Balance sheet and business activity

The most relevant aspects related to the evolution of the Group's balance sheet and business activity as of June 30, 2023 are summarized below:

  • Loans and advances to customers recorded an increase of 3.5% compared to the end of December 2022, strongly favored by the evolution of retail loans (+5.6% at Group level), supported by the good performance of both credit cards and consumer loans (+9.8% overall at Group level) in Mexico and South America. For its part, loans to the public sector showed a positive dynamic (+13.6%), originating mainly in Spain.
  • Customer funds increased 2.5% compared to the end of December 2022, thanks both to the growth in deposits from customers which increased by 2.0% due to the positive evolution of time deposits in Turkey and, to a lesser extent, in South America, and to the increase in off-balance sheet funds (+3.7%), highlighting the good performance in Mexico and Spain.

CONSOLIDATED BALANCE SHEET (MILLIONS OF EUROS)

30-06-23 ∆% 31-12-22 30-06-22
Cash, cash balances at central banks and other demand deposits 71,858 (9.9) 79,756 81,508
Financial assets held for trading 141,721 28.1 110,671 120,823
Non-trading financial assets mandatorily at fair value through profit or loss 8,019 16.4 6,888 6,775
Financial assets designated at fair value through profit or loss 1,004 10.0 913 1,003
Financial assets at fair value through accumulated other comprehensive income 63,979 (2.1) 65,374 69,569
Financial assets at amortized cost 438,841 5.9 414,421 401,103
Loans and advances to central banks and credit institutions 24,311 19.0 20,431 19,762
Loans and advances to customers 369,761 3.5 357,351 349,620
Debt securities 44,769 22.2 36,639 31,720
Investments in joint ventures and associates 929 1.5 916 894
Tangible assets 8,892 1.8 8,737 8,337
Intangible assets 2,284 5.9 2,156 2,139
Other assets 24,928 12.0 22,259 22,576
Total assets 762,456 7.1 712,092 714,726
Financial liabilities held for trading 127,332 33.2 95,611 102,305
Other financial liabilities designated at fair value through profit or loss 12,577 18.9 10,580 9,878
Financial liabilities at amortized cost 541,671 2.4 529,172 527,828
Deposits from central banks and credit institutions 59,961 (8.1) 65,258 79,127
Deposits from customers 402,344 2.0 394,404 377,540
Debt certificates 63,158 13.9 55,429 54,757
Other financial liabilities 16,207 15.1 14,081 16,404
Liabilities under insurance and reinsurance contracts 11,537 13.9 10,131 10,324
Other liabilities 16,771 4.3 16,081 15,635
Total liabilities 709,888 7.3 661,575 665,970
Non-controlling interests 3,517 (2.9) 3,623 3,348
Accumulated other comprehensive income (16,919) (4.1) (17,642) (16,617)
Shareholders’ funds 65,970 2.2 64,535 62,026
Total equity 52,568 4.1 50,517 48,757
Total liabilities and equity 762,456 7.1 712,092 714,726
Memorandum item:
Guarantees given 55,326 0.3 55,182 52,327

General note: 2022 figures have been restated according to IFRS17 - Insurance contracts.


LOANS AND ADVANCES TO CUSTOMERS (MILLIONS OF EUROS)

30-06-23 ∆% 31-12-22 30-06-22
Public sector 23,729 13.6 20,884 21,249
Individuals 165,553 5.6 156,838 155,797
Mortgages 92,679 1.2 91,569 93,097
Consumer 38,524 7.1 35,965 34,712
Credit cards 20,044 15.3 17,382 14,886
Other loans 14,306 20.0 11,921 13,102
Business 177,881 0.3 177,374 169,669
Non-performing loans 13,787 2.2 13,493 14,597
Loans and advances to customers (gross) 380,949 3.4 368,588 361,311
Allowances (1) (11,188) (0.4) (11,237) (11,691)
Loans and advances to customers 369,761 3.5 357,351 349,620

(1) Allowances include valuation adjustments for credit risk throughout the expected residual life in those financial instruments that have been acquired (mainly originating from the acquisition of Catalunya Banc, S.A.). As of June 30, 2023, December 31, 2022 and June 30, 2022, the remaining amount was €162m, €190m and €223m, respectively.

LOANS AND ADVANCES TO CUSTOMERS (BILLIONS OF EUROS)

(1) At constant exchange rates: +3.8%.

CUSTOMER FUNDS (BILLIONS OF EUROS)



(1) At constant exchange rates: +2.9%.


CUSTOMER FUNDS (MILLIONS OF EUROS)

30-06-23 ∆% 31-12-22 30-06-22
Deposits from customers 402,344 2.0 394,404 377,540
Current accounts 308,688 (2.3) 316,082 310,752
Time deposits 89,277 18.0 75,646 65,236
Other deposits 4,378 63.6 2,676 1,552
Other customer funds 155,739 3.7 150,172 146,698
Mutual funds and investment companies and customer portfolios (1) 124,793 14.6 108,936 105,280
Pension funds 27,051 (30.0) 38,653 38,453
Other off-balance sheet funds 3,895 50.9 2,582 2,966
Total customer funds 558,083 2.5 544,576 524,238

(1) Includes the customer portfolios in Spain, Mexico, Colombia and Peru.