Liabilities (Balance Sheet of commercial banks) - ekonomika ČNB

Aktualizace dat Liabilities (Balance Sheet of commercial banks) v této aplikaci skončila 30.6.2023. Aktualizovná data časových řad najdete na stránkách nové aplikace z dat ARAD ČNB

Nové časové řady makroekonomiky a jejich data

Data ke dniŘada nebo sestava
31.12.2023 Úvěry: Celkové náklady úvěrů domácnostem na bydlení v ČR vyjádřené ukazatelem cost of borrowing, Míra v %, Procenta, Měsíční
30.11.2023 Úvěry: Celkove náklady úvěrů domácnostem na bydlení v EA vyjádřené ukazatelem cost of borrowing, Míra v %, Procenta, Měsíční
31.12.2023 Úvěry: Celkové náklady úvěrů nefinančním podnikům v ČR vyjádřené ukazatelem cost of borrowing, Míra v %, Procenta, Měsíční
30.11.2023 Úvěry: Celkové náklady úvěrů nefinančním podnikům v EA vyjádřené ukazatelem cost of borrowing, Míra v %, Procenta, Měsíční
Vyberte statistický ukazatel pro zobrazení hodnot a grafu vývoje nebo se podívejte na poslední hodnoty.

Volumes for B1.1: Bank interest rates on CZK-denominated deposits by Czech residents - new business

Název ukazatele. Údaje ke dni 30.09.2014 Hodnota Předchozí Změna Před rokem Změna
IND1 Households and NPISH (S.14+S.15) - overnight 1 279 273.40 1 276 240.20 0.24% 1 157 832.60 10.49%
IND2 Households and NPISH (S.14+S.15) - with agreed maturity total 3 320.50 3 387.70 -1.98% 4 064.60 -18.31%
IND3 Households and NPISH (S.14+S.15) - with agreed maturity up to 1 year 2 454.70 2 526.90 -2.86% 2 868.30 -14.42%
IND4 Households and NPISH (S.14+S.15) - with agreed maturity over 1 and up to 2 years 449.80 404.90 11.09% 455.10 -1.16%
IND5 Households and NPISH (S.14+S.15) - with agreed maturity over 2 years 416.00 455.90 -8.75% 741.20 -43.87%
IND6 Households and NPISH (S.14+S.15) - redeemable at notice total 307 541.70 308 137.20 -0.19% 332 034.90 -7.38%
IND7 Households and NPISH (S.14+S.15) - redeemable at notice up to 3 months 277 874.40 278 319.10 -0.16% 299 010.30 -7.07%
IND8 Households and NPISH (S.14+S.15) - redeemable at notice over 3 months 29 667.30 29 818.10 -0.51% 33 024.60 -10.17%
IND10 Non-financial corporations (S.11) - overnight 521 979.10 525 856.20 -0.74% 464 456.50 12.38%
IND11 Non-financial corporations (S.11) - with agreed maturity total 9 422.90 9 659.30 -2.45% 31 731.70 -70.30%
IND12 of which: Non-financial corporations (S.11) - with agreed maturity up to 1 year 9 138.90 9 513.40 -3.94% 30 061.00 -69.60%
IND13 Non-financial corporations (S.11) - redeemable at notice total 13 285.30 15 662.20 -15.18% 11 397.30 16.57%

Liabilities, main items, total

Název ukazatele. Údaje ke dni 30.11.2017 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, total 7 350 792.30 7 275 277.60 1.04% 6 191 121.90 18.73%
IND2 Received deposits and loans, total 5 834 956.50 5 835 738.50 -0.01% 4 711 787.20 23.84%
IND3 Deposits and loans received from central banks, total 0.50 0.50 0.00 0.70 -28.57%
IND4 Deposits and loans received from other credit institutions, total 1 552 231.50 1 562 201.50 -0.64% 834 147.40 86.09%
IND5 Deposits and loans received from clients, total 4 282 724.60 4 273 536.40 0.21% 3 877 639.10 10.45%
IND6 Non-marketable debt securities issued, total 88 841.70 26 990.90 229.15% 72 900.90 21.87%
IND7 Other debt securities issued, total 457 330.70 460 855.50 -0.76% 442 008.50 3.47%
IND8 Capital and reserves, total 698 898.10 696 608.00 0.33% 678 255.20 3.04%
IND9 of which: Provisions, total 75 589.80 75 925.60 -0.44% 87 304.30 -13.42%
IND10 of which: Share capital, total 99 629.00 99 443.60 0.19% 98 159.00 1.50%
IND11 of which: Profit(+)/loss(-) for previous year, total 90.20 91.30 -1.20% 991.10 -90.90%
IND12 of which: Profit(+)/loss(-) for the current period, total 66 754.20 64 000.80 4.30% 69 138.20 -3.45%
IND13 Other on-balance sheet liabilities, total 270 765.30 255 084.80 6.15% 286 170.10 -5.38%
IND14 of which: Negative fair value of derivatives, total 102 990.20 98 125.30 4.96% 90 328.90 14.02%

