92335_tabell_125914_not-searchable
/en/nasjonalregnskap-og-konjunkturer/statistikker/finsek/kvartal
92335_tabell_125914
statistikk
2013-06-27T10:00:00.000Z
National accounts and business cycles
en
false

Financial accountsQ1 2013

Content

Households and NPISH, assets and liabilities by financial instrument. NOK million.
3rd quarter 20114th quarter 20111st quarter 20122nd quarter 20123rd quarter 20124th quarter 20121st quarter 2013
Assets
Currency and deposits895 872922 091932 358983 993973 647985 896995 295
Currency41 28545 04841 99942 85742 44644 60840 776
Deposits854 587877 043890 359941 136931 201941 288954 519
Bonds16 43916 34316 97817 01817 34017 16116 909
Shares245 467247 333260 470252 474259 987257 312267 479
Quoted shares80 11484 74899 87691 92197 63897 988107 055
Unquoted shares165 353162 585160 594160 553162 349159 324160 424
Equity Certificates10 33310 1688 4147 9748 75110 06711 533
Mutual funds shares115 858119 742126 022119 754124 593123 667131 818
Lending88 46388 70389 32789 81789 86090 18390 263
Insurance technical reserves1 047 6921 067 0101 105 0251 114 8121 140 8811 161 3791 198 967
Other accounts receivable371 679379 464387 801375 648392 678394 805404 939
Total assets2 824 8482 884 1772 960 0522 995 4763 042 0563 075 1203 152 153
 
Liabilities
Loans2 236 7632 277 6522 315 6592 365 5952 404 1452 451 0492 483 123
Banks1 064 9951 053 4221 024 1151 034 7311 031 6381 043 1731 042 945
Mortgage companies826 590872 121929 920960 7481 000 5731 024 4441 045 872
Finance companies42 22242 96942 23843 90644 66345 04746 097
State lending institutions182 122184 455187 949188 779186 555190 633194 145
Insurance corporations and pension funds13 12812 82214 77115 15215 47415 52815 345
Other sectors107 706111 863116 666122 279125 242132 224138 719
Other accounts payable179 382195 569183 240204 551189 592195 523181 110
Total liabilities2 416 1452 473 2212 498 8992 570 1462 593 7362 646 5732 664 233
 
Net financial assets408 703410 956461 153425 330448 320428 548487 921
Change in net assets-72 9412 25350 197-35 82322 990-19 77259 373
Net lending-12 959-1 08222 511-13 860-4 289-16 11937 270
Other changes-59 9813 33427 686-21 96327 279-3 65322 103