During the year, the Group has not reclassified any financial assets measured at amortized cost to financial assets measured at fair value.
Result on investment activities | 12 months ended 31.12.2019 | 12 months ended 31.12.2018 |
---|---|---|
Securities measured at fair value through other comprehensive income | 3,094 | – |
Loans and advances to customers measured at fair value through profit or loss | (35,654) | 5,984 |
Debt instruments measured at fair value through comprehensive income | 715 | 41,244 |
Investment property measurement | – | 1,433 |
Equity instruments | 9 | 177 |
Result on financial instruments measured at fair value through other comprehensive income | (31,836) | 48,838 |