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Financial accounts. 1st Quarter 2010
3 Households and Non-profit institutions serving households. Other changes in assets and liabilities by financial instrument. Million NOK
2010:1 2009:4 2009:3 2009:2 2009:1 2008:4 2008:3 2008:2 2008:1 2007:4 2007:3 2007:2 2007:1 2006:4 2006:3 2006:2 2006:1 2005:4 2005:3 2005:2 2005:1 2004:4 2004:3 2004:2 2004:1 2003:4 2003:3 2003:2 2003:1 2002:4 2002:3 2002:2 2002:1 2001:4 2001:3 2001:2 2001:1 2000:4 2000:3 2000:2 2000:1 1999:4 1999:3 1999:2 1999:1 1998:4 1998:3 1998:2 1998:1 1997:4 1997:3 1997:2 1997:1 1996:4 1996:3 1996:2 1996:1
Assets   
Notes and coins (currency)   
transferable deposits -305 -200 -366 5 -146 859 472 28 -213 108 -265 -47 12 -253 157 -109 -157 432 -174 26 115 -661 -100 -8 126 -88 -87 1 261 271 -186 -16 417 -148 935 58 -47 4 084 -20 160 42 203 90 1 17 144 92 -113 67 180 90 -66 399 126 13 9 22 5
Other deposits -8 -9 -21 -6 -20 93 65 4 -42 22 -64 -9 2 -45 28 -24 -21 109 -32 5 27 -105 -14 -3 22 -17 -16 7 24 -19 -3 -44 -18 -26 23 -6 7 2 6 2 10 0 1 0 10 3 -13 20 18 6 -1 109 33 4 0 2 1
Certificates and Treasury bills 193 11 -13 -13 12 11 11 12 5 2 9 9 19 2 055 1 -59 1 0 1 0 1 0 2 -4 3 6 0 7 8 7 5 9 1 4 -52 28 -7 -5 1 3 10 25 0 35 -25 -22 -17 3 0 0 0 -63 99 0 1 -11 -125
Bearer bonds 605 -93 51 -433 -28 -756 -398 -170 -800 -468 -344 224 -173 1 291 1 -392 -60 1 135 -11 28 -74 269 99 -108 213 1 274 162 421 110 40 -106 -343 -106 -323 -779 -32 -2 223 -114 -91 -449 34 166 -163 881 -625 -234 -662 -155 55 -9 -132 827 -71 155 -1 -52 -1 475
Shares 4 192 7 425 7 015 5 200 -377 -14 884 -20 425 2 471 -12 386 2 340 -4 313 8 627 6 131 34 201 4 219 -1 316 13 348 -8 043 3 200 -14 819 -6 936 -6 133 -3 722 -13 080 -3 229 -8 495 -2 342 -4 689 -7 060 -1 797 -8 943 -13 769 -913 -1 138 -9 392 6 330 -2 167 -6 763 6 789 460 5 462 13 580 3 891 3 934 5 178 89 -13 473 -329 2 711 1 815 4 988 6 490 5 582 5 641 1 169 1 201 -747
Primary capital certificates 46 939 1 021 1 502 -570 -1 140 -1 179 -815 -1 419 -386 -92 -579 -483 387 152 -719 -888 1 091 734 2 162 -1 568 697 994 430 -623 671 666 483 -175 -372 -2 779 -199 527 636 -362 167 -355 409 446 726 -745 401 816 207 -123 347 -1 167 -109 -501 555 289 376 -90 414 273 -86 -55
Mutual funds shares 5 495 6 716 8 286 13 048 -4 005 -9 230 -15 177 3 366 -10 346 -388 -4 173 7 182 2 037 9 669 3 517 -3 953 6 552 -11 396 9 727 2 712 3 710 13 796 1 720 336 1 133 665 2 901 9 194 1 582 -4 262 -8 723 -9 363 7 463 798 -12 300 2 226 -993 -12 339 5 210 808 2 690 10 570 2 015 4 133 2 336 2 073 -13 312 -2 045 3 811 -2 509 3 975 3 411 2 220 2 591 316 1 488 1 027
Loans 0 0 0 0 -2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -64 -20 4 10 -2 -4 7 11 -6 -1 -11 -2 1 -3 1 40 -3 7 1 850 8 3 3 0 1 5 -6 1 13 6 -16 19 1 -5 1 5 2
Insurance technical reserves 7 169 4 952 4 123 -475 -3 823 -12 148 -20 350 -10 -21 467 -6 254 -6 254 9 156 9 156 8 461 12 194 -5 854 7 914 4 961 9 804 4 908 2 059 8 461 1 583 -1 363 12 130 5 343 1 027 5 207 -306 -7 351 -4 788 -2 409 -1 013 -5 543 -6 334 -356 -4 364 -1 972 2 173 -1 576 4 934 19 526 -498 3 797 15 266 2 655 -4 062 1 236 1 545 3 747 1 895 1 137 2 492 1 936 479 526 1 295
