Institution type
Currency
FrequencyMonthly
Time2024M122025M12025M22025M32025M4
Item
Hide subtree Assets1 404 440.4241 438 764.3051 463 995.9151 443 666.6601 466 906.986
Hide subtree Liquid ressources and interbank claims481 113.000513 914.000529 353.000513 251.000520 166.000
 Cash, balances with central banks and postal cheque offices95 731.79197 432.12497 502.60674 928.56194 034.790
Hide subtree Claims on credit institutions385 381.029416 482.004431 850.387438 322.559426 131.644
  At sight184 238.680204 346.431221 936.180241 045.082223 878.191
  Other claims201 142.349212 135.570209 914.209197 277.479202 253.453
Hide subtree Claims on clients630 913.659636 340.627644 188.960628 585.135633 970.257
Hide subtree Claims initially granted by the institution624 291.726629 277.926635 788.180621 808.463626 434.612
  Trade bills492.416391.761349.192359.334336.148
  Own acceptances1 055.7901 142.1861 065.8891 172.980830.026
  Leasing claims and similar claims3 907.5143 909.1023 969.4334 014.0504 025.683
  Non mortgage loans with a flat charging rate16 888.74016 931.10216 696.30216 632.55618 069.778
  Mortgage loans260 440.886262 040.530262 806.224259 126.235259 636.383
  Fixed-term loans316 692.231319 740.574325 534.251315 928.759317 246.058
  Current account advances15 323.94617 316.01117 631.96615 737.07317 732.731
  Other credits9 490.2007 806.6617 734.9168 837.4788 557.806
 Other debtors6 621.9337 062.6998 400.7836 776.6707 535.644
Hide subtree Transferable securities and other negotiable instrumentsInformation on item210 666.815209 064.917210 744.845225 416.981235 381.193
Hide subtree Government short term securities16 413.20117 348.31617 689.77518 554.22519 096.306
  Eligible for refinancing at central banks15 135.48715 437.15915 710.26115 936.22816 432.972
  Other1 277.7141 911.1571 979.5142 617.9972 663.334
 Other short-term negotiable instruments13 908.7607 557.2297 026.0796 814.11912 813.904
 Public long-term securities71 289.53074 971.17276 666.83878 441.27479 869.083
 Other long-term loans represented by securities105 929.312106 052.770106 272.922118 559.779120 666.408
 Corporate shares and other equity1 717.0031 800.6231 816.1681 741.7121 648.492
 Other transferable securities1 409.0101 334.8111 273.0661 305.8721 287.000
Hide subtree Fixed assets32 911.39032 935.18732 925.72231 610.74931 644.873
Hide subtree Financial fixed assetsInformation on item26 441.95726 435.40626 419.48124 916.78024 934.641
 Participations in affiliated enterprises20 080.43020 087.66420 089.53920 072.03920 092.542
 Participations in other enterprises linked by a participating interest2 885.5052 885.5052 885.5052 758.9072 755.973
Hide subtree Other financial fixed assets3 475.2003 461.4143 443.6142 085.0132 085.304
 Shares562.377563.662557.458466.248467.843
 Subordonated claims on affiliated enterprises and enterprises linked by a participating interest2 761.7882 746.8162 735.2781 468.0231 466.976
 Other121.736121.638121.580121.541121.283
 Tangible fixed assets5 356.7485 382.6085 384.9285 567.4695 576.991
 Formation costs and intangible fixed assets1 112.6821 117.1721 121.3151 126.4961 133.244
 Own shares0.0000.0000.0000.0000.000
 Unrecoverable and doubtful claims3 404.5733 415.7403 538.4803 485.6693 479.758
 Other assets45 431.16843 093.70843 244.91441 317.00442 264.475
Hide subtree Liabilities1 404 440.4241 438 764.3051 463 995.9151 443 666.6601 466 906.986
Hide subtree Interbank debts340 283.959373 471.605380 227.756370 044.423391 299.912
 At sight202 204.035215 760.092229 738.644228 571.469225 865.617
 Debts resulting from mobilizations46 982.42164 097.24663 531.10054 528.53769 406.826
 Other debts at fixed term or at notice91 097.50693 614.26786 958.01186 944.41596 027.468
Hide subtree Debts to clients757 870.199759 326.011773 790.606769 888.237772 078.843
Hide subtree Deposits748 400.248749 313.349757 359.015759 406.082762 420.252
  Sight deposits303 907.154303 644.560310 128.839316 954.217317 953.565
  At fixed term or at notice < 1 month24 765.78623 110.47128 750.21422 268.35529 211.810
  At fixed term or at notice >= 1 month and <= 1 year100 636.449102 615.94897 250.24994 933.99089 024.527
  At fixed term or at notice > 1 year24 385.20924 150.40423 642.03823 498.94723 441.936
  Special deposits15 771.85515 842.54815 731.83616 497.34416 185.159
  Regulated savings deposits278 237.569279 247.631281 154.421284 548.150285 896.055
  Linked with mortgage loans696.226701.780701.401705.059707.174
 Deposit guarantee scheme0.0000.0070.0140.0210.028
 Other creditors9 469.95110 012.66316 431.59010 482.1529 658.589
Hide subtree Debts represented by a security128 667.496127 977.107129 778.173124 226.310125 256.302
 Certificates of deposit and similar debts54 776.31953 569.09955 869.09950 631.87551 737.668
 Notes8 189.6718 266.3258 345.1618 481.3188 556.673
 Bonds65 701.50566 141.68465 563.91465 113.11764 961.961
 Write-downs,provisions,provident funds and defferred taxes5 714.2025 720.7575 696.0875 681.1565 633.178
 Other liabilities51 697.04049 858.85951 889.27051 597.52650 952.351
 Subordinated debts39 155.63239 854.29639 756.48339 317.42238 479.809
Hide subtree Own ressourcesInformation on item81 051.88782 555.66782 857.53782 911.58683 206.593
Hide subtree  Capital35 646.62735 663.30235 684.37235 681.15135 791.839
 Subscribed capital35 646.62735 663.30235 684.37235 681.15135 791.839
 Uncalled capital0.0000.0000.0000.0000.000
  Issue premiums4 756.9044 756.9054 756.9054 756.9054 756.905
  Revaluation surpluses36.48634.59133.3644.8654.865
Hide subtree  Reserves17 466.25017 440.41017 440.46617 444.88517 455.217
 Statutory reserve3 100.7173 099.3763 099.4473 099.3073 099.307
 Unavailable reserves72.19472.19472.19472.19472.194
 Tax-exempt reserves299.813299.799299.784299.771299.757
 Available reserves13 993.52713 969.04213 969.04213 973.61313 983.959
  Profit brought forward (+) or loss brought forward (-)22 817.08425 057.36424 833.26424 071.92923 171.463
  Profit on the year (+) or loss on the year (-)328.535-396.907109.167951.8502 026.305
Data extracted on 27 Jun 2025 18:20 UTC (GMT) from NBB.Stat

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