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Annual Accounts and Report as at 30 June 2011 Draft - Mediobanca

Annual Accounts and Report as at 30 June 2011 Draft - Mediobanca

Annual Accounts and Report as at 30 June 2011 Draft - Mediobanca

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PART A.3 - INFORMATION ON FAIR VALUEA.3.1Transfers between portfoliosA.3.1.1 Recl<strong>as</strong>sified financial <strong>as</strong>sets: book value, fair value <strong>and</strong> effects on overall profitabilityType of instrumentTransferred fromTransferred toBook value <strong>at</strong><strong>30</strong>/6/11Fair value <strong>at</strong><strong>30</strong>/6/11Additions to P&L if <strong>as</strong>sets nottransferred(pre-tax)Additions to P&L madeduring the year(pre-tax)Valu<strong>at</strong>ion Other Valu<strong>at</strong>ion OtherDebt securities ¹(ABS)Financial <strong>as</strong>setsheld for tradingDebt securities ¹ AFS securities(ABS)Debt securities ² AFS securities Financial <strong>as</strong>setsheld to m<strong>at</strong>urity 476,<strong>30</strong>7 463,319 (12,988) 16,958 — 16,958Due fromcustomers 160,132 149,719 (1,584) 4,651 — 4,651Due fromcustomers 62,501 60,204 (1,673) 3,353 — 3,353Total 698,940 673,242 (16,245) 24,962 — 24,962¹ Made during FY 08/09.² Made during the present year <strong>and</strong> detailed in table A.3.1.2 below.A.3.1.2 Recl<strong>as</strong>sified financial <strong>as</strong>sets: value of effects on aggreg<strong>at</strong>e profitability prior to transferType of instrument Transferred from Transferred toGain (loss) recognized in P&L (pre-tax)Gain (loss) recognized in net equity(pre-tax)<strong>30</strong>/6/11 <strong>30</strong>/6/10 <strong>30</strong>/6/11 <strong>30</strong>/6/10Debt securities AFS securities Financial <strong>as</strong>setsheld to m<strong>at</strong>urity — — 10,220 5,341– 87

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