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CountryInformation on item
Bank
Year19992000200120022003200420052006200720082009
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ItemInformation on column
Hide subtree INCOME STATEMENT......................
INCOME STATEMENT1. Interest income52 169.3268 628.4861 352.5059 712.6149 250.5058 051.1853 596.2053 925.8769 845.6575 503.0540 528.81
2. Interest expenses44 173.5661 103.3053 476.8851 630.2341 026.0149 574.7445 272.7245 829.1261 899.5065 903.3430 510.15
3. Net interest income 7 995.767 525.187 875.618 082.388 224.498 476.448 323.488 096.757 946.169 599.7210 018.66
Hide subtree 4. Net non-interest income4 682.337 198.107 473.315 530.676 048.274 724.005 482.7810 827.708 919.27-9 130.444 142.11
4. Net non-interest income4.a. Fees and commissions receivable2 890.514 205.023 773.313 418.413 368.073 699.534 249.094 735.285 272.564 900.615 162.57
4.b. Fees and commissions payable1 336.401 947.221 673.761 638.521 611.431 789.691 953.942 181.912 377.592 675.842 426.57
4.c. Net profit or loss on financial operations2 628.163 305.693 728.072 575.512 414.032 452.091 514.384 964.314 153.96539.271 515.89
4.d. Other net non-interest income500.061 634.621 645.681 175.281 877.59362.081 673.253 310.031 870.35-11 894.49-109.77
5. Net interest and non-interest income12 678.0914 723.2815 348.9213 613.0614 272.7613 200.4413 806.2518 924.4616 865.43469.2714 160.77
Hide subtree 6. Operating expenses8 384.428 967.129 608.389 143.528 698.158 798.558 793.979 722.0010 580.6910 992.5811 694.96
6. Operating expenses6.a. Staff costsInformation on row4 704.344 909.705 072.854 972.784 886.864 873.084 746.574 984.455 251.985 442.195 289.12
6.b. Property costs642.16620.74665.94668.51523.03519.49470.27448.85456.60474.96474.98
6.c. Other operating expenses3 037.923 436.683 869.603 502.233 288.263 405.983 577.134 288.714 872.115 075.445 930.86
7. Net income before provisions4 293.675 756.175 740.544 469.545 574.614 401.895 012.299 202.456 284.74-10 523.312 465.82
Hide subtree 8. Net provisions1 096.09953.231 090.98860.98585.96189.75-304.69330.432 657.258 771.545 178.71
8. Net provisions8.a. Provisions on loansInformation on row800.41704.55870.03845.63877.41480.63-47.02149.19361.033 113.301 459.02
8.b. Provisions on securitiesInformation on row-22.07200.00137.51297.82-122.91-130.55-47.42-18.962 491.575 244.67634.27
8.c. Other net provisionsInformation on row317.7548.6883.44-282.47-168.54-160.33-210.26200.21-195.35413.583 085.42
9. Income before tax 3 197.584 802.944 649.563 608.564 988.654 212.145 316.988 872.023 627.49-19 294.85-2 712.89
10. Income tax537.69934.61790.95988.82696.43759.67658.85832.80642.71218.38312.05
11. Net income after tax 2 659.893 868.333 858.612 619.744 292.233 452.474 658.138 039.222 984.78-19 513.23-3 024.95
12. Distributed profitInformation on row1 746.052 382.302 618.582 177.982 264.923 916.572 515.984 902.563 145.33847.83410.42
13. Retained profit Information on row913.841 486.031 240.04441.762 027.30-464.092 142.143 136.66-160.55-20 361.05-3 435.36
Hide subtree  BALANCE SHEET......................
BALANCE SHEETHide subtree  Assets......................
Assets14. Cash and balance with Central bank4 973.158 335.897 875.596 156.0010 101.626 877.687 896.018 972.7319 821.1311 721.0221 779.91
15. Interbank deposits168 813.53139 589.15170 727.99172 599.97202 441.62226 945.84273 702.62298 681.79339 775.67231 044.07217 764.58
16. Loans246 235.14277 306.49277 144.17289 380.63299 231.09322 912.32385 478.11424 330.32473 698.34451 487.87410 882.70
17. Securities243 875.38240 153.24265 815.93250 437.95261 750.36272 258.32297 550.20313 967.15327 480.25325 396.94318 105.76
18. Other assets49 829.3259 743.6881 812.6973 753.1378 549.21100 209.35109 194.99113 221.95152 381.95221 492.29161 593.96
Hide subtree  Liabilities......................
