Vyberte statistický ukazatel pro zobrazení hodnot a grafu vývoje nebo se podívejte na
Název ukazatele. Údaje ke dni 30.11.2017 |
Hodnota |
Předchozí |
Změna |
Před rokem |
Změna |
IND1 Total assets, residents
|
6 605 974.50 |
6 536 763.50 |
1.06% |
5 418 210.00 |
21.92% |
IND2 Cash, residents
|
40 810.30 |
37 097.00 |
10.01% |
36 533.10 |
11.71% |
IND3 Granted loans and placed deposits, residents
|
5 365 134.00 |
5 313 249.70 |
0.98% |
4 127 854.30 |
29.97% |
IND4 Deposit with and loans to central banks, residents
|
2 407 119.50 |
2 364 957.10 |
1.78% |
1 362 634.10 |
76.65% |
IND5 Deposit with and loans to other credit institutions, residents
|
140 346.00 |
123 540.30 |
13.60% |
93 279.20 |
50.46% |
IND6 Loans to and other receivables from clients total, residents
|
2 817 668.50 |
2 824 752.40 |
-0.25% |
2 671 941.10 |
5.45% |
IND7 Non-marketable debt securities held by bank, residents
|
31 538.20 |
30 703.40 |
2.72% |
24 631.80 |
28.04% |
IND8 Other debt securities held by bank, residents
|
827 553.30 |
820 299.50 |
0.88% |
898 563.20 |
-7.90% |
IND9 Money market fund units and shares, residents
|
0.00 |
0.00 |
- |
0.00 |
- |
IND10 Other shares and other equity held by bank, residents
|
98 819.40 |
99 300.60 |
-0.48% |
91 892.70 |
7.54% |
IND11 Fixed assets, residents
|
125 862.30 |
125 713.50 |
0.12% |
124 961.70 |
0.72% |
IND12 Other on-balance sheet assets, residents
|
116 257.00 |
110 399.80 |
5.31% |
113 773.10 |
2.18% |
IND13 of which: Positive fair value of derivatives, residents
|
37 570.00 |
36 561.90 |
2.76% |
43 499.10 |
-13.63% |
Název ukazatele. Údaje ke dni 30.11.2017 |
Hodnota |
Předchozí |
Změna |
Před rokem |
Změna |
IND1 Total assets, non-residents
|
744 817.90 |
738 514.20 |
0.85% |
772 911.90 |
-3.63% |
IND2 Cash, non-residents
|
7 918.20 |
8 023.60 |
-1.31% |
8 512.70 |
-6.98% |
IND3 Granted loans and placed deposits, non-residents
|
546 401.40 |
539 964.50 |
1.19% |
557 448.00 |
-1.98% |
IND4 Deposit with and loans to central banks, non-residents
|
421.20 |
548.40 |
-23.19% |
442.70 |
-4.86% |
IND5 Deposit with and loans to other credit institutions, non-residents
|
249 389.20 |
236 339.50 |
5.52% |
237 280.60 |
5.10% |
IND6 Loans to and other receivables from clients total, non-residents
|
296 591.00 |
303 076.70 |
-2.14% |
319 724.80 |
-7.24% |
IND7 Non-marketable debt securities held by bank, non-residents
|
4 318.00 |
4 335.40 |
-0.40% |
3 808.30 |
13.38% |
IND8 Other debt securities held by bank, non-residents
|
96 978.50 |
99 376.40 |
-2.41% |
110 927.30 |
-12.57% |
IND9 Money market fund units and shares, non-residents
|
0.00 |
0.00 |
- |
0.00 |
- |
IND10 Other shares and other equity held by bank, non-residents
|
17 602.10 |
17 614.70 |
-0.07% |
18 580.00 |
-5.26% |
IND11 Fixed assets, non-residents
|
1.20 |
0.60 |
100.00% |
0.00 |
- |
IND12 Other on-balance sheet assets, non-residents
|
71 598.40 |
69 198.90 |
3.47% |
73 635.60 |
-2.77% |
IND13 of which: Positive fair value of derivatives, non-residents
|
60 149.30 |
58 592.10 |
2.66% |
60 960.50 |
-1.33% |
Název ukazatele. Údaje ke dni 30.11.2017 |
Hodnota |
Předchozí |
Změna |
Před rokem |
Změna |
IND1 Total assets, all foreign currencies
|
1 083 116.70 |
1 093 197.90 |
-0.92% |
1 047 850.80 |
3.37% |
IND2 Cash (in hand), all foreign currencies
|
7 918.20 |
