The balance sheet value of the other assets as at 31 December can be broken down as follows:
Amounts in thousands of EUR | 2022 | 2021 |
---|---|---|
Receivable regarding the deposit guarantee scheme | 2,700 | 2,700 |
Other | 38,005 | 43,775 |
Allowance for ECL | -488 | -1,119 |
Balance sheet value as at 31 December | 40,217 | 45,356 |
Of the other assets, EUR 14.1 million has a maturity of less than one year (2021: EUR 19.6 million). Due to the nature and the maturity of the other assets, the fair value approximates the carrying value.
The other assets includes an amount of EUR 2.6 million (2021: EUR 1.3 million) regarding receivables from consolidated participating interests.