金融机构人民币信贷收支表
单位:亿元 |
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项目 |
2001.01 |
2001.02 |
2001.03 |
2001.04 |
2001.05 |
2001.06 |
2001.07 |
2001.08 |
2001.09 |
2001.10 |
2001.11 |
2001.12 |
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资金来源总计 |
134440.50
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136535.83 |
138003.61 |
139314.34 |
140866.33 |
143207.55 |
144341.43 |
145403.11 |
147221.37 |
148072.68 |
149446.87 |
153539.78 |
各项存款 |
124987.67
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125502.38 |
128899.71 |
130930.13 |
130420.46 |
135189.54 |
133699.41 |
137138.40 |
139115.23 |
140065.90 |
140286.55 |
143617.17 |
企业存款 |
43488.62 |
43410.73 |
45147.08 |
45739.54 |
45093.41 |
47956.80 |
45869.33 |
47973.92 |
49027.68 |
48831.58 |
48855.92 |
51546.63 |
财政存款 |
4131.87 |
3749.11 |
3960.67 |
5012.39 |
4538.71 |
4502.18 |
4970.05 |
4873.39 |
4817.91 |
5393.22 |
4787.14 |
3369.75 |
机关团体存款 |
2005.35 |
2064.50 |
2127.87 |
2133.15 |
2160.13 |
2269.72 |
2321.64 |
2464.24 |
2476.50 |
2475.09 |
2622.07 |
2852.82 |
储蓄存款 |
66547.31 |
67343.36 |
68365.13 |
68618.46 |
68393.54 |
69628.58 |
69677.77 |
70558.48 |
71252.64 |
71818.81 |
72323.82 |
73762.43 |
活期储蓄 |
19259.28 |
19029.15 |
19711.22 |
19803.80 |
19494.20 |
20376.97 |
20180.14 |
20775.55 |
21235.88 |
21337.06 |
21436.78 |
22327.57 |
定期储蓄 |
47288.03 |
48314.21 |
48653.91 |
48814.66 |
48899.34 |
49251.61 |
49497.63 |
49782.93 |
50016.76 |
50481.75 |
50887.04 |
51434.86 |
农业存款 |
2360.11 |
2392.07 |
2534.37 |
2544.24 |
2608.04 |
2753.32 |
2698.00 |
2812.28 |
2905.67 |
2916.07 |
2945.16 |
3083.26 |
信托存款 |
2450.58 |
2399.38 |
2410.15 |
2387.81 |
2780.80 |
2793.46 |
2830.18 |
2804.84 |
2728.18 |
2722.96 |
2701.46 |
2689.75 |
其他存款 |
4003.83 |
4143.23 |
4354.44 |
4494.54 |
4845.83 |
5285.48 |
5332.44 |
5651.25 |
5906.65 |
5908.17 |
6050.98 |
6312.53 |
金融债券 |
28.41 |
29.90 |
28.48 |
28.16 |
28.50 |
24.87 |
24.63 |
24.50 |
24.73 |
24.63 |
16.33 |
51.38 |
流通中货币 |
17018.98 |
14910.39 |
14362.12 |
14622.99 |
13942.28 |
13943.44 |
14071.62 |
14370.13 |
15064.58 |
14484.61 |
14780.03 |
15688.80 |
其他 |
-7594.56 |
-3906.84 |
-5286.70 |
-6266.94 |
-3524.91 |
-5950.30 |
-3454.23 |
-6129.92 |
-6983.17 |
-6502.46 |
-5636.04 |
-5817.57 |
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资金运用总计 |
134440.50
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136535.83 |
138003.61 |
139314.34 |
140866.33 |
143207.55 |
144341.43 |
145403.11 |
147221.37 |
148072.68 |
149446.87 |
153539.78 |
各项贷款 |
100687.23
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101425.74 |
102470.64 |
103491.81 |
104714.59 |
106553.42 |
107094.17 |
107614.13 |
108973.24 |
108989.38 |
110090.33 |
112314.70 |
短期贷款 |
63386.93 |
63566.03 |
63816.97 |
64030.13 |
64394.18 |
65320.03 |
65316.34 |
65267.07 |
65675.00 |
65637.98 |
66126.99 |
67327.23 |
工业贷款 |
17790.60 |
17815.98 |
17744.67 |
17730.42 |
17752.17 |
18063.71 |
17954.32 |
17909.97 |
17944.80 |
18028.37 |
18196.17 |
18636.68 |
商业贷款 |
18515.15 |
18411.51 |
18275.65 |
18183.61 |
18105.94 |
18201.89 |
18162.34 |
18071.32 |
18065.24 |
18005.59 |
18218.37 |
18563.41 |
建筑业贷款 |
1780.35 |
1787.05 |
1812.11 |
1823.71 |
1943.90 |
1955.66 |
1927.11 |
1920.36 |
1944.16 |
1935.10 |
1960.03 |
2099.58 |
农业贷款 |
5009.99 |
5108.26 |
5296.79 |
5475.82 |
5594.72 |
5674.18 |
5734.02 |
5800.75 |
5865.05 |
5857.12 |
5817.94 |
5711.48 |
其他短期贷款 |
20290.84 |
20443.23 |
20687.75 |
20816.57 |
20997.45 |
21424.59 |
21538.55 |
21564.67 |
21855.75 |
21811.80 |
21934.48 |
22316.08 |
中长期贷款 |
33166.28 |
33630.89 |
34313.56 |
34961.81 |
35374.03 |
36023.19 |
36394.56 |
36881.02 |
37689.36 |
37732.44 |
38245.77 |
39238.08 |
信托贷款 |
2241.91 |
2268.60 |
2284.29 |
2258.39 |
2629.63 |
2652.22 |
2696.63 |
2664.64 |
2596.27 |
2592.41 |
2580.48 |
2497.55 |
其他类贷款 |
1892.11 |
1960.22 |
2055.82 |
2241.48 |
2316.75 |
2557.98 |
2686.64 |
2801.40 |
3012.61 |
3026.55 |
3137.09 |
3251.84 |
有价证券及投资 |
19176.69 |
20202.62 |
20417.70 |
20663.39 |
20851.50 |
21231.51 |
21506.72 |
21685.08 |
21695.61 |
21986.35 |
21900.69 |
23112.65 |
金银占款 |
12.04 |
12.04 |
12.04 |
12.04 |
12.04 |
12.04 |
12.04 |
12.04 |
12.04 |
12.04 |
12.04 |
256.00 |
外汇占款 |
14564.54 |
14895.43 |
15103.23 |
15147.10 |
15288.20 |
15410.58 |
15728.50 |
16091.86 |
16540.48 |
17084.91 |
17443.81 |
17856.43 |
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