Laserfiche WebLink
Abridged version 9 <br />4 Statement of comprehensive income <br />8 Balance sheet <br />10 Statement of changes in equity <br />11 Selected notes <br />Li,)biiities and equityl Em <br />Liabilities to banks fJbt?> <br />(20) 3x ?O Q <br />137,626 ? :29D?' <br />140,634 ?44? til j( iy <br />-2.1 i. 00a. <br />128,492 <br />Liabilities to customers (21) 262,827 264,618 -0.7 170,203 <br />Securitized liabilities (22) 131,356 161,779 -18.8 157,957 <br />Value adjustment portfolio fair value hedges 121 -16 - <br />Negative fair values attributable to <br />derivative hedging instruments <br />9,369 <br />11,345 <br />-17.4 <br />21,463 <br />Trading liabilities (23) 152,393 202,595 -24.8 104,168 <br />Provisions (24) 4,778 5,115 -6.6 2,030 <br />Current tax liabilities 1,072 1,346 -20.4 627 <br />Deferred tax liabilities 222 1,240 -821 2,534 <br />Liabilities from disposal groups held for sale 650 2,839 -77.1 329 <br />Other liabilities (25) 8,136 6,103 33,3 2,585 <br />Subordinated capital (26) 12,910 15,850 -18.5 11,836 <br />Hybrid capital (27) 4,181 4,079 2.5 3,158 <br />Capital and reserves 28,658 26,576 7.8 19,842 <br />Subscribed capital <br />Capital reserve <br />Retained earnings <br />Silent; participations <br />Other reserves <br />Total before non-controlling interests 3,047 <br />1,302 <br />9,345 <br />17,178 <br />-2,999 <br />27;873 3,071 <br />1,334 <br />7,878 <br />17,178 <br />-3„455 <br />26,006 -0.8 <br />-2.4 <br />18.6 <br />0.0 <br />-13.2 <br />7.2 1,877 <br />6,619 <br />5,842 <br />8,200 <br />-3,353 <br />19,185 <br />Non-controlling interests 785 570 37.7 657 <br />Total IK2" 844,103 -10.6 625,224 <br />" January 1, 2009 is equivalent to 'December 31, 2008 after the change in the balance sheet structure (see page 1 1f0.