Liabilities, main items, residents

Název ukazatele. Údaje ke dni 30.11.2017 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, residents 5 399 939.80 5 363 322.70 0.68% 5 023 155.00 7.50%
IND2 Received deposits and loans, residents 4 160 207.20 4 138 315.20 0.53% 3 780 894.30 10.03%
IND3 Deposits and loans received from central banks, residents 0.10 0.10 0.00 0.20 -50.00%
IND4 Deposits and loans received from other credit institutions, residents 139 772.20 138 610.30 0.84% 96 570.70 44.74%
IND5 Deposits and loans received from clients, residents 4 020 434.80 3 999 704.80 0.52% 3 684 323.40 9.12%
IND6 Non-marketable debt securities issued, residents 18 440.30 16 690.40 10.48% 33 388.90 -44.77%
IND7 Other debt securities issued, residents 387 466.80 389 609.40 -0.55% 376 289.50 2.97%
IND8 Capital and reserves, residents 637 589.30 635 179.70 0.38% 632 354.50 0.83%
IND9 of which: Provisions, residents 62 208.10 62 424.30 -0.35% 73 083.20 -14.88%
IND10 of which: Share capital, residents 54 065.50 53 880.10 0.34% 67 643.80 -20.07%
IND11 of which: Profit(+)/loss(-) for previous year, residents 90.20 91.30 -1.20% 991.10 -90.90%
IND12 of which: Profit(+)/loss(-) for the current period, residents 66 754.20 64 000.80 4.30% 69 138.20 -3.45%
IND13 Other on-balance sheet liabilities, residents 196 236.20 183 528.00 6.92% 200 227.90 -1.99%
IND14 of which: Negative fair value of derivatives, residents 46 313.70 42 706.80 8.45% 33 478.60 38.34%

Liabilities, main items, non-residents

Název ukazatele. Údaje ke dni 30.11.2017 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, non-residents 1 950 852.60 1 911 954.90 2.03% 1 167 966.90 67.03%
IND2 Received deposits and loans, non-residents 1 674 749.30 1 697 423.30 -1.34% 930 893.00 79.91%
IND3 Deposits and loans received from central banks, non-residents 0.30 0.40 -25.00% 0.60 -50.00%
IND4 Deposits and loans received from other credit institutions, non-residents 1 412 459.20 1 423 591.30 -0.78% 737 576.70 91.50%
IND5 Deposits and loans received from clients, non-residents 262 289.80 273 831.60 -4.21% 193 315.70 35.68%
IND6 Non-marketable debt securities issued, non-residents 70 401.40 10 300.50 583.48% 39 512.00 78.18%
IND7 Other debt securities issued, non-residents 69 863.90 71 246.10 -1.94% 65 719.00 6.31%
IND8 Capital and reserves, non-residents 61 308.80 61 428.30 -0.19% 45 900.70 33.57%
IND9 of which: Provisions, non-residents 13 381.80 13 501.30 -0.89% 14 221.10 -5.90%
IND10 of which: Share capital,non-residents 45 563.50 45 563.50 0.00 30 515.20 49.31%
IND11 of which: Profit(+)/loss(-) for previous year, non-residents 0.00 0.00 - - -
IND12 of which: Profit(+)/loss(-) for the current period, non-residents -12.50 -10.70 16.82% - -
IND13 Other on-balance sheet liabilities, non-residents 74 529.10 71 556.70 4.15% 85 942.20 -13.28%
IND14 of which: Negative fair value of derivatives, non-residents 56 676.40 55 418.50 2.27% 56 850.30 -0.31%

Liabilities, main items, CZK

Název ukazatele. Údaje ke dni 30.11.2017 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, CZK 5 896 042.20 5 841 563.20 0.93% 5 091 456.40 15.80%
IND2 Received deposits and loans, CZK 4 640 492.40 4 600 049.80 0.88% 3 841 122.20 20.81%
IND3 Deposits and loans received from central banks, CZK 0.30 0.40 -25.00% 0.60 -50.00%
IND4 Deposits and loans received from other credit institutions, CZK 803 630.10 765 130.80 5.03% 399 530.00 101.14%
IND5 Deposits and loans received from clients, CZK 3 836 862.00 3 834 918.70 0.05% 3 441 591.60 11.49%
IND6 Non-marketable debt securities issued, CZK 17 243.20 15 383.10 12.09% 31 439.90 -45.16%
IND7 Other debt securities issued, CZK 372 054.10 371 079.40 0.26% 351 492.20 5.85%
IND8 Capital and reserves, CZK 662 735.90 660 229.70 0.38% 639 732.90 3.60%
IND9 of which: Provisions, CZK 58 931.00 59 128.90 -0.33% 68 984.80 -14.57%
IND10 of which: Share capital, CZK 99 629.00 99 443.60 0.19% 98 159.00 1.50%
IND11 of which: Profit(+)/loss(-) for previous year, CZK 90.20 91.30 -1.20% 991.10 -90.90%
IND12 of which: Profit(+)/loss(-) for the current period, CZK 66 754.20 64 000.80 4.30% 69 138.20 -3.45%
IND13 Other on-balance sheet liabilities, CZK 203 516.50 194 821.20 4.46% 227 669.30 -10.61%
IND14 of which: Negative fair value of derivatives, CZK 81 635.10 77 759.30 4.98% 69 575.30 17.33%

