NATIXIS - 2018 Registration document and annual financial report

5 FINANCIAL DATA

Consolidated financial statements and notes

Financial assets at fair value: transfer between fair value levels

31/12/2018

From

Level 1

Level 2

Level 2

Level 3

Level 3

To

Level 2

Level 1

Level 3

Level 1

Level 2

(in millions of euros)

Financial assets at fair value through profit and loss —Trading Financial assets designated under the fair value option through profit or loss

0

2

0

0

(1)

0

2

0

0

(1)

o/w debt instruments in the form of securities

(1)

o/w equity instruments

2 9

Available-for-sale financial assets Available-for-sale securities—Equity investments Other available-for-sale securities o/w debt instruments in the form of securities

75

603

0

(1,525)

75

9

603

0

(1,525)

56 19

9

603

(1,506)

o/w equity instruments

(20)

Loans and receivables 9.4.5 Loans and receivables due from banks 9.4.5.1

31/12/2018

01/01/2018

(in millions of euros)

Outstanding

378 377

513 509

Loans and receivables

Accrued interest

1

4

Provisions TOTAL NET

378

513

Loans and receivables due from customers 9.4.5.2

31/12/2018

01/01/2018

(in millions of euros)

Outstanding

12,760 12,750

10,312 10,306

Loans and receivables

Accrued interest

10

6

Provisions TOTAL (A)

12,760 10,312 Of which €11,598 million for guarantee deposits made for the acceptance of reinsurance treaties, compared with €10,258 million at (a) December 31, 2017.

9.4.6

Held-to-maturity financial assets

31/12/2018

01/01/2018

(in millions of euros)

Government securities

1,002 1,002

1,083 1,083

Gross value Provisions

Bonds

289 290

802 804

Gross value Provisions

(1)

(2)

TOTAL

1,291

1,885

354

Natixis Registration Document 2018

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