Net profit/loss on realization and impairment loss on investments | 1 January - 31 December 2013 | 1 January - 31 December 2012 |
---|---|---|
Net profit/loss on realization of investments | 71 827 | 592 899 |
Financial assets measured at fair value through profit or loss – classified as such upon initial recognition, including: | 104 153 | 184 906 |
- equity instruments | 112 992 | 12 022 |
- debt securities | (8 839) | 172 884 |
Financial assets held for trading, including: | 16 885 | 131 588 |
- equity instruments | 75 790 | 80 789 |
- debt securities | (41 517) | 37 701 |
- derivatives | (17 388) | 13 098 |
Financial assets available for sale, including: | 30 686 | 425 942 |
- equity instruments | 12 105 | 174 912 |
- debt securities | 18 581 | 251 030 |
Financial assets held to maturity, including: | 6 440 | 2 052 |
- debt securities held to maturity | 6 440 | 2 052 |
Loans | (33) | - |
Receivables, including under insurance contracts | (98 997) | (151 920) |
Investment property | 4 430 | 331 |
Companies measured using the equity method 1 | 8 263 | - |
Impairment losses | (46 782) | (71 631) |
Financial assets available for sale, including: | (110) | (14 915) |
- equity instruments | (110) | (14 915) |
Receivables, including under insurance contracts | (46 672) | (54 246) |
Cash and cash equivalents | - | (2 470) |
Total net profit/loss on realization and impairment loss on investments | 25 045 | 521 268 |
1) Result on disposal of KGJK, described in section 2.3.4.