| Schedule of deposits from central banks and credit institutions |
The detail, by classification, counterparty, type and currency, of 'Deposits from central banks' and 'Deposits from credit institutions' in the consolidated balance sheets is as follows: | | | | | | | | | | | | | EUR million | | 2025 | 2024 | 2023 | | CENTRAL BANKS | | | | | Classification | | | | | Financial liabilities held for trading | 12,385 | | 13,300 | | 7,808 | | | Financial liabilities designated at fair value through profit or loss | 3,086 | | 1,774 | | 1,209 | | | Financial liabilities at amortized cost | 18,542 | | 24,882 | | 48,782 | | | 34,013 | | 39,956 | | 57,799 | | | Type | | | | | Deposits on demand | 856 | | 405 | | 117 | | | Time deposits | 14,709 | | 18,488 | | 43,853 | | | Reverse repurchase agreements | 18,448 | | 21,063 | | 13,829 | | | 34,013 | | 39,956 | | 57,799 | | | CREDIT INSTITUTIONS | | | | | Classification | | | | | Financial liabilities held for trading | 27,058 | | 26,284 | | 17,862 | | | Financial liabilities designated at fair value through profit or loss | 1,424 | | 1,625 | | 1,735 | | | Financial liabilities at amortized cost | 74,692 | | 90,012 | | 81,246 | | | 103,174 | | 117,921 | | 100,843 | | | Type | | | | | Deposits on demand | 5,005 | | 6,657 | | 5,468 | | | Time deposits | 42,718 | | 54,716 | | 54,402 | | | Reverse repurchase agreements | 55,186 | | 56,273 | | 40,689 | | | Subordinated deposits | 265 | | 275 | | 284 | | | 103,174 | | 117,921 | | 100,843 | | | Currency | | | | | Euro | 54,588 | | 53,779 | | 53,921 | | | Pound sterling | 13,625 | | 21,853 | | 27,697 | | | US dollar | 43,466 | | 57,992 | | 49,447 | | | Brazilian real | 6,783 | | 7,459 | | 7,997 | | | Other currencies | 18,725 | | 16,794 | | 19,580 | | | TOTAL | 137,187 | | 157,877 | | 158,642 | |
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