Institution type
Currency
FrequencyMonthly
Time2024M12024M22024M32024M42024M5
Item
Hide subtree Assets1 361 633.8091 379 412.3591 379 995.8791 382 417.4971 385 032.797
Hide subtree Liquid ressources and interbank claims486 822.000500 846.000495 745.000490 606.000498 347.000
 Cash, balances with central banks and postal cheque offices78 254.498122 029.570101 313.675108 951.833101 461.073
Hide subtree Claims on credit institutions408 567.694378 816.425394 431.601381 654.471396 886.176
  At sight186 993.751199 743.841187 138.753185 023.786197 921.795
  Other claims221 573.939179 072.580207 292.851196 630.684198 964.383
Hide subtree Claims on clients608 849.325611 114.995614 488.729620 797.018616 732.359
Hide subtree Claims initially granted by the institution601 993.549604 387.446605 234.811612 837.918608 605.686
  Trade bills337.078382.430364.582387.702400.351
  Own acceptances822.023830.938881.6581 092.174831.207
  Leasing claims and similar claims3 598.7163 635.1373 689.3233 720.1013 734.483
  Non mortgage loans with a flat charging rate16 517.22116 021.88015 935.26817 447.02417 299.904
  Mortgage loans251 709.837252 853.368253 775.069254 512.210255 100.210
  Fixed-term loans307 642.679308 934.330309 168.204314 265.061310 216.274
  Current account advances15 531.23215 926.49814 496.22815 229.54214 558.077
  Other credits5 834.7685 802.8656 924.4776 184.1066 465.179
 Other debtors6 855.7776 727.5539 253.9207 959.1018 126.676
Hide subtree Transferable securities and other negotiable instrumentsInformation on item179 821.493181 530.220184 361.423183 924.139184 590.905
Hide subtree Government short term securities13 334.83213 218.55714 920.76614 327.12015 675.779
  Eligible for refinancing at central banks12 893.66412 872.51614 594.40214 095.86515 358.798
  Other441.168346.041326.364231.255316.981
 Other short-term negotiable instruments2 097.8532 245.7762 809.8763 127.6912 623.595
 Public long-term securities65 957.74367 467.06067 904.58667 563.60167 354.199
 Other long-term loans represented by securities95 659.04395 839.20995 984.38196 130.65596 144.923
 Corporate shares and other equity1 154.7641 148.0821 193.8761 225.1991 230.139
 Other transferable securities1 617.2621 611.5331 547.9381 549.8781 562.273
Hide subtree Fixed assets34 519.32434 305.03533 506.14633 279.05233 390.407
Hide subtree Financial fixed assetsInformation on item28 527.49528 256.53027 423.18627 152.89927 210.229
 Participations in affiliated enterprises20 981.40321 086.41420 191.41420 197.41420 363.205
 Participations in other enterprises linked by a participating interest2 821.7382 821.7562 886.7562 886.9112 886.911
Hide subtree Other financial fixed assets4 639.6964 263.6604 260.2473 983.4053 875.543
 Shares420.572420.580422.913427.058430.754
 Subordonated claims on affiliated enterprises and enterprises linked by a participating interest4 098.8943 722.6923 713.7743 435.8433 324.093
 Other120.233120.389123.561120.505120.698
 Tangible fixed assets4 945.7505 001.5975 035.3145 075.5155 124.572
 Formation costs and intangible fixed assets1 046.0791 046.9071 047.6441 050.6411 055.603
 Own shares0.0000.0000.0000.0000.000
 Unrecoverable and doubtful claims3 094.0923 098.3553 104.1503 065.4463 141.576
 Other assets48 527.38848 517.75448 790.15950 745.53848 830.302
Hide subtree Liabilities1 361 633.8091 379 412.3591 379 995.8791 382 417.4971 385 032.797
Hide subtree Interbank debts350 468.886357 329.996356 129.028364 572.602363 121.007
 At sight178 506.631189 403.053190 887.780198 464.377205 820.753
 Debts resulting from mobilizations84 230.19481 005.36566 410.18865 926.42468 413.180
 Other debts at fixed term or at notice87 732.06086 921.57998 831.059100 181.80188 887.078
Hide subtree Debts to clients720 280.207722 344.745722 718.285722 619.221725 688.793
Hide subtree Deposits712 276.319714 114.243712 614.317715 058.946718 568.612
  Sight deposits289 892.738289 441.289281 985.673289 621.873292 626.056
  At fixed term or at notice < 1 month16 827.73419 310.35525 943.74819 325.26720 047.649
  At fixed term or at notice >= 1 month and <= 1 year103 225.476104 352.693104 158.626105 366.459102 267.889
  At fixed term or at notice > 1 year14 778.48715 040.42315 037.07714 887.97915 082.100
  Special deposits16 940.49715 883.02915 807.90115 690.40415 805.249
  Regulated savings deposits269 971.348269 452.269269 045.590269 513.630272 076.252
  Linked with mortgage loans640.034634.166635.658653.282663.348
 Deposit guarantee scheme0.0140.0280.0420.0560.070
 Other creditors8 003.8878 230.50110 103.9697 560.2677 120.182
Hide subtree Debts represented by a security118 376.765125 071.931123 213.917120 400.303121 021.862
 Certificates of deposit and similar debts59 375.17164 446.85161 396.74958 045.50358 290.621
 Notes1 811.2721 617.8811 507.0591 657.7501 913.950
 Bonds57 190.32259 007.19860 310.10760 697.05060 817.291
 Write-downs,provisions,provident funds and defferred taxes5 786.7965 817.9235 783.6525 772.3105 697.968
 Other liabilities53 500.21355 125.82459 880.07055 944.97555 216.369
 Subordinated debts32 067.47331 710.08733 072.72132 895.84232 855.759
Hide subtree Own ressourcesInformation on item81 153.47082 011.84079 198.20380 212.24681 431.039
Hide subtree  Capital36 293.60236 230.30736 252.63636 287.05236 242.152
 Subscribed capital36 293.60236 230.30736 252.63636 287.05236 242.152
 Uncalled capital0.0000.0000.0000.0000.000
  Issue premiums4 756.9054 756.9064 756.9054 756.9054 756.905
  Revaluation surpluses41.93442.28442.00542.99342.999
Hide subtree  Reserves16 826.93916 901.82316 905.87516 917.52116 953.801
 Statutory reserve3 018.3903 018.3903 018.3903 018.3903 020.122
 Unavailable reserves70.56270.56270.55970.55972.194
 Tax-exempt reserves514.524514.356514.353511.824511.821
 Available reserves13 223.46313 298.51613 302.57413 316.74913 349.664
  Profit brought forward (+) or loss brought forward (-)22 838.09522 728.95418 885.04118 488.68018 412.397
  Profit on the year (+) or loss on the year (-)395.9951 351.5652 355.7363 719.0945 022.785
Data extracted on 26 Jul 2024 13:19 UTC (GMT) from NBB.Stat

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