Please activate JavaScript!
Please install Adobe Flash Player, click here for download

Interim Report Third Quarter 2014 - Notes to the consolidated balance sheets

80 Interim Report Third Quarter and First Nine Months of 2014    Allianz Group Notes to the consolidated balance sheets 5 – Financial assets carried at fair value through income Financial assets carried at fair value through income € mn as of 30 September 2014 as of 31 December  2013 Financial assets held for trading Debt securities 422 360 Equity securities 178 139 Derivative financial instruments 1,499 2,013 Subtotal 2,099 2,512 Financial assets designated at fair value through income Debt securities  2,224 2,278 Equity securities 1,840 1,870 Subtotal 4,063 4,148 Total 6,162 6,660 6 – Investments Investments € mn as of 30 September 2014 as of 31 December  2013 Available-for-sale investments 451,643 392,233 Held-to-maturity investments 4,008 4,140 Funds held by others under reinsurance contracts assumed 1,071 893 Investments in associates and joint ventures 3,213 3,098 Real estate held for investment 11,234 10,783 Total 471,167 411,148

Pages Overview