Liabilities, main items, all foreign currencies

Název ukazatele. Údaje ke dni 30.11.2017 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, all foreign currencies 1 454 750.20 1 433 714.50 1.47% 1 099 665.50 32.29%
IND2 Received deposits and loans, all foreign currencies 1 194 464.10 1 235 688.70 -3.34% 870 665.10 37.19%
IND3 Deposits and loans received from central banks, all foreign currencies 0.10 0.10 0.00 0.20 -50.00%
IND4 Deposits and loans received from other credit institutions, all foreign currencies 748 601.40 797 070.80 -6.08% 434 617.30 72.24%
IND5 Deposits and loans received from clients, all foreign currencies 445 862.50 438 617.80 1.65% 436 047.50 2.25%
IND6 Non-marketable debt securities issued, all foreign currencies 71 598.40 11 607.80 516.81% 41 461.00 72.69%
IND7 Other debt securities issued, all foreign currencies 85 276.70 89 776.10 -5.01% 90 516.30 -5.79%
IND8 Capital and reserves, all foreign currencies 36 162.20 36 378.30 -0.59% 38 522.30 -6.13%
IND9 of which: Provisions, all foreign currencies 16 658.80 16 796.70 -0.82% 18 319.40 -9.06%
IND10 of which: Share capital, all foreign currencies 3 255.10 3 255.10 0.00 3 719.10 -12.48%
IND11 of which: Profit(+)/loss(-) for previous year, all foreign currencies 91.60 91.80 -0.22% - -
IND12 of which: Profit(+)/loss(-) for the current period, all foreign currencies 979.20 801.20 22.22% 904.20 8.29%
IND13 Other on-balance sheet liabilities, all foreign currencies 67 248.90 60 263.60 11.59% 58 500.80 14.95%
IND14 of which: Negative fair value of derivatives, all foreign currencies 21 355.10 20 366.00 4.86% 20 753.50 2.90%

Liabilities, main items, EUR

Název ukazatele. Údaje ke dni 30.11.2017 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, EUR 1 253 270.30 1 243 625.80 0.78% 901 155.80 39.07%
IND2 Received deposits and loans, EUR 1 018 176.20 1 066 085.40 -4.49% 701 487.90 45.15%
IND3 Deposits and loans received from central banks, EUR 0.10 0.10 0.00 0.10 0.00
IND4 Deposits and loans received from other credit institutions, EUR 682 784.70 736 727.80 -7.32% 377 094.80 81.06%
IND5 Deposits and loans received from clients, EUR 335 391.40 329 357.50 1.83% 324 393.00 3.39%
IND6 Non-marketable debt securities issued, EUR 62 685.30 4 570.80 1 271.43% 27 644.60 126.75%
IND7 Other debt securities issued, EUR 83 773.20 88 233.80 -5.06% 87 250.30 -3.99%
IND8 Capital and reserves, EUR 35 018.60 35 308.70 -0.82% 37 230.80 -5.94%
IND9 of which: Provisions, EUR 15 515.30 15 727.20 -1.35% 17 027.90 -8.88%
IND13 Other on-balance sheet liabilities, EUR 53 617.10 49 427.10 8.48% 47 542.20 12.78%
IND14 of which: Negative fair value of derivatives, EUR 19 305.70 18 995.60 1.63% 18 664.60 3.43%

Liabilities, main items, total

Název ukazatele. Údaje ke dni 31.07.2020 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, total 8 620 604.30 8 421 037.10 2.37% 8 063 989.30 6.90%
IND2 Received deposits and loans, total 6 819 992.40 6 448 244.10 5.77% 6 326 083.20 7.81%
IND3 Deposits and loans received from central banks, total 3.70 3.00 23.33% 1.20 208.33%
IND4 Deposits and loans received from other credit institutions, total 1 124 922.90 1 035 597.50 8.63% 1 324 557.70 -15.07%
IND5 Deposits and loans received from clients, total 5 695 065.80 5 412 643.70 5.22% 5 001 524.30 13.87%
IND6 Non-marketable debt securities issued, total 191 040.90 335 110.50 -42.99% 255 127.50 -25.12%
IND7 Other debt securities issued, total 415 505.30 417 834.40 -0.56% 440 584.80 -5.69%
IND8 Capital and reserves, total 831 772.70 829 489.80 0.28% 752 927.70 10.47%
IND9 of which: Provisions, total 78 623.30 78 894.90 -0.34% 71 226.40 10.38%
IND10 of which: Share capital, total 112 170.80 112 170.80 0.00 102 461.80 9.48%
IND11 of which: Profit(+)/loss(-) for previous year, total 4 833.80 26 820.60 -81.98% 519.40 830.65%
IND12 of which: Profit(+)/loss(-) for the current period, total 30 934.00 26 404.00 17.16% 50 757.10 -39.05%
IND13 Other on-balance sheet liabilities, total 362 293.00 390 358.30 -7.19% 289 266.10 25.25%
IND14 of which: Negative fair value of derivatives, total 189 382.20 198 798.60 -4.74% 122 335.70 54.81%

