| 货币当局资产负债表 单位:亿元 | ||||||||||||
| 项目 | 2001.01 | 2001.02 | 2001.03 | 2001.04 | 2001.05 | 2001.06 | 2001.07 | 2001.08 | 2001.09 | 2001.10 | 2001.11 | 2001.12 |
| 资产 | ||||||||||||
| 国外资产(净) | 15090.16 | 15777.71 | 15857.73 | 15957.96 | 16094.66 | 17037.70 | 17334.43 | 17773.83 | 17768.70 | 18869.11 | 19302.16 | 19860.40 |
| 外汇 | 14496.75 | 15002.82 | 15088.96 | 15196.87 | 15339.23 | 16282.05 | 16576.08 | 17015.41 | 17505.30 | 18099.43 | 18533.53 | 18850.19 |
| 黄金 | 12.00 | 12.00 | 12.00 | 12.00 | 12.00 | 12.00 | 12.00 | 12.00 | 12.00 | 12.00 | 12.00 | 256.00 |
| 其他国外资产 | 581.41 | 762.89 | 756.77 | 749.09 | 743.43 | 743.65 | 746.35 | 746.42 | 251.40 | 757.68 | 756.63 | 754.21 |
| 对政府债权 | 2729.84 | 2801.81 | 2731.05 | 2840.50 | 2841.76 | 2841.19 | 2842.73 | 2855.30 | 2811.49 | 2813.69 | 2817.04 | 2821.33 |
| 对存款货币银行债权 | 12336.41 | 10048.72 | 10067.93 | 11073.79 | 11066.85 | 11257.03 | 11302.12 | 11239.36 | 11205.27 | 11115.56 | 11064.22 | 11311.60 |
| 对非货币金融机构债权 | 8515.10 | 8515.10 | 8440.81 | 8441.59 | 8321.65 | 8322.35 | 8261.97 | 8272.97 | 8276.10 | 8279.91 | 8460.34 | 8547.31 |
| 对非金融部门债权 | 228.85 | 229.00 | 229.25 | 228.94 | 233.87 | 234.00 | 233.84 | 234.11 | 233.70 | 233.64 | 197.50 | 195.54 |
| 负债 | ||||||||||||
| 储备货币 | 36864.71 | 35591.80 | 35634.12 | 34795.10 | 35118.59 | 35596.80 | 35498.65 | 36029.46 | 35727.46 | 36126.40 | 37566.32 | 39851.73 |
| 发行货币 | 19039.64 | 16085.71 | 15577.13 | 15806.24 | 15063.16 | 15172.09 | 15222.05 | 15499.73 | 16423.50 | 15674.40 | 15949.80 | 16868.71 |
| 对金融机构负债 | 13193.98 | 14671.37 | 15064.29 | 13940.66 | 14948.09 | 15198.80 | 14971.35 | 15165.23 | 13847.36 | 14900.60 | 15975.37 | 17089.13 |
| 准备金存款 | 13193.98 | 14671.37 | 15064.29 | 13940.66 | 14948.09 | 15198.80 | 14971.35 | 15165.23 | 13847.36 | 14900.60 | 15975.37 | 17089.13 |
| 非金融机构存款 | 4631.09 | 4834.72 | 4992.70 | 5048.20 | 5107.34 | 5225.91 | 5305.25 | 5364.50 | 5456.60 | 5551.40 | 5641.15 | 5893.89 |
| 债券 | ||||||||||||
| 政府存款 | 3678.27 | 3290.31 | 3450.33 | 4503.63 | 3985.26 | 3983.01 | 4407.51 | 4274.23 | 4283.77 | 4815.97 | 4138.34 | 2850.49 |
| 自有资金 | 356.75 | 356.75 | 355.21 | 355.21 | 355.21 | 355.21 | 355.21 | 355.21 | 355.21 | 355.21 | 355.21 | 355.21 |
| 其他(净) | -1999.37 | -1866.52 | -2112.89 | -1111.16 | -900.27 | -242.75 | -286.28 | -283.33 | -71.18 | 14.33 | -218.61 | -321.25 |