Company: BBD
Filing Date: 2025-10-30
Form Type: 6-K
Source: 0001292814-25-003701
Chunk: 109

Company: BANK BRADESCO
Filing Date: 2025-10-30
Form: 6-K
Chunk 109
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 (5,829,596) Net gains and losses on
financial assets at FVOCI consist mainly of the recording of changes in the fair value of financial assets when they are sold, which are
substantially fixed income securities. Gains and losses recognized in income resulting from the derecognition of these assets totaled
R$222,905 thousand in the period. BRADESCO | Consolidated Financial Statements 97 Conso lidated Financial Statements | Notes to the Consolidated
Financial Statements b) Investments in equity intruments designated at fair value through other comprehensive income R$ thousands Cost
Adjustments to Fair Value Fair Value Marketable equity securities and other stocks 5,936,249 (1,207,515) 4,728,734 Total on September
30, 2025 5,936,249 (1,207,515) 4,728,734 Due to the disposal of equity instruments designated at FVOCI at initial recognition, an amount
of R$(631,804) thousand was transferred within equity during the period. On the date of the write-off, the fair value of these equity
instruments was R$2,504,010 thousand. The Group adopted the option of designating equity instruments at fair value through other comprehensive
income upon initial recognition due to the particularities of a given market. c) Reconciliation of expected losses of financial assets
at FVOCI R$ thousands Stage 1 Stage 2 Stage 3 Total Expected loss of financial assets at FVOCI as of January 1, 2025 13,022 1,565 - 14,587
Transferred to Stage 1 - - - - Transferred to Stage 2 - - - - Transferred to Stage 3 - - - - Transfer from Stage 1 - - - - Transfer from
Stage 2 - - - - Transfer from Stage 3 - - - - New assets originated / (Assets settled or paid)/Remeasurement of expected credit loss (6,349)
(1,565) - (7,914) Expected loss of financial assets at FVOCI as of September 30, 2025 6,673 - - 6,673 BRADESCO | Consolidated Financial
Statements 98 Conso lidated Financial Statements | Notes to the Consolidated Financial Statements 9) BONDS AND SECURITIES AT AMORTIZED
COST Securities R$ thousands On September 30, 2025 1 to 30