586.944 | 12.302.712 | 12.241.858 |
Otros activos financieros a valor razonable con Cambios en pérdidas y ganancias | 33.130.320 | 31.430.171 | 5.303.831 | 25.322.837 | S.E. | 53.911 | 2.947.653 | 2.941.953 | 2.941.953 |
Activos financieros disponibles para la venta | 220.372.735 | 191.933.520 | 125.470.476 | 160.431.995 | S.E. | 77.173.123 | 26.716.381 | 19.604.572 | 16.124.724 |
Inversiones crediticias | 1.673.244.472 | 1.448.518.384 | 859.554.364 | 1.212.707.653 | S.E. | 552.853.362 | 233.202.104 | 171.267.643 | 139.996.111 |
Cartera de inversión a vencimiento | 84.456.227 | 72.371.649 | 53.587.683 | 68.514.707 | S.E. | 42.929.939 | 9.991.755 | 9.991.746 | 5.446.173 |
Ajustes a activos financieros por macro-coberturas | 626.697 | 102.031 | 1.068 | 408.366 | S.E. | -1.889 | 216.261 | 887 | 887 |
Derivados de cobertura | 16.037.424 | 14.313.462 | 9.221.403 | 12.169.880 | S.E. | 7.587.097 | 2.080.892 | 1.006.467 | 1.071.042 |
Activos no corrientes en venta | 17.728.339 | 12.135.701 | 7.991.951 | 14.361.097 | S.E. | 5.210.843 | 1.860.643 | 995.878 | 1.296.777 |
Participaciones | 163.958.096 | 159.064.659 | 43.160.217 | 142.423.925 | S.E. | 24.014.350 | 18.326.982 | 16.958.684 | 16.253.055 |
Contratos de seguros vinculados a pensiones | 3.143.316 | 2.875.779 | 326.784 | 2.489.977 | S.E. | 7.150 | 619.073 | 411.904 | 285.368 |
Activo material | 21.298.369 | 17.227.934 | 12.107.479 | 14.963.123 | S.E. | 7.687.025 | 3.645.632 | 2.638.871 | 2.051.313 |
Activo intangible | 6.357.704 | 4.586.720 | 3.436.765 | 4.884.475 | S.E. | 2.356.839 | 590.504 | 368.663 | 250.752 |
Activos fiscales | 72.165.865 | 56.998.323 | 33.341.251 | 58.579.668 | S.E. | 25.532.414 | 10.323.419 | 5.744.943 | 5.109.425 |
Resto de activos | 12.923.126 | 11.586.745 | 7.092.494 | 9.995.839 | S.E. | 4.700.956 | 1.650.490 | 1.435.815 | 1.332.545 |
TOTAL ACTIVO | 2.613.751.044 | 2.299.267.085 | 1.272.104.986 | 1.972.511.275 | S.E. | 827.734.517 | 331.091.916 | 250.434.929 | 208.732.894 |
P A S I V O | |||||||||
Cartera de negociación | 164.403.002 | 159.706.432 | 56.607.023 | 149.993.344 | S.E. | 45.017.664 | 2.645.189 | 2.315.900 | 2.290.376 |
Otros pasivos financieros a valor razonable con Cambios en pérdidas y ganancias | 92.674.325 | 79.054.404 | 67.024.804 | 28.513.777 | S.E. | 13.389.600 | 12.878.247 | 2.405.051 | 2.405.051 |
Pasivos financieros a coste amortizado | 2.059.170.298 | 1.789.970.999 | 1.023.010.849 | 1.564.547.330 | S.E. | 693.322.105 | 275.919.135 | 214.290.564 | 176.353.981 |
Ajustes a pasivos financieros por macro-coberturas | 363.178 | 5.029 | -18.270 | -10.993 | S.E. | -18.270 | 374.171 | 16.022 | 0 |
Derivados de cobertura | 11.669.893 | 9.880.596 | 3.628.852 | 9.050.358 | S.E. | 1.946.128 | 993.701 | 463.993 | 289.495 |
Pasivos asociados con activos no corrientes en venta | 5.334 | 5.125 | 5.125 | 0 | S.E. | 0 | 0 | 0 | 0 |
Provisiones | 30.528.070 | 27.073.471 | 9.829.276 | 25.337.727 | S.E. | 7.119.977 | 3.528.656 | 1.718.833 | 1.405.452 |
Pasivos fiscales | 8.155.907 | 7.137.252 | 4.039.136 | 6.128.490 | S.E. | 2.623.089 | 1.110.782 | 782.292 | 619.526 |
Fondo de la Obra social (sólo Cajas de ahorros y Cooperativas de crédito) | 132.757 | 132.469 | 132.079 | 8.063 | S.E. | 8.063 | 38.098 | 38.098 | 38.098 |
Resto de pasivos | 15.084.990 | 13.669.453 | 9.223.227 | 10.881.545 | S.E. | 5.608.923 | 2.569.482 | 2.211.974 | 2.102.102 |
Capital reembolsable a la vista (sólo Cooperativas de crédito) | 1.998 | 673 | 673 | 0 | S.E. | 0 | 0 | 0 | 0 |
TOTAL PASIVO | 2.382.189.751 | 2.086.635.904 | 1.173.482.774 | 1.794.449.640 | S.E. | 769.017.279 | 300.057.461 | 224.242.727 | 185.504.082 |
Fondos propios | 229.437.576 | 210.348.466 | 96.593.809 | 177.212.094 | S.E. | 57.515.360 | 30.711.199 | 26.042.720 | 23.230.082 |
Ajustes por valoración | 2.123.716 | 2.282.715 | 2.028.402 | 849.541 | S.E. | 1.201.878 | 323.256 | 149.482 | -1.270 |
Total patrimonio neto | 231.561.293 | 212.631.181 | 98.622.211 | 178.061.635 | S.E. | 58.717.238 | 31.034.456 | 26.192.202 | 23.228.812 |
TOTAL PASIVO Y PATRIMONIO NETO | 2.613.751.044 | 2.299.267.085 | 1.272.104.986 | 1.972.511.275 | S.E. | 827.734.517 | 331.091.916 | 250.434.929 | 208.732.894 |
Unidades: Importe en miles de euros