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Appendix table 2. Balance sheets of domestic banks 1.1.- 30.9.2016, EUR thousands

  1.1.- 30.9.2016
Commercial banks Co-operative banks total Savings banks total Domestic banks total
ASSETS        
Cash, cash balances at central banks and other demand deposits 69 412 550 1 497 959 620 221 71 530 729
Financial assets held for trading 151 668 177 150 679 216 151 819 072
Financial assets designated at fair value through profit or loss 268 202 7 777 17 805 293 784
Available-for-sale financial assets 26 292 934 6 749 568 1 563 650 34 606 152
Loans and receivables 141 434 001 57 936 029 8 038 705 207 408 735
Held-to-maturity investments 942 493 55 645 22 581 1 020 718
Derivatives - Hedge accounting (assets) 1 861 782 144 187 91 675 2 097 644
Fair value changes of the hedge items in portfolio hedge of interest rate risk (assets) 43 932 - 1) - 43 932
Investments in subsidiaries, joint ventures and associates 1 762 692 17 297 1 409 1 781 398
Investments of investment service companies in subsidiaries, joint ventures and associates - - - -
Tangible assets 122 006 793 110 132 049 1 047 165
Intangible assets 206 135 8 722 16 061 230 919
Other assets 19 757 496 90 177 42 401 19 890 074
Non-current assets held for sale and transferable item groups - - - -
Tax assets 67 337 15 237 2 393 84 966
TOTAL ASSETS 413 839 736 67 466 388 10 549 165 491 855 289
LIABILITIES - - - -
Financial liabilities held for trading 129 743 590 59 448 112 129 803 150
Financial assets designated at fair value through profit or loss 1 787 343 - - 1 787 343
Financial liabilities measured at amortised cost 240 381 710 56 578 927 9 144 404 306 105 041
Derivatives - Hedge accounting (liabilities) 672 484 4 448 1 439 678 371
Fair value changes of the hedge items in portfolio hedge of interest rate risk (liabilities) 922 842 3 396 69 831 996 069
Provisions 103 632 13 729 317 117 679
Tax liabilities 73 481 32 752 19 845 126 078
Share capital repayable on demand - - - -
Other Liabilities 22 847 628 1 914 856 377 631 25 140 115
Liabilities included in disposal groups classified as held for sale - - - -
Depreciation difference - - - -
Voluntary provisions - - - -
TOTAL LIABILITIES 396 532 711 58 607 556 9 613 580 464 753 847
Equity 3 227 166 3 299 450 113 643 6 640 258
Share premium 1 157 282 - 10 320 1 167 602
Equity instruments issued other than capital - - - -
Other equity 42 204 - - 42 204
Accumulated other comprehensive income 101 644 116 081 54 675 272 400
Retained earnings 10 508 309 2 951 451 374 694 13 834 454
Revaluation reserves - - - -
Other reserves 1 186 468 2 045 350 319 335 3 551 153
(-) Treasury shares -383 - - -383
Profit or loss allocated to shareholders of the parent company 1 084 335 446 501 62 920 1 593 755
(-) Interim dividends - - - -
Minority interests (non-controlling owners’ interests) - - - -
TOTAL EQUITY 17 307 025 8 858 832 935 586 27 101 443
TOTAL EQUITY AND TOTAL LIABILITIES 413 839 736 67 466 388 10 549 165 491 855 289
1) no observations

Source: Credit institutions' annual accounts, Statistics Finland

Inquiries: Jarkko Kaunisto 029 551 3551, Anu Karhu 029 551 3325, rahoitusmarkkinat@stat.fi

Director in charge: Ville Vertanen


Updated 22.12.2016

Referencing instructions:

Official Statistics of Finland (OSF): Financial statement statistics on credit institutions [e-publication].
ISSN=2342-5180. 3rd quarter 2016, Appendix table 2. Balance sheets of domestic banks 1.1.- 30.9.2016, EUR thousands . Helsinki: Statistics Finland [referred: 20.12.2024].
Access method: http://www.stat.fi/til/llai/2016/03/llai_2016_03_2016-12-22_tau_002_en.html