label_boi_t630-87 - 630-87 - Annual financial statements Note 34c - Changes in Items measured at fair value on a recurring basis who has been included in level 3

Current periodYear (-1)
Fair value at the beginning of the yearRealized and unrealized profits (losses)AcquisitionsSalesExtinguishmentsFinancial statements translations adjustmentsTransfers to Level 3Transfer from level 3Fair value at the end of the yearUnrealized profit on instruments for year-endFair value at the beginning of the yearRealized and unrealized profits (losses)AcquisitionsSalesExtinguishmentsFinancial statements translations adjustmentsTransfers to Level 3Transfer from level 3Fair value at the end of the yearUnrealized profit on instruments for year-end
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Assets
Bonds available for sale and non trade securities
Israeili government1
Foreign governments2
Israeli finance instituations3
Foreign finance instituations4
Assets backed or Mortgage backed5
Of others in Israel6
Of others Foreign securities7
Shares8
Total securities available for sale9
Securities trading
Israeili government10
Foreign governments11
Israeli finance instituations12
Foreign finance instituations13
Assets backed or Mortgage backed14
Of others in Israel15
Of others Foreign securities16
Shares17
Total trading securities18
Derivative instruments
Interest contracts19
Foreign currency contracts20
Contracts in respect to shares21
Credit derivatives22
Commodity contracts and others23
Total assets in respect to derivative instruments24
Other assets25
Total assets26
Liabilities
Derivative instruments
Interest contracts27
Foreign currency contracts28
Contracts in respect to shares29
Credit derivatives30
Commodity contracts and others31
Total assets in respect to derivative instruments32
Liabilities - others33
Total liabilities34