Table | Name | Excel | |
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1.1 | Principal banking system indices | ![]() |
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1.2 | Banking system structure | ![]() |
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1.3 | Balance sheet | ![]() |
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1.4 | Transactions in off-balance-sheet financial instruments (credit risk) | ![]() |
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1.5 | Distribution of the balance of derivative instruments | ![]() |
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1.6 | Distribution of outstanding credit to the public by principal industries | ![]() |
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1.7 | Credit quality indices, by principle industry | ![]() |
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1.8 | Indices of credit portfolio quality | ![]() |
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1.9 | Exposure to foreign countries | ![]() |
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1.10 | Current credit exposure to foreign financial institutions | ![]() |
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1.11 | Exposure to changes in interest rates | ![]() |
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1.12 | Exposure to changes in the CPI and the exchange rate | ![]() |
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1.13 | Selected liquidity indices | ![]() |
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1.14 | The supervisory model ratio, stress scenario, and selected liquidity concentration indices | ![]() |
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1.15 | Distribution of capital and capital ratios | ![]() |
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1.16 | Main items in consolidated profit and loss statements | ![]() |
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1.17 | Fees and other income, and operating expenses | ![]() |
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1.18 | Salaries and related expenses | ![]() |
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1.19 | Average cost and efficiency ratio | ![]() |
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1.20 | Performance indices by activity segments | ![]() |
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A.1.1 | Principal housing loan market indicators, entire banking system | ![]() |
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A.1.2 | Indices of concentration of the portfolio of credit to the public | ![]() |
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A.1.3 | Distribution of outstanding credit to the public by borrower size | ![]() |
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A.1.4 | Securities portfolio | ![]() |
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A.1.5 | Risk Adjusted Return on Capital; the variance-covariance approach | ![]() |
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