Company: BBD
Filing Date: 2025-10-30
Form Type: 6-K
Source: 0001292814-25-003700
Chunk: 134

Company: BANK BRADESCO
Filing Date: 2025-10-30
Form: 6-K
Chunk 134
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 income (1) Impact on shareholders’ equity (1) 1 2 3 1 2 3 Interest
rate in Reais (2) (627) (1,207) - (121) (234) Price indexes - (43) (81) - - - Exchange coupon (28) (3,220) (6,303) - - - Foreign currency
1,298 32,459 64,919 - - - Equities 10,680 267,005 534,011 5,351 133,787 267,573 (1) Values net of taxes. BRADESCO | Consolidated Financial
Statements in IFRS 94 Consolidated Financial Statements in IFRS | Notes to the Consolidated Financial Statements The sensitivity analyses
were carried out based on the scenarios prepared for the dates shown, always taking into consideration market inputs available at the
time and scenarios that would adversely impact our positions, in accordance with the scenarios below: Scenario 1: Based on market information
(B3, Anbima, etc.), stresses were applied for 1 basis point on the interest rate and 1.0% variation on prices; Scenario 2: 25.0% stresses
were determined based on market information; and Scenario 3: 50.0% stresses were determined based on market information. Financial instruments
not measured at fair value The table below summarizes the carrying amounts and the fair values of the financial assets and liabilities
that were not presented in the consolidated statements of financial position at their fair value, classified using the hierarchical levels:
R$ thousands On September 30, 2025 Fair Value Book value Level 1 Level 2 Level 3 Total Financial assets (1) Loans and advances ·
Financial Institutions - 237,156,073 - 237,156,073 237,139,862 · Customers - - 585,745,600 585,745,600 606,096,695 Securities at
amortized cost 131,171,628 101,470,985 9,313,960 241,956,573 258,228,483 Financial liabilities Deposits from banks - - 387,533,976 387,533,976
387,655,291 Deposits from customers - - 657,280,704 657,280,704 660,629,421 Funds from securities issued - - 298,601,840 298,601,840