Table
Banks. Balance sheet. NOK million | November 2014 | October 2014 | September 2014 | August 2014 | July 2014 | June 2014 | May 2014 | April 2014 | March 2014 | February 2014 | January 2014 | December 2013 | November 2013 |
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Assets | | | | | | | | | | | | | |
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Notes and divisionary coin | 54 483 | 97 007 | 78 468 | 97 018 | 76 142 | 74 435 | 48 613 | 46 738 | 52 583 | 71 433 | 89 695 | 154 236 | 65 897 |
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Loans to and claims on financial institutions | 827 853 | 813 461 | 743 822 | 767 694 | 778 789 | 801 650 | 797 015 | 862 103 | 770 997 | 814 984 | 801 722 | 716 407 | 736 238 |
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Loans to and claims on customers | 2 436 984 | 2 406 734 | 2 384 832 | 2 361 133 | 2 366 662 | 2 364 176 | 2 346 388 | 2 314 977 | 2 294 287 | 2 279 837 | 2 285 753 | 2 271 900 | 2 265 524 |
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Certificates and bonds | 555 193 | 551 843 | 550 445 | 544 211 | 552 213 | 561 430 | 599 972 | 593 159 | 596 618 | 651 946 | 647 731 | 635 215 | 671 405 |
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Shares, equity capital certificate e.g. | 149 508 | 148 933 | 146 523 | 147 775 | 148 519 | 153 644 | 152 615 | 150 396 | 150 111 | 148 289 | 146 873 | 142 756 | 140 093 |
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Financial derivatives | 325 033 | 294 580 | 256 680 | 246 174 | 254 845 | 245 868 | 239 314 | 230 179 | 233 012 | 242 661 | 254 469 | 233 775 | 201 874 |
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Intangible assets | 10 248 | 10 276 | 10 311 | 10 342 | 10 362 | 10 374 | 10 509 | 10 561 | 10 579 | 6 972 | 7 025 | 10 694 | 6 927 |
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Durable operating equipment | 10 733 | 10 712 | 10 689 | 10 760 | 10 814 | 10 756 | 10 759 | 10 760 | 10 713 | 10 501 | 10 535 | 10 489 | 10 167 |
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Other assets | 93 335 | 84 535 | 84 902 | 90 261 | 75 876 | 86 655 | 86 830 | 82 356 | 95 585 | 103 530 | 103 933 | 95 495 | 86 715 |
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Total assets | 4 463 370 | 4 418 082 | 4 266 673 | 4 275 366 | 4 274 223 | 4 308 988 | 4 292 015 | 4 301 229 | 4 214 486 | 4 330 154 | 4 347 735 | 4 270 968 | 4 184 840 |
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Liabilities | | | | | | | | | | | | | |
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Deposits from financial institutions | 844 414 | 844 981 | 804 566 | 826 977 | 855 309 | 856 401 | 878 414 | 910 558 | 843 525 | 893 993 | 915 614 | 915 511 | 853 730 |
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Deposits from customers | 2 090 638 | 2 107 042 | 2 060 746 | 2 093 239 | 2 059 172 | 2 080 369 | 2 013 642 | 2 035 363 | 1 988 740 | 2 011 670 | 2 001 538 | 1 963 220 | 1 949 385 |
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Certificate and bond debt | 629 476 | 615 065 | 586 688 | 559 200 | 581 261 | 592 494 | 578 362 | 590 820 | 583 681 | 576 722 | 568 348 | 575 277 | 592 963 |
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Other loans | 50 610 | 46 887 | 51 763 | 57 223 | 56 417 | 55 947 | 128 602 | 80 963 | 80 682 | 121 647 | 125 780 | 116 275 | 117 073 |
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Financial derivatives | 302 565 | 268 716 | 238 247 | 227 309 | 231 953 | 221 683 | 204 533 | 199 554 | 213 393 | 220 717 | 232 314 | 216 317 | 169 545 |
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Other liabilities | 164 018 | 153 141 | 145 926 | 133 862 | 120 649 | 136 561 | 127 481 | 126 091 | 149 031 | 154 570 | 153 683 | 130 716 | 154 117 |
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Subordinated loan capital | 66 967 | 66 706 | 66 058 | 65 680 | 66 896 | 66 572 | 64 546 | 64 569 | 64 793 | 64 584 | 65 702 | 64 448 | 64 208 |
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Total liabilities | 4 148 688 | 4 102 537 | 3 953 993 | 3 963 490 | 3 971 658 | 4 010 025 | 3 995 579 | 4 007 918 | 3 923 846 | 4 043 902 | 4 062 979 | 3 981 763 | 3 901 021 |
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Equity | | | | | | | | | | | | | |
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Share and owner share capital | 58 026 | 58 114 | 57 667 | 57 668 | 57 662 | 57 112 | 56 999 | 56 903 | 56 884 | 56 667 | 56 669 | 56 731 | 55 630 |
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Other paid in equity (share premium account etc.) | 36 095 | 36 094 | 36 544 | 36 544 | 36 092 | 36 641 | 36 745 | 36 785 | 36 591 | 36 030 | 36 020 | 35 754 | 35 316 |
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Earned equity capital | 186 898 | 189 990 | 189 953 | 191 185 | 185 424 | 185 843 | 186 617 | 187 051 | 187 261 | 188 195 | 189 191 | 166 310 | 164 858 |
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Undistributed profit | 33 663 | 31 346 | 28 515 | 26 480 | 23 386 | 19 366 | 16 075 | 12 571 | 9 905 | 5 359 | 2 876 | 30 411 | 28 016 |
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Total equity | 314 682 | 315 544 | 312 679 | 311 876 | 302 565 | 298 962 | 296 435 | 293 310 | 290 641 | 286 251 | 284 756 | 289 205 | 283 819 |
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Total liabilities and equity | 4 463 370 | 4 418 081 | 4 266 673 | 4 275 366 | 4 274 223 | 4 308 987 | 4 292 015 | 4 301 229 | 4 214 486 | 4 330 153 | 4 347 735 | 4 270 968 | 4 184 840 |
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