| 金融机构本外币信贷收支表 | ||||||||||||||
| (2005年) | ||||||||||||||
| 单位:人民币亿元 | ||||||||||||||
| 2005.01 | 2005.02 | 2005.03 | 2005.04 | 2005.05 | 2005.06 | 2005.07 | 2005.08 | 2005.09 | 2005.10 | 2005.11 | 2005.12 | |||
| 汇率 | ||||||||||||||
| 来源方项目 | ||||||||||||||
| 一、各项存款 | 258475.91 | 262147.76 | 269043.29 | 272384.55 | 276162.32 | 282820.27 | 283747.54 | 288146.95 | 292629.82 | 294388.89 | 298493.40 | 300208.55 | ||
| 1.企业存款 | 88144.60 | 86461.89 | 90496.60 | 91429.57 | 93066.09 | 96220.46 | 94254.96 | 96405.15 | 98560.18 | 98118.66 | 99593.61 | 101750.55 | ||
| (1)活期存款 | 60802.49 | 58598.86 | 61403.87 | 60643.30 | 62328.97 | 64251.09 | 62097.05 | 63288.31 | 62775.71 | 63554.29 | 64885.55 | 66222.96 | ||
| (2)定期存款 | 27342.11 | 27863.03 | 29092.73 | 30786.27 | 30737.12 | 31969.37 | 32157.91 | 33116.84 | 35784.47 | 34564.37 | 34708.06 | 35527.59 | ||
| 2.储蓄存款 | 128817.12 | 134412.03 | 135803.23 | 136338.45 | 136975.93 | 138673.97 | 139800.70 | 140546.56 | 142310.74 | 142831.75 | 144481.79 | 147053.74 | ||
| (1)活期储蓄 | 43662.62 | 45347.16 | 45498.33 | 45514.41 | 45547.93 | 46300.83 | 46635.83 | 46761.07 | 47512.20 | 47361.50 | 48515.00 | 50137.03 | ||
| (2)定期储蓄 | 85154.50 | 89064.87 | 90304.90 | 90824.04 | 91428.00 | 92373.14 | 93164.87 | 93785.49 | 94798.54 | 95470.25 | 95966.79 | 96916.71 | ||
| 3.委托及信托存款 | 3213.35 | 3251.57 | 3294.32 | 3358.70 | 3368.90 | 3413.59 | 3467.04 | 3391.43 | 3510.73 | 3526.17 | 3551.46 | 3524.72 | ||
| 4.其他存款 | 38300.84 | 38022.27 | 39449.14 | 41257.83 | 42751.40 | 44512.25 | 46224.84 | 47803.81 | 48248.17 | 49912.31 | 50866.54 | 47879.54 | ||
| 二、对国际金融机构负债 | 598.01 | 598.01 | 617.36 | 623.06 | 611.17 | 622.30 | 624.30 | 641.65 | 641.63 | 641.61 | 641.60 | 641.57 | ||
| 三、其他 | -24191.03 | -26961.88 | -29877.36 | -30720.75 | -35107.60 | -42089.99 | -43489.39 | -45399.25 | -46312.45 | -46937.14 | -48475.72 | -47941.49 | ||
| 资金来源总计 | 234882.88 | 235783.88 | 239783.30 | 242286.87 | 241665.89 | 241352.57 | 240882.45 | 243389.36 | 246959.00 | 248093.36 | 250659.27 | 252908.63 | ||
| 运用方项目 | ||||||||||||||
| 一、各项贷款 | 193072.01 | 194025.74 | 197616.44 | 199135.41 | 198662.24 | 198565.85 | 198177.74 | 199903.86 | 203052.76 | 203552.89 | 205658.82 | 206838.48 | ||
| 1.短期贷款 | 91678.95 | 92094.10 | 93567.85 | 93636.11 | 92711.93 | 90949.16 | 90519.40 | 90708.86 | 91520.43 | 91304.90 | 91702.28 | 91157.45 | ||
| 2.中长期贷款 | 83108.54 | 83637.58 | 85085.71 | 85848.88 | 86161.71 | 87072.08 | 87117.24 | 87873.58 | 89396.09 | 90241.82 | 91087.19 | 92940.53 | ||
| 3.委托及信托贷款 | 2923.37 | 2904.29 | 3011.46 | 3077.46 | 3086.92 | 3114.08 | 3162.36 | 3165.19 | 3282.51 | 3277.62 | 3282.93 | 3208.08 | ||
| 4.票据融资 | 12124.40 | 12134.28 | 12693.06 | 13272.71 | 13379.23 | 14137.76 | 14174.80 | 14979.83 | 15598.43 | 15420.04 | 16308.42 | 16319.16 | ||
| 5.其它类贷款 | 3236.75 | 3255.49 | 3258.36 | 3300.25 | 3322.45 | 3292.77 | 3203.94 | 3176.40 | 3255.30 | 3308.51 | 3278.00 | 3213.26 | ||
| 二、有价证券及投资 | 40537.09 | 40479.76 | 40897.97 | 41874.97 | 41743.18 | 41521.21 | 41446.80 | 42266.32 | 42689.23 | 43323.87 | 43786.54 | 44870.95 | ||
| 三、金银占款 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | 337.24 | ||
| 四、在国际金融机构资产 | 936.54 | 941.14 | 931.65 | 939.25 | 923.23 | 928.27 | 920.67 | 881.94 | 879.77 | 879.36 | 876.67 | 861.96 | ||
| 资金运用总计 | 234882.88 | 235783.88 | 239783.30 | 242286.87 | 241665.89 | 241352.57 | 240882.45 | 243389.36 | 246959.00 | 248093.36 | 250659.27 | 252908.63 | ||