Liabilities, main items, residents

Název ukazatele. Údaje ke dni 31.07.2020 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, residents 6 834 505.60 6 586 804.70 3.76% 6 085 244.60 12.31%
IND2 Received deposits and loans, residents 5 483 440.40 5 215 502.40 5.14% 4 827 627.00 13.58%
IND3 Deposits and loans received from central banks, residents 0.00 0.00 - 0.10 -
IND4 Deposits and loans received from other credit institutions, residents 79 434.70 80 953.90 -1.88% 102 738.80 -22.68%
IND5 Deposits and loans received from clients, residents 5 404 005.70 5 134 548.50 5.25% 4 724 888.00 14.37%
IND6 Non-marketable debt securities issued, residents 9 471.20 9 459.40 0.12% 21 502.80 -55.95%
IND7 Other debt securities issued, residents 387 529.70 388 792.80 -0.32% 393 048.90 -1.40%
IND8 Capital and reserves, residents 724 901.80 721 878.90 0.42% 650 684.20 11.41%
IND9 of which: Provisions, residents 64 898.20 64 847.70 0.08% 56 240.20 15.39%
IND10 of which: Share capital, residents 37 631.40 37 531.50 0.27% 32 334.80 16.38%
IND11 of which: Profit(+)/loss(-) for previous year, residents 4 833.80 26 820.60 -81.98% 519.40 830.65%
IND12 of which: Profit(+)/loss(-) for the current period, residents 30 934.00 26 404.00 17.16% 50 757.10 -39.05%
IND13 Other on-balance sheet liabilities, residents 229 162.50 251 171.20 -8.76% 192 381.70 19.12%
IND14 of which: Negative fair value of derivatives, residents 69 546.40 70 232.30 -0.98% 39 691.00 75.22%

Liabilities, main items, non-residents

Název ukazatele. Údaje ke dni 31.07.2020 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, non-residents 1 786 098.70 1 834 232.40 -2.62% 1 978 744.70 -9.74%
IND2 Received deposits and loans, non-residents 1 336 552.00 1 232 741.70 8.42% 1 498 456.20 -10.80%
IND3 Deposits and loans received from central banks, non-residents 3.70 3.00 23.33% 1.10 236.36%
IND4 Deposits and loans received from other credit institutions, non-residents 1 045 488.20 954 643.60 9.52% 1 221 818.90 -14.43%
IND5 Deposits and loans received from clients, non-residents 291 060.10 278 095.10 4.66% 276 636.20 5.21%
IND6 Non-marketable debt securities issued, non-residents 181 569.70 325 651.10 -44.24% 233 624.70 -22.28%
IND7 Other debt securities issued, non-residents 27 975.60 29 041.60 -3.67% 47 535.90 -41.15%
IND8 Capital and reserves, non-residents 106 870.90 107 610.90 -0.69% 102 243.60 4.53%
IND9 of which: Provisions, non-residents 13 725.10 14 047.20 -2.29% 14 986.20 -8.41%
IND10 of which: Share capital,non-residents 74 539.40 74 639.20 -0.13% 70 126.90 6.29%
IND11 of which: Profit(+)/loss(-) for previous year, non-residents 0.00 0.00 - - -
IND12 of which: Profit(+)/loss(-) for the current period, non-residents -12.50 -10.70 16.82% - -
IND13 Other on-balance sheet liabilities, non-residents 133 130.50 139 187.10 -4.35% 96 884.40 37.41%
IND14 of which: Negative fair value of derivatives, non-residents 119 835.90 128 566.30 -6.79% 82 644.70 45.00%

Liabilities, main items, CZK

Název ukazatele. Údaje ke dni 31.07.2020 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, CZK 7 149 199.60 6 963 419.00 2.67% 6 454 570.80 10.76%
IND2 Received deposits and loans, CZK 5 527 251.80 5 299 477.80 4.30% 4 995 291.10 10.65%
IND3 Deposits and loans received from central banks, CZK 3.70 3.00 23.33% 1.10 236.36%
IND4 Deposits and loans received from other credit institutions, CZK 389 872.70 425 764.10 -8.43% 537 955.90 -27.53%
IND5 Deposits and loans received from clients, CZK 5 137 375.30 4 873 710.70 5.41% 4 457 334.10 15.26%
IND6 Non-marketable debt securities issued, CZK 190 144.00 203 166.50 -6.41% 176 553.60 7.70%
IND7 Other debt securities issued, CZK 376 840.30 377 796.50 -0.25% 376 263.20 0.15%
IND8 Capital and reserves, CZK 780 234.00 777 174.40 0.39% 699 455.20 11.55%
IND9 of which: Provisions, CZK 59 150.00 58 910.10 0.41% 51 680.60 14.45%
IND10 of which: Share capital, CZK 112 170.80 112 170.80 0.00 102 461.80 9.48%
IND11 of which: Profit(+)/loss(-) for previous year, CZK 4 833.80 26 820.60 -81.98% 519.40 830.65%
IND12 of which: Profit(+)/loss(-) for the current period, CZK 30 934.00 26 404.00 17.16% 50 757.10 -39.05%
IND13 Other on-balance sheet liabilities, CZK 274 729.50 305 803.80 -10.16% 207 007.70 32.71%
IND14 of which: Negative fair value of derivatives, CZK 155 529.80 167 012.60 -6.88% 92 908.50 67.40%

