Kuap. Ru - Percent balance, analysis of profitability of the bank АПАБАНК, cost of resources of commercial bank

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  • no. of Russian banks - 857,
    including NKOs - 51
  • no. of Ukrainian banks - 172
  • Belarussian banks - 39
  • Balances (f. 101), ratios (f. 135) and capital (f. 123 and 134) available
    at 1 February 2022
  • Income (f. 102) available
    at 1 January 2022
 

APABANK

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Central Bank of Russia registration number: 2404

На странице представлен так называемый «процентный баланс» банка - средние ставки операций размещения и привлечения средств. Средние остатки рассчитаны как среднее арифметическое между отчетными датами, входящими в расчетный период. Ставки приведены к годовой.

total in roubles in foreign crnc.
average balance income/expense rate, % p.a. average balance income/expense rate, % p.a. average balance income/expense rate, % p.a.
ASSETS 1 410 883 404 086 28,6% 1 337 994 399 256 29,8% 72 886 4 830 6,6%
High liquid assets 132 248 113 0,1% 95 732 8 0,0% 36 515 105 0,3%
Interest-earning assets 1 255 174 403 973 32,2% 1 218 803 399 248 32,8% 36 369 4 725 13,0%
  Dues from banks 28 462 3 500 12,3% 28 462 3 500 12,3% - - -
  Securities 24 122 2 130 8,8% 24 122 2 130 8,8% - - -
     Bonds 24 122 2 130 8,8% 24 122 2 130 8,8% - - -
  Loans to corporate clients 1 195 994 397 703 33,3% 1 159 623 392 978 33,9% 36 369 4 725 13,0%
          residents 925 901 397 703 43,0% 890 375 392 978 44,1% 35 525 4 725 13,3%
          Past-due 270 093 - - 269 248 - - 844 - -
  Loans to individuals 6 596 640 9,7% 6 596 640 9,7% - - -
Other assets 23 461 - - 23 459 - - 2 - -
LIABILITIES 503 679 25 030 5,0% 478 703 25 030 5,2% 24 976 - -
Dues to banks 697 - - - - - 697 - -
  Term 697 - - - - - 697 - -
          Residents 697 - - - - - 697 - -
On demand 287 963 2 498 0,9% 263 684 2 498 0,9% 24 279 - -
  Corporate clients 260 700 2 498 1,0% 236 421 2 498 1,1% 24 279 - -
        Brokerage accounts 27 263 - - 27 263 - - - - -
Term 119 523 13 939 11,7% 119 523 13 939 11,7% - - -
  Corporate clients 119 523 13 939 11,7% 119 523 13 939 11,7% - - -
Securities issued 81 476 8 593 10,5% 81 476 8 593 10,5% - - -
        Promissory notes 81 476 8 593 10,5% 81 476 8 593 10,5% - - -
Other liabilities 14 020 - - 14 020 - - - - -
EQUITY 907 205 - - 907 205 - - - - -
Equity and retained earnings 516 676 - - 516 676 - - - - -
Provision on assets 390 529 - - 390 529 - - - - -