DPM Map for eba_tF_12.00

AddressLabelMetricsData TypePeriod Typeeba_dim:ALOeba_dim:APLeba_dim:BASeba_dim:CPSeba_dim:MCYeba_dim:REF
r0.010eba_a2.root/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x6N/AN/Aeba_RF:x4
r0.020eba_a2.root/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x6N/AN/AN/A
r0.030eba_a2.root/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x6N/AN/AN/A
r0.040eba_a2.root/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x6N/AN/AN/A
r0.050eba_a2.root/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x6N/AN/AN/A
r0.060eba_a2.root/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x6N/AN/AN/A
r0.070eba_a2.root/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x6N/AN/AN/A
r0.080eba_a2.root/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x5N/AN/AN/A
r0.090eba_a2.root/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x3N/AN/AN/A
r0.100eba_a2.root/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstantN/AN/Aeba_BA:x3N/AN/AN/A
330.010Specific allowances for credit risk/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x223eba_RF:x4
330.020Specific allowances for credit risk/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
330.030Specific allowances for credit risk/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
330.040Specific allowances for credit risk/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
330.050Specific allowances for credit risk/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
330.060Specific allowances for credit risk/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
330.070Specific allowances for credit risk/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
330.080Specific allowances for credit risk/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5N/Aeba_MC:x223N/A
330.090Specific allowances for credit risk/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3N/Aeba_MC:x223N/A
330.100Specific allowances for credit risk/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3N/Aeba_MC:x223N/A
340.010Debt securities/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x60eba_RF:x4
340.020Debt securities/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
340.030Debt securities/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
340.040Debt securities/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
340.050Debt securities/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
340.060Debt securities/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
340.070Debt securities/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
340.080Debt securities/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5N/Aeba_MC:x60N/A
340.090Debt securities/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3N/Aeba_MC:x60N/A
340.100Debt securities/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3N/Aeba_MC:x60N/A
350.010Central banks/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x60eba_RF:x4
350.020Central banks/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x60N/A
350.030Central banks/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x60N/A
350.040Central banks/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x60N/A
350.050Central banks/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x60N/A
350.060Central banks/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x60N/A
350.070Central banks/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x60N/A
350.080Central banks/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x10eba_MC:x60N/A
350.090Central banks/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x10eba_MC:x60N/A
350.100Central banks/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x10eba_MC:x60N/A
360.010General governments/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x60eba_RF:x4
360.020General governments/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x60N/A
360.030General governments/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x60N/A
360.040General governments/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x60N/A
360.050General governments/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x60N/A
360.060General governments/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x60N/A
360.070General governments/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x60N/A
360.080General governments/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x1eba_MC:x60N/A
360.090General governments/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x1eba_MC:x60N/A
360.100General governments/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x1eba_MC:x60N/A
370.010Credit institutions/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x60eba_RF:x4
370.020Credit institutions/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x60N/A
370.030Credit institutions/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x60N/A
370.040Credit institutions/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x60N/A
370.050Credit institutions/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x60N/A
370.060Credit institutions/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x60N/A
370.070Credit institutions/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x60N/A
370.080Credit institutions/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x12eba_MC:x60N/A
370.090Credit institutions/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x12eba_MC:x60N/A
370.100Credit institutions/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x12eba_MC:x60N/A
380.010Other financial corporations/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x60eba_RF:x4
380.020Other financial corporations/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x60N/A
380.030Other financial corporations/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x60N/A
380.040Other financial corporations/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x60N/A
380.050Other financial corporations/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x60N/A
380.060Other financial corporations/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x60N/A
380.070Other financial corporations/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x60N/A
380.080Other financial corporations/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x18eba_MC:x60N/A
380.090Other financial corporations/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x18eba_MC:x60N/A
380.100Other financial corporations/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x18eba_MC:x60N/A
390.010Non-financial corporations/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x60eba_RF:x4
390.020Non-financial corporations/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x60N/A
390.030Non-financial corporations/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x60N/A
390.040Non-financial corporations/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x60N/A
390.050Non-financial corporations/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x60N/A
390.060Non-financial corporations/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x60N/A
390.070Non-financial corporations/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x60N/A
390.080Non-financial corporations/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x20eba_MC:x60N/A
390.090Non-financial corporations/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x20eba_MC:x60N/A