Liabilities, main items, all foreign currencies

Název ukazatele. Údaje ke dni 31.07.2020 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, all foreign currencies 1 471 404.80 1 457 618.20 0.95% 1 609 418.50 -8.58%
IND2 Received deposits and loans, all foreign currencies 1 292 740.70 1 148 766.30 12.53% 1 330 792.10 -2.86%
IND3 Deposits and loans received from central banks, all foreign currencies 0.00 0.00 - 0.10 -
IND4 Deposits and loans received from other credit institutions, all foreign currencies 735 050.20 609 833.40 20.53% 786 601.80 -6.55%
IND5 Deposits and loans received from clients, all foreign currencies 557 690.50 538 932.90 3.48% 544 190.20 2.48%
IND6 Non-marketable debt securities issued, all foreign currencies 896.90 131 944.00 -99.32% 78 573.90 -98.86%
IND7 Other debt securities issued, all foreign currencies 38 665.10 40 037.90 -3.43% 64 321.50 -39.89%
IND8 Capital and reserves, all foreign currencies 51 538.70 52 315.40 -1.48% 53 472.60 -3.62%
IND9 of which: Provisions, all foreign currencies 19 473.30 19 984.80 -2.56% 19 545.80 -0.37%
IND10 of which: Share capital, all foreign currencies 3 255.10 3 255.10 0.00 3 719.10 -12.48%
IND11 of which: Profit(+)/loss(-) for previous year, all foreign currencies 91.60 91.80 -0.22% - -
IND12 of which: Profit(+)/loss(-) for the current period, all foreign currencies 979.20 801.20 22.22% 904.20 8.29%
IND13 Other on-balance sheet liabilities, all foreign currencies 87 563.40 84 554.50 3.56% 82 258.40 6.45%
IND14 of which: Negative fair value of derivatives, all foreign currencies 33 852.50 31 786.00 6.50% 29 427.20 15.04%

