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financial statements 2013

12. Available-for-sale financial assets

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12.1 Balance details

The breakdown of the balance by the main financial instruments in the accompanying consolidated balance sheets is as follows:

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Available-for-Sale Financial Assets Millions of Euros
2013 2012 2011
Debt securities 71,861 63,651 49,549
Impairment losses (55) (103) (133)
Subtotal 71,806 63,548 49,416
Equity instruments 6,111 4,188 5,658
Impairment losses (143) (236) (433)
Subtotal 5,968 3,952 5,225
Total 77,774 67,500 54,641

The increase in this line item is mainly due to:

  • On September 4, 2013 “Held to maturity investments” portfolio was reclassified to “Available for sale financial assets”. This reclassification is a result of a change in the business model used to manage these portfolios, which will not be considered a permanent investment and may be subject of sale.

The reclassified balance was €9,722 million with an unrealized gain due to the change in classification of approximately €25 million, registered in the equity line “Valuation adjustments – Financial assets available for sale”. The impact in interest margin during 2013 is not material.

  • As mentioned in Note 3, under the new agreement with the CITIC Group, BBVA's stake in CNBC (Note 17), which was reduced to 9.9%, has been reclassified during the year 2013 to “Available for sale financial assets”.

12.2 Debt securities

The breakdown of the balance under the heading “Debt securities”, broken down by the nature of the financial instruments, is as follows:

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Debt Securities Available-for-Sale
2013
Millions of Euros
Amortized
Cost (*)
Unrealized
Gains
Unrealized
Losses
Fair
Value
Domestic Debt Securities



Spanish Government and other government agency debt securities 30,688 781 (90) 31,379
Other debt securities 8,536 227 (25) 8,738
Issued by Central Banks - - - -
Issued by credit institutions 5,907 124 (4) 6,027
Issued by other institutions 2,629 103 (21) 2,711
Subtotal 39,224 1,008 (115) 40,116
Foreign Debt Securities



Mexico 10,433 328 (178) 10,583
Mexican Government and other government agency debt securities 9,028 281 (160) 9,150
Other debt securities 1,404 47 (19) 1,433
Issued by Central Banks - - - -
Issued by credit institutions 84 11 (2) 93
Issued by other institutions 1,320 36 (16) 1,340
The United States 5,962 58 (82) 5,937
Government securities 1,055 11 (11) 1,056
US Treasury and other US Government agencies 171 3 (4) 170
States and political subdivisions 884 8 (7) 885
Other debt securities 4,907 46 (72) 4,881
Issued by Central Banks - - - -
Issued by credit institutions 234 2 (2) 233
Issued by other institutions 4,674 44 (70) 4,648
Other countries 14,928 570 (329) 15,170
Other foreign governments and other government agency debt securities 7,128 333 (261) 7,199
Other debt securities 7,801 237 (67) 7,971
Issued by Central Banks 1,209 9 (10) 1,208
Issued by credit institutions 4,042 175 (51) 4,166
Issued by other institutions 2,550 54 (6) 2,597
Subtotal 31,323 956 (589) 31,690
Total 70,547 1,964 (704) 71,806
(*)The amortized cost includes portfolio gains/losses linked to insurance contracts in which the policyholder assumes the risk in case of redemption. Excel Download Excel
Debt Securities Available-for-Sale
2012
Millions of Euros
Amortized
Cost (*)
Unrealized
Gains
Unrealized
Losses
Fair
Value
Domestic Debt Securities



Spanish Government and other government agency debt securities 25,375 243 (857) 24,761
Other debt securities 9,580 145 (120) 9,605
Issued by Central Banks - - - -
Issued by credit institutions 7,868 71 (59) 7,880
Issued by other institutions 1,712 74 (61) 1,725
Subtotal 34,955 388 (977) 34,366
Foreign Debt Securities