Liabilities19. Capital and reserves23 066.4126 441.7630 158.4831 208.8831 558.5330 902.7431 299.8737 103.5056 616.3946 811.5248 297.19
20. Borrowing from Central bankInformation on row20.4210.52108.2343.4991.6925.39485.52719.541 432.56617.16309.75
21. Interbank deposits250 853.76227 567.09246 647.31228 493.94265 021.33293 653.22390 785.55435 899.46468 904.15340 517.94254 587.17
22. Customer deposits272 729.63286 053.32325 805.14338 077.56360 596.48399 093.91445 249.71463 789.86512 311.75522 806.13532 203.16
23. BondsInformation on row97 158.25102 889.4795 056.9791 301.6684 053.9276 662.7072 832.7480 342.2497 452.7278 374.89109 867.06
24. Other liabilities69 898.0682 166.30105 600.24103 202.16110 751.94128 865.55133 168.51141 319.35176 439.77252 014.54184 862.60
25. End-year total713 726.51725 128.46803 376.36792 327.68852 073.90929 203.501 073 821.921 159 173.941 313 157.331 241 142.181 130 126.92
26. Average totalInformation on row711 480.95744 440.02782 208.86811 333.50814 592.59930 572.701 026 911.511 107 225.791 248 325.871 360 274.591 175 437.21
Hide subtree  MEMORANDUM ITEMS......................
MEMORANDUM ITEMSHide subtree  Assets......................
Assets27. Short-term securitiesInformation on row36 152.0524 328.7222 464.7423 043.0318 866.0616 133.4715 060.6714 325.8117 762.8512 118.259 989.04
28. BondsInformation on row186 293.16191 261.79215 879.30199 068.56215 042.99226 949.06251 465.25253 738.23238 128.57274 281.41266 090.98
29. Shares and participationsInformation on row21 430.1724 562.7327 471.8928 326.3727 841.3129 175.7931 024.2745 903.1171 588.8338 997.2942 025.75
30. Claims on non-residentsInformation on row311 827.68346 310.80405 416.22422 863.44476 910.79527 392.91656 440.72710 840.79811 709.08677 936.29576 660.72
Hide subtree  Liabilities......................
Liabilities31. Liabilities to non-residentsInformation on row297 648.82325 862.91379 931.91368 259.53402 612.41440 040.11560 174.68612 266.17687 933.18524 604.66459 192.75
Hide subtree  Capital adequacy......................
Capital adequacy32. Tier 1 CapitalInformation on row25 782.7229 144.6230 625.2532 749.6031 496.4132 470.4331 224.8838 952.4961 034.2154 459.0653 119.59
33. Tier 2 CapitalInformation on row16 469.5819 151.6220 072.1419 283.9918 227.4516 732.6317 182.9817 151.7421 352.7224 371.4018 018.89
34. Supervisory deductionsInformation on row14 790.6318 186.9920 776.1520 998.5820 300.2920 660.1822 918.6421 591.702 496.953 062.204 095.57
35. Total regulatory capitalInformation on row27 461.6730 109.2429 921.2431 035.0129 423.5728 542.8825 489.2134 512.5379 889.9875 768.2567 042.90
36. Risk-weighted assetsInformation on row210 090.11219 407.60215 499.48202 112.40214 166.83226 280.86250 361.43299 730.63405 853.09332 159.85311 410.73
37. Number of institutions75.0072.0067.0065.0061.0059.0054.0051.0052.0051.0048.00
38. Number of branches14 503.0013 696.0012 173.0010 975.0010 011.009 525.009 207.008 601.008 451.008 259.00..
39. Number of employees76 302.0076 364.0075 843.0074 896.0072 210.0070 483.0068 478.0067 435.0066 724.0065 246.00..
Data extracted on 18 Apr 2024 20:16 UTC (GMT) from OECD.Stat

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