8 023.60 |
-1.31% |
8 512.70 |
-6.98% |
IND3 Granted loans and placed deposits, all foreign currencies
|
846 064.60 |
855 591.80 |
-1.11% |
805 202.70 |
5.07% |
IND4 Deposit with and loans to central banks, all foreign currencies
|
421.20 |
548.40 |
-23.19% |
442.70 |
-4.86% |
IND5 Deposit with and loans to other credit institutions, all foreign currencies
|
244 479.80 |
227 263.50 |
7.58% |
214 574.70 |
13.94% |
IND6 Loans to and other receivables from clients total, all foreign currencies
|
601 163.60 |
627 779.90 |
-4.24% |
590 185.30 |
1.86% |
IND7 Non-marketable debt securities held by bank, all foreign currencies
|
16 655.80 |
16 341.00 |
1.93% |
9 486.60 |
75.57% |
IND8 Other debt securities held by bank, all foreign currencies
|
141 644.30 |
145 979.00 |
-2.97% |
158 734.70 |
-10.77% |
IND9 Money market fund units and shares, all foreign currencies
|
0.00 |
0.00 |
- |
0.00 |
- |
IND10 Other shares and other equity held by bank, all foreign currencies
|
20 681.90 |
20 784.20 |
-0.49% |
21 442.50 |
-3.55% |
IND11 Fixed assets, all foreign currencies
|
72.30 |
73.70 |
-1.90% |
49.30 |
46.65% |
IND12 Other on-balance sheet assets, all foreign currencies
|
50 079.70 |
46 404.70 |
7.92% |
44 422.30 |
12.74% |
IND13 of which: Positive fair value of derivatives, all foreign currencies
|
17 031.60 |
17 465.10 |
-2.48% |
20 879.70 |
-18.43% |
Název ukazatele. Údaje ke dni 31.10.2018 |
Hodnota |
Předchozí |
Změna |
Před rokem |
Změna |
IND1 Total assets, residents
|
6 903 853.30 |
6 863 066.30 |
0.59% |
6 536 763.50 |
5.62% |
IND2 Cash, residents
|
38 956.80 |
37 896.90 |
2.80% |
37 097.00 |
5.01% |
IND3 Granted loans and placed deposits, residents
|
5 615 409.00 |
5 582 394.90 |
0.59% |
5 313 249.70 |
5.69% |
IND4 Deposit with and loans to central banks, residents
|
2 466 317.50 |
2 452 903.60 |
0.55% |
2 364 957.10 |
4.29% |
IND5 Deposit with and loans to other credit institutions, residents
|
119 162.00 |
114 145.40 |
4.39% |
123 540.30 |
-3.54% |
IND6 Loans to and other receivables from clients total, residents
|
3 029 929.50 |
3 015 346.00 |
0.48% |
2 824 752.40 |
7.26% |
IND7 Non-marketable debt securities held by bank, residents
|
36 298.90 |
33 768.10 |
7.49% |
30 703.40 |
18.22% |
IND8 Other debt securities held by bank, residents
|
852 055.60 |
857 097.00 |
-0.59% |
820 299.50 |
3.87% |
IND9 Money market fund units and shares, residents
|
0.00 |
0.00 |
- |
0.00 |
- |
IND10 Other shares and other equity held by bank, residents
|
98 485.30 |
98 463.70 |
0.02% |
99 300.60 |
-0.82% |
IND11 Fixed assets, residents
|
133 832.70 |
133 118.10 |
0.54% |
125 713.50 |
6.46% |
IND12 Other on-balance sheet assets, residents
|
128 815.10 |
120 327.70 |
7.05% |
110 399.80 |
16.68% |
IND13 of which: Positive fair value of derivatives, residents
|
61 139.00 |
49 444.40 |
23.65% |
36 561.90 |
67.22% |
Název ukazatele. Údaje ke dni 31.10.2018 |
Hodnota |
Předchozí |
Změna |
Před rokem |
Změna |
IND1 Total assets, non-residents
|
774 517.30 |
766 667.40 |
1.02% |
738 514.20 |
4.88% |
IND2 Cash, non-residents
|
9 461.90 |
8 478.40 |
11.60% |
8 023.60 |
17.93% |
IND3 Granted loans and placed deposits, non-residents
|
580 804.50 |
576 750.50 |
0.70% |
539 964.50 |
7.56% |
IND4 Deposit with and loans to central banks, non-residents
|
1 136.20 |
1 558.10 |
-27.08% |
