ASSETS | Millions of Euros | ||
---|---|---|---|
December 31, 2012 As Previously Reported |
Adjustments (*) | December 31, 2012 After Implementation |
|
CASH AND BALANCES WITH CENTRAL BANKS | 37,434 | (1,940) | 35,494 |
FINANCIAL ASSETS HELD FOR TRADING | 79,954 | (125) | 79,829 |
OTHER FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS | 2,853 | (323) | 2,530 |
AVAILABLE-FOR-SALE FINANCIAL ASSETS | 71,500 | (4,000) | 67,500 |
LOANS AND RECEIVABLES | 383,410 | (12,063) | 371,347 |
HELD-TO-MATURITY INVESTMENTS | 10,162 | - | 10,162 |
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK | 226 | - | 226 |
HEDGING DERIVATIVES | 4,894 | - | 4,894 |
NON-CURRENT ASSETS HELD FOR SALE | 4,245 | (16) | 4,229 |
INVESTMENTS IN ENTITIES ACCOUNTED FOR USING THE EQUITY METHOD | 6,795 | 3,987 | 10,782 |
INSURANCE CONTRACTS LINKED TO PENSIONS | 7 | - | 7 |
REINSURANCE ASSETS | 50 | - | 50 |
TANGIBLE ASSETS | 7,785 | (213) | 7,572 |
INTANGIBLE ASSETS | 8,912 | (1,780) | 7,132 |
TAX ASSETS | 11,829 | (179) | 11,650 |
OTHER ASSETS | 7,729 | (61) | 7,668 |
TOTAL ASSETS | 637,785 | (16,713) | 621,072 |
LIABILITIES AND EQUITY | Millions of Euros | ||
---|---|---|---|
December 31, 2012 As Previously Reported |
Adjustments (*) | December 31, 2012 After Implementation |
|
FINANCIAL LIABILITIES HELD FOR TRADING | 55,927 | (93) | 55,834 |
OTHER FINANCIAL LIABILITIES DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS | 2,516 | (300) | 2,216 |
FINANCIAL LIABILITIES AT AMORTIZED COST | 506,487 | (15,882) | 490,605 |
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK | - | - | - |
HEDGING DERIVATIVES | 2,968 | - | 2,968 |
LIABILITIES ASSOCIATED WITH NON-CURRENT ASSETS HELD FOR SALE | 387 | - | 387 |
LIABILITIES UNDER INSURANCE CONTRACTS | 9,032 | (12) | 9,020 |
PROVISIONS | 7,927 | (93) | 7,834 |
TAX LIABILITIES | 4,077 | (257) | 3,820 |
OTHER LIABILITIES | 4,662 | (76) | 4,586 |
TOTAL LIABILITIES | 593,983 | (16,713) | 577,270 |
STOCKHOLDERS’ FUNDS | 43,614 | - | 43,614 |
Common Stock | 2,670 | - | 2,670 |
Share premium | 20,968 | - | 20,968 |
Reserves | 19,672 | - | 19,672 |
Other equity instruments | 62 | - | 62 |
Less: Treasury stock | (111) | - | (111) |
Income attributed to the parent company | 1,676 | - | 1,676 |
Less: Dividends and remuneration | (1,323) | - | (1,323) |
VALUATION ADJUSTMENTS | (2,184) | - | (2,184) |
NON-CONTROLLING INTEREST | 2,372 | - | 2,372 |
TOTAL EQUITY (**) | 43,802 | - | 43,802 |
TOTAL LIABILITIES AND EQUITY | 637,785 | (16,713) | 621,072 |
MEMORANDUM ITEM | Millions of Euros | ||
---|---|---|---|
December 31, 2012 As Previously Reported |
Adjustments (*) | December 31, 2012 After Implementation |
|
CONTINGENT RISKS | 39,540 | (2,521) | 37,019 |
CONTINGENT COMMITMENTS | 93,098 | (2,956) | 90,142 |
Income Statement | Millions of Euros | ||
---|---|---|---|
2012 As Previously Reported |
Adjustments (*) | 2012 After Implementation |
|
INTEREST AND SIMILAR INCOME | 26,262 | (1,447) | 24,815 |
INTEREST AND SIMILAR EXPENSES | (11,140) | 799 | (10,341) |
