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      "text": "Level 3 is an indicator of valuation uncertainty and not of asset quality; The Group classifies financial instruments as Level 3 if an unobservable element impacts the fair value by 5% or more; The movements in Level 3 assets reflect that the portfolios are not static with significant turnover during the period; Variety of mitigants to valuation uncertainty: Uncertain inputs often hedged, e.g. in Level 3 liabilities; Exchange of collateral with derivative counterparties; Prudent Valuation capital deductions specific to Level 3 balances of ~€ 0.7bn",
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