Disclosure Of Financial Instruments [Text Block]

Crédit Agricole Mutuel du Languedoc - Filing #2813647

Concept 2022-01-01 to
2022-12-31
As at
2022-12-31
2021-01-01 to
2021-12-31
As at
2021-12-31
Disclosure of financial instruments [text block]
Description of accounting policy for financial instruments [text block]
Instruments financiers (IFRS 9, IFRS 13, IAS 32 et 39)
Disclosure of detailed information about financial instruments [text block]
Disclosure of detailed information about financial instruments [abstract]
Disclosure of detailed information about financial instruments [line items]
Description of accounting policy for recognising in profit or loss difference between fair value at initial recognition and transaction price [text block]
11.3 Evaluation de l'impact de la prise en compte de la marge à l'origine
Information about collateral held as security and other credit enhancements for credit-impaired financial assets [text block]
3.1.2 Exposition maximale au risque de crédit
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [text block]
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [abstract]
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [line items]
Investments in equity instruments designated at fair value through other comprehensive income
2 130 888 EUR
2 344 327 EUR
Disclosure of offsetting of financial assets and financial liabilities [text block]
7
Income, expense, gains or losses of financial instruments [abstract]
Gains (losses) on financial instruments [abstract]
Other comprehensive income, before tax, gains (losses) from investments in equity instruments
218 020 EUR
369 746 EUR
Other comprehensive income, before tax, financial assets measured at fair value through other comprehensive income
1 834 EUR
185,000 EUR
Gains (losses) on financial assets measured at fair value through other comprehensive income, before tax
66 075 EUR
49 338 EUR
Gain (loss) arising from derecognition of financial assets measured at amortised cost [abstract]
Gain (loss) arising from derecognition of financial assets measured at amortised cost
EUR
EUR
Disclosure of hedge accounting [text block]
4
Disclosure of general hedge accounting [text block]
Disclosure of detailed information about hedged items [text block]
Disclosure of detailed information about hedged items [abstract]
Disclosure of detailed information about hedged items [line items]
Accumulated fair value hedge adjustment on hedged item included in carrying amount, assets
1 113 556 EUR
228 034 EUR
Accumulated fair value hedge adjustment on hedged item included in carrying amount, liabilities
27 456 EUR
166 862 EUR
Disclosure of credit risk [text block]
Objectifs et politique
Description of cross-reference to disclosures about credit risk presented outside financial statements
(Cf. chapitre "Gestion des risques
Explanation of inputs, assumptions and estimation techniques used to apply impairment requirements [text block]
Disclosure of reconciliation of changes in loss allowance and explanation of changes in gross carrying amount for financial instruments [text block]
3.1.1 Variation des valeurs comptables et des corrections de valeur pour pertes sur
Disclosure of credit risk exposure [text block]
3.1.4 Concentrations du risque de crédit
Disclosure of financial assets that are either past due or impaired [text block]
3.1.5 Informations
Disclosure of transfers of financial assets [text block]
7

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