NET INTEREST INCOME | 15,122 | (648) | 14,474 |
DIVIDEND INCOME | 390 | - | 390 |
SHARE OF PROFIT OR LOSS OF ENTITIES ACCOUNTED FOR USING THE EQUITY METHOD | 727 | 312 | 1,039 |
FEE AND COMMISSION INCOME | 5,574 | (284) | 5,290 |
FEE AND COMMISSION EXPENSES | (1,221) | 87 | (1,134) |
NET GAINS (LOSSES) ON FINANCIAL ASSETS AND LIABILITIES | 1,645 | (9) | 1,636 |
EXCHANGE DIFFERENCES (NET) | 122 | (53) | 69 |
OTHER OPERATING INCOME | 4,812 | (47) | 4,765 |
OTHER OPERATING EXPENSES | (4,730) | 25 | (4,705) |
GROSS INCOME | 22,441 | (617) | 21,824 |
ADMINISTRATION COSTS | (9,768) | 372 | (9,396) |
DEPRECIATION AND AMORTIZATION | (1,018) | 40 | (978) |
PROVISIONS (NET) | (651) | 10 | (641) |
IMPAIRMENT LOSSES ON FINANCIAL ASSETS (NET) | (7,980) | 121 | (7,859) |
NET OPERATING INCOME | 3,024 | (74) | 2,950 |
IMPAIRMENT LOSSES ON OTHER ASSETS (NET) | (1,123) | - | (1,123) |
GAINS (LOSSES) ON DERECOGNIZED ASSETS NOT CLASSIFIED AS NON-CURRENT ASSETS HELD FOR SALE | 4 | (1) | 3 |
NEGATIVE GOODWILL | 376 | - | 376 |
GAINS (LOSSES) IN NON-CURRENT ASSETS HELD FOR SALE NOT CLASSIFIED AS DISCONTINUED OPERATIONS | (622) | (2) | (624) |
OPERATING PROFIT BEFORE TAX | 1,659 | (77) | 1,582 |
INCOME TAX | 275 | 77 | 352 |
PROFIT FROM CONTINUING OPERATIONS | 1,934 | - | 1,934 |
PROFIT FROM DISCONTINUED OPERATIONS (NET) | 393 | - | 393 |
PROFIT | 2,327 | - | 2,327 |
Profit attributable to parent company | 1,676 | - | 1,676 |
Profit attributable to non-controlling interests | 651 | - | 651 |
ASSETS | Millions of Euros | ||
---|---|---|---|
December 31, 2011 As Previously Reported |
Adjustments (*) | December 31, 2011 After Implementation |
|
CASH AND BALANCES WITH CENTRAL BANKS | 30,939 | (1,098) | 29,841 |
FINANCIAL ASSETS HELD FOR TRADING | 70,602 | (131) | 70,471 |
OTHER FINANCIAL ASSETS DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS | 2,977 | (204) | 2,773 |
AVAILABLE-FOR-SALE FINANCIAL ASSETS | 58,144 | (3,503) | 54,641 |
LOANS AND RECEIVABLES | 381,076 | (11,160) | 369,916 |
HELD-TO-MATURITY INVESTMENTS | 10,955 | - | 10,955 |
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK | 146 | - | 146 |
HEDGING DERIVATIVES | 4,552 | (14) | 4,538 |
NON-CURRENT ASSETS HELD FOR SALE | 2,090 | (15) | 2,075 |
INVESTMENTS IN ENTITIES ACCOUNTED FOR USING THE EQUITY METHOD | 5,843 | 3,456 | 9,299 |
INSURANCE CONTRACTS LINKED TO PENSIONS | - | - | - |
REINSURANCE ASSETS | 26 | - | 26 |
TANGIBLE ASSETS | 7,330 | (204) | 7,126 |
INTANGIBLE ASSETS | 8,677 | (1,797) | 6,880 |
TAX ASSETS | 7,841 | (114) | 7,727 |
OTHER ASSETS | 6,490 | (66) | 6,424 |
TOTAL ASSETS | 597,688 | (14,850) | 582,838 |
LIABILITIES AND EQUITY | Millions of Euros | ||
---|---|---|---|
December 31, 2011 As Previously Reported |
Adjustments (*) | December 31, 2011 After Implementation |
|
FINANCIAL LIABILITIES HELD FOR TRADING | 51,303 | (125) | 51,178 |
OTHER FINANCIAL LIABILITIES DESIGNATED AT FAIR VALUE THROUGH PROFIT OR LOSS | 1,825 | (204) | 1,621 |
FINANCIAL LIABILITIES AT AMORTIZED COST | 479,904 | (14,187) | 465,717 |
