| Assets | — | — |
| Cash and balances with central banks | 7,306,830a | 8,631,193a |
| Due from banks | 20,705,383a | 20,525,334a |
| Loans and advances to customers | 91,480,008a | 91,490,410a |
| Investment securities | 33,228,625a | 30,762,358a |
| Investment in associates and a joint arrangement | 3,659,348a | 3,373,307a |
| Property and equipment | 3,085,020a | 3,062,799a |
| Intangible assets | 88,517a | 62,410a |
| Other assets | 6,259,265a | 6,468,460a |
| Total assets | 165,812,996a | 164,376,271a |
| Liabilities | — | — |
| Due to banks | 20,840,281a | 18,805,257a |
| Customer deposits | 77,006,817a | 76,541,228a |
| Debt securities | 10,734,890a | 7,899,400a |
| Other borrowings | 24,729,655a | 26,266,888a |
| Other liabilities | 6,012,609a | 10,457,673a |
| Total liabilities | 139,324,252a | 139,970,446a |
| Equity | — | — |
| Share capital | 4,047,254a | 4,047,254a |
| Legal reserve | 10,203,933a | 10,024,432a |
| General reserve | 26,500a | 26,500a |
| Risk reserve | 2,274,574a | 2,274,574a |
| Fair value reserve | -557,990a | -390,373a |
| Cash flow hedge reserve | -6,127a | -163,970a |
| Foreign currency translation reserve | -2,464,328a | -2,718,529a |
| Other reserves | 1,420,600a | 1,137,954a |
| Revaluation reserve | 1,251,466a | 1,140,161a |
| Employee incentive phantom scheme shares | -1,114,988a | -1,139,524a |
| Retained earnings | 5,587,847a | 4,347,343a |
| Instruments eligible for additional capital | 5,820,000a | 5,820,000a |
| Total equity attributable to equity holders of the bank | 26,488,741a | 24,405,822a |
| Non-controlling interests | 3a | 3a |
| Total equity | 26,488,744a | 24,405,825a |
| Total liabilities and equity | 165,812,996a | 164,376,271a |