16.1 Accounting policy
Information on the method used to determine fair value of assets and liabilities is presented in section 9.
16.2 Quantitative data
Net movement in fair value of assets and liabilities measured at fair value | 1 January – 31 December 2020 | 1 January – 31 December 2019 |
Investment financial instruments measured at fair value through profit or loss | 723 | 522 |
Equity instruments | 215 | 122 |
Debt securities | 191 | 139 |
Participation units and investment certificates | 317 | 261 |
Derivatives | (85) | 325 |
Measurement of liabilities to members of consolidated mutual funds | (15) | (5) |
Investment contracts for the client’s account and risk (unit-linked) | (8) | (10) |
Investment property | 252 | 2 |
Loan receivables from clients | 2 | 3 |
Net movement in fair value of assets and liabilities measured at fair value, total | 869 | 837 |
e-mail: IR@pzu.pl
Magdalena Komaracka, IR Director, tel. +48 (22) 582 22 93
Piotr Wiśniewski, IR Manager, tel. +48 (22) 582 26 23
Aleksandra Jakima-Moskwa, tel. +48 (22) 582 26 17
Aleksandra Dachowska, tel. +48 (22) 582 43 92
Piotr Wąsiewicz, tel. +48 (22) 582 41 95