| 金融机构本外币信贷收支表 | |||||||||||||||
| Summary of Sources & Uses of Funds of Financial Institutions | |||||||||||||||
| (in RMB and Foreign Currency) | |||||||||||||||
| 单位:亿元人民币 | |||||||||||||||
| Unit: RMB 100 Million Yuan | |||||||||||||||
| 项目 Item | 2013.01 | 2013.02 | 2013.03 | 2013.04 | 2013.05 | 2013.06 | 2013.07 | 2013.08 | 2013.09 | 2013.10 | 2013.11 | 2013.12 | |||
| 来源方项目 Funds Sources | |||||||||||||||
| 一、各项存款 Total Deposits | 955111.60 | 963299.82 | 1006981.79 | 1005867.12 | 1020353.92 | 1036401.05 | 1032779.28 | 1041435.30 | 1058478.06 | 1054266.59 | 1059875.12 | 1070587.72 | |||
| 1.单位存款 Corporate Deposits | 480100.80 | 469562.37 | 501639.99 | 506247.83 | 512987.83 | 517390.21 | 511239.86 | 518484.15 | 525817.13 | 524978.21 | 529420.46 | 541793.87 | |||
| 其中:活期存款 Demand Deposits | 205069.15 | 194405.70 | 208105.20 | 205199.63 | 207307.75 | 210361.77 | 207297.99 | 209316.87 | 207480.97 | 213008.72 | 214996.16 | 224045.38 | |||
| 定期存款 Time Deposits | 133110.39 | 135820.19 | 141576.25 | 145333.19 | 148357.82 | 149921.15 | 150519.93 | 152217.51 | 155661.59 | 153805.11 | 153450.17 | 155196.65 | |||
| 通知存款 Notice Deposits | 15257.47 | 15698.05 | 17495.36 | 18165.50 | 17493.74 | 17633.70 | 16286.60 | 16684.66 | 23292.43 | 17887.38 | 17609.47 | 17601.27 | |||
| 保证金存款 Margin Deposits | 58905.59 | 57923.62 | 62055.97 | 64061.52 | 63982.34 | 62357.79 | 59618.56 | 61027.96 | 61146.38 | 59506.95 | 60173.40 | 61003.75 | |||
| 2.个人存款 Personal Deposits | 423061.36 | 440909.59 | 453058.75 | 443532.23 | 446343.31 | 457520.82 | 453472.09 | 454274.10 | 466004.21 | 456824.62 | 457859.12 | 471090.18 | |||
| 储蓄存款 Savings Deposits | 410582.95 | 428117.75 | 440971.35 | 430896.68 | 433665.67 | 440904.07 | 436374.41 | 438546.18 | 447321.94 | 440194.81 | 441384.48 | 451826.58 | |||
| 保证金存款 Margin Deposits | 567.42 | 596.86 | 656.32 | 687.66 | 706.06 | 701.32 | 723.33 | 753.76 | 753.23 | 751.91 | 723.35 | 717.42 | |||
| 结构性存款 Structure Deposits | 11910.99 | 12194.98 | 11431.08 | 11947.90 | 11971.57 | 15915.42 | 16374.35 | 14974.16 | 17929.04 | 15877.89 | 15751.29 | 18546.18 | |||
| 3.财政性存款 Fiscal Deposits | 27725.57 | 27968.65 | 25316.71 | 30540.31 | 35172.81 | 33953.68 | 40499.15 | 41897.52 | 38965.39 | 45173.89 | 44738.70 | 30133.88 | |||
| 4.临时性存款 Temporary Deposits | 2137.77 | 2482.17 | 2404.06 | 2288.33 | 2262.78 | 2671.77 | 2293.57 | 2281.62 | 2160.17 | 2171.08 | 2663.84 | 2043.51 | |||
| 5.委托存款 Designated Deposits | 357.37 | 401.90 | 359.19 | 378.65 | 299.39 | 198.86 | 315.28 | 307.47 | 221.57 | 323.44 | 283.72 | 359.02 | |||
| 6.其他存款 Other Deposits | 21728.73 | 21975.14 | 24203.09 | 22879.76 | 23287.81 | 24665.71 | 24959.32 | 24190.43 | 25309.58 | 24795.35 | 24909.28 | 25167.25 | |||
| 二、金融债券 Financial Bond | 6315.19 | 5615.27 | 5567.74 | 4737.94 | 4775.39 | 4413.38 | 5437.48 | 6027.20 | 5736.66 | 6325.87 | 4887.33 | 6590.13 | |||