548.40 |
107.18% |
IND5 Deposit with and loans to other credit institutions, non-residents
|
265 339.50 |
262 765.60 |
0.98% |
236 339.50 |
12.27% |
IND6 Loans to and other receivables from clients total, non-residents
|
314 328.80 |
312 426.80 |
0.61% |
303 076.70 |
3.71% |
IND7 Non-marketable debt securities held by bank, non-residents
|
1 612.20 |
1 614.20 |
-0.12% |
4 335.40 |
-62.81% |
IND8 Other debt securities held by bank, non-residents
|
85 329.30 |
86 421.60 |
-1.26% |
99 376.40 |
-14.14% |
IND9 Money market fund units and shares, non-residents
|
0.00 |
0.00 |
- |
0.00 |
- |
IND10 Other shares and other equity held by bank, non-residents
|
20 456.70 |
21 410.80 |
-4.46% |
17 614.70 |
16.13% |
IND11 Fixed assets, non-residents
|
0.00 |
0.00 |
- |
0.60 |
- |
IND12 Other on-balance sheet assets, non-residents
|
76 852.80 |
71 991.90 |
6.75% |
69 198.90 |
11.06% |
IND13 of which: Positive fair value of derivatives, non-residents
|
67 399.10 |
62 572.90 |
7.71% |
58 592.10 |
15.03% |
Název ukazatele. Údaje ke dni 31.10.2018 |
Hodnota |
Předchozí |
Změna |
Před rokem |
Změna |
IND1 Total assets, all foreign currencies
|
1 148 020.00 |
1 143 285.70 |
0.41% |
1 093 197.90 |
5.01% |
IND2 Cash (in hand), all foreign currencies
|
9 461.90 |
8 478.40 |
11.60% |
8 023.60 |
17.93% |
IND3 Granted loans and placed deposits, all foreign currencies
|
922 145.30 |
920 528.20 |
0.18% |
855 591.80 |
7.78% |
IND4 Deposit with and loans to central banks, all foreign currencies
|
1 136.20 |
1 558.10 |
-27.08% |
548.40 |
107.18% |
IND5 Deposit with and loans to other credit institutions, all foreign currencies
|
237 049.50 |
234 594.70 |
1.05% |
227 263.50 |
4.31% |
IND6 Loans to and other receivables from clients total, all foreign currencies
|
683 959.70 |
684 375.30 |
-0.06% |
627 779.90 |
8.95% |
IND7 Non-marketable debt securities held by bank, all foreign currencies
|
19 140.20 |
16 992.20 |
12.64% |
16 341.00 |
17.13% |
IND8 Other debt securities held by bank, all foreign currencies
|
127 596.80 |
130 181.40 |
-1.99% |
145 979.00 |
-12.59% |
IND9 Money market fund units and shares, all foreign currencies
|
0.00 |
0.00 |
- |
0.00 |
- |
IND10 Other shares and other equity held by bank, all foreign currencies
|
22 186.20 |
23 149.70 |
-4.16% |
20 784.20 |
6.75% |
IND11 Fixed assets, all foreign currencies
|
24.70 |
21.00 |
17.62% |
73.70 |
-66.49% |
IND12 Other on-balance sheet assets, all foreign currencies
|
47 464.80 |
43 934.80 |
8.03% |
46 404.70 |
2.28% |
IND13 of which: Positive fair value of derivatives, all foreign currencies
|
19 022.50 |
16 547.50 |
14.96% |
17 465.10 |
8.92% |
Název ukazatele. Údaje ke dni 31.07.2020 |
Hodnota |
Předchozí |
Změna |
Před rokem |
Změna |
IND1 Total assets, residents
|
7 840 239.00 |
7 599 232.20 |
3.17% |
7 297 318.10 |
7.44% |
IND2 Cash, residents
|
35 390.00 |
38 190.00 |
-7.33% |
36 377.20 |
-2.71% |
IND3 Granted loans and placed deposits, residents
|
6 130 129.30 |
5 874 072.80 |
4.36% |
5 971 855.50 |
2.65% |
IND4 Deposit with and loans to central banks, residents
|
2 814 555.80 |
2 557 337.10 |
10.06% |
2 765 838.90 |
1.76% |
IND5 Deposit with and loans to other credit institutions, residents
|
79 086.30 |
80 091.80 |
-1.26% |
102 456.80 |
-22.81% |
IND6 Loans to and other receivables from clients total, residents
