13. Net investment income

Net investment income1 January – 31 December 20141 January – 31 December 2013
Interest income, including: 1,480,543 1,697,218
- financial assets available for sale 55,849 58,219
- financial assets held to maturity 961,401 1,156,453
- loans and receivables 439,660 478,130
- receivables, including insurance receivables 484 -
- cash and cash equivalents 23,149 4,416
Dividend income, including: 88,121 127,421
- financial assets measured at fair value through profit or loss – classified as such upon initial recognition 63,903 5,742
- financial assets held for trading 18,059 74,899
- financial assets available for sale 6,159 46,780
Income from investment property 137,428 120,328
Exchange differences, including: 147,510 5,695
- financial assets held to maturity 1,957 1,512
- financial assets available for sale 8,421 -503
- loans and receivables 81,952 6,489
- receivables, including insurance receivables 21,210 -1,128
- cash and cash equivalents 33,970 -675
Other, including: -59,764 -84,012
- costs of investment activities -24,512 -42,553
- investment property maintenance costs -61,209 -61,423
- other 25,957 19,964
Total net investment income 1,793,838 1,866,650