Mexico 8,230 962 (1) 9,191
Mexican Government and other government agency debt securities 7,233 833 - 8,066
Other debt securities 997 129 (1) 1,125
Issued by Central Banks - - - -
Issued by credit institutions 333 56 (1) 388
Issued by other institutions 664 73 - 737
The United States 6,927 189 (88) 7,028
Government securities 713 21 (10) 724
US Treasury and other US Government agencies 228 1 (1) 228
States and political subdivisions 485 20 (9) 496
Other debt securities 6,214 168 (78) 6,304
Issued by Central Banks - - - -
Issued by credit institutions 150 11 (7) 154
Issued by other institutions 6,064 157 (71) 6,150
Other countries 13,054 469 (560) 12,963
Other foreign governments and other government agency debt securities 5,557 212 (374) 5,395
Other debt securities 7,497 257 (186) 7,568
Issued by Central Banks 1,158 2 (1) 1,159
Issued by credit institutions 4,642 209 (101) 4,750
Issued by other institutions 1,697 46 (84) 1,659
Subtotal 28,211 1,620 (649) 29,182
Total 63,166 2,008 (1,626) 63,548
(*) The amortized cost includes portfolio gains/losses linked to insurance contracts in which the policyholder assumes the risk in case of redemption. Excel Download Excel
Debt Securities Available-for-Sale
2011
Millions of Euros
Amortized
Cost (*)
Unrealized
Gains
Unrealized
Losses
Fair
Value
Domestic Debt Securities



Spanish Government and other government agency debt securities 20,531 58 (1,380) 19,209
Other debt securities 4,412 125 (299) 4,238
Issued by Central Banks - - - -
Issued by credit institutions 3,297 80 (247) 3,130
Issued by other institutions 1,115 45 (52) 1,108
Subtotal 24,943 183 (1,679) 23,447
Foreign Debt Securities



Mexico 4,799 175 - 4,974
Mexican Government and other government agency debt securities 4,727 163 - 4,890
Other debt securities 72 12 - 84
Issued by Central Banks - - - -
Issued by credit institutions 59 11 - 70
Issued by other institutions 14 1 - 15
The United States 7,332 242 (235) 7,339
Government securities 993 36 (12) 1,017
US Treasury and other US Government agencies 486 8 (12) 482
States and political subdivisions 507 28 - 535
Other debt securities 6,339 206 (223) 6,322
Issued by Central Banks - - - -
Issued by credit institutions 629 22 (36) 615
Issued by other institutions 5,710 184 (186) 5,708
Other countries 13,953 622 (919) 13,656
Other foreign governments and other government agency debt securities 8,235 344 (602) 7,977
Other debt securities 5,718 278 (317) 5,679
Issued by Central Banks 843 10 (0) 852
Issued by credit institutions 3,067 184 (265) 2,986
Issued by other institutions 1,808 84 (51) 1,841
Subtotal 26,084 1,039 (1,154) 25,969
Total 51,027 1,222 (2,833) 49,416
(*) The amortized cost includes portfolio gains/losses linked to insurance contracts in which the policyholder assumes the risk in case of redemption.

The credit ratings of the issuers of debt securities in the available-for-sale portfolio as of December 31, 2013, 2012 and 2011 are as follows:

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Available for Sale financial assets
Debt Securities by Rating
December 2013 December 2012 December 2011

Fair Value
(Millions of Euros)
% Fair Value
(Millions of Euros)
% Fair Value
(Millions of Euros)
%
AAA 847 1.2% 1,436 2.3% 3,022 6.1%
AA+ 4,927 6.9% 5,873 9.2% 5,742 11.6%
AA 198 0.3% 214 0.3% 1,242 2.5%
AA- 748 1.0% 1,690 2.7% 18,711 37.9%
A+ 554 0.8% 741 1.2% 735 1.5%
A 8,463 11.8% 1,125 1.8% 2,320 4.7%
A- 4,588 6.4% 6,521 10.3% 948 1.9%
BBB+ 7,203 10.0% 890 1.4% 7,631 15.4%
BBB 29,660 41.3% 3,314 5.2% 883 1.8%
BBB- 9,152 12.7% 28,466 44.8% 238 0.5%
BB+ or below 3,548 4.9% 7,706 12.1% 2,300 4.7%
Without rating 1,918 2.7% 5,572 8.8% 5,645 11.4%
Total 71,806 100.0% 63,548 100.0% 49,416 100.0%

12.3 Equity instruments

The breakdown of the balance under the heading "Equity instruments" as of December 31, 2013, 2012 and 2011, is as follows:

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Equity Instruments Available-for-Sale
2013
Millions of Euros
Amortized
Cost
Unrealized
Gains
Unrealized
Losses
Fair
Value
Equity instruments listed



Listed Spanish company shares 3,270 54 (46) 3,277
Credit institutions 3 - - 3
Other entities 3,267 54 (46) 3,275
Listed foreign company shares 2,030 46 (9) 2,066
United States 16 - - 16
Mexico 8 37 - 45
Other countries 2,006 9 (9) 2,006
Subtotal 5,300 100 (55) 5,343
Unlisted equity instruments



