Annual report 2019

9. Net impairment allowances on financial assets and provisions on contingent liabilities

Net impairment allowances on financial assets and provisions on contingent liabilities
31.12.2019 Stage 1 Stage 2 Stage 3 Total
Amounts due from banks (931) (931)
Loans and advances to customers measured at amortised cost 54,458 21,532 (432,185) (356,195)
Contingent commitments granted (4,159) (63,394) (16,690) (84,243)
Securities measured at amortised cost (1,097) 392 184 (521)
Total net impairment allowances on financial assets and contingent liabilities 48,271 (41,470) (448,691) (441,890)
Net impairment allowances on financial assets and provisions on contingent liabilities
31.12.2018 Stage 1 Stage 2 Stage 3 Total
Amounts due from banks 39 39
Loans and advances to customers measured at amortised cost (189,567) (60,824) (235,055) (485,446)
Contingent commitments granted (42,532) (14,054) (13,925) (70,511)
Securities measured at amortised cost (1,458) (593) (2,051)
Debt instruments measured at fair value through other comprehensive income 884 (1,215) 618 287
Total net impairment allowances on financial assets and contingent liabilities (232,634) (76,686) (248,362) (557,682)

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