Liabilities, main items, EUR

Název ukazatele. Údaje ke dni 31.07.2020 Hodnota Předchozí Změna Před rokem Změna
IND1 Total liabilities, EUR 1 281 900.30 1 265 551.80 1.29% 1 423 610.10 -9.95%
IND2 Received deposits and loans, EUR 1 121 336.10 975 641.60 14.93% 1 164 976.10 -3.75%
IND3 Deposits and loans received from central banks, EUR 0.00 0.00 - 0.10 -
IND4 Deposits and loans received from other credit institutions, EUR 695 336.20 564 038.10 23.28% 735 339.20 -5.44%
IND5 Deposits and loans received from clients, EUR 425 999.90 411 603.50 3.50% 429 636.90 -0.85%
IND6 Non-marketable debt securities issued, EUR 875.10 131 932.30 -99.34% 78 314.20 -98.88%
IND7 Other debt securities issued, EUR 37 991.80 39 310.10 -3.35% 63 556.50 -40.22%
IND8 Capital and reserves, EUR 47 810.70 48 461.20 -1.34% 50 034.60 -4.44%
IND9 of which: Provisions, EUR 17 933.90 18 336.80 -2.20% 18 159.70 -1.24%
IND13 Other on-balance sheet liabilities, EUR 73 886.70 70 206.60 5.24% 66 728.70 10.73%
IND14 of which: Negative fair value of derivatives, EUR 29 275.30 27 832.70 5.18% 27 564.00 6.21%
Volumes for B1.1: Bank interest rates on CZK-denominated deposits by Czech residents - new business
IND1 Households and NPISH (S.14+S.15) - overnight (153 hodnoty, 30.09.2014)
IND2 Households and NPISH (S.14+S.15) - with agreed maturity total (129 hodnot, 30.09.2014)
IND3 Households and NPISH (S.14+S.15) - with agreed maturity up to 1 year (129 hodnot, 30.09.2014)
IND4 Households and NPISH (S.14+S.15) - with agreed maturity over 1 and up to 2 years (129 hodnot, 30.09.2014)
IND5 Households and NPISH (S.14+S.15) - with agreed maturity over 2 years (129 hodnot, 30.09.2014)
IND6 Households and NPISH (S.14+S.15) - redeemable at notice total (153 hodnoty, 30.09.2014)
IND7 Households and NPISH (S.14+S.15) - redeemable at notice up to 3 months (153 hodnoty, 30.09.2014)
IND8 Households and NPISH (S.14+S.15) - redeemable at notice over 3 months (153 hodnoty, 30.09.2014)
IND9 Households and NPISH (S.14 + S.15) - repos
IND10 Non-financial corporations (S.11) - overnight (153 hodnoty, 30.09.2014)
IND11 Non-financial corporations (S.11) - with agreed maturity total (129 hodnot, 30.09.2014)
IND12 of which: Non-financial corporations (S.11) - with agreed maturity up to 1 year (129 hodnot, 30.09.2014)
IND13 Non-financial corporations (S.11) - redeemable at notice total (153 hodnoty, 30.09.2014)
<p>Neplatná hodnota parametru sestuid.</p>
Liabilities, main items, CZK
Total liabilities, CZK (299 hodnot, 30.11.2017)
Received deposits and loans, CZK (191 hodnota, 30.11.2017)
Deposits and loans received from central banks, CZK (274 hodnoty, 30.11.2017)
Deposits and loans received from other credit institutions, CZK (191 hodnota, 30.11.2017)
Deposits and loans received from clients, CZK (191 hodnota, 30.11.2017)
Non-marketable debt securities issued, CZK (251 hodnota, 30.11.2017)
Other debt securities issued, CZK (191 hodnota, 30.11.2017)
Capital and reserves, CZK (191 hodnota, 30.11.2017)
of which: Provisions, CZK (191 hodnota, 30.11.2017)
of which: Share capital, CZK (299 hodnot, 30.11.2017)
of which: Profit(+)/loss(-) for previous year, CZK (299 hodnot, 30.11.2017)
of which: Profit(+)/loss(-) for the current period, CZK (299 hodnot, 30.11.2017)
Other on-balance sheet liabilities, CZK (191 hodnota, 30.11.2017)
of which: Negative fair value of derivatives, CZK (299 hodnot, 30.11.2017)
Liabilities, main items, EUR
Total liabilities, EUR (191 hodnota, 30.11.2017)
Received deposits and loans, EUR (191 hodnota, 30.11.2017)
Deposits and loans received from central banks, EUR (170 hodnot, 30.11.2017)
Deposits and loans received from other credit institutions, EUR (191 hodnota, 30.11.2017)
Deposits and loans received from clients, EUR (191 hodnota, 30.11.2017)
Non-marketable debt securities issued, EUR (191 hodnota, 30.11.2017)
Other debt securities issued, EUR (146 hodnot, 30.11.2017)
Capital and reserves, EUR (191 hodnota, 30.11.2017)
of which: Provisions, EUR (191 hodnota, 30.11.2017)
of which: Share capital, EUR
of which: Profit(+)/loss(-) for previous year, EUR
of which: Profit(+)/loss(-) for the current period, EUR
Other on-balance sheet liabilities, EUR (191 hodnota, 30.11.2017)
of which: Negative fair value of derivatives, EUR (191 hodnota, 30.11.2017)
Liabilities, main items, residents
Total liabilities, residents (299 hodnot, 30.11.2017)
Received deposits and loans, residents (191 hodnota, 30.11.2017)
Deposits and loans received from central banks, residents (288 hodnot, 30.11.2017)
Deposits and loans received from other credit institutions, residents (191 hodnota, 30.11.2017)
Deposits and loans received from clients, residents (191 hodnota, 30.11.2017)
Non-marketable debt securities issued, residents (251 hodnota, 30.11.2017)
Other debt securities issued, residents (191 hodnota, 30.11.2017)
Capital and reserves, residents (191 hodnota, 30.11.2017)
of which: Provisions, residents (191 hodnota, 30.11.2017)
of which: Share capital, residents (299 hodnot, 30.11.2017)
of which: Profit(+)/loss(-) for previous year, residents (299 hodnot, 30.11.2017)
of which: Profit(+)/loss(-) for the current period, residents (299 hodnot, 30.11.2017)
Other on-balance sheet liabilities, residents (191 hodnota, 30.11.2017)
of which: Negative fair value of derivatives, residents (299 hodnot, 30.11.2017)
Liabilities, main items, total
Total liabilities, total (299 hodnot, 30.11.2017)
Received deposits and loans, total (191 hodnota, 30.11.2017)
Deposits and loans received from central banks, total (299 hodnot, 30.11.2017)
Deposits and loans received from other credit institutions, total (191 hodnota, 30.11.2017)
Deposits and loans received from clients, total (191 hodnota, 30.11.2017)
Non-marketable debt securities issued, total (251 hodnota, 30.11.2017)
Other debt securities issued, total (191 hodnota, 30.11.2017)
Capital and reserves, total (191 hodnota, 30.11.2017)
of which: Provisions, total (299 hodnot, 30.11.2017)
of which: Share capital, total (299 hodnot, 30.11.2017)
of which: Profit(+)/loss(-) for previous year, total (299 hodnot, 30.11.2017)
of which: Profit(+)/loss(-) for the current period, total (299 hodnot, 30.11.2017)
Other on-balance sheet liabilities, total (191 hodnota, 30.11.2017)
of which: Negative fair value of derivatives, total (299 hodnot, 30.11.2017)
Liabilities, main items, non-residents
Total liabilities, non-residents (299 hodnot, 30.11.2017)
Received deposits and loans, non-residents (191 hodnota, 30.11.2017)
Deposits and loans received from central banks, non-residents (142 hodnoty, 30.11.2017)
Deposits and loans received from other credit institutions, non-residents (191 hodnota, 30.11.2017)
Deposits and loans received from clients, non-residents (191 hodnota, 30.11.2017)
Non-marketable debt securities issued, non-residents (240 hodnot, 30.11.2017)
Other debt securities issued, non-residents (191 hodnota, 30.11.2017)
Capital and reserves, non-residents (191 hodnota, 30.11.2017)
of which: Provisions, non-residents (191 hodnota, 30.11.2017)
of which: Share capital,non-residents (205 hodnot, 30.11.2017)
of which: Profit(+)/loss(-) for previous year, non-residents (12 hodnot, 31.12.2014)
of which: Profit(+)/loss(-) for the current period, non-residents (15 hodnot, 31.12.2014)
Other on-balance sheet liabilities, non-residents (191 hodnota, 30.11.2017)
of which: Negative fair value of derivatives, non-residents (299 hodnot, 30.11.2017)
Liabilities, main items, all foreign currencies
