Note 6

Financial instruments at amortised cost
GROUP31.03.201731.03.2016
 Fair valueBook valueFair valueBook value
Cash and claims on Norges Bank582582424424
Loans to and receivables from credit institutions5785781 0241 024
Loans to and receivables from customers49 45549 45546 31146 311
Total financial assets50 61550 61547 75947 759
Loans and deposits from credit institutions1 2921 2921 2011 201
Deposits from and liabilities to customers31 34031 34029 07129 071
Debt securities21 26321 20721 37721 473
Subordinated loan capital and Perpetual Hybrid Tier 1 capital1 3641 3251 3581 335
Total financial liabilities55 25955 16453 00753 080
GROUP - 31.03.2017Based on prices in an active marketObservable market informationOther than observable market information 
 Level 1Level 2Level 3Total
Cash and claims on Norges Bank582  582
Loans to and receivables from credit institutions 578 578
Loans to and receivables from customers  49 45549 455
Total financial assets58257849 45550 615
Loans and deposits from credit institutions 1 292 1 292
Deposits from and liabilities to customers  31 34031 340
Debt securities 21 263 21 263
Subordinated loan capital and Perpetual Hybrid Tier 1 capital 1 364 1 364
Total financial liabilities-23 91931 34055 259
     
GROUP - 31.03.2017Based on prices in an active marketObservable market informationOther than observable market information 
 Level 1Level 2Level 3Total
Cash and claims on Norges Bank424  424
Loans to and receivables from credit institutions 1 024 1 024
Loans to and receivables from customers  46 31146 311
Total financial assets4241 02446 31147 759
Loans and deposits from credit institutions 1 201 1 201
Deposits from and liabilities to customers  29 07129 071
Debt securities 21 377 21 377
Subordinated loan capital and Perpetual Hybrid Tier 1 capital 1 358 1 358
Total financial liabilities-23 93629 07153 007