390.100Non-financial corporations/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x20eba_MC:x60N/A
400.010Loans and advances/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x469eba_RF:x4
400.020Loans and advances/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
400.030Loans and advances/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
400.040Loans and advances/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
400.050Loans and advances/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
400.060Loans and advances/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
400.070Loans and advances/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
400.080Loans and advances/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5N/Aeba_MC:x469N/A
400.090Loans and advances/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3N/Aeba_MC:x469N/A
400.100Loans and advances/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3N/Aeba_MC:x469N/A
410.010Central banks/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x469eba_RF:x4
410.020Central banks/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x469N/A
410.030Central banks/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x469N/A
410.040Central banks/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x469N/A
410.050Central banks/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x469N/A
410.060Central banks/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x469N/A
410.070Central banks/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x10eba_MC:x469N/A
410.080Central banks/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x10eba_MC:x469N/A
410.090Central banks/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x10eba_MC:x469N/A
410.100Central banks/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x10eba_MC:x469N/A
420.010General governments/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x469eba_RF:x4
420.020General governments/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x469N/A
420.030General governments/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x469N/A
420.040General governments/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x469N/A
420.050General governments/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x469N/A
420.060General governments/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x469N/A
420.070General governments/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x1eba_MC:x469N/A
420.080General governments/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x1eba_MC:x469N/A
420.090General governments/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x1eba_MC:x469N/A
420.100General governments/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x1eba_MC:x469N/A
430.010Credit institutions/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x469eba_RF:x4
430.020Credit institutions/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x469N/A
430.030Credit institutions/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x469N/A
430.040Credit institutions/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x469N/A
430.050Credit institutions/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x469N/A
430.060Credit institutions/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x469N/A
430.070Credit institutions/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x12eba_MC:x469N/A
430.080Credit institutions/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x12eba_MC:x469N/A
430.090Credit institutions/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x12eba_MC:x469N/A
430.100Credit institutions/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x12eba_MC:x469N/A
440.010Other financial corporations/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x469eba_RF:x4
440.020Other financial corporations/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x469N/A
440.030Other financial corporations/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x469N/A
440.040Other financial corporations/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x469N/A
440.050Other financial corporations/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x469N/A
440.060Other financial corporations/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x469N/A
440.070Other financial corporations/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x18eba_MC:x469N/A
440.080Other financial corporations/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x18eba_MC:x469N/A
440.090Other financial corporations/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x18eba_MC:x469N/A
440.100Other financial corporations/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x18eba_MC:x469N/A
450.010Non-financial corporations/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x469eba_RF:x4
450.020Non-financial corporations/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x469N/A
450.030Non-financial corporations/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x469N/A
450.040Non-financial corporations/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x469N/A
450.050Non-financial corporations/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x469N/A
450.060Non-financial corporations/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x469N/A
450.070Non-financial corporations/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x20eba_MC:x469N/A
450.080Non-financial corporations/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x20eba_MC:x469N/A
450.090Non-financial corporations/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x20eba_MC:x469N/A
450.100Non-financial corporations/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x20eba_MC:x469N/A
460.010Households/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x5eba_MC:x469eba_RF:x4
460.020Households/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x5eba_MC:x469N/A
460.030Households/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x5eba_MC:x469N/A
460.040Households/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x5eba_MC:x469N/A
460.050Households/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x5eba_MC:x469N/A
460.060Households/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x5eba_MC:x469N/A
460.070Households/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x6eba_CT:x5eba_MC:x469N/A
460.080Households/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x5eba_CT:x5eba_MC:x469N/A
460.090Households/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x5eba_MC:x469N/A
460.100Households/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x22eba_PL:x1eba_BA:x3eba_CT:x5eba_MC:x469N/A
530.010Total/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x6N/Aeba_MC:x143eba_RF:x4
530.020Total/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x6N/Aeba_MC:x143N/A
530.030Total/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x6N/Aeba_MC:x143N/A
530.040Total/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x6N/Aeba_MC:x143N/A
530.050Total/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x6N/Aeba_MC:x143N/A
530.060Total/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x6N/Aeba_MC:x143N/A
530.070Total/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x6N/Aeba_MC:x143N/A
530.080Total/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x5N/Aeba_MC:x143N/A