Total liabilities, all foreign currencies (299 hodnot, 30.11.2017)
Received deposits and loans, all foreign currencies (191 hodnota, 30.11.2017)
Deposits and loans received from central banks, all foreign currencies (278 hodnot, 30.11.2017)
Deposits and loans received from other credit institutions, all foreign currencies (191 hodnota, 30.11.2017)
Deposits and loans received from clients, all foreign currencies (191 hodnota, 30.11.2017)
Non-marketable debt securities issued, all foreign currencies (248 hodnot, 30.11.2017)
Other debt securities issued, all foreign currencies (191 hodnota, 30.11.2017)
Capital and reserves, all foreign currencies (191 hodnota, 30.11.2017)
of which: Provisions, all foreign currencies (191 hodnota, 30.11.2017)
of which: Share capital, all foreign currencies (96 hodnot, 31.12.2000)
of which: Profit(+)/loss(-) for previous year, all foreign currencies (17 hodnot, 28.02.2001)
of which: Profit(+)/loss(-) for the current period, all foreign currencies (41 hodnota, 31.12.2001)
Other on-balance sheet liabilities, all foreign currencies (191 hodnota, 30.11.2017)
of which: Negative fair value of derivatives, all foreign currencies (299 hodnot, 30.11.2017)
Liabilities, main items, non-residents
Total liabilities, non-residents (331 hodnota, 31.07.2020)
Received deposits and loans, non-residents (223 hodnoty, 31.07.2020)
Deposits and loans received from central banks, non-residents (174 hodnoty, 31.07.2020)
Deposits and loans received from other credit institutions, non-residents (223 hodnoty, 31.07.2020)
Deposits and loans received from clients, non-residents (223 hodnoty, 31.07.2020)
Non-marketable debt securities issued, non-residents (272 hodnoty, 31.07.2020)
Other debt securities issued, non-residents (223 hodnoty, 31.07.2020)
Capital and reserves, non-residents (223 hodnoty, 31.07.2020)
of which: Provisions, non-residents (223 hodnoty, 31.07.2020)
of which: Share capital,non-residents (237 hodnot, 31.07.2020)
of which: Profit(+)/loss(-) for previous year, non-residents (12 hodnot, 31.12.2014)
of which: Profit(+)/loss(-) for the current period, non-residents (15 hodnot, 31.12.2014)
Other on-balance sheet liabilities, non-residents (223 hodnoty, 31.07.2020)
of which: Negative fair value of derivatives, non-residents (331 hodnota, 31.07.2020)
Liabilities, main items, CZK
Total liabilities, CZK (331 hodnota, 31.07.2020)
Received deposits and loans, CZK (223 hodnoty, 31.07.2020)
Deposits and loans received from central banks, CZK (306 hodnot, 31.07.2020)
Deposits and loans received from other credit institutions, CZK (223 hodnoty, 31.07.2020)
Deposits and loans received from clients, CZK (223 hodnoty, 31.07.2020)
Non-marketable debt securities issued, CZK (283 hodnoty, 31.07.2020)
Other debt securities issued, CZK (223 hodnoty, 31.07.2020)
Capital and reserves, CZK (223 hodnoty, 31.07.2020)
of which: Provisions, CZK (223 hodnoty, 31.07.2020)
of which: Share capital, CZK (331 hodnota, 31.07.2020)
of which: Profit(+)/loss(-) for previous year, CZK (331 hodnota, 31.07.2020)
of which: Profit(+)/loss(-) for the current period, CZK (331 hodnota, 31.07.2020)
Other on-balance sheet liabilities, CZK (223 hodnoty, 31.07.2020)
of which: Negative fair value of derivatives, CZK (331 hodnota, 31.07.2020)
Liabilities, main items, total
Total liabilities, total (331 hodnota, 31.07.2020)
Received deposits and loans, total (223 hodnoty, 31.07.2020)
Deposits and loans received from central banks, total (331 hodnota, 31.07.2020)
Deposits and loans received from other credit institutions, total (223 hodnoty, 31.07.2020)
Deposits and loans received from clients, total (223 hodnoty, 31.07.2020)
Non-marketable debt securities issued, total (283 hodnoty, 31.07.2020)
Other debt securities issued, total (223 hodnoty, 31.07.2020)
Capital and reserves, total (223 hodnoty, 31.07.2020)
of which: Provisions, total (331 hodnota, 31.07.2020)
of which: Share capital, total (331 hodnota, 31.07.2020)
of which: Profit(+)/loss(-) for previous year, total (331 hodnota, 31.07.2020)
of which: Profit(+)/loss(-) for the current period, total (331 hodnota, 31.07.2020)
Other on-balance sheet liabilities, total (223 hodnoty, 31.07.2020)
of which: Negative fair value of derivatives, total (331 hodnota, 31.07.2020)
Liabilities, main items, residents
Total liabilities, residents (331 hodnota, 31.07.2020)
Received deposits and loans, residents (223 hodnoty, 31.07.2020)
Deposits and loans received from central banks, residents (320 hodnot, 31.07.2020)
Deposits and loans received from other credit institutions, residents (223 hodnoty, 31.07.2020)
Deposits and loans received from clients, residents (223 hodnoty, 31.07.2020)
Non-marketable debt securities issued, residents (283 hodnoty, 31.07.2020)
Other debt securities issued, residents (223 hodnoty, 31.07.2020)
Capital and reserves, residents (223 hodnoty, 31.07.2020)
of which: Provisions, residents (223 hodnoty, 31.07.2020)
of which: Share capital, residents (331 hodnota, 31.07.2020)
of which: Profit(+)/loss(-) for previous year, residents (331 hodnota, 31.07.2020)
of which: Profit(+)/loss(-) for the current period, residents (331 hodnota, 31.07.2020)
Other on-balance sheet liabilities, residents (223 hodnoty, 31.07.2020)
of which: Negative fair value of derivatives, residents (331 hodnota, 31.07.2020)
Liabilities, main items, all foreign currencies
Total liabilities, all foreign currencies (331 hodnota, 31.07.2020)
Received deposits and loans, all foreign currencies (223 hodnoty, 31.07.2020)
Deposits and loans received from central banks, all foreign currencies (310 hodnot, 31.07.2020)
Deposits and loans received from other credit institutions, all foreign currencies (223 hodnoty, 31.07.2020)
Deposits and loans received from clients, all foreign currencies (223 hodnoty, 31.07.2020)
Non-marketable debt securities issued, all foreign currencies (280 hodnot, 31.07.2020)
Other debt securities issued, all foreign currencies (223 hodnoty, 31.07.2020)
Capital and reserves, all foreign currencies (223 hodnoty, 31.07.2020)
of which: Provisions, all foreign currencies (223 hodnoty, 31.07.2020)
of which: Share capital, all foreign currencies (96 hodnot, 31.12.2000)
of which: Profit(+)/loss(-) for previous year, all foreign currencies (17 hodnot, 28.02.2001)
of which: Profit(+)/loss(-) for the current period, all foreign currencies (41 hodnota, 31.12.2001)
Other on-balance sheet liabilities, all foreign currencies (223 hodnoty, 31.07.2020)
of which: Negative fair value of derivatives, all foreign currencies (331 hodnota, 31.07.2020)
Liabilities, main items, EUR
Total liabilities, EUR (223 hodnoty, 31.07.2020)
Received deposits and loans, EUR (223 hodnoty, 31.07.2020)
Deposits and loans received from central banks, EUR (202 hodnoty, 31.07.2020)
Deposits and loans received from other credit institutions, EUR (223 hodnoty, 31.07.2020)
Deposits and loans received from clients, EUR (223 hodnoty, 31.07.2020)
Non-marketable debt securities issued, EUR (223 hodnoty, 31.07.2020)
Other debt securities issued, EUR (178 hodnot, 31.07.2020)
Capital and reserves, EUR (223 hodnoty, 31.07.2020)
of which: Provisions, EUR (223 hodnoty, 31.07.2020)
of which: Share capital, EUR
of which: Profit(+)/loss(-) for previous year, EUR
of which: Profit(+)/loss(-) for the current period, EUR
Other on-balance sheet liabilities, EUR (223 hodnoty, 31.07.2020)
of which: Negative fair value of derivatives, EUR (223 hodnoty, 31.07.2020)

