E Financial instruments disclosures

38. Fair value of financial instruments

The table shows the disclosures on the fair value of financial instruments included in the published annual reports of the DZ BANK Group. For all other companies included in the consolidated financial statements, the fair value was deemed to be equivalent to the carrying amount.

Dec. 31, 2021 € million Dec. 31, 2020 € million
Carrying amount Fair value Carrying amount Fair value
Assets
Cash and cash equivalents1, 2 147,436 147,436 111,566 111,566
Loans and advances to banks1 15,792 17,386 19,651 23,384
Loans and advances to customers1 934,859 937,050 880,746 884,650
Hedging instruments (positive fair values) 389 389 160 160
Financial assets held for trading2 47,071 47,128 42,2784 42,335
Investments1, 3 247,649 248,304 254,393 255,337
Investments held by insurance companies1, 2, 3 123,386 123,344 116,166 116,914
Other assets1, 2 9,835 8,915 12,918 10,938
Equity and liabilities
Deposits from banks 193,809 195,667 160,924 165,151
Deposits from customers 984,926 986,272 937,876 940,266
Debt certificates issued including bonds 63,521 63,839 58,365 59,571
Hedging instruments (negative fair values) 3,869 3,869 7,557 7,557
Financial liabilities held for trading2 39,999 39,985 46,7624 46,756
Other liabilities2 3,793 3,643 3,709 3,395
Subordinated capital 4,755 4,827 4,441 4,591

1 Carrying amounts less loss allowances.
2 Fair values and carrying amounts are only disclosed for financial instruments.
3 Excluding investments in joint ventures and in associates.
4 Amount adjusted.

39. Maturity analysis

Balance as at Dec. 31, 2021

€ million

≤ 3 months > 3 months – 1 year > 1 year Indefinite
Loans and advances to banks 7,283 1,426 10,211 176
Loans and advances to customers 44,489 73,568 824,225 15,040
Deposits from banks 45,565 11,371 138,628 841
Deposits from customers 852,986 15,645 54,103 66,698
Debt certificates issued including bonds 8,162 4,937 58,466

Balance as at Dec. 31, 2020

€ million

≤ 3 months > 3 months – 1 year > 1 year Indefinite
Loans and advances to banks 9,040 1,518 10,581 203
Loans and advances to customers 40,350 67,719 780,529 17,957
Deposits from banks 42,433 11,775 108,329 783
Deposits from customers 805,011 16,407 56,101 64,668
Debt certificates issued including bonds 4,510 6,001 52,870

The contractual maturities shown in the table do not match the estimated actual cash inflows and cash outflows and include undiscounted cash flows as well as partially also discounted carrying amounts.