2019 Universal registration document and annual financial report - BNP PARIBAS 199
4Consolidated finanCial statements for the year ended 31 deCemBer 2019
4
Notes to the financial statements
In millions of euros
31 December 2018
Financial instruments held for trading Instruments at fair value through
profit or loss not held for trading Financial assets at fair
value through equity
Level 1 Level 2 Level 3 Total Level 1 Level 2 Level 3 Total Level 1 Level 2 Level 3 Total
Securities 89,253 25,121 241 114,615 625 1,969 4,745 7,339 43,105 11,927 957 55,989
Governments 41,404 7,733 49,137 3 246 249 29,905 2,913 32,818
Other debt securities 12,280 15,951 148 28,379 1,185 825 2,010 12,083 8,782 155 21,020
Equities and other equity securities 35,569 1,437 93 37,099 622 538 3,920 5,080 1,117 232 802 2,151
Loans and repurchase agreements - 182,196 267 182,463 - 346 907 1,253 - - - -
Loans 2,861 2,861 145 907 1,052
Repurchase agreements 179,335 267 179,602 201 201
FINANCIAL ASSETS AT FAIR VALUE 89,253 207,317 508 297,078 625 2,315 5,652 8,592 43,105 11,927 957 55,989
Securities 71,828 3,346 15 75,189 - - - -
Governments 48,779 631 49,410 -
Other debt securities 8,394 2,655 11 11,060 -
Equities and other equity securities 14,655 60 4 14,719 -
Borrowings and repurchase agreements - 199,861 1,844 201,705 - 1,940 394 2,334
Borrowings 5,408 5,408 1,940 394 2,334
Repurchase agreements 194,453 1,844 196,297 -
Issued debt securities (note 5.h) - - - - 4,049 36,323 14,536 54,908
Subordinated debt (note 5.h) - 787 787
Non subordinated debt (note 5.h) - 34,428 14,536 48,964
Debt representative of shares of consolidated funds held by third parties - 4,049 1,108 5,157
FINANCIAL LIABILITIES AT FAIR VALUE 71,828 203,207 1,859 276,894 4,049 38,263 14,930 57,242