Financial liabilities | 31 December 2018 | 31 December 2017 (restated) |
Financial liabilities measured at fair value | 4,017 | 4,956 |
Derivatives held for trading | 2,450 | 2,606 |
Cash flow hedge derivatives | 771 | 682 |
Fair value hedge derivatives | 144 | 186 |
Liabilities on borrowed securities (short sale) | 120 | 750 |
Investment contracts for the client’s account and risk (unit-linked) | 266 | 312 |
Liabilities to members of consolidated mutual funds | 266 | 420 |
Financial liabilities measured at amortized cost | 232,299 | 219,594 |
Liabilities to banks | 6,044 | 5,323 |
Current deposits | 1,058 | 996 |
One-day deposits | 207 | 372 |
Term deposits | 7 | 311 |
Loans received | 4,386 | 3,380 |
Other liabilities | 386 | 264 |
Liabilities to clients under deposits | 207,635 | 198,163 |
Current deposits | 137,559 | 122,956 |
Term deposits | 69,350 | 74,453 |
Other liabilities | 726 | 754 |
Liabilities on the issue of own debt securities | 12,009 | 9,610 |
Subordinated liabilities | 6,061 | 5,319 |
Liabilities on account of repurchase transactions | 540 | 1,167 |
Investment contracts with guaranteed and fixed terms and conditions | - | 1 |
Finance lease liabilities | 10 | 11 |
Total financial liabilities | 236,316 | 224,550 |
Financial liabilities by maturity | 31 December 2018 | 31 December 2017 (restated) |
Up to 1 year | 218,952 | 206,158 |
1 to 5 years | 10,332 | 11,801 |
Over 5 years | 7,032 | 6,591 |
Total financial liabilities by maturity | 236,316 | 224,550 |
45.2.1 Financial derivatives
More information on derivative financial instruments is presented in section 34.
45.2.2 Subordinated liabilities
Par value (in millions) | Currency | Interest rate | Issue (receipt) date / Maturity date | Carrying amount 31 December 2018 (in PLN m) | Carrying amount 31 December 2017 (in PLN m) | |
Liabilities classified as PZU’s own funds | ||||||
Subordinated bonds – PZU | 2,250 | PLN | WIBOR 6M + margin | 30 June 2017 29 July 2027 | 2,279 | 2,285 |
Liabilities classified as Pekao’s own funds | ||||||
A series bonds | 1,250 | PLN | WIBOR 6M + margin | 30 October 2017 29 October 2027 | 1,257 | 1,257 |
B series bonds | 550 | PLN | WIBOR 6M + margin | 15 October 2018 16 October 2028 | 548 | n/a |
C series bonds | 200 | PLN | WIBOR 6M + margin | 15 October 2018 14 October 2033 | 196 | n/a |
Liabilities classified as Alior Bank’s own funds | ||||||
Subordinated loan | 10 | EUR | EURIBOR 3M + margin | 12 October 2011 12 October 2019 | 43 | 42 |
F series bonds | 322 | PLN | WIBOR 6M + margin | 26 September 2014 26 September 2024 | 225 | 225 |
G series bonds | 193 | PLN | WIBOR 6M + margin | 31 March 2015 31 March 2021 | 196 | 196 |
I and I1 series bonds | 183 | PLN | WIBOR 6M + margin | 4 December 2015 6 December 2021 | 148 | 147 |
K and K1 series bonds | 600 | PLN | WIBOR 6M + margin | 20 October 2017 20 October 2025 | 605 | 605 |
Meritum Bank series B bonds | 67 | PLN | WIBOR 6M + margin | 29 April 2013 29 April 2021 | 68 | 68 |
Meritum Bank series C bonds | 80 | PLN | WIBOR 6M + margin | 21 October 2014 21 October 2022 | 81 | 80 |
EUR001 series bonds | 10 | EUR | LIBOR 6M + margin | 4 February 2016 4 February 2022 | 44 | 43 |
P1A series bonds | 150 | PLN | WIBOR 6M + margin | 14 April 2016 16 May 2022 | 151 | 150 |
P1B series bonds | 70 | PLN | WIBOR 6M + margin | 21 April 2016 16 May 2024 | 70 | 70 |
P2A series bonds | 150 | PLN | WIBOR 6M + margin | 27 December 2017 29 December 2025 | 150 | 151 |
Subordinated liabilities | 6,061 | 5,319 |
The lower carrying amount of subordinated liabilities compared to the nominal value ensues from some of the bonds issued by Pekao and Alior Bank were subscribed for by consolidated mutual funds.
45.2.3. Liabilities on the issue of own debt securities
Liabilities on the issue of own debt securities | 31 December 2018 | 31 December 2017 (restated) |
Bonds of PZU Finance AB (publ.) | 3,676 | 3,478 |
Alior Bank series J bonds | 268 | 253 |
Pekao bonds | 1,978 | 90 |
Certificates of deposit | 4,542 | 4,541 |
Covered bonds | 1,545 | 1,248 |
Liabilities on the issue of own debt securities | 12,009 | 9,610 |
Par value | Interest rate | Issue dates | Maturity date | |
Bonds of PZU Finance AB (publ.) | EUR 850 million | 1.375% | 3 July 2014 16 October 2015 | 3 July 2019 |
Alior Bank series J bonds | PLN 250 million | WIBOR 6M + margin | 11 August 2017 | 11 August 2020 |
Bonds classified as measured at amortized cost.
The liabilities of PZU Finance AB (publ.) arising from the bonds are secured by a guarantee granted by PZU which covers all issue-related liabilities of the issuer (including the obligation to pay the par value of the bonds and interest on the bonds) in favor of all bondholders. The maximum amount of the guarantee in effect until the expiration of the bondholders’ claims against PZU Finance AB (publ.), has not been specified.