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Note 35 - Purchase and sale commitments and future payment obligations (Notes)
12 Months Ended
Dec. 31, 2019
Purchase and sale commitments and future payment obligations  
Purchase and Sale commitments and future payment obligations

35. Purchase and sale commitments and future payment obligations

The breakdown of purchase and sale commitments of the BBVA Group as of December 31, 2019, 2018 and 2017 is as follows:

Purchase and sale commitments (Millions of Euros)
Notes201920182017
Financial instruments sold with repurchase commitments45,95642,99340,077
Financial liabilities held for trading41,90236,815-
Central banks107,63510,511-
Credit institutions1024,57814,839-
Customer deposits109,68911,466-
Financial liabilities at amortized cost4,0546,17840,077
Central banks228263756,155
Credit institutions222,6934,59324,843
Customer deposits225351,2099,079
Financial instruments purchased with resale commitments35,78428,03426,368
Financial assets held for trading33,94127,262-
Central banks105352,163-
Credit institutions1021,21913,305-
Loans and advances to customers1012,18711,794-
Financial assets at amortized cost 1,84377226,368
Central banks--305
Credit institutions141,81747813,861
Loans and advances to customers2629412,202

A breakdown of the maturity of other payment obligations, not included in previous notes, due after December 31, 2019 is provided below:

Maturity of future payment obligations (Millions of Euros)
Up to 1 year1 to 3 years3 to 5 yearsOver 5 yearsTotal
Purchase commitments23---23
Technology and systems projects4---4
Other projects19---19
Total23---23