金融机构本外币信贷收支表 | ||||||||||||||
(2003年) | ||||||||||||||
单位:人民币亿元 | ||||||||||||||
2003.01 | 2003.02 | 2003.03 | 2003.04 | 2003.05 | 2003.06 | 2003.07 | 2003.08 | 2003.09 | 2003.10 | 2003.11 | 2003.12 | |||
汇率 | 8.2766 | 8.2774 | 8.2771 | 8.2770 | 8.2770 | 8.2774 | 8.2773 | 8.2771 | 8.2270 | 8.2767 | 8.2772 | 8.2770 | ||
来源方项目 | ||||||||||||||
一、各项存款 | 185792.13 | 188959.58 | 194611.10 | 196927.12 | 201341.53 | 206810.28 | 207932.45 | 210100.29 | 215125.16 | 216501.51 | 218574.35 | 220363.53 | ||
1.企业存款 | 62805.75 | 63096.84 | 65719.99 | 65894.07 | 67692.43 | 70810.81 | 70452.56 | 71341.64 | 74224.05 | 74499.38 | 74960.90 | 76784.87 | ||
(1)活期存款 | 43426.70 | 43964.84 | 46034.88 | 45399.69 | 46900.60 | 49701.21 | 49113.85 | 49512.86 | 50687.96 | 51797.34 | 51940.14 | 53585.88 | ||
(2)定期存款 | 19379.05 | 19132.00 | 19685.11 | 20494.38 | 20791.83 | 21109.60 | 21338.71 | 21828.78 | 23536.09 | 22702.04 | 23020.76 | 23198.99 | ||
2.储蓄存款 | 98097.76 | 100276.15 | 102023.95 | 102657.71 | 103845.17 | 105195.26 | 106078.77 | 106669.76 | 108166.92 | 108569.08 | 109362.00 | 110695.26 | ||
(1)活期储蓄 | 30707.40 | 31083.44 | 31623.58 | 31814.12 | 32278.22 | 33018.48 | 33463.13 | 33816.55 | 34644.03 | 34673.76 | 35253.22 | 36218.17 | ||
(2)定期储蓄 | 67390.36 | 69192.71 | 70400.37 | 70843.59 | 71566.95 | 72176.78 | 72615.64 | 72853.21 | 73522.89 | 73895.32 | 74108.78 | 74477.09 | ||
3.委托及信托存款 | 2497.83 | 2524.69 | 2509.44 | 2526.75 | 2515.99 | 2503.51 | 2493.87 | 2540.74 | 2534.50 | 2551.45 | 2575.11 | 2572.30 | ||
4.其他存款 | 22390.79 | 23061.90 | 24357.72 | 25848.59 | 27287.94 | 28300.70 | 28907.25 | 29548.15 | 30199.69 | 30881.60 | 31676.34 | 30311.10 | ||
二、对国际金融机构负债 | 433.83 | 451.54 | 433.47 | 436.81 | 443.13 | 440.21 | 440.21 | 451.99 | 450.25 | 442.48 | 457.58 | 482.57 | ||
三、其他 | -6499.78 | -8238.15 | -9665.50 | -9076.90 | -10574.77 | -9983.77 | -9707.81 | -8642.30 | -10437.10 | -11132.04 | -12299.43 | -12373.85 | ||
资金来源总计 | 179726.17 | 181172.97 | 185379.07 | 188287.03 | 191209.89 | 197266.72 | 198664.85 | 201909.98 | 205138.31 | 205811.95 | 206732.50 | 208472.26 | ||
运用方项目 | ||||||||||||||
一、各项贷款 | 143221.86 | 144374.40 | 148366.98 | 150535.28 | 153321.95 | 158869.86 | 160033.00 | 163087.57 | 166521.95 | 167285.59 | 168513.48 | 169771.00 | ||
1.短期贷款 | 78193.90 | 78684.81 | 80476.40 | 81042.75 | 82147.01 | 84353.11 | 84070.36 | 85254.55 | 86257.39 | 86770.20 | 87106.85 | 87397.88 | ||
2.中长期贷款 | 53098.26 | 53574.21 | 55214.02 | 56139.09 | 57207.03 | 59446.35 | 60718.61 | 61922.32 | 63973.24 | 64731.57 | 65659.15 | 67251.74 | ||
3.委托及信托贷款 | 2364.08 | 2381.19 | 2406.95 | 2456.34 | 2460.90 | 2473.48 | 2430.74 | 2468.07 | 2469.31 | 2456.97 | 2465.19 | 2473.00 | ||
4.票据融资 | 6455.28 | 6622.79 | 7104.00 | 7647.23 | 8182.62 | 9221.52 | 9445.25 | 10066.30 | 10407.06 | 9900.83 | 9762.45 | 9233.59 | ||
5.其它类贷款 | 3110.34 | 3111.40 | 3165.61 | 3249.87 | 3324.39 | 3375.40 | 3368.04 | 3376.33 | 3414.95 | 3426.02 | 3519.84 | 3414.79 | ||
二、有价证券及投资 | 33771.47 | 34055.18 | 34270.15 | 35014.27 | 35132.56 | 35646.91 | 35884.73 | 36066.20 | 35845.38 | 35763.09 | 35439.71 | 37490.62 | ||
三、金银占款 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | ||
四、财政借款 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 1582.06 | 0.00 | ||
五、在国际金融机构资产 | 813.54 | 824.09 | 822.64 | 818.18 | 836.08 | 830.65 | 827.82 | 836.91 | 851.68 | 843.97 | 860.01 | 873.40 | ||
资金运用总计 | 179726.17 | 181172.97 | 185379.07 | 188287.03 | 191209.89 | 197266.72 | 198664.85 | 201909.98 | 205138.31 | 205811.95 | 206732.50 | 208472.26 | ||
注: 1、本表统计口径包括人民银行、政策性银行、国有独资商业银行、其他商业银行、邮政储蓄机构、城市商业银行、城市信用社、农村信用社、农村商业银行、信托投资公司、财务公司、租赁公司、 | ||||||||||||||
外资金融机构。 | ||||||||||||||