|
3 236 487.10 |
3 236 644.00 |
-0.00% |
3 103 559.80 |
4.28% |
IND7 Non-marketable debt securities held by bank, residents
|
47 109.20 |
47 435.30 |
-0.69% |
33 600.90 |
40.20% |
IND8 Other debt securities held by bank, residents
|
1 175 620.50 |
1 169 380.00 |
0.53% |
869 848.80 |
35.15% |
IND9 Shares and other equity held by bank, residents
|
118 469.90 |
119 384.10 |
-0.77% |
107 781.10 |
9.92% |
IND10 Fixed assets, residents
|
168 224.90 |
168 216.50 |
0.00% |
158 924.00 |
5.85% |
IND11 Other on-balance sheet assets, residents
|
165 295.40 |
182 553.30 |
-9.45% |
118 930.70 |
38.98% |
IND12 of which: Positive fair value of derivatives, residents
|
75 246.00 |
89 364.00 |
-15.80% |
43 504.10 |
72.96% |
Assets, main items, CZK
|
Total assets, CZK (299 hodnot, 30.11.2017)
|
Cash, CZK (299 hodnot, 30.11.2017)
|
Granted loans and placed deposits, CZK (191 hodnota, 30.11.2017)
|
Deposit with and loans to central banks, CZK (299 hodnot, 30.11.2017)
|
Deposit with and loans to other credit institutions, CZK (191 hodnota, 30.11.2017)
|
Loans to and other receivables from clients total, CZK (191 hodnota, 30.11.2017)
|
Non-marketable debt securities held by bank, CZK (299 hodnot, 30.11.2017)
|
Other debt securities held by bank, CZK (191 hodnota, 30.11.2017)
|
Money market fund units and shares, CZK (176 hodnot, 30.11.2017)
|
Other shares and other equity held by bank, CZK (191 hodnota, 30.11.2017)
|
Fixed assets, CZK (191 hodnota, 30.11.2017)
|
Other on-balance sheet assets, CZK (191 hodnota, 30.11.2017)
|
of which: Positive fair value of derivatives, CZK (299 hodnot, 30.11.2017)
|
Assets, main items, EUR
|
Total assets, EUR (191 hodnota, 30.11.2017)
|
Cash (in hand), EUR (191 hodnota, 30.11.2017)
|
Granted loans and placed deposits, EUR (191 hodnota, 30.11.2017)
|
Deposit with and loans to central banks, EUR (185 hodnot, 30.11.2017)
|
Deposit with and loans to other credit institutions, EUR (191 hodnota, 30.11.2017)
|
Loans to and other receivables from clients total, EUR (191 hodnota, 30.11.2017)
|
Non-marketable debt securities held by bank, EUR (191 hodnota, 30.11.2017)
|
Other debt securities held by bank, EUR (191 hodnota, 30.11.2017)
|
Money market fund units and shares, EUR (169 hodnot, 30.11.2017)
|
Other shares and other equity held by bank, EUR (191 hodnota, 30.11.2017)
|
Fixed assets, EUR (181 hodnota, 30.11.2017)
|
Other on-balance sheet assets, EUR (191 hodnota, 30.11.2017)
|
of which: Positive fair value of derivatives, EUR (191 hodnota, 30.11.2017)
|
Assets, main items, all foreign currencies
|
Total assets, all foreign currencies (299 hodnot, 30.11.2017)
|
Cash (in hand), all foreign currencies (299 hodnot, 30.11.2017)
|
Granted loans and placed deposits, all foreign currencies (191 hodnota, 30.11.2017)
|
Deposit with and loans to central banks, all foreign currencies (239 hodnot, 30.11.2017)
|
Deposit with and loans to other credit institutions, all foreign currencies (191 hodnota, 30.11.2017)
|
Loans to and other receivables from clients total, all foreign currencies (191 hodnota, 30.11.2017)
|
Non-marketable debt securities held by bank, all foreign currencies (299 hodnot, 30.11.2017)
|
Other debt securities held by bank, all foreign currencies (191 hodnota, 30.11.2017)
|
Money market fund units and shares, all foreign currencies (170 hodnot, 30.11.2017)
