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Assets by contractual maturity
12 Months Ended
Dec. 31, 2025
Disclosure of maturity analysis for financial assets held for managing liquidity risk [abstract]  
Assets by contractual maturity 37  Assets by contractual maturity
Amounts presented by contractual maturity are the amounts as presented in the statement of financial position and are discounted cash flows. Reference is made to ‘Risk Management – Funding and liquidity risk’.
Assets by contractual maturity
in EUR million
Maturity not
applicable
2025
Less than 1 month 1
1-3 months
3-12 months
1-5 years
Over 5 years
Total
Cash and balances with central banks
52,889
52,889
Loans and advances to banks
12,910
1,581
3,735
2,258
720
21,204
Financial assets at fair value through profit or loss
–  Trading assets
20,958
3,508
7,988
11,974
11,302
55,730
–  Non-trading derivatives
160
62
185
517
732
1,657
–  Mandatorily at fair value through profit or loss
31,075
14,907
14,182
9,967
1,881
310
72,322
–  Designated as at fair value through profit or loss
14
233
383
1,698
1,120
3,448
Financial assets at fair value through other comprehensive income
–  Equity securities
2,607
2,607
–  Debt securities
135
628
1,136
23,026
25,892
50,817
–  Loans and advances
321
569
654
1,056
639
3,238
Securities at amortised cost
1,714
1,932
5,629
24,150
20,442
53,867
Loans and advances to customers
61,904
23,768
62,643
241,614
337,804
727,733
Other assets 2
5,583
363
1,463
1,015
1,331
5,060
14,817
Total assets
187,664
47,551
97,998
317,273
401,863
7,977
1,060,329
2024
Cash and balances with central banks
70,353
70,353
Loans and advances to banks
16,826
1,254
1,322
1,759
610
21,770
Financial assets at fair value through profit or loss
–  Trading assets
22,154
8,044
14,501
16,006
12,192
72,897
–  Non-trading derivatives
602
368
465
356
672
2,463
–  Mandatorily at fair value through profit or loss
30,002
11,263
7,222
5,931
1,835
228
56,481
–  Designated as at fair value through profit or loss
145
198
1,070
2,110
2,217
5,740
Financial assets at fair value through other comprehensive income
–  Equity securities
2,562
2,562
–  Debt securities
365
456
2,027
18,064
21,307
42,219
–  Loans and advances
2
4
94
871
637
1,608
Securities at amortised cost
2,075
2,646
5,729
22,838
16,985
50,273
Loans and advances to customers
53,672
26,456
61,544
219,414
322,526
683,611
Other assets 2
5,488
590
1,058
629
1,107
5,006
13,878
Total assets
201,683
51,279
95,030
287,977
380,089
7,796
1,023,856
1Includes assets on demand.
2Includes assets such as current and deferred tax assets as presented in the consolidated statement of the financial position. Additionally, assets are included in that position where maturities are not applicable such as property and equipment and investments in associates and joint ventures. Due to their nature,
non-financial assets consist mainly of assets expected to be recovered after more than 12 months.