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Interactive navigation is a tool that goes beyond the standard navigation of the integrated content (available in the report drop-down bar). New approach allowed to navigate in the two additional business dimensions of the PZU Group, i.e .:
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  • sustainable development (sales, employees, social responsibility, natural environment and ethics).
The above-mentioned areas were additionally supplemented with related GRI indicators, within each selected issue.
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35.3 Quantitative data

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Derivatives as at 31 December 2020 Base amount by maturities Assets Liabilities
Up to 3 months Over 3 months up to 1 year Over 1 year to 5 years Over 5 years Total
Related to interest rates 22,096 50,251 175,484 45,384 293,215 5,453 5,212
Fair value hedging instruments – SWAP transactions 280 776 1,236 1,101 3,393 - 206
Cash flow hedging instruments – SWAP transactions 1,091 2,386 29,802 5,988 39,267 1,113 729
Instruments carried as held for trading, including: 20,725 47,089 144,446 38,295 250,555 4,340 4,277
- FRA transactions 3,306 1,176 - - 4,482 1 1
- SWAP transactions 16,964 44,563 141,616 37,883 241,026 4,333 4,274
- call options (purchase) - 891 2,426 385 3,702 5 1
- put options (sale) 455 - 404 27 886 1 1
- cap floor options - 459 - - 459 - -
Related to exchange rates 57,722 19,473 6,936 27 84,158 660 877
Cash flow hedging instruments – SWAP transactions 9,141 4,608 461 - 14,210 5 264
Instruments carried as held for trading, including: 48,581 14,865 6,475 27 69,948 655 613
- forward contracts 26 427 8,192 3,634 27 38,280 340 277
- SWAP transactions 18,811 2,796 787 - 22,394 225 257
- call options (purchase) 2,162 2,602 1,304 - 6,068 67 38
- put options (sale) 1,181 1,275 750 - 3,206 23 41
Related to prices of securities 237 1,935 667 - 2,839 93 61
- call options (purchase) 229 1,935 667 - 2,831 93 61
- put options (sale) 8 - - - 8 - -
Related to commodity prices 1,222 1,572 184 - 2,978 133 131
- forward contracts 235 115 - - 350 3 7
- SWAP transactions 622 887 117 - 1,626 74 72
- call options (purchase) 216 570 67 - 853 19 1
- put options (sale) 149 - - - 149 37 51
Total 81,277 73,231 183,271 45,411 383,190 6,339 6,281

Derivatives as at 31 December 2019 Base amount by maturities Assets Liabilities
Up to 3 months Over 3 months up to 1 year Over 1 year to 5 years Over 5 years Total
Related to interest rates 27,485 76,367 125,874 40,309 270,035 2,402 2,483
Fair value hedging instruments – SWAP transactions - 471 1,522 955 2,948 1 161
Cash flow hedging instruments – SWAP transactions 768 3,994 16,385 7,192 28,339 459 479
Instruments carried as held for trading, including: 26,717 71,902 107,967 32,162 238,748 1,942 1,843
- FRA transactions 628 - - - 628 - -
- SWAP transactions 25,610 68,418 105,006 31,868 230,902 1,933 1,841
- call options (purchase) 252 241 2,406 267 3,166 2 1
- put options (sale) - 1,976 189 27 2,192 7 1
- cap floor options 227 1,267 366 - 1,860 - -
Related to exchange rates 40,008 21,368 9,341 42 70,759 540 420
Cash flow hedging instruments – SWAP transactions 3,113 2,550 - - 5,663 83 25
Instruments carried as held for trading, including: 36,895 18,818 9,341 42 65,096 457 395
- forward contracts 8,631 7,243 4,570 - 20,444 170 169
- SWAP transactions 23,067 4,445 1,393 42 28,947 192 133
- call options (purchase) 2,568 3,565 1,683 - 7,816 49 19
- put options (sale) 2,629 3,565 1,695 - 7,889 46 74
Related to prices of securities 439 2,859 2,376 - 5,674 119 72
- forward contracts 26 - 1 - 27 - -
- call options (purchase) 227 1,469 1,383 - 3,079 118 4
- put options (sale) 186 1,390 992 - 2,568 1 68
Related to commodity prices 1,064 1,408 693 - 3,165 46 43
- forward contracts 151 73 - - 224 7 5
- SWAP transactions 377 864 440 - 1,681 14 14
- call options (purchase) 324 471 253 - 1,048 21 4
- put options (sale) 212 - - - 212 4 20
Total 68,996 102,002 138,284 40,351 349,633 3,107 3,018