|
Other shares and other equity held by bank, all foreign currencies (191 hodnota, 30.11.2017)
|
Fixed assets, all foreign currencies (189 hodnot, 30.11.2017)
|
Other on-balance sheet assets, all foreign currencies (191 hodnota, 30.11.2017)
|
of which: Positive fair value of derivatives, all foreign currencies (299 hodnot, 30.11.2017)
|
Assets, main items, residents
|
Total assets, residents (299 hodnot, 30.11.2017)
|
Cash, residents (299 hodnot, 30.11.2017)
|
Granted loans and placed deposits, residents (191 hodnota, 30.11.2017)
|
Deposit with and loans to central banks, residents (299 hodnot, 30.11.2017)
|
Deposit with and loans to other credit institutions, residents (191 hodnota, 30.11.2017)
|
Loans to and other receivables from clients total, residents (191 hodnota, 30.11.2017)
|
Non-marketable debt securities held by bank, residents (299 hodnot, 30.11.2017)
|
Other debt securities held by bank, residents (191 hodnota, 30.11.2017)
|
Money market fund units and shares, residents (173 hodnoty, 30.11.2017)
|
Other shares and other equity held by bank, residents (191 hodnota, 30.11.2017)
|
Fixed assets, residents (191 hodnota, 30.11.2017)
|
Other on-balance sheet assets, residents (191 hodnota, 30.11.2017)
|
of which: Positive fair value of derivatives, residents (299 hodnot, 30.11.2017)
|
Assets, main items, non-residents
|
Total assets, non-residents (299 hodnot, 30.11.2017)
|
Cash, non-residents (299 hodnot, 30.11.2017)
|
Granted loans and placed deposits, non-residents (191 hodnota, 30.11.2017)
|
Deposit with and loans to central banks, non-residents (221 hodnota, 30.11.2017)
|
Deposit with and loans to other credit institutions, non-residents (191 hodnota, 30.11.2017)
|
Loans to and other receivables from clients total, non-residents (191 hodnota, 30.11.2017)
|
Non-marketable debt securities held by bank, non-residents (299 hodnot, 30.11.2017)
|
Other debt securities held by bank, non-residents (191 hodnota, 30.11.2017)
|
Money market fund units and shares, non-residents (174 hodnoty, 30.11.2017)
|
Other shares and other equity held by bank, non-residents (191 hodnota, 30.11.2017)
|
Fixed assets, non-residents (98 hodnot, 30.11.2017)
|
Other on-balance sheet assets, non-residents (191 hodnota, 30.11.2017)
|
of which: Positive fair value of derivatives, non-residents (298 hodnot, 30.11.2017)
|
Assets, main items, total
|
Total assets (299 hodnot, 30.11.2017)
|
Cash (299 hodnot, 30.11.2017)
|
Granted loans and placed deposits (191 hodnota, 30.11.2017)
|
Deposit with and loans to central banks (299 hodnot, 30.11.2017)
|
Deposit with and loans to other credit institutions (191 hodnota, 30.11.2017)
|
Loans to and other receivables from clients total (191 hodnota, 30.11.2017)
|
Non-marketable debt securities held by bank (299 hodnot, 30.11.2017)
|
Other debt securities held by bank (191 hodnota, 30.11.2017)
|
Money market fund units and shares (176 hodnot, 30.11.2017)
|
Other shares and other equity held by bank (191 hodnota, 30.11.2017)
|
Fixed assets (191 hodnota, 30.11.2017)
|
Other on-balance sheet assets (191 hodnota, 30.11.2017)
|
of which: Positive fair value of derivatives (299 hodnot, 30.11.2017)
|
Assets, main items, total
|
Total assets (310 hodnot, 31.10.2018)
|
Cash (310 hodnot, 31.10.2018)
|