Other assets -1 419 -1 203 -3 703 -2 453 -5 933 1 165 1 763 1 224 1 166 755 754 755 4 614 2 622 2 570 2 570 2 371 2 579 1 454 1 454 1 454 1 454 2 652 2 653 2 653 1 762 1 762 1 763 1 762 286 290 286 288 372 388 389 372 433 433 432 432 235 236 235 237 358 362 357 359 66 67 65 65 88 90 90 86
Total assets 15 968 18 538 16 393 16 374 -14 893 -36 029 -55 218 6 109 -45 502 -4 269 -14 742 25 318 21 315 58 389 22 839 -9 856 29 061 -9 132 24 703 -3 524 -1 211 17 714 3 195 -11 144 12 438 1 119 4 070 13 660 -3 773 -13 659 -25 063 -25 425 6 078 -4 283 -28 753 8 701 -5 606 -20 371 15 133 2 299 13 039 44 597 6 301 13 239 22 398 5 366 -32 463 -954 8 190 3 766 10 998 12 770 10 457 10 836 2 337 3 185 15
     
Liabilities   
Bonds and certificates 0 -4 0 -135 0 -64 -110 -562 40 -47 -5 -94 149 41 0 -1 -3 -1 0 0 -36 0 -5 0 0 7 0 3 2 -2 0 0 0 2 0 0 -2 -1 1 0 0 -168 0 -369 8 -118 1 21 -103 3 -68 0 -113 22 -15 -2 -19
Loans granted by banks -448 -383 -3 009 -252 -2 298 4 768 1 448 -60 -930 105 -1 017 -380 -1 612 358 756 -527 10 451 30 379 -56 508 510 -3 282 3 718 156 879 -126 -412 963 1 793 -1 727 -34 -2 712 88 795 -1 258 -85 1 397 -604 746 -120 410 256 -257 41 622 21 -265 122 564 136 314 688 439 625 350 556 110
Loans granted by state lending institutions -5 0 -2 0 0 -1 0 0 0 -2 0 -1 -3 -9 6 -12 -5 -11 -3 -16 -12 -17 -27 22 -44 -8 -6 -12 7 -25 17 -15 -16 -15 -42 0 -14 -8 -5 1 500 -183 -12 -24 -11 -10 -5 -18 -12 -15 10 -20 -16 -39 -102 -17 -13 -12
Loans granted by mortgage companies 16 -29 15 -13 13 -25 5 1 -21 3 -10 -4 -92 31 63 -53 8 -29 674 -3 28 22 -564 -144 11 98 47 -56 90 277 -153 8 -397 -72 20 -75 8 33 -53 88 -15 219 19 -32 7 101 -14 -61 7 85 9 -13 190 72 -6 -10 44 0
Loans granted by finance companies 5 -74 -59 0 -126 -93 -24 -10 -59 -42 -85 -21 32 53 -15 -61 -10 561 -67 -13 -42 71 -285 -4 631 -90 46 -286 -87 -33 2 -59 -94 -91 -18 151 -73 28 -51 57 7 22 41 -117 -42 -53 78 -55 -35 -13 37 15 -8 23 2 153 -15 10 15
Loans granted by insurance companies 0 0 0 0 0 0 0 0 10 -3 0 0 3 -15 -1 0 1 0 -1 -1 0 0 1 15 102 19 -8 -25 -65 -1 2 -1 3 -9 1 2 0 -7 4 2 1 55 -15 2 1 -1 7 20 0 2 19 9 1 20 44 -3 0
Loans granted by other institutional sectors -197 0 -28 124 -844 47 32 -3 -15 -1 -17 -8 -4 0 0 0 -176 1 0 6 8 383 -90 18 103 -62 -60 77 210 -142 -3 -366 -41 43 -62 54 135 -36 96 11 70 39 -2 6 21 32 -41 14 49 32 -30 86 21 16 0 7 6
Other liabilities 0 1 065 1 065 1 060 2 712 -909 -909 -909 -905 2 019 2 021 2 021 10 298 582 581 581 581 80 80 80 79 1 080 1 012 1 012 1 144 99 100 100 100 349 349 349 349 77 77 77 77 357 357 357 357 161 161 161 161 86 86 86 86 134 134 175 175 167 167 142 142
Total liabilities -629 575 -2 018 785 -543 3 723 442 -1 543 -1 881 2 031 887 1 512 8 771 1 042 1 390 -74 296 706 5 563 641 -2 686 -166 1 145 2 327 -309 -529 1 163 2 325 -1 759 246 -3 234 293 1 064 -1 433 82 1 577 -294 1 294 4 631 915 234 -211 -215 983 -54 -326 244 704 342 328 1 155 558 895 504 742 242
     
Net assets 16 597 17 963 18 411 15 589 -14 350 -39 753 -55 660 7 653 -43 621 -6 300 -15 630 23 806 12 544 57 346 21 449 -9 782 28 765 -9 838 24 698 -4 087 -1 853 20 400 3 360 -12 289 10 110 1 428 4 599 12 497 -6 097 -11 901 -25 309 -22 191 5 786 -5 347 -27 321 8 618 -7 183 -20 077 13 840 -2 332 12 123 44 363 6 512 13 454 21 416 5 420 -32 137 -1 198 7 486 3 424 10 669 11 615 9 899 9 942 1 833 2 443 -227
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