Skip to:
Share this event on:
  • LinkedIn

Recomend this page

Thank you, we sent your recommendation to the desired recipient.

Sorry, this functionality is not available right now.
Please try with this link. Thank you.

Sender:

Recipient (e-mail address):

Financial highlights

Group key figures as of year-end 2023

Group Key figures 2023
Operating income € 23,843 Million
Operating costs € 9,471 Million
Gross operating profit (loss) € 14,372 Million
Stated Net Profit (loss) € 9,507 Million
Net Profit (loss)* € 8,614 Million
Cost/Income ratio 39.7%
Common Equity Tier 1 ratio (CET1r) fully loaded 15.89%
Loans to customers € 429,452 Million
Deposits from customers € 495,716 Million
Shareholders' equity € 64,079 Million
Total Capital ratio transitional 20.90%

* Net Profit equal to Stated net profit adjusted for impacts from DTAs tax loss carry forward resulting from sustainability test. The result is used for cash dividend accrual / total distribution.

5-year Group financial results

Group financial results 2019 2020 2021 2022 2023
Reclassified income statement (€ million)          
Operating income 18,839 17,140 17,954 20,343 23,843
Operating costs  -9,929 -9,805 -9,797 -9,560 -9,471
Gross operating profit (loss) 8,910 7,335 8,158 10,782 14,372
Profit (loss) before income tax  3,065 -1,546 1,236 7,289 11,451
Net profit (loss) for the period  3,559 -1,842 1,570 6,473 9,537
Stated Net Profit (loss) 3,373 -2,785 1,540 6,458 9,507
Reclassified balance sheet (€ million)          
Total assets  855,647 931,456 916,671 857,773 784,974
Loans and receivables with customers  482,574 450,550 437,544 455,781 429,452
of which: bad exposures  2,956 1,645 1,121 601 753
Deposits from customers and debt securities issued  566,871 600,964 596,402 594,300 585,561
Group shareholders’ equity  61,416 59,507 61,628 63,339 64,079
Profitability ratios (%)          
Cost/Income ratio  52.7 57.2 54.6 47.0 39.7

Note: The figures here reported refer to the information published in the reference year.