Granted loans and placed deposits (202 hodnoty, 31.10.2018)
|
Deposit with and loans to central banks (310 hodnot, 31.10.2018)
|
Deposit with and loans to other credit institutions (202 hodnoty, 31.10.2018)
|
Loans to and other receivables from clients total (202 hodnoty, 31.10.2018)
|
Non-marketable debt securities held by bank (310 hodnot, 31.10.2018)
|
Other debt securities held by bank (202 hodnoty, 31.10.2018)
|
Money market fund units and shares (187 hodnot, 31.10.2018)
|
Other shares and other equity held by bank (202 hodnoty, 31.10.2018)
|
Fixed assets (202 hodnoty, 31.10.2018)
|
Other on-balance sheet assets (202 hodnoty, 31.10.2018)
|
of which: Positive fair value of derivatives (310 hodnot, 31.10.2018)
|
Assets, main items, residents
|
Total assets, residents (310 hodnot, 31.10.2018)
|
Cash, residents (310 hodnot, 31.10.2018)
|
Granted loans and placed deposits, residents (202 hodnoty, 31.10.2018)
|
Deposit with and loans to central banks, residents (310 hodnot, 31.10.2018)
|
Deposit with and loans to other credit institutions, residents (202 hodnoty, 31.10.2018)
|
Loans to and other receivables from clients total, residents (202 hodnoty, 31.10.2018)
|
Non-marketable debt securities held by bank, residents (310 hodnot, 31.10.2018)
|
Other debt securities held by bank, residents (202 hodnoty, 31.10.2018)
|
Money market fund units and shares, residents (184 hodnoty, 31.10.2018)
|
Other shares and other equity held by bank, residents (202 hodnoty, 31.10.2018)
|
Fixed assets, residents (202 hodnoty, 31.10.2018)
|
Other on-balance sheet assets, residents (202 hodnoty, 31.10.2018)
|
of which: Positive fair value of derivatives, residents (310 hodnot, 31.10.2018)
|
Assets, main items, non-residents
|
Total assets, non-residents (310 hodnot, 31.10.2018)
|
Cash, non-residents (310 hodnot, 31.10.2018)
|
Granted loans and placed deposits, non-residents (202 hodnoty, 31.10.2018)
|
Deposit with and loans to central banks, non-residents (232 hodnoty, 31.10.2018)
|
Deposit with and loans to other credit institutions, non-residents (202 hodnoty, 31.10.2018)
|
Loans to and other receivables from clients total, non-residents (202 hodnoty, 31.10.2018)
|
Non-marketable debt securities held by bank, non-residents (310 hodnot, 31.10.2018)
|
Other debt securities held by bank, non-residents (202 hodnoty, 31.10.2018)
|
Money market fund units and shares, non-residents (185 hodnot, 31.10.2018)
|
Other shares and other equity held by bank, non-residents (202 hodnoty, 31.10.2018)
|
Fixed assets, non-residents (109 hodnot, 31.10.2018)
|
Other on-balance sheet assets, non-residents (202 hodnoty, 31.10.2018)
|
of which: Positive fair value of derivatives, non-residents (309 hodnot, 31.10.2018)
|
Assets, main items, all foreign currencies
|
Total assets, all foreign currencies (310 hodnot, 31.10.2018)
|
Cash (in hand), all foreign currencies (310 hodnot, 31.10.2018)
|
Granted loans and placed deposits, all foreign currencies (202 hodnoty, 31.10.2018)
|
Deposit with and loans to central banks, all foreign currencies (250 hodnot, 31.10.2018)
|
Deposit with and loans to other credit institutions, all foreign currencies (202 hodnoty, 31.10.2018)
|
Loans to and other receivables from clients total, all foreign currencies (202 hodnoty, 31.10.2018)
|
