| Net movement in fair value of assets and liabilities measured at fair value |
1 January – |
1 January – |
|---|---|---|
| Investment financial instruments measured at fair value through profit or loss | (175) | 226 |
| Equity instruments | (42) | 55 |
| Debt securities | 138 | 70 |
| Participation units and investment certificates | (271) | 101 |
| Derivatives | 674 | 338 |
| Measurement of liabilities to members of consolidated mutual funds | 40 | (6) |
| Investment contracts for the client’s account and risk (unit-linked) | 34 | 8 |
| Investment property | 119 | 234 |
| Loan receivables from clients | 12 | (3) |
| Net movement in fair value of assets and liabilities measured at fair value, total | 704 | 797 |
17.2 Quantitative data