Table
Banks. Balance sheet. NOK million | October 2013 | September 2013 | August 2013 | July 2013 | June 2013 | May 2013 | April 2013 | March 2013 | February 2013 | January 2013 | December 2012 | November 2012 | October 2012 |
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Assets | | | | | | | | | | | | | |
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Notes and divisionary coin | 68 095 | 49 450 | 126 455 | 93 123 | 89 946 | 72 413 | 99 034 | 130 123 | 124 318 | 130 818 | 263 677 | 193 185 | 302 891 |
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Loans to and claims on financial institutions | 736 748 | 697 370 | 697 150 | 700 229 | 672 259 | 721 265 | 707 409 | 555 607 | 622 909 | 633 441 | 548 348 | 608 712 | 517 789 |
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Loans to and claims on customers | 2 243 820 | 2 236 518 | 2 232 916 | 2 221 298 | 2 218 078 | 2 198 052 | 2 185 868 | 2 178 580 | 2 171 541 | 2 172 849 | 2 165 128 | 2 186 275 | 2 176 209 |
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Certificates and bonds | 664 918 | 659 933 | 648 631 | 634 369 | 637 937 | 640 843 | 655 004 | 650 624 | 638 621 | 623 915 | 644 245 | 623 885 | 621 516 |
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Shares, equity capital certificate e.g. | 136 909 | 136 293 | 137 355 | 118 442 | 118 337 | 118 192 | 117 094 | 116 487 | 116 498 | 115 887 | 113 057 | 113 184 | 102 952 |
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Financial derivatives | 183 088 | 175 370 | 177 978 | 177 111 | 185 359 | 188 230 | 197 626 | 195 589 | 189 481 | 191 004 | 200 631 | 198 778 | 196 562 |
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Intangible assets | 6 973 | 6 959 | 6 963 | 6 841 | 6 813 | 7 407 | 7 392 | 7 428 | 7 457 | 7 475 | 6 947 | 7 169 | 7 175 |
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Durable operating equipment | 10 012 | 10 035 | 9 906 | 9 975 | 9 922 | 9 969 | 9 975 | 9 935 | 10 036 | 9 954 | 9 944 | 9 612 | 9 558 |
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Other assets | 80 247 | 85 945 | 78 938 | 77 512 | 81 170 | 91 164 | 96 903 | 80 352 | 87 523 | 127 461 | 94 859 | 99 352 | 87 597 |
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Total assets | 4 130 811 | 4 057 873 | 4 116 291 | 4 038 900 | 4 019 820 | 4 047 534 | 4 076 305 | 3 924 724 | 3 968 384 | 4 012 805 | 4 046 836 | 4 040 154 | 4 022 251 |
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| | | | | | | | | | | | | |
Liabilities | | | | | | | | | | | | | |
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Deposits from financial institutions | 858 944 | 843 466 | 883 318 | 846 863 | 828 398 | 836 294 | 844 321 | 797 030 | 822 042 | 837 969 | 875 227 | 868 963 | 865 118 |
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Deposits from customers | 1 927 591 | 1 888 955 | 1 935 672 | 1 912 208 | 1 920 634 | 1 869 657 | 1 862 451 | 1 820 296 | 1 842 935 | 1 834 691 | 1 819 018 | 1 802 192 | 1 806 881 |
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Certificate and bond debt | 583 859 | 570 076 | 565 961 | 565 297 | 557 263 | 573 657 | 576 402 | 563 728 | 552 407 | 566 972 | 607 306 | 611 885 | 609 086 |
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Other loans | 122 037 | 122 840 | 127 753 | 126 418 | 126 953 | 179 940 | 188 498 | 160 830 | 167 742 | 149 578 | 157 010 | 150 117 | 156 709 |
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Financial derivatives | 153 286 | 148 107 | 149 746 | 142 573 | 149 773 | 148 103 | 152 627 | 151 724 | 143 722 | 142 280 | 150 492 | 145 560 | 145 176 |
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Other liabilities | 142 237 | 148 034 | 125 242 | 119 042 | 114 682 | 122 929 | 138 333 | 120 512 | 131 216 | 174 355 | 120 688 | 147 987 | 124 460 |
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Subordinated loan capital | 62 267 | 59 123 | 52 868 | 53 300 | 52 943 | 50 542 | 50 784 | 50 330 | 50 264 | 49 997 | 53 296 | 52 527 | 57 114 |
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Total liabilities | 3 850 223 | 3 780 601 | 3 840 559 | 3 765 701 | 3 750 645 | 3 781 123 | 3 813 415 | 3 664 451 | 3 710 329 | 3 755 841 | 3 783 037 | 3 779 232 | 3 764 543 |
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| | | | | | | | | | | | | |
Equity | | | | | | | | | | | | | |
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Share and owner share capital | 55 620 | 55 244 | 55 337 | 55 340 | 53 951 | 53 909 | 53 760 | 53 552 | 53 549 | 53 441 | 53 419 | 49 937 | 48 537 |
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Other paid in equity (share premium account etc.) | 35 239 | 34 620 | 34 563 | 34 561 | 35 064 | 34 463 | 34 134 | 34 331 | 34 362 | 33 739 | 33 638 | 36 240 | 34 001 |
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Earned equity capital | 164 640 | 164 756 | 164 877 | 164 874 | 165 417 | 165 176 | 165 753 | 166 039 | 166 737 | 167 743 | 149 183 | 149 310 | 151 188 |
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Undistributed profit | 25 089 | 22 652 | 20 954 | 18 425 | 14 741 | 12 864 | 9 243 | 6 352 | 3 408 | 2 041 | 27 560 | 25 435 | 23 981 |
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Total equity | 280 588 | 277 272 | 275 732 | 273 200 | 269 174 | 266 411 | 262 890 | 260 273 | 258 055 | 256 964 | 263 799 | 260 922 | 257 708 |
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| | | | | | | | | | | | | |
Total liabilities and equity | 4 130 811 | 4 057 873 | 4 116 291 | 4 038 900 | 4 019 820 | 4 047 533 | 4 076 305 | 3 924 724 | 3 968 384 | 4 012 805 | 4 046 836 | 4 040 154 | 4 022 251 |
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