Non-marketable debt securities held by bank, all foreign currencies (310 hodnot, 31.10.2018)
|
Other debt securities held by bank, all foreign currencies (202 hodnoty, 31.10.2018)
|
Money market fund units and shares, all foreign currencies (181 hodnota, 31.10.2018)
|
Other shares and other equity held by bank, all foreign currencies (202 hodnoty, 31.10.2018)
|
Fixed assets, all foreign currencies (200 hodnot, 31.10.2018)
|
Other on-balance sheet assets, all foreign currencies (202 hodnoty, 31.10.2018)
|
of which: Positive fair value of derivatives, all foreign currencies (310 hodnot, 31.10.2018)
|
Assets, main items, CZK
|
Total assets, CZK (310 hodnot, 31.10.2018)
|
Cash, CZK (310 hodnot, 31.10.2018)
|
Granted loans and placed deposits, CZK (202 hodnoty, 31.10.2018)
|
Deposit with and loans to central banks, CZK (310 hodnot, 31.10.2018)
|
Deposit with and loans to other credit institutions, CZK (202 hodnoty, 31.10.2018)
|
Loans to and other receivables from clients total, CZK (202 hodnoty, 31.10.2018)
|
Non-marketable debt securities held by bank, CZK (310 hodnot, 31.10.2018)
|
Other debt securities held by bank, CZK (202 hodnoty, 31.10.2018)
|
Money market fund units and shares, CZK (187 hodnot, 31.10.2018)
|
Other shares and other equity held by bank, CZK (202 hodnoty, 31.10.2018)
|
Fixed assets, CZK (202 hodnoty, 31.10.2018)
|
Other on-balance sheet assets, CZK (202 hodnoty, 31.10.2018)
|
of which: Positive fair value of derivatives, CZK (310 hodnot, 31.10.2018)
|
Assets, main items, EUR
|
Total assets, EUR (202 hodnoty, 31.10.2018)
|
Cash (in hand), EUR (202 hodnoty, 31.10.2018)
|
Granted loans and placed deposits, EUR (202 hodnoty, 31.10.2018)
|
Deposit with and loans to central banks, EUR (196 hodnot, 31.10.2018)
|
Deposit with and loans to other credit institutions, EUR (202 hodnoty, 31.10.2018)
|
Loans to and other receivables from clients total, EUR (202 hodnoty, 31.10.2018)
|
Non-marketable debt securities held by bank, EUR (202 hodnoty, 31.10.2018)
|
Other debt securities held by bank, EUR (202 hodnoty, 31.10.2018)
|
Money market fund units and shares, EUR (180 hodnot, 31.10.2018)
|
Other shares and other equity held by bank, EUR (202 hodnoty, 31.10.2018)
|
Fixed assets, EUR (192 hodnoty, 31.10.2018)
|
Other on-balance sheet assets, EUR (202 hodnoty, 31.10.2018)
|
of which: Positive fair value of derivatives, EUR (202 hodnoty, 31.10.2018)
|
Assets, main items, total
|
Total assets (331 hodnota, 31.07.2020)
|
Cash (331 hodnota, 31.07.2020)
|
Granted loans and placed deposits (223 hodnoty, 31.07.2020)
|
Deposit with and loans to central banks (331 hodnota, 31.07.2020)
|
Deposit with and loans to other credit institutions (223 hodnoty, 31.07.2020)
|
Loans to and other receivables from clients total (223 hodnoty, 31.07.2020)
|
Non-marketable debt securities held by bank (331 hodnota, 31.07.2020)
|
Other debt securities held by bank (223 hodnoty, 31.07.2020)
|
Shares and other equity held by bank (223 hodnoty, 31.07.2020)
|
Fixed assets (223 hodnoty, 31.07.2020)
|
Other on-balance sheet assets (223 hodnoty, 31.07.2020)
|
of which: Positive fair value of derivatives (331 hodnota, 31.07.2020)
|
Assets, main items, non-residents
|
Total assets, non-residents (331 hodnota, 31.07.2020)
|
Cash, non-residents (331 hodnota, 31.07.2020)
|
Granted loans and placed deposits, non-residents (223 hodnoty, 31.07.2020)
