Consolidated Statement of Financial Position

 Note31.12.201731.12.2016
ASSETS   
Cash and cash balances with the Central Bank1917 81013 325
Amounts due from banks205 2335 345
Financial assets held for trading, excluding derivative financial instruments21431326
Derivative financial instruments222 5982 901
Financial instruments designated at fair value through profit or loss upon initial recognition248 15713 937
Loans and advances to customers25205 628200 606
Available-for-sale investment securities2643 67536 676
Investment securities held to maturity271 812466
Investments in associates and joint ventures41393386
Non-current assets held for sale2813814
Inventories29186260
Intangible assets303 2423 422
Property, plant and equipment302 9153 086
Current income tax receivable 210
Deferred income tax asset171 7671 779
Other assets312 9253 034
    
TOTAL ASSETS 296 912285 573
    
LIABILITIES AND EQUITY   
Liabilities   
Amounts due to the Central Bank 64
Amounts due to banks324 55819 208
Derivative financial instruments222 7404 198
Amounts due to customers33218 800205 066
Liabilities in respect of insurance activities342 9992 944
Debt securities in issue3523 93214 493
Subordinated liabilities361 7202 539
Other liabilities375 0623 987
Current income tax liabilities 588305
Deferred income tax provision173631
Provisions38215229
    
TOTAL LIABILITIES 260 656253 004
    
Equity   
Share capital391 2501 250
Other capital3932 23628 701
Foreign exchange differences on translation of foreign branches39(257)(221)
Retained earnings39(66)(19)
Net profit or loss for the year393 1042 874
Capital and reserves attributable to equity holders of the parent company3936 26732 585
Non-controlling interests39(11)(16)
    
TOTAL EQUITY 36 25632 569
TOTAL LIABILITIES AND EQUITY 296 912285 573
    
Capital adequacy ratio7117,37%15,81%
Book value (in PLN million) 36 25632 569
Number of shares (in million) 1 2501 250
Book value per share (in PLN) 29,0026,05
Diluted number of shares (in million) 1 2501 250
Diluted book value per share (in PLN) 29,0026,05