Net movement in fair value of assets and liabilities measured at fair value

1 January –
31 December 2022

1 January –
31 December 2021

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