| r0.010 | eba_a2.root/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | N/A | N/A | N/A | N/A |
| 010.010 | Capital/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x133 | N/A |
| 020.010 | Paid up capital/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x134 | N/A |
| 030.010 | Unpaid capital which has been called up/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x139 | N/A |
| 040.010 | Share premium/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x322 | N/A |
| 050.010 | Equity instruments issued other than capital/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x142 | N/A |
| 060.010 | Equity component of compound financial instruments/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x140 | N/A |
| 070.010 | Other equity instruments issued/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x141 | N/A |
| 080.010 | Other equity/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x61 | N/A |
| 090.010 | Accumulated other comprehensive income/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x9 | N/A |
| 095.010 | Items that will not be reclassified to profit and loss/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x515 | eba_BT:x2 |
| 100.010 | Tangible assets/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x18 | eba_BT:x2 |
| 110.010 | Intangible assets/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x16 | eba_BT:x2 |
| 120.010 | Actuarial gains or loss on defined benefit pension plans/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x13 | eba_BT:x2 |
| 122.010 | Non-current assets and disposal groups classified as held for sale/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x517 | eba_BT:x2 |
| 124.010 | Share of other recognised income and expense of investments in subsidiaries, joint ventures and associates/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x518 | eba_BT:x2 |
| 128.010 | Items that may be reclassified to profit and loss/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x516 | eba_BT:x5 |
| 130.010 | Hedges of net investments in foreign operations [effective portion]/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x15 | eba_BT:x5 |
| 140.010 | Foreign currency translation/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x14 | eba_BT:x5 |
| 150.010 | Hedging derivatives. Cash flow hedges [effective portion]/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x11 | eba_BT:x5 |
| 160.010 | Available-for-sale financial assets/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x10 | eba_BT:x5 |
| 170.010 | Non-current assets and disposal groups classified as held for sale/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x12 | eba_BT:x5 |
| 180.010 | Share of other recognised income and expense of investments in subsidiaries, joint ventures and associates/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x17 | eba_BT:x5 |
| 190.010 | Retained earnings/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x301 | N/A |
| 200.010 | Revaluation reserves/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x302 | N/A |
| 201.010 | Tangible assets/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x491 | N/A |
| 202.010 | Equity instruments/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x489 | N/A |
| 203.010 | Debt securities/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x488 | N/A |
| 204.010 | Other/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x490 | N/A |
| 205.010 | Fair value reserves/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x492 | N/A |
| 206.010 | Hedges of net investments in foreign operations/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x494 | N/A |
| 207.010 | Hedging derivatives. Cash flow hedges/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x493 | N/A |
| 208.010 | Hedging derivatives. Other hedges/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x495 | N/A |
| 209.010 | Non-trading non-derivative financial assets measured at fair value to equity/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x496 | N/A |
| 210.010 | Other reserves/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x269 | N/A |
| 215.010 | Funds for general banking risks [if presented within equity]/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x487 | N/A |
| 220.010 | Reserves or accumulated losses of investments in subsidiaries, joint ventures and associates/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x271 | N/A |
| 230.010 | Other/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x270 | N/A |
| 235.010 | First consolidation differences/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x497 | N/A |
| 240.010 | (-) Treasury shares/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x273 | N/A |
| 250.010 | Profit or loss attributable to Owners of the parent/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x276 | N/A |
| 260.010 | (-) Interim dividends/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x4 | eba_MC:x213 | N/A |
| 270.010 | Minority interests [Non-controlling interests]/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x3 | eba_MC:x28 | N/A |
| 280.010 | Accumulated Other Comprehensive Income/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x3 | eba_MC:x9 | N/A |
| 290.010 | Other items/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | eba_BT:x3 | eba_MC:x147 | N/A |
| 300.010 | Total equity/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x2 | N/A | eba_MC:x28 | N/A |
| 310.010 | Total equity and total liabilities/Carrying amount | eba_met:mi53 | xbrli:monetaryItemType | instant | eba_BA:x8 | N/A | eba_MC:x29 | N/A |