|
|
30.09.2022 |
|
30.09.2021 |
---|---|---|---|---|
Lendings to companies in which an interest is held |
|
84,315.6 |
|
5,186.4 |
Other lendings |
|
7,620.2 |
|
6,544.3 |
Fixed term deposits |
|
- |
|
24,847.2 |
Securities at Fair Value through Other Comprehensive Income |
|
8,116.7 |
|
12,631.5 |
Securities at Fair Value through Profit or Loss |
|
26,774.8 |
|
31,109.0 |
|
|
126,827.3 |
|
80,318.4 |