Company: BBD
Filing Date: 2025-10-30
Form Type: 6-K
Source: 0001292814-25-003701
Chunk: 169

Company: BANK BRADESCO
Filing Date: 2025-10-30
Form: 6-K
Chunk 169
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 liabilities
40,745,954 136,205 9,692 226,291 - 41,118,142 Shareholders’ equity Equity attributable to shareholders of the parent - - - - 169,589,896
169,589,896 Non-controlling shareholders’ - - - - 771,287 771,287 Total Equity - - - - 170,361,183 170,361,183 Total on September
30, 2025 1,010,994,554 183,728,765 157,477,822 629,771,236 191,323,303 2,173,295,680 (1) Repurchase agreements are classified according
to the maturity of the transactions; (2) Investments in investment funds are classified as 1 to 30 days; and (3) Demand and savings deposits
and technical provisions for insurance, pension plans and capitalization bonds comprising “VGBL” and “PGBL” products
are classified as 1 to 30 days, without considering average historical turnover. BRADESCO | Consolidated Financial Statements 147 Conso
lidated Financial Statements | Notes to the Consolidated Financial Statements g) Fair value of financial assets and liabilities The carrying
amounts and the fair values of the financial assets and liabilities are: R$ thousands On September 30, 2025 Book value Fair Value Assets
Reverse repurchase agreements 237,139,862 237,156,073 Compulsory deposits with the Brazilian Central Bank 119,708,504 119,708,504 Securities:
At fair value through profit or loss (1) 454,594,339 454,594,339 Fair value through other comprehensive income 97,181,277 97,181,277 At
amortized cost (1) 282,881,723 272,562,884 Derivative financial instruments 22,856,567 22,856,567 Loans and leases 606,340,135 585,745,600
Other financial assets 147,287,461 147,287,461 Liabilities Deposits from banks 387,655,291 387,533,976 Deposits from customers 660,629,421
657,280,704 Funds from securities issued 297,331,225 298,601,840 Subordinated debts 51,962,425 53,728,975 Derivative financial instruments
21,673,914