Institution type
Currency
FrequencyMonthly
Time2025M32025M42025M52025M62025M7
Item
Hide subtree Assets1 443 666.6601 466 906.9861 478 795.0751 462 426.9121 435 031.089
Hide subtree Liquid ressources and interbank claims513 251.000520 166.000526 549.000512 236.000488 367.000
 Cash, balances with central banks and postal cheque offices74 928.56194 034.790101 086.34377 842.71764 111.934
Hide subtree Claims on credit institutions438 322.559426 131.644425 463.034434 392.973424 255.306
  At sight241 045.082223 878.191227 783.801242 396.919232 089.172
  Other claims197 277.479202 253.453197 679.234191 996.054192 166.133
Hide subtree Claims on clients628 585.135633 970.257636 250.313639 152.208635 589.454
Hide subtree Claims initially granted by the institution621 808.463626 434.612626 426.444631 469.628628 609.985
  Trade bills359.334336.148334.221368.540333.949
  Own acceptances1 172.980830.026885.646974.789884.723
  Leasing claims and similar claims4 014.0504 025.6834 069.4794 096.1934 142.182
  Non mortgage loans with a flat charging rate16 632.55618 069.77817 873.10017 676.42617 697.416
  Mortgage loans259 126.235259 636.383260 538.201260 917.291262 109.532
  Fixed-term loans315 928.759317 246.058317 492.307320 978.830319 082.844
  Current account advances15 737.07317 732.73116 904.77317 169.58415 525.323
  Other credits8 837.4788 557.8068 328.7159 287.9758 834.017
 Other debtors6 776.6707 535.6449 823.8667 682.5766 979.469
Hide subtree Transferable securities and other negotiable instrumentsInformation on item225 416.981235 381.193234 969.515235 104.820236 713.043
Hide subtree Government short term securities18 554.22519 096.30618 909.01818 700.30319 135.373
  Eligible for refinancing at central banks15 936.22816 432.97216 304.23816 090.41816 399.621
  Other2 617.9972 663.3342 604.7802 609.8852 735.752
 Other short-term negotiable instruments6 814.11912 813.90410 911.06112 732.46312 259.623
 Public long-term securities78 441.27479 869.08380 914.18179 694.65282 127.222
 Other long-term loans represented by securities118 559.779120 666.408121 171.701120 904.781120 163.660
 Corporate shares and other equity1 741.7121 648.4921 728.4971 736.9471 708.958
 Other transferable securities1 305.8721 287.0001 335.0551 335.6741 318.205
Hide subtree Fixed assets31 610.74931 644.87331 617.65031 758.12630 988.193
Hide subtree Financial fixed assetsInformation on item24 916.78024 934.64124 934.90524 977.58424 171.165
 Participations in affiliated enterprises20 072.03920 092.54220 093.00120 089.85120 092.850
 Participations in other enterprises linked by a participating interest2 758.9072 755.9732 755.7232 751.7731 933.240
Hide subtree Other financial fixed assets2 085.0132 085.3042 085.3592 135.1472 144.262
 Shares466.248467.843467.849523.988534.710
 Subordonated claims on affiliated enterprises and enterprises linked by a participating interest1 468.0231 466.9761 463.4761 460.6761 458.814
 Other121.541121.283124.833121.305121.544
 Tangible fixed assets5 567.4695 576.9915 545.4715 603.4035 633.438
 Formation costs and intangible fixed assets1 126.4961 133.2441 137.2731 177.1411 183.586
 Own shares0.0000.0000.0000.0000.000
 Unrecoverable and doubtful claims3 485.6693 479.7583 451.0393 409.4643 405.750
 Other assets41 317.00442 264.47545 957.18540 766.60539 967.417
Hide subtree Liabilities1 443 666.6601 466 906.9861 478 795.0751 462 426.9121 435 031.089
Hide subtree Interbank debts370 044.423391 299.912382 597.652377 088.854365 495.134
 At sight228 571.469225 865.617230 002.399233 202.834223 910.349
 Debts resulting from mobilizations54 528.53769 406.82662 830.13656 597.93952 700.647
 Other debts at fixed term or at notice86 944.41596 027.46889 765.11887 288.08088 884.138
Hide subtree Debts to clients769 888.237772 078.843782 286.923774 209.565762 720.418
Hide subtree Deposits759 406.082762 420.252769 164.344764 880.757754 393.384
  Sight deposits316 954.217317 953.565322 279.182322 079.602309 349.756
  At fixed term or at notice < 1 month22 268.35529 211.81027 463.72926 350.32324 482.132
  At fixed term or at notice >= 1 month and <= 1 year94 933.99089 024.52788 328.78381 370.52784 970.149
  At fixed term or at notice > 1 year23 498.94723 441.93623 414.11023 287.26523 348.872
  Special deposits16 497.34416 185.15916 677.87717 631.34317 080.790
  Regulated savings deposits284 548.150285 896.055290 287.208293 447.043294 447.590
  Linked with mortgage loans705.059707.174713.398714.652714.092
 Deposit guarantee scheme0.0210.0280.0600.0000.000
 Other creditors10 482.1529 658.58913 122.5799 328.8058 327.036
Hide subtree Debts represented by a security124 226.310125 256.302130 650.742132 698.010129 876.827
 Certificates of deposit and similar debts50 631.87551 737.66857 820.93359 153.68256 781.580
 Notes8 481.3188 556.6738 295.1638 262.2448 168.571
 Bonds65 113.11764 961.96164 534.64665 282.08464 926.678
 Write-downs,provisions,provident funds and defferred taxes5 681.1565 633.1785 616.1645 725.5995 717.637
 Other liabilities51 597.52650 952.35153 768.78848 618.04546 156.743
 Subordinated debts39 317.42238 479.80939 510.02438 088.74838 163.503
Hide subtree Own ressourcesInformation on item82 911.58683 206.59384 364.78285 998.08886 900.830
Hide subtree  Capital35 681.15135 791.83935 752.06335 751.59135 762.369
 Subscribed capital35 681.15135 791.83935 752.06335 751.59135 762.369
 Uncalled capital0.0000.0000.0000.0000.000
  Issue premiums4 756.9054 756.9054 756.9054 756.2734 756.273
  Revaluation surpluses4.8654.8654.8656.1306.098
Hide subtree  Reserves17 444.88517 455.21717 478.60217 482.04017 482.024
 Statutory reserve3 099.3073 099.3073 100.7433 100.8843 100.884
 Unavailable reserves72.19472.19472.19470.43870.438
 Tax-exempt reserves299.771299.757299.372299.359299.345
 Available reserves13 973.61313 983.95914 006.29314 011.35914 011.359
  Profit brought forward (+) or loss brought forward (-)24 071.92923 171.46323 034.77123 011.75523 015.348
  Profit on the year (+) or loss on the year (-)951.8502 026.3053 337.5734 990.2985 878.722
Data extracted on 13 Sep 2025 23:15 UTC (GMT) from NBB.Stat

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