15. Net change in the fair value of assets and liabilities measured at fair value

Net change in the fair value of assets and liabilities measured at fair value 1 January– 31 December 2016 1 January– 31 December 2015
Financial instruments measured at fair value through profit or loss – designated as such upon initial recognition, including: 94 299
Equity instruments (123) 203
Debt instruments 250 101
Valuation of liabilities to participants of consolidated investment (26) (8)
Unit-linked investment contracts (7) 3
Financial instruments held for trading, including: 165 16
Equity instruments (47) (25)
Debt instruments 69 47
Derivative instruments 143 (6)
Investment property 84 76
Other 14 -
Total net change in the fair value of assets and liabilities measured at fair value 357 391

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