Ekonomické ukazatele České národní banky


 
 

Podobné sestavy

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Liabilities (Balance Sheet of commercial banks)
Liabilities (Aggregated balance sheet of investment funds (without MMF))
Liabilities (Financial liabilities, stocks, quaterly, Financial corporations)
Liabilities (Financial liabilities, stocks, quaterly, Central bank)
Liabilities (Financial liabilities, stocks, quaterly, Other monetary financial institutions)
Liabilities (Financial liabilities, stocks, quaterly, Other financial intermediaries, except insurance corporations and pension funds)
Liabilities (Financial liabilities, stocks, quaterly, Financial auxiliaries)
Liabilities (Financial liabilities, stocks, quaterly, Insurance corporations and pension funds)
Liabilities (Financial liabilities, stocks, quaterly, Households)
Liabilities (Financial liabilities, stocks, quaterly, Non-profit institutions serving households)
Aggregated balance sheet of the Czech National Bank - liabilities (Balance sheet of the Czech National Bank)
External liabilities (Aggregated balance sheet of the Czech National Bank - liabilities)
Remaining liabilities (Aggregated balance sheet of the Czech National Bank - liabilities)
Aggregated balance sheet of the Czech MFIs (excluding the CNB) - liabilities (Aggregated balance sheet of the Czech MFIs (excluding the CNB))
External liabilities (Aggregated balance sheet of the Czech MFIs (excluding the CNB) - liabilities)
Remaining liabilities (Aggregated balance sheet of the Czech MFIs (excluding the CNB) - liabilities)
Consolidated balance sheet of the Czech MFIs (including the CNB) - liabilities (levels) (Levels)
External liabilities (Consolidated balance sheet of the Czech MFIs (including the CNB) - liabilities (levels))
Remaining liabilities (Consolidated balance sheet of the Czech MFIs (including the CNB) - liabilities (levels))
Excess of inter MFI liabilities (Consolidated balance sheet of the Czech MFIs (including the CNB) - liabilities (levels))

Aplikace Ekonomika ČNB ze sekce makroekonomika zobrazuje časové řady hlavních makroekonomických údajů z ekonomiky ČR. Najdete zde přes 10.000 grafů různých hodnot od úrokových sazeb, přes statistiky státního rozpočtu, statistiky ČNB a data zpracovávaná ČSÚ. Data jsou k dispozici obvykle za posledních více než 20 let, od prosince roku 1992. Zdroj dat: ČNB ARAD

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