34.3 Financial assets measured at fair value through profit or loss

As at 31 December 2016 and 31 December 2015, the PZU Group entities were not parties to any contracts with embedded derivatives, the nature and the relating risks of which would not be closely connected with the host contract.

Financial assets measured at fair value through profit or loss 31 December 2016 31 December 2015
Assets classified as such upon initial recognition 14,479 13,245
Equity instruments 2,951 2,384
Listed on the regulated market 2,830 2,274
Not listed on the regulated market 121 110
Debt instruments 11,528 10,861
Government 11,437 10,631
National 9,686 9,918
Fixed interest 8,257 8,514
Floating rate 1,429 1,404
Foreign 1,751 713
Fixed interest 1,674 533
Floating rate 77 180
Other 91 230
Listed on the regulated market 91 230
Fixed interest 91 230
Assets held for trading 7,403 7,403
Equity instruments 4,066 4,078
Listed on the regulated market 744 1,053
Not listed on the regulated market 3,322 3,025
Debt instruments 2,456 2,352
Government 2,383 2,278
National 1,416 1,463
Fixed interest 1,384 1,414
Floating rate 32 49
Foreign 967 815
Fixed interest 967 815
Other 73 74
Not listed on the regulated market 73 74
Floating rate 73 74
Derivative instruments 881 973
Total financial assets measured at fair value through profit or loss 21,882 20,648

Additional information on involvement in derivatives and related risks are presented in 8.5.2.

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