Unlisted Spanish company shares 61 - (1) 60
Credit institutions 3 - - 3
Other entities 58 - (1) 57
Unlisted foreign companies shares 554 9 (1) 563
United States 455 - - 455
Mexico - - - -
Other countries 99 9 (1) 107
Subtotal 616 9 (2) 623
Total 5,916 109 (57) 5,968
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Equity Instruments Available-for-Sale
2012
Millions of Euros
Amortized
Cost
Unrealized
Gains
Unrealized
Losses
Fair
Value
Equity instruments listed



Listed Spanish company shares 3,301 122 (380) 3,043
Credit institutions 2 - - 2
Other entities 3,299 122 (380) 3,041
Listed foreign company shares 294 9 (44) 259
United States 32 1 (4) 29
Mexico - - - -
Other countries 262 8 (40) 230
Subtotal 3,595 131 (424) 3,302
Unlisted equity instruments



Unlisted Spanish company shares 77 2 (4) 75
Credit institutions 4 - - 4
Other entities 73 2 (4) 71
Unlisted foreign companies shares 568 7 - 575
United States 474 - - 474
Mexico - - - -
Other countries 94 7 - 101
Subtotal 645 9 (4) 650
Total 4,240 140 (428) 3,952
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Equity Instruments Available-for-Sale
2011
Millions of Euros
Amortized Cost Unrealized
Gains
Unrealized
Losses
Fair
Value
Equity instruments listed



Listed Spanish company shares 3,803 468 (2) 4,269
Credit institutions 2 - - 2
Other entities 3,801 468 (2) 4,267
Listed foreign company shares 359 5 (91) 273
United States 41 - (12) 29
Mexico - - - -
Other countries 318 5 (79) 244
Subtotal 4,162 473 (93) 4,542
Unlisted equity instruments



Unlisted Spanish company shares 35 - - 35
Credit institutions 1 - - 1
Other entities 35 - - 35
Unlisted foreign companies shares 635 13 - 648
United States 559 2 - 561
Mexico 1 - - 1
Other countries 75 11 - 86
Subtotal 670 13 - 683
Total 4,832 486 (93) 5,225

12.4 Gains/losses

The changes in the gains/losses, net of taxes, recognized under the equity heading “Valuation adjustments – Available-for-sale financial assets” in the accompanying consolidated balance sheets are as follows:

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Changes in Valuation Adjustments - Available-for-Sale Financial Assets Millions of Euros
2013 2012 2011
Balance at the beginning (238) (628) 333
Valuation gains and losses 1,653 464 (1,281)
Income tax (489) (192) 231
Amounts transferred to income (136) 118 89
Other reclassifications 61 - -
Balance at the end 851 (238) (628)
Of which:


Debt securities 780 (80) (974)
Equity instruments 71 (158) 346

The losses recognized under the heading “Valuation adjustments – Available-for-sale financial assets” in the consolidated balance sheet for the year 2013 correspond mainly to debt securities from government agencies.

  • As of December 31, 2013, 46.7% of the unrealized losses recognized under the heading "Valuation adjustments – Available-for-sale financial assets” and originating in debt securities were generated over more than twelve months. However, no impairment has been considered, as following an analysis of these unrealized losses it can be concluded that they were temporary due to the following reasons: the interest payment dates of all the fixed-income securities have been satisfied; and because there is no evidence that the issuer will not continue to meet its payment obligations, nor that future payments of both principal and interest will not be sufficient to recover the cost of the debt securities.
  • As of December 31, 2013, the Group has analyzed the unrealized losses recognized under the heading “Valuation adjustments – Available-for-sale financial assets” resulting from equity instruments generated over a period of more than 12 months and with a fall of more 20% in their price, as a first approximation to the existence of possible impairment. As of 31 December, 2013, the unrealized losses recognized under the heading “Valuation adjustments – Available-for-sale financial assets” resulting from equity instruments generated over a period of more than 18 months or with a fall of more 40% in their price are not significant.

The losses recognized under the heading “Impairment losses on financial assets (net) – Available-for-sale financial assets” in the accompanying consolidated income statement amounted to €36, €41 million and €22 million for the year ended December 31, 2013, 2012 and 2011, respectively (see Note 49).

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