| FINANCIAL INSTRUMENTS CLASSIFICATION |
33 FINANCIAL INSTRUMENTS CLASSIFICATION
The table below shows the carrying amounts of the financial assets and liabilities captions in the consolidated statement of financial position, by categories as defined under IFRS 9 as of December 31,2019 and IAS 39 as of December 31, 2018:
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At December 31, 2019
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At December 31, 2018
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Financial assets and
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Financial assets at fair value
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Financial
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Financial assets and
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Financial assets at fair value
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Financial
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liabilities at fair
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through other
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assets and
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liabilities at fair
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through other
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assets and
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value through profit or loss
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comprehensive income
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liabilities
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value through profit or loss
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comprehensive income
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liabilities
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Investments
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Investments
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measured at
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Investments
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Investments
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measured at
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Investments
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designated
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designated
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amortized
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Investments
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designated
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designated
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amortized
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and hedges
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at inception
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Investments
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at inception
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cost
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Total
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and hedges
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at inception
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Investments
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at inception
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cost
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Total
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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S/(000)
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Assets
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Cash and due from banks
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—
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—
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—
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—
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25,986,762
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25,986,762
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—
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—
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—
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—
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22,168,516
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22,168,516
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Guarantee funds, reverse repurchase agreements and securities borrowings
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—
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—
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—
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—
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4,288,524
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4,288,524
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—
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—
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—
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—
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4,082,942
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4,082,942
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At fair value through profit or loss
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3,850,762
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—
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—
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—
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—
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3,850,762
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3,512,445
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—
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—
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—
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—
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3,512,445
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Investments at fair value through other comprehensive income, Note 6(b)
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—
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—
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25,623,934
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578,789
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—
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26,202,723
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—
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—
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24,546,365
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649,470
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—
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25,195,835
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Amortized cost investments
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—
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—
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—
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—
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3,477,046
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3,477,046
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—
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—
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—
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—
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4,154,838
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4,154,838
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Loans, net
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—
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—
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—
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—
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110,485,717
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110,485,717
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—
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—
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—
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—
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105,806,998
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105,806,998
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Financial assets designated at fair value through profit or loss
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—
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620,544
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—
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—
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—
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620,544
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—
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521,186
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—
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—
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—
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521,186
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Premiums and other policies receivable
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—
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—
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—
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—
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838,731
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838,731
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—
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—
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—
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—
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887,273
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887,273
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Accounts receivable from reinsurers and coinsurers
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—
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—
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—
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—
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791,704
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791,704
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—
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—
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—
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—
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842,043
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842,043
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Due from customers on acceptances
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—
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—
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—
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—
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535,222
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535,222
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—
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—
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—
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—
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967,968
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967,968
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Other assets, Note 13(a)
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1,092,107
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—
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—
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—
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1,700,861
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2,792,968
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766,317
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—
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—
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—
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2,306,460
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3,072,777
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4,942,869
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620,544
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25,623,934
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578,789
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148,104,567
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179,870,703
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4,278,762
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521,186
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24,546,365
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649,470
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141,217,038
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171,212,821
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Liabilities
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Deposits and obligations
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—
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—
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—
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—
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112,005,385
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112,005,385
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—
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—
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—
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—
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104,551,310
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104,551,310
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Payables from repurchase agreements and securities lending
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—
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—
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—
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—
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7,678,016
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7,678,016
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—
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—
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—
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—
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9,415,357
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9,415,357
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Due to banks and correspondents
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—
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—
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—
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—
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8,841,732
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8,841,732
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—
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—
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—
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—
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8,448,140
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8,448,140
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Bankers’ acceptances outstanding
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—
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—
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—
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—
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535,222
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535,222
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—
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—
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—
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—
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967,968
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967,968
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Accounts payable to reinsurers and coinsurers
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—
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—
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—
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—
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216,734
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216,734
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—
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—
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—
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—
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291,693
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291,693
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Lease liabilities
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—
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—
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—
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—
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847,504
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847,504
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—
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—
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—
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—
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—
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—
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Financial liabilities at fair value through profit or loss
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493,700
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—
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—
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—
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—
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493,700
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362,310
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—
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—
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—
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—
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362,310
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Bonds and notes issued
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—
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—
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—
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—
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14,946,363
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14,946,363
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—
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—
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—
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—
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15,457,540
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15,457,540
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Other liabilities, Note 13(a)
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1,040,282
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—
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—
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—
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3,206,544
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4,246,826
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715,804
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—
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—
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—
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2,978,514
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3,694,318
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1,533,982
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—
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—
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—
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148,277,500
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149,811,482
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1,078,114
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—
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—
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—
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142,110,522
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143,188,636
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