Note 30 - Financial derivatives

All derivatives are booked at real value through profit and loss. Gains are carried as assets and losses as liabilities in the case of all interest rate derivatives. This applies both to derivatives used for hedging purposes and held for trading purposes. The Bank does not employ cash flow hedging.

The contract amount shows absolute values for all contracts.

For a description of counterparty risk and market risk, see note 6 on risk factors. For further details concerning market risk linked to interest rate risk, see note 16 on market risk related to interest rate risk, and for market risk related to currency exposure, see note 17 on market risk related to currency exposure.

 

Parent Bank      
       
Fair value through profit and loss (NOK million) 31 Dec 2016 31 Dec 2015
  Contract Fair values Contract Fair values
Currency instruments amount Assets Liabilities amount Assets Liabilities
Foreign exchange derivatives (forwards) 3,176 21 0 3,347 131 -1
Currency swaps 15,100 163 -5 11,999 453 -8
FX-options 36 0 -0 - - -
Total currency instruments 18,312 184 -5 15,346 585 -10
             
Interest rate instruments            
Interest rate swaps (including cross currency) 170,417 3,213 -3,282 145,309 4,425 -4,062
Short-term interest rate swaps (FRA) 50,423 101 -110 216,951 754 -766
Other interest rate contracts 124 -0 0 222 1 -1
Total interest rate instruments 220,964 3,314 -3,393 362,481 5,180 -4,828
             
Commodity-related contracts            
Stock-exchange-traded standardised forwards and futures contracts 109 14 -14 - - -
Total commodity-related contracts 109 14 -14 - - -
                   
Hedging            
Interest rate instruments            
Interest rate swaps (including cross currency) 25,249 807 -127 21,626 1,213 -2
Total interest rate instruments 25,249 807 -127 21,626 1,213 -2
             
             
             
Total            
Total interest rate instruments 246,213 4,121 -3,520 384,107 6,393 -4,830
Total currency instruments 18,312 184 -5 15,346 585 -10
Total commodity-related contracts 109 14 -14 - - -
Accrued interest   493 -434   629 -526
Total financial derivatives 264,634 4,812 -3,973 399,453 7,606 -5,366

 

 

Group      
       
Fair value through profit and loss (NOK million) 31 Dec 2016 31 Dec 2015
  Contract Fair values Contract Fair values
Currency instruments amount Assets Liabilities amount Assets Liabilities
Foreign exchange derivatives (forwards) 3,176 21 0 3,347 131 -1
Currency swaps 15,100 163 -5 11,999 453 -8
FX-options 36 0 -0 - - -
Total currency instruments 18,312 184 -5 15,346 585 -10
             
Interest rate instruments            
Interest rate swaps (including cross currency) 170,094 3,137 -3,282 144,906 4,337 -4,062
Short-term interest rate swaps (FRA) 50,423 101 -110 216,951 754 -766
Other interest rate contracts 124 -0 0 222 1 -1
Total interest rate instruments 220,640 3,239 -3,393 362,079 5,092 -4,828
             
Equity instruments            
Equity options 32 17 -14 30 7 -22
Equity forwards/futures 909 1 -87 1,004 2 -27
Total equity instruments 940 18 -101 1,034 9 -49
             
Commodity-related contracts            
Stock-exchange-traded standardised forwards and futures contracts 109 14 -14 - - -
Total commodity-related contracts 109 14 -14 - - -
             
Hedging            
Interest rate instruments            
Interest rate swaps (including cross currency) 25,249 807 -127 21,626 1,213 -2
Total interest rate instruments 25,249 807 -127 21,626 1,213 -2
             
             
             
Total            
Total interest rate instruments 245,890 4,046 -3,520 383,705 6,305 -4,830
Total currency instruments 18,312 184 -5 15,346 585 -10
Total equity instruments 940 18 -101 1,034 9 -49
Total commodity-related contracts 109 14 -14 - - -
Accrued interest   490 -434   625 -526
Total financial derivatives 265,251 4,752 -4,074 400,085 7,524 -5,414

Annual report and notes

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