Company: BBD
Filing Date: 2025-10-30
Form Type: 6-K
Source: 0001292814-25-003700
Chunk: 42

Company: BANK BRADESCO
Filing Date: 2025-10-30
Form: 6-K
Chunk 42
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31, 2024 9,640 1,543 3,123 14,306 New assets originated
/ (Assets settled or paid)/Remeasurement of expected credit loss (6,154) (1,543) - (7,697) Expected loss of financial assets at FVOCI
on September 30, 2025 3,486 - 3,123 6,609 9) BONDS AND SECURITIES AT AMORTIZED COST a) Securities at amortized cost R$ thousands Amortized
cost Gross unrealized gains (1) Gross unrealized losses (1) Fair Value Securities: Brazilian government bonds 129,547,559 423,985 (6,780,773)
123,190,771 Securities issued by financial and non-financial institutions 122,836,444 1,331,342 (3,232,754) 120,935,032 Balance on September
30, 2025 252,384,003 1,755,327 (10,013,527) 244,125,803 Securities: Brazilian government bonds 145,278,232 3,032,908 (8,559,744) 139,751,396
Securities issued by financial and non-financial institutions 121,713,735 23,020 (392,053) 121,344,702 Balance on December 31, 2024 266,991,967
3,055,928 (8,951,797) 261,096,098 (1) Unrealized gains and losses on assets at amortized cost have not been recognized in comprehensive
income. b) Maturity R$ thousands On September 30, 2025 On December 31, 2024 Amortized cost Fair Value Amortized cost Fair Value Due within
one year 51,962,681 51,521,117 60,043,632 59,988,685 From 1 to 5 years 139,969,927 137,793,337 148,260,712 147,475,479 From 5 to 10 years
36,641,772 34,067,855 32,891,366 32,474,161 Over 10 years 23,809,623 20,743,494 25,796,257 21,157,773 Total 252,384,003 244,125,