Institution type
Currency
FrequencyMonthly
Time2024M92024M102024M112024M122025M1
Item
Hide subtree Assets1 389 813.9801 403 346.1701 406 968.5081 404 502.0301 438 764.855
Hide subtree Liquid ressources and interbank claims496 133.000506 767.000495 863.000481 059.000513 914.000
 Cash, balances with central banks and postal cheque offices66 539.29196 697.77777 427.27895 731.79097 432.124
Hide subtree Claims on credit institutions429 593.416410 068.801418 435.577385 327.577416 482.004
  At sight219 571.723209 254.676205 352.136184 200.361204 346.431
  Other claims210 021.694200 814.127213 083.438201 127.216212 135.570
Hide subtree Claims on clients616 584.216616 268.223622 231.736630 837.960636 340.627
Hide subtree Claims initially granted by the institution609 238.835609 126.777615 173.386624 261.565629 277.926
  Trade bills387.058380.967419.517492.416391.761
  Own acceptances1 040.737916.435873.8641 055.7901 142.186
  Leasing claims and similar claims3 828.5723 850.5313 858.5443 907.5143 909.102
  Non mortgage loans with a flat charging rate16 901.87416 965.97616 701.38516 888.74016 931.102
  Mortgage loans257 958.153258 913.127259 574.039260 400.834262 040.530
  Fixed-term loans305 283.970305 473.830311 344.985316 702.123319 740.574
  Current account advances16 100.00715 396.49115 015.13815 323.94517 316.011
  Other credits7 738.4627 229.4247 385.9159 490.2007 806.661
 Other debtors7 345.3807 141.4467 058.3506 576.3957 062.699
Hide subtree Transferable securities and other negotiable instrumentsInformation on item196 012.807198 992.646205 094.098210 737.513209 064.917
Hide subtree Government short term securities15 451.46115 226.10516 986.59216 413.20117 348.316
  Eligible for refinancing at central banks15 178.84814 839.14615 814.09615 135.48715 437.159
  Other272.613386.9591 172.4961 277.7141 911.157
 Other short-term negotiable instruments5 987.6566 147.7477 326.08213 908.7607 557.229
 Public long-term securities66 948.36868 803.46771 595.87671 209.56574 971.172
 Other long-term loans represented by securities104 641.909105 857.252106 200.751106 079.977106 052.770
 Corporate shares and other equity1 453.9981 441.7231 509.9111 717.0031 800.623
 Other transferable securities1 529.4151 516.3491 474.8831 409.0091 334.811
Hide subtree Fixed assets32 403.80932 452.21032 474.36032 911.41732 935.187
Hide subtree Financial fixed assetsInformation on item26 089.19126 095.19026 101.10926 441.95726 435.406
 Participations in affiliated enterprises19 701.13019 701.58919 724.54720 080.43020 087.664
 Participations in other enterprises linked by a participating interest2 885.2622 885.2842 884.7352 885.5052 885.505
Hide subtree Other financial fixed assets3 502.0863 507.6043 491.1143 475.2003 461.414
 Shares548.388571.539567.298562.377563.662
 Subordonated claims on affiliated enterprises and enterprises linked by a participating interest2 805.6052 787.7662 773.1922 761.7882 746.816
 Other120.884121.091121.308121.736121.638
 Tangible fixed assets5 236.2165 265.7015 277.7525 356.7705 382.608
 Formation costs and intangible fixed assets1 078.4041 091.3211 095.4991 112.6861 117.172
 Own shares0.0000.0000.0000.0000.000
 Unrecoverable and doubtful claims3 390.1293 357.8853 438.9553 394.6813 415.740
 Other assets45 290.31645 508.62047 866.50445 561.09443 094.258
Hide subtree Liabilities1 389 813.9801 403 346.1701 406 968.5081 404 502.0301 438 764.855
Hide subtree Interbank debts352 514.242354 000.041349 025.855340 347.018373 471.605
 At sight211 535.414207 957.950212 378.584202 304.306215 760.092
 Debts resulting from mobilizations43 602.56257 003.40343 823.52446 962.42164 097.246
 Other debts at fixed term or at notice97 376.26689 038.68792 823.74891 080.29593 614.267
Hide subtree Debts to clients739 910.560748 306.301753 687.011757 555.949759 326.011
Hide subtree Deposits731 012.090740 195.550742 740.302748 313.854749 313.349
  Sight deposits294 102.116297 418.303304 537.092304 464.112303 644.560
  At fixed term or at notice < 1 month20 771.82123 502.31722 650.59224 761.02123 110.471
  At fixed term or at notice >= 1 month and <= 1 year104 150.727107 477.999102 486.947100 635.089102 615.948
  At fixed term or at notice > 1 year24 466.81024 427.92524 351.30824 385.20924 150.404
  Special deposits15 961.67615 667.58915 792.16115 771.85515 842.548
  Regulated savings deposits270 866.599271 004.232272 237.520277 600.342279 247.631
  Linked with mortgage loans692.342697.187684.683696.226701.780
 Deposit guarantee scheme0.0000.0000.0000.0000.007
 Other creditors8 898.4698 110.74810 946.7099 242.09510 012.663
Hide subtree Debts represented by a security123 505.787125 677.734126 106.646128 667.496127 977.107
 Certificates of deposit and similar debts51 889.17451 924.61551 791.44654 776.31953 569.099
 Notes7 621.4168 050.9108 123.7258 189.6718 266.325
 Bonds63 995.19765 702.20966 191.47665 701.50566 141.684
 Write-downs,provisions,provident funds and defferred taxes5 804.8765 811.5925 731.5455 718.8265 720.757
 Other liabilities49 395.59748 986.78750 973.65751 157.74849 858.996
 Subordinated debts35 429.11536 727.69237 006.35439 155.63239 854.296
Hide subtree Own ressourcesInformation on item83 253.80183 836.02584 437.44381 899.35682 556.080
Hide subtree  Capital35 544.03735 628.54435 639.86135 646.64535 663.302
 Subscribed capital35 544.03735 628.54435 639.86135 646.64535 663.302
 Uncalled capital0.0000.0000.0000.0000.000
  Issue premiums4 756.9044 756.9054 756.9044 756.9044 756.905
  Revaluation surpluses42.23144.95842.97636.48634.591
Hide subtree  Reserves16 655.32416 554.06316 554.07917 437.12317 440.410
 Statutory reserve2 995.8852 995.8852 995.8853 098.9933 099.376
 Unavailable reserves72.19472.19472.19472.24472.194
 Tax-exempt reserves297.901297.466295.449299.813299.799
 Available reserves13 289.34413 188.51813 190.55113 966.07413 969.042
  Profit brought forward (+) or loss brought forward (-)18 254.81818 255.75718 253.81421 542.83225 057.777
  Profit on the year (+) or loss on the year (-)8 000.4868 595.8009 189.8112 479.366-396.907
Data extracted on 29 Mar 2025 14:10 UTC (GMT) from NBB.Stat

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