FAIR VALUE CHANGES OF THE HEDGED ITEMS IN PORTFOLIO HEDGES OF INTEREST RATE RISK | - | - | - |
HEDGING DERIVATIVES | 2,710 | (1) | 2,709 |
LIABILITIES ASSOCIATED WITH NON-CURRENT ASSETS HELD FOR SALE | - | - | - |
LIABILITIES UNDER INSURANCE CONTRACTS | 7,737 | (8) | 7,729 |
PROVISIONS | 7,561 | (90) | 7,471 |
TAX LIABILITIES | 2,330 | (183) | 2,147 |
OTHER LIABILITIES | 4,260 | (52) | 4,208 |
TOTAL LIABILITIES | 557,630 | (14,850) | 542,780 |
STOCKHOLDERS’ FUNDS | 40,952 | - | 40,952 |
Common Stock | 2,403 | - | 2,403 |
Share premium | 18,970 | - | 18,970 |
Reserves | 17,940 | - | 17,940 |
Other equity instruments | 51 | - | 51 |
Less: Treasury stock | (300) | - | (300) |
Income attributed to the parent company | 3,004 | - | 3,004 |
Less: Dividends and remuneration | (1,116) | - | (1,116) |
VALUATION ADJUSTMENTS | (2,787) | - | (2,787) |
NON-CONTROLLING INTEREST | 1,893 | - | 1,893 |
TOTAL EQUITY (**) | 40,058 | - | 40,058 |
TOTAL LIABILITIES AND EQUITY | 597,688 | (14,850) | 582,838 |
MEMORANDUM ITEM | Millions of Euros | ||
---|---|---|---|
December 31, 2011 As Previously Reported |
Adjustments (*) | December 31, 2011 After Implementation |
|
CONTINGENT RISKS | 39,904 | (2,275) | 37,629 |
CONTINGENT COMMITMENTS | 93,766 | (3,078) | 90,688 |
Income Statement | Millions of Euros | ||
---|---|---|---|
2011 As Previously Reported |
Adjustments (*) | 2011 After Implementation |
|
INTEREST AND SIMILAR INCOME | 24,180 | (951) | 23,229 |
INTEREST AND SIMILAR EXPENSES | (11,028) | 523 | (10,505) |
NET INTEREST INCOME | 13,152 | (428) | 12,724 |
DIVIDEND INCOME | 562 | - | 562 |
SHARE OF PROFIT OR LOSS OF ENTITIES ACCOUNTED FOR USING THE EQUITY METHOD | 595 | 192 | 787 |
FEE AND COMMISSION INCOME | 5,075 | (201) | 4,874 |
FEE AND COMMISSION EXPENSES | (1,044) | 64 | (980) |
NET GAINS (LOSSES) ON FINANCIAL ASSETS AND LIABILITIES | 1,117 | (47) | 1,070 |
EXCHANGE DIFFERENCES (NET) | 364 | 46 | 410 |
OTHER OPERATING INCOME | 4,244 | (32) | 4,212 |
OTHER OPERATING EXPENSES | (4,037) | 18 | (4,019) |
GROSS INCOME | 20,028 | (388) | 19,640 |
ADMINISTRATION COSTS | (8,898) | 264 | (8,634) |
DEPRECIATION AND AMORTIZATION | (839) | 29 | (810) |
PROVISIONS (NET) | (509) | 6 | (503) |
IMPAIRMENT LOSSES ON FINANCIAL ASSETS (NET) | (4,226) | 41 | (4,185) |
NET OPERATING INCOME | 5,879 | (371) | 5,508 |
IMPAIRMENT LOSSES ON OTHER ASSETS (NET) | (1,885) | 2 | (1,883) |
GAINS (LOSSES) ON DERECOGNIZED ASSETS NOT CLASSIFIED AS NON-CURRENT ASSETS HELD FOR SALE | 46 | (2) | 44 |
NEGATIVE GOODWILL | - | - | - |
GAINS (LOSSES) IN NON-CURRENT ASSETS HELD FOR SALE NOT CLASSIFIED AS DISCONTINUED OPERATIONS | (271) | - | (271) |
OPERATING PROFIT BEFORE TAX | 3,446 | (48) | 3,398 |
INCOME TAX | (206) | 48 | (158) |
PROFIT FROM CONTINUING OPERATIONS | 3,240 | - | 3,240 |
PROFIT FROM DISCONTINUED OPERATIONS (NET) | 245 | - | 245 |
PROFIT | 3,485 | - | 3,485 |
Profit attributable to parent company | 3,004 | - | 3,004 |
Profit attributable to non-controlling interests | 481 | - | 481 |