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12.2 Quantitative data

Annual Report 2018 > RESULTS 2018 > Supplementary Information and Notes > 12. Net investment income > 12.2 Quantitative data
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Net investment income 1 January – 31 December 2018 1 January – 31 December 2017 (restated)
Interest income, including: 11,265 8,265
Loan receivables from clients 8,442 6,183
Debt securities measured at fair value through other comprehensive income 824 n/a
Debt securities measured at amortized cost 1,216 n/a
Buy-sell-back transactions 76 23
Term deposits with credit institutions 133 74
Financial assets available for sale n/a 551
Financial assets held to maturity n/a 921
Debt securities classified in the loans portfolio n/a 65
Loans 231 233
Receivables purchased 107 83
Hedge derivatives 190 91
Receivables 3 9
Cash and cash equivalents 43 32
Dividend income, including: 68 40
Investment financial assets measured at fair value through profit or loss 38 n/a
Investment financial assets measured at fair value through other comprehensive income 30 n/a
Financial assets measured at fair value through profit or loss – classified as such upon first recognition n/a 31
Financial assets held for trading n/a 6
Financial assets available for sale n/a 3
Foreign exchange differences 184 589
Income on investment property 256 262
Investment property maintenance expenses (104) (104)
Investment activity expenses (23) (28)
Other 33 27
Net investment income, total 11,679 9,051

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