Below are the financial statements of Danske Bank, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
| All figures in billions of DKK | 2024 as of 2024-12-31 | 2023 as of 2023-12-31 |
|---|---|---|
| Assets | — | — |
| Cash in hand and demand deposits with central banks | 107.5a | 259.16a |
| Due from credit institutions and central banks | 143.57a | 114.81a |
| Trading portfolio assets | 531.83a | 503.55a |
| Investment securities | 269.12a | 283.91a |
| Loans at amortised cost | 921.9a | 921.58a |
| Loans at fair value | 1,074.78a | 928.24a |
| Assets under pooled schemes and investment contracts | 76.17a | 70.9a |
| Insurance assets | 548.91a | 496.03a |
| Assets held for sale | 0.16a | 110.7a |
| Intangible assets | 6.74a | 6.06a |
| Tax assets | 5.81a | 3.26a |
| Other assets | 29.55a | 31.08a |
| Total assets | 3,716.04a | 3,729.29a |
| Liabilities | — | — |
| Due to credit institutions and central banks | 214.36a | 154.61a |
| Trading portfolio liabilities | 357.51a | 438.55a |
| Deposits | 1,173.78a | 1,196.45a |
| Issued bonds at fair value | 746.56a | 748.78a |
| Issued bonds at amortised cost | 243.2a | 214.23a |
| Deposits under pooled schemes and investment contracts | 76.61a | 71.25a |
| Insurance liabilities | 529.79a | 482.63a |
| Liabilities in disposal groups held for sale | 0a | 56.48a |
| Tax liabilities | 2.23a | 1.56a |
| Other liabilities | 66.03a | 57.05a |
| Non-preferred senior bonds | 89.49a | 93.19a |
| Subordinated debt | 40.8a | 38.77a |
| Total liabilities | 3,540.36a | 3,553.55a |
| Equity | — | — |
| Share capital | 8.62a | 8.62a |
| Foreign currency translation reserve | -3.62a | -2.64a |
| Reserve for bonds at fair value (OCI) | 0.25a | -0.31a |
| Retained earnings | 158.16a | 163.6a |
| Proposed dividends | 12.28a | 6.47a |
| Total equity | 175.69a | 175.74a |
| Total liabilities and equity | 3,716.04a | 3,729.29a |
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