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BALANCES CONSOLIDADOS / GRUPOS / Septiembre 2011<br />

0061 0019<br />

ACTIVO<br />

BANCA MARCH<br />

DEUTSCHE BANK,<br />

S.A.E<br />

1. CAJA Y DEPÓSITOS EN BANCOS CENTRALES ......................................................................................................<br />

2. CARTERA DE NEGOCIACIÓN .....................................................................................................................................<br />

2.1. Depósitos en entida<strong>de</strong>s <strong>de</strong> crédito .............................................................................................................................<br />

2.2. Crédito a la clientela.....................................................................................................................................................<br />

2.3. Valores representativos <strong>de</strong> <strong>de</strong>uda ..............................................................................................................................<br />

2.4. Instrumentos <strong>de</strong> capital ..............................................................................................................................................<br />

2.5. Derivados <strong>de</strong> negociación............................................................................................................................................<br />

Pro-memoria: Prestados o en garantía .............................................................................................................................<br />

3. OTROS ACTIVOS FINANCIEROS A VALOR RAZONABLE CON CAMBIOS EN PÉRDIDAS Y GANANCIAS.......<br />

3.1. Depósitos en entida<strong>de</strong>s <strong>de</strong> crédito .............................................................................................................................<br />

3.2. Crédito a la clientela ....................................................................................................................................................<br />

3.3. Valores representativos <strong>de</strong> <strong>de</strong>uda...............................................................................................................................<br />

3.4. Instrumentos <strong>de</strong> capital ...............................................................................................................................................<br />

Pro-memoria: Prestados o en garantía .............................................................................................................................<br />

4. ACTIVOS FINANCIEROS DISPONIBLES PARA LA VENTA .....................................................................................<br />

4.1. Valores representativos <strong>de</strong> <strong>de</strong>uda...............................................................................................................................<br />

4.2. Instrumentos <strong>de</strong> capital ...............................................................................................................................................<br />

Pro-memoria: Prestados o en garantía..............................................................................................................................<br />

5. INVERSIONES CREDITICIAS ......................................................................................................................................<br />

5.1. Depósitos en entida<strong>de</strong>s <strong>de</strong> crédito..............................................................................................................................<br />

5.2. Crédito a la clientela ....................................................................................................................................................<br />

5.3. Valores representativos <strong>de</strong> <strong>de</strong>uda ..............................................................................................................................<br />

Pro-memoria: Prestados o en garantía .............................................................................................................................<br />

6. CARTERA DE INVERSIÓN A VENCIMIENTO..............................................................................................................<br />

Pro-memoria: Prestados o en garantía..............................................................................................................................<br />

7. AJUSTES A ACTIVOS FINANCIEROS POR MACRO-COBERTURAS......................................................................<br />

8. DERIVADOS DE COBERTURA.....................................................................................................................................<br />

9. ACTIVOS NO CORRIENTES EN VENTA .....................................................................................................................<br />

10. PARTICIPACIONES.....................................................................................................................................................<br />

10.1. Entida<strong>de</strong>s asociadas..................................................................................................................................................<br />

10.2. Entida<strong>de</strong>s multigrupo.................................................................................................................................................<br />

11. CONTRATOS DE SEGUROS VINCULADOS A PENSIONES...................................................................................<br />

12. ACTIVO MATERIAL ACTIVOS POR REASEGUROS................................................................................................<br />

13. ACTIVO MATERIAL.....................................................................................................................................................<br />

13.1. Inmovilizado material.................................................................................................................................................<br />

13.1.1. De uso propio..........................................................................................................................................................<br />

13.1.2. Cedido en arrendamiento operativo.......................................................................................................................<br />

13.1.3. Afecto a la Obra Social (solo Cajas <strong>de</strong> ahorros y Cooperativas <strong>de</strong> crédito)..........................................................<br />

13.2. Inversiones inmobiliarias............................................................................................................................................<br />

Pro-memoria: Adquirido en arrendamiento financiero........................................................................................................<br />

14. ACTIVO INTANGIBLE.................................................................................................................................................<br />

14.1. Fondo <strong>de</strong> comercio....................................................................................................................................................<br />

14.2. Otro activo intangible.................................................................................................................................................<br />

15. ACTIVOS FISCALES...................................................................................................................................................<br />

15.1. Corrientes...................................................................................................................................................................<br />

15.2. Diferidos.....................................................................................................................................................................<br />

16. RESTO DE ACTIVOS...................................................................................................................................................<br />

16.1. Existencias.................................................................................................................................................................<br />

16.2. Otros ..........................................................................................................................................................................<br />

TOTAL ACTIVO<br />

P A S I V O<br />

1. CARTERA DE NEGOCIACIÓN.....................................................................................................................................<br />

1.1. Depósitos <strong>de</strong> bancos centrales....................................................................................................................................<br />

1.2. Depósitos <strong>de</strong> entida<strong>de</strong>s <strong>de</strong> crédito..............................................................................................................................<br />

1.3. Depósitos <strong>de</strong> la clientela..............................................................................................................................................<br />

1.4. Débitos representados por valores negociables.........................................................................................................<br />

1.5. Derivados <strong>de</strong> negociación............................................................................................................................................<br />

1.6. Posiciones cortas <strong>de</strong> valores.......................................................................................................................................<br />

1.7. Otros pasivos financieros.............................................................................................................................................<br />

224.509 127.108<br />

79.661 190.194<br />

0 0<br />

0 0<br />

0 3.735<br />

9.850 0<br />

69.811 186.459<br />

0 0<br />

0 0<br />

0 0<br />

0 0<br />

0 0<br />

0 0<br />

0 0<br />

696.288 5.701<br />

419.865 1.547<br />

276.423 4.154<br />

84.450 0<br />

8.663.603 15.904.603<br />

779.438 902.659<br />

7.884.165 15.001.944<br />

0 0<br />

101.171 410.497<br />

23.016 0<br />

0 0<br />

0 0<br />

136.706 182.968<br />

132.130 49.832<br />

2.510.328 0<br />

2.510.328 0<br />

0 0<br />

0 0<br />

655 0<br />

311.076 52.572<br />

311.076 46.809<br />

135.294 46.809<br />

175.782 0<br />

0 0<br />

0 5.763<br />

0 0<br />

13.303 0<br />

9.081 0<br />

4.222 0<br />

118.622 108.475<br />

8.214 13.799<br />

110.408 94.676<br />

46.563 52.015<br />

1.331 0<br />

45.232 52.015<br />

12.956.460 16.673.468<br />

69.995 209.810<br />

0 0<br />

0 0<br />

0 0<br />

0 0<br />

69.995 209.810<br />

0 0<br />

0 0

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