金融机构本外币信贷收支表 |
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(2005年) |
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单位:人民币亿元 |
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2005.01 |
2005.02 |
2005.03 |
2005.04 |
2005.05 |
2005.06 |
2005.07 |
2005.08 |
2005.09 |
2005.10 |
2005.11 |
2005.12 |
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汇率 |
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来源方项目 |
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一、各项存款 |
258475.91 |
262147.76 |
269043.29 |
272384.55 |
276162.32 |
282820.27 |
283747.54 |
288146.95 |
292629.82 |
294388.89 |
298493.40 |
300208.55 |
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1.企业存款 |
88144.60 |
86461.89 |
90496.60 |
91429.57 |
93066.09 |
96220.46 |
94254.96 |
96405.15 |
98560.18 |
98118.66 |
99593.61 |
101750.55 |
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(1)活期存款 |
60802.49 |
58598.86 |
61403.87 |
60643.30 |
62328.97 |
64251.09 |
62097.05 |
63288.31 |
62775.71 |
63554.29 |
64885.55 |
66222.96 |
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(2)定期存款 |
27342.11 |
27863.03 |
29092.73 |
30786.27 |
30737.12 |
31969.37 |
32157.91 |
33116.84 |
35784.47 |
34564.37 |
34708.06 |
35527.59 |
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2.储蓄存款 |
128817.12 |
134412.03 |
135803.23 |
136338.45 |
136975.93 |
138673.97 |
139800.70 |
140546.56 |
142310.74 |
142831.75 |
144481.79 |
147053.74 |
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(1)活期储蓄 |
43662.62 |
45347.16 |
45498.33 |
45514.41 |
45547.93 |
46300.83 |
46635.83 |
46761.07 |
47512.20 |
47361.50 |
48515.00 |
50137.03 |
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(2)定期储蓄 |
85154.50 |
89064.87 |
90304.90 |
90824.04 |
91428.00 |
92373.14 |
93164.87 |
93785.49 |
94798.54 |
95470.25 |
95966.79 |
96916.71 |
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3.委托及信托存款 |
3213.35 |
3251.57 |
3294.32 |
3358.70 |
3368.90 |
3413.59 |
3467.04 |
3391.43 |
3510.73 |
3526.17 |
3551.46 |
3524.72 |
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4.其他存款 |
38300.84 |
38022.27 |
39449.14 |
41257.83 |
42751.40 |
44512.25 |
46224.84 |
47803.81 |
48248.17 |
49912.31 |
50866.54 |
47879.54 |
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二、对国际金融机构负债 |
598.01 |
598.01 |
617.36 |
623.06 |
611.17 |
622.30 |
624.30 |
641.65 |
641.63 |
641.61 |
641.60 |
641.57 |
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三、其他 |
-24191.03 |
-26961.88 |
-29877.36 |
-30720.75 |
-35107.60 |
-42089.99 |
-43489.39 |
-45399.25 |
-46312.45 |
-46937.14 |
-48475.72 |
-47941.49 |
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资金来源总计 |
234882.88 |
235783.88 |
239783.30 |
242286.87 |
241665.89 |
241352.57 |
240882.45 |
243389.36 |
246959.00 |
248093.36 |
250659.27 |
252908.63 |
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运用方项目 |
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一、各项贷款 |
193072.01 |
194025.74 |
197616.44 |
199135.41 |
198662.24 |
198565.85 |
198177.74 |
199903.86 |
203052.76 |
203552.89 |
205658.82 |
206838.48 |
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1.短期贷款 |
91678.95 |
92094.10 |
93567.85 |
93636.11 |
92711.93 |
90949.16 |
90519.40 |
90708.86 |
91520.43 |
91304.90 |
91702.28 |
91157.45 |
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2.中长期贷款 |
83108.54 |
83637.58 |
85085.71 |
85848.88 |
86161.71 |
87072.08 |
87117.24 |
87873.58 |
89396.09 |
90241.82 |
91087.19 |
92940.53 |
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3.委托及信托贷款 |
2923.37 |
2904.29 |
3011.46 |
3077.46 |
3086.92 |
3114.08 |
3162.36 |
3165.19 |
3282.51 |
3277.62 |
3282.93 |
3208.08 |
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4.票据融资 |
12124.40 |
12134.28 |
12693.06 |
13272.71 |
13379.23 |
14137.76 |
14174.80 |
14979.83 |
15598.43 |
15420.04 |
16308.42 |
16319.16 |
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5.其它类贷款 |
3236.75 |
3255.49 |
3258.36 |
3300.25 |
3322.45 |
3292.77 |
3203.94 |
3176.40 |
3255.30 |
3308.51 |
3278.00 |
3213.26 |
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二、有价证券及投资 |
40537.09 |
40479.76 |
40897.97 |
41874.97 |
41743.18 |
41521.21 |
41446.80 |
42266.32 |
42689.23 |
43323.87 |
43786.54 |
44870.95 |
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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 |
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四、在国际金融机构资产 |
936.54 |
941.14 |
931.65 |
939.25 |
923.23 |
928.27 |
920.67 |
881.94 |
879.77 |
879.36 |
876.67 |
861.96 |
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资金运用总计 |
234882.88 |
235783.88 |
239783.30 |
242286.87 |
241665.89 |
241352.57 |
240882.45 |
243389.36 |
246959.00 |
248093.36 |
250659.27 |
252908.63 |
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