530.090Total/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x3N/Aeba_MC:x143N/A
530.100Total/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x1eba_PL:x4eba_BA:x3N/Aeba_MC:x143N/A
010.010Equity instruments/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x6N/Aeba_MC:x130eba_RF:x4
010.020Equity instruments/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x6N/Aeba_MC:x130N/A
010.030Equity instruments/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x6N/Aeba_MC:x130N/A
010.040Equity instruments/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x6N/Aeba_MC:x130N/A
010.050Equity instruments/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x6N/Aeba_MC:x130N/A
010.060Equity instruments/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x6N/Aeba_MC:x130N/A
010.070Equity instruments/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x6N/Aeba_MC:x130N/A
010.080Equity instruments/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x5N/Aeba_MC:x130N/A
010.090Equity instruments/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x3N/Aeba_MC:x130N/A
010.100Equity instruments/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x0eba_PL:x1eba_BA:x3N/Aeba_MC:x130N/A
470.010General allowances for credit risk/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x223eba_RF:x4
470.020General allowances for credit risk/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
470.030General allowances for credit risk/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
470.040General allowances for credit risk/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
470.050General allowances for credit risk/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
470.060General allowances for credit risk/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
470.070General allowances for credit risk/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
470.080General allowances for credit risk/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x5N/Aeba_MC:x223N/A
470.090General allowances for credit risk/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x3N/Aeba_MC:x223N/A
470.100General allowances for credit risk/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x3N/Aeba_MC:x223N/A
480.010Debt securities/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x60eba_RF:x4
480.020Debt securities/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
480.030Debt securities/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
480.040Debt securities/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
480.050Debt securities/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
480.060Debt securities/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
480.070Debt securities/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
480.080Debt securities/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x5N/Aeba_MC:x60N/A
480.090Debt securities/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x3N/Aeba_MC:x60N/A
480.100Debt securities/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x3N/Aeba_MC:x60N/A
490.010Loans and advances/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x469eba_RF:x4
490.020Loans and advances/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
490.030Loans and advances/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
490.040Loans and advances/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
490.050Loans and advances/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
490.060Loans and advances/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
490.070Loans and advances/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
490.080Loans and advances/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x5N/Aeba_MC:x469N/A
490.090Loans and advances/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x3N/Aeba_MC:x469N/A
490.100Loans and advances/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x23eba_PL:x1eba_BA:x3N/Aeba_MC:x469N/A
500.010General allowances for banking risks/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x223eba_RF:x4
500.020General allowances for banking risks/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
500.030General allowances for banking risks/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
500.040General allowances for banking risks/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
500.050General allowances for banking risks/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
500.060General allowances for banking risks/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
500.070General allowances for banking risks/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x223N/A
500.080General allowances for banking risks/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x5N/Aeba_MC:x223N/A
500.090General allowances for banking risks/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x3N/Aeba_MC:x223N/A
500.100General allowances for banking risks/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x3N/Aeba_MC:x223N/A
510.010Debt securities/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x60eba_RF:x4
510.020Debt securities/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
510.030Debt securities/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
510.040Debt securities/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
510.050Debt securities/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
510.060Debt securities/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
510.070Debt securities/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x60N/A
510.080Debt securities/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x5N/Aeba_MC:x60N/A
510.090Debt securities/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x3N/Aeba_MC:x60N/A
510.100Debt securities/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x3N/Aeba_MC:x60N/A
520.010Loans and advances/Opening balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x469eba_RF:x4
520.020Loans and advances/Increases due to amounts set aside for estimated loan losses during the periodeba_met:md140xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
520.030Loans and advances/Decreases due to amounts reversed for estimated loan losses during the periodeba_met:md105xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
520.040Loans and advances/Decrease in allowance account due to write-offseba_met:md514xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
520.050Loans and advances/Transfers between allowanceseba_met:md242xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
520.060Loans and advances/Other adjustmentseba_met:md515xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
520.070Loans and advances/Closing balanceeba_met:mi7xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x6N/Aeba_MC:x469N/A
520.080Loans and advances/Recoveries recorded directly to the statement of profit or losseba_met:md203xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x5N/Aeba_MC:x469N/A
520.090Loans and advances/Value adjustments recorded directly to the statement of profit or losseba_met:md254xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x3N/Aeba_MC:x469N/A
520.100Loans and advances/Amounts written-off directly to the statement of profit or losseba_met:md516xbrli:monetaryItemTypeinstanteba_IM:x24eba_PL:x1eba_BA:x3N/Aeba_MC:x469N/A