| 金融机构人民币信贷收支表 单位:亿元 | ||||||||||||
| 项目 | 2000.01 | 2000.02 | 2000.03 | 2000.04 | 2000.05 | 2000.06 | 2000.07 | 2000.08 | 2000.09 | 2000.10 | 2000.11 | 2000.12 |
| 资金来源总计 | 123615.40 | 124251.90 | 125679.82 | 124728.16 | 124951.39 | 123652.62 | 124265.66 | 125219.61 | 127955.18 | 129037.03 | 131434.03 | 133325.32 |
| 各项存款 | 107778.80 | 109962.70 | 112320.22 | 113386.35 | 114679.66 | 117443.25 | 117155.09 | 118127.02 | 120048.33 | 119955.19 | 121868.23 | 123804.35 |
| 企业存款 | 35659.2 | 36010.90 | 37387.14 | 38357.08 | 39056.12 | 40739.83 | 40239.49 | 41146.52 | 42685.74 | 42147.46 | 42541.59 | 44093.73 |
| 财政存款 | 2412.9 | 2146.2 | 2702.67 | 2634.15 | 3378.95 | 3489.45 | 3662.40 | 3383.41 | 3143.65 | 3685.56 | 4427.74 | 3508.09 |
| 机关团体存款 | 1588.9 | 1610.8 | 1629.74 | 1672.53 | 1705.96 | 1803.64 | 1872.62 | 1942.29 | 2015.71 | 2038.45 | 2079.70 | 2224.27 |
| 储蓄存款 | 60241.80 | 62270.30 | 62492.29 | 62536.12 | 62195.39 | 62842.38 | 62841.50 | 62861.11 | 63243.27 | 63122.34 | 63492.06 | 64332.38 |
| 活期储蓄 | 14975.00 | 15726.80 | 16001.83 | 16115.39 | 16066.60 | 16640.16 | 16642.47 | 16764.26 | 17308.88 | 17135.05 | 17404.70 | 18190.72 |
| 定期储蓄 | 45266.80 | 46543.40 | 46490.46 | 46420.73 | 46128.79 | 46202.22 | 46199.03 | 46096.85 | 45934.39 | 45987.29 | 46087.36 | 46141.66 |
| 农业存款 | 1989.9 | 1939.6 | 2043.04 | 2047.80 | 2101.13 | 2194.38 | 2190.16 | 2268.50 | 2349.83 | 2341.86 | 2443.12 | 2642.86 |
| 信托存款 | 3063.3 | 3129.4 | 3058.50 | 2999.91 | 2923.31 | 2863.37 | 2885.57 | 2876.52 | 2834.78 | 2811.10 | 2835.08 | 2873.63 |
| 其他存款 | 2822.7 | 2855.4 | 3006.84 | 3138.76 | 3318.80 | 3510.20 | 3463.35 | 3648.67 | 3775.35 | 3808.42 | 4048.94 | 4129.39 |
| 金融债券 | 38.9 | 38.5 | 37.22 | 35.92 | 35.90 | 36.91 | 35.36 | 35.07 | 33.59 | 32.39 | 31.56 | 30.19 |
| 流通中货币 | 16093.90 | 13983.00 | 13235.40 | 13675.50 | 13075.45 | 13006.04 | 13156.47 | 13378.68 | 13894.69 | 13589.45 | 13877.70 | 14652.65 |
| 对国际金融机构负债 | 378.0 | 374.3 | 373.84 | |||||||||
| 其他 | -674.4 | -106.5 | -286.87 | -2369.61 | -2839.62 | -6833.58 | -6081.26 | -6321.16 | -6021.43 | -4540.00 | -4343.46 | -5161.87 |
| 资金运用总计 | 123615.40 | 124251.90 | 125679.82 | 124728.16 | 124951.39 | 123652.62 | 124265.66 | 125219.61 | 127955.18 | 129037.03 | 131434.03 | 133325.32 |
| 各项贷款 | 93838.20 | 94352.90 | 95776.55 | 96604.65 | 96174.88 | 94847.87 | 94362.51 | 94874.36 | 95995.51 | 96709.81 | 98180.28 | 99371.07 |
| 短期贷款 | 64225.30 | 64472.00 | 65456.07 | 65910.96 | 65263.96 | 63711.09 | 62958.05 | 63174.12 | 63798.70 | 64133.09 | 65043.07 | 65748.07 |
| 工业贷款 | 17924.80 | 18038.70 | 18340.26 | 18415.43 | 18214.56 | 17830.38 | 17358.34 | 17231.24 | 17088.89 | 17054.58 | 17084.39 | 17019.33 |
| 商业贷款 | 19898.80 | 19820.60 | 19846.54 | 19730.54 | 19312.79 | 18209.27 | 17836.90 | 17669.83 | 17705.33 | 17703.41 | 17819.91 | 17868.50 |
| 建筑业贷款 | 1486.5 | 1491.0 | 1510.53 | 1521.45 | 1522.86 | 1537.16 | 1552.57 | 1575.14 | 1610.41 | 1618.21 | 1630.43 | 1617.05 |
| 农业贷款 | 4852.3 | 4895.9 | 5024.41 | 5136.15 | 5072.58 | 4930.23 | 4941.73 | 4985.16 | 5025.78 | 5025.60 | 4978.27 | 4888.99 |
| 其他短期贷款 | 20062.90 | 20225.80 | 20743.33 | 21107.39 | 21141.17 | 21204.05 | 21268.51 | 21712.75 | 22368.29 | 22731.29 | 23530.07 | 24354.20 |
| 中长期贷款 | 23851.20 | 24040.70 | 24605.00 | 24936.27 | 25093.43 | 25302.95 | 25509.84 | 25806.66 | 26323.62 | 26679.51 | 27180.85 | 27931.19 |
| 信托贷款 | 2511.4 | 2529.9 | 2397.12 | 2369.08 | 2356.74 | 2372.02 | 2361.00 | 2361.43 | 2358.49 | 2318.73 | 2365.59 | 2409.71 |
| 其他类贷款 | 3250.2 | 3310.3 | 3318.36 | 3388.34 | 3460.75 | 3461.81 | 3533.62 | 3532.15 | 3514.70 | 3578.48 | 3590.77 | 3282.10 |
| 有价证券及投资 | 12569.40 | 12694.90 | 12657.29 | 13077.85 | 13611.30 | 13579.39 | 14742.06 | 15159.62 | 16696.80 | 16827.23 | 17647.15 | 19651.07 |
| 金银占款 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 | 12.04 |
| 外汇占款 | 15016.20 | 15015.50 | 15056.16 | 15033.62 | 15153.17 | 15213.32 | 15149.05 | 15173.59 | 15250.83 | 15487.95 | 15594.56 | 14291.14 |
| 财政借款 | 1582.1 | 1582.1 | 1582.06 | |||||||||
| 对国际金融机构资产 | 597.5 | 594.5 | 595.72 | |||||||||