|
Deposit with and loans to central banks, non-residents (253 hodnoty, 31.07.2020)
|
Deposit with and loans to other credit institutions, non-residents (223 hodnoty, 31.07.2020)
|
Loans to and other receivables from clients total, non-residents (223 hodnoty, 31.07.2020)
|
Non-marketable debt securities held by bank, non-residents (331 hodnota, 31.07.2020)
|
Other debt securities held by bank, non-residents (223 hodnoty, 31.07.2020)
|
Shares and other equity held by bank, non-residents (223 hodnoty, 31.07.2020)
|
Fixed assets, non-residents (130 hodnot, 31.07.2020)
|
Other on-balance sheet assets, non-residents (223 hodnoty, 31.07.2020)
|
of which: Positive fair value of derivatives, non-residents (330 hodnot, 31.07.2020)
|
Assets, main items, CZK
|
Total assets, CZK (331 hodnota, 31.07.2020)
|
Cash, CZK (331 hodnota, 31.07.2020)
|
Granted loans and placed deposits, CZK (223 hodnoty, 31.07.2020)
|
Deposit with and loans to central banks, CZK (331 hodnota, 31.07.2020)
|
Deposit with and loans to other credit institutions, CZK (223 hodnoty, 31.07.2020)
|
Loans to and other receivables from clients total, CZK (223 hodnoty, 31.07.2020)
|
Non-marketable debt securities held by bank, CZK (331 hodnota, 31.07.2020)
|
Other debt securities held by bank, CZK (223 hodnoty, 31.07.2020)
|
Shares and other equity held by bank, CZK (223 hodnoty, 31.07.2020)
|
Fixed assets, CZK (223 hodnoty, 31.07.2020)
|
Other on-balance sheet assets, CZK (223 hodnoty, 31.07.2020)
|
of which: Positive fair value of derivatives, CZK (331 hodnota, 31.07.2020)
|
Assets, main items, EUR
|
Total assets, EUR (223 hodnoty, 31.07.2020)
|
Cash (in hand), EUR (223 hodnoty, 31.07.2020)
|
Granted loans and placed deposits, EUR (223 hodnoty, 31.07.2020)
|
Deposit with and loans to central banks, EUR (217 hodnot, 31.07.2020)
|
Deposit with and loans to other credit institutions, EUR (223 hodnoty, 31.07.2020)
|
Loans to and other receivables from clients total, EUR (223 hodnoty, 31.07.2020)
|
Non-marketable debt securities held by bank, EUR (223 hodnoty, 31.07.2020)
|
Other debt securities held by bank, EUR (223 hodnoty, 31.07.2020)
|
Shares and other equity held by bank, EUR (223 hodnoty, 31.07.2020)
|
Fixed assets, EUR (213 hodnot, 31.07.2020)
|
Other on-balance sheet assets, EUR (223 hodnoty, 31.07.2020)
|
of which: Positive fair value of derivatives, EUR (223 hodnoty, 31.07.2020)
|
Assets, main items, residents
|
Total assets, residents (331 hodnota, 31.07.2020)
|
Cash, residents (331 hodnota, 31.07.2020)
|
Granted loans and placed deposits, residents (223 hodnoty, 31.07.2020)
|
Deposit with and loans to central banks, residents (331 hodnota, 31.07.2020)
|
Deposit with and loans to other credit institutions, residents (223 hodnoty, 31.07.2020)
|
Loans to and other receivables from clients total, residents (223 hodnoty, 31.07.2020)
|
Non-marketable debt securities held by bank, residents (331 hodnota, 31.07.2020)
|
Other debt securities held by bank, residents (223 hodnoty, 31.07.2020)
|
Shares and other equity held by bank, residents (223 hodnoty, 31.07.2020)
|
Fixed assets, residents (223 hodnoty, 31.07.2020)
|
Other on-balance sheet assets, residents (223 hodnoty, 31.07.2020)
|
of which: Positive fair value of derivatives, residents (331 hodnota, 31.07.2020)
|