Kuap. Ru - Balance sheet of the bank НОВЫЙ КОММЕРЧЕСКИЙ БАНК, analysis of f.101

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Our statistics

  • 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
 

NOVIY KOMMERCHESKIY BANK

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Central Bank of Russia registration number: 347

On this page you can see detailed breakdown of aggregated balance sheet (analogue of f. 101 reported to Cenbtal Bank of Russia but with aggregated balance sheet item added). You can also get acquainted with balance sheet aggregation methodics.

Show data on: 
Balance
account
Incoming amount Turnover by  Outgoing amount
in roubles in foreign crnc.,
precious metals
total in roubles in foreign crnc.,
precious metals
total in roubles in foreign crnc.,
precious metals
total
ASSETS
    High liquid assets
        Cash and equivalents
            Cash
                in cash and en route
20202 79 516 29 79 545 60 023 1 60 024 83 651 28 83 679
20209 0 0 0 2 700 0 2 700 0 0 0
                in exchange offices
                in operational cash offices
                in ATMs
                precious metals
                gems
                Cash on hand
            Nostro account with Central Bank
30102 13 150 0 13 150 72 370 0 72 370 600 0 600
            Cash and equivalents
            Other demand deposit
        Nostro accounts
            Non-residents
            Residents
30110 191 2 193 448 31 479 156 32 188
        Money in transfer
30233 321 0 321 13 0 13 321 0 321
        Exchange accounts
        Provision for impairment of high-liquid assets
    Interest-earning assets
        Dues from banks
            Central Bank of Russia
            Residents
                up to 30 days
                up to 180 days
                more than 180 days
            Non-residents
                up to 30 days
                up to 180 days
                more than 180 days
            Loans past-due
                residents
                non-residents
            Provision for impairment of loans to banks
            Loans to banks
        Securities
            Bonds
                Federal Loan Bonds (OFZs), OBRs
                Corporate bonds
                Financial institutions bonds
                Foreign sovereign bonds
                Corporate foreign bonds
                Foreign financial institutions bonds
                Valuation allowance
                Pledged under REPO
                Past-due
                Provision for impairment of bonds
                Debt securities
            Promissory notes
                Sovereign
                Corporate
                Banks
                Foreign sovereign
                Corporate foreign
                Foreign banks
                Provision for impairment of promissory notes
                Promissory notes
            Stocks
                Residents
                Non-residents
                Valuation allowance
                Pledged under REPO
                Provision for impairment of stocks
            Trade securities
            Securities held for sale
            Provision for impairment of securities held for sale
            Securities held to maturity
            Provision for impairment of securities held to maturity
            Mutual funds
            Equity instruments
        Loans to corporate clients
            residents
                up to 30 days
                up to 180 days
                up to 1 year
45206 5 000 0 5 000 0 0 0 5 000 0 5 000
                up to 3 years
45207 107 579 0 107 579 0 0 0 89 616 0 89 616
                more than 3 years
45208 4 493 0 4 493 0 0 0 4 493 0 4 493
            non-residents
                up to 30 days
                up to 180 days
                up to 1 year
                up to 3 years
                more than 3 years
            state-owned enterprises
                up to 30 days
                up to 180 days
                up to 1 year
                up to 3 years
                more than 3 years
            Past-due
                residents
45912 293 0 293 0 0 0 38 0 38
                non-residents
                state-owned enterprises
            Provision for impairment of corporate loans
                residents
45215 -68 239 0 -68 239 -50 094 0 -50 094 -18 145 0 -18 145
                non-residents
                state-owned enterprises
            Loans to corporate clients
            Provision for impairment of corporate loans
        Loans to private entrepreneurs
            up to 30 days
            up to 180 days
45405 0 0 0 17 000 0 17 000 17 000 0 17 000
            up to 1 year
            up to 3 years
45407 22 000 0 22 000 0 0 0 22 000 0 22 000
            more than 3 years
45408 6 000 0 6 000 0 0 0 6 000 0 6 000
            Past-due
            Provision for impairment of loans to private entrepreneurs
45415 -14 280 0 -14 280 -2 836 0 -2 836 -11 444 0 -11 444
        Loans to individuals
            Standard
                up to 30 days
                up to 180 days
45503 555 0 555 0 0 0 555 0 555
45504 1 147 0 1 147 0 0 0 697 0 697
                up to 1 year
45505 15 438 0 15 438 0 0 0 15 005 0 15 005
                up to 3 years
45506 59 177 0 59 177 1 0 1 51 963 0 51 963
                more than 3 years
45507 6 990 0 6 990 0 0 0 6 000 0 6 000
                Memo: mortgage loans
            Past-due
45815 1 446 