| 三、对国际金融机构负债 Liabilities to International Financial Institutions | 774.58 | 807.48 | 794.18 | 786.81 | 844.94 | 805.81 | 814.09 | 850.90 | 845.91 | 843.84 | 840.56 | 854.45 | |||
| 四、其他 Other Items | -134997.24 | -134264.75 | -161072.39 | -148031.37 | -151744.66 | -154768.44 | -142292.09 | -142343.81 | -146256.98 | -136994.95 | -133863.70 | -137750.98 | |||
| 资金来源总计 Total Funds Sources | 827204.14 | 835457.82 | 852271.32 | 863360.49 | 874229.59 | 886851.81 | 896738.75 | 905969.59 | 918803.65 | 924441.35 | 931739.31 | 940281.32 | |||
| 运用方项目 Funds Uses | |||||||||||||||
| 一、各项贷款 Total Loans | 685477.19 | 692813.40 | 704881.01 | 713284.76 | 720018.44 | 728772.98 | 734613.18 | 741321.06 | 749908.09 | 754978.69 | 761269.12 | 766326.64 | |||
| (一)境内贷款 Domestic Loans | 671791.79 | 679039.48 | 690987.04 | 699426.56 | 705993.26 | 714038.80 | 719773.83 | 726381.26 | 734809.51 | 739721.74 | 745815.29 | 750433.10 | |||
| 1.短期贷款 Short-term Loans | 274615.81 | 277211.63 | 283464.24 | 285856.41 | 287854.97 | 292674.19 | 294715.97 | 297024.26 | 302466.30 | 304883.72 | 307961.74 | 311771.97 | |||
| 2.中长期贷款 Medium & Long-term Loans | 369996.30 | 374281.81 | 378601.45 | 382728.18 | 386252.52 | 390091.87 | 394571.66 | 398907.12 | 403356.11 | 406416.01 | 409054.94 | 410345.50 | |||
| 3.融资租赁 Financial Lease | 6317.87 | 6458.74 | 6641.89 | 6841.20 | 6981.49 | 7188.60 | 7381.97 | 7451.47 | 7527.48 | 7621.74 | 7755.04 | 7889.52 | |||
| 4.票据融资 Bill Financing | 20170.82 | 20350.03 | 21535.64 | 23219.91 | 24084.78 | 23302.65 | 22260.32 | 22134.97 | 20612.93 | 19906.81 | 20100.28 | 19615.78 | |||
| 5.各项垫款 Miscellaneous Advances | 690.99 | 737.26 | 743.82 | 780.86 | 819.51 | 781.49 | 843.91 | 863.44 | 846.70 | 893.46 | 943.29 | 810.33 | |||
| (二)境外贷款 Overseas Loans | 13685.40 | 13773.92 | 13893.97 | 13858.20 | 14025.17 | 14734.19 | 14839.35 | 14939.80 | 15098.59 | 15256.95 | 15453.83 | 15893.53 | |||
| 二、有价证券 Portfolio Investments | 116698.65 | 117174.09 | 119207.92 | 120703.07 | 121656.32 | 122432.27 | 124762.46 | 127021.64 | 128346.75 | 128655.27 | 128104.65 | 128298.83 | |||
| 三、股权及其他投资 Shares and Other Investments | 22705.49 | 23173.09 | 25904.37 | 27106.87 | 30279.03 | 33405.76 | 35112.06 | 35373.44 | 38286.53 | 38549.10 | 40096.06 | 43406.15 | |||
| 四、黄金占款 Position for Bullion Purchase | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | 669.84 | |||
| 五、在国际金融机构资产 Assets with International Financial Institutions | 1652.96 | 1627.40 | 1608.19 | 1595.95 | 1605.96 | 1570.95 | 1581.22 | 1583.61 | 1592.43 | 1588.46 | 1599.63 | 1579.87 | |||
| 资金运用总计 Total Funds Uses | 827204.14 | 835457.82 | 852271.32 | 863360.49 | 874229.59 | 886851.81 | 896738.75 | 905969.59 | 918803.65 | 924441.35 | 931739.31 | 940281.32 | |||
| 注:1.本表机构包括中国人民银行、银行业存款类金融机构、信托投资公司、金融租赁公司和汽车金融公司。 | |||||||||||||||
| 2.银行业存款类金融机构包括银行、信用社和财务公司。 | |||||||||||||||
| 3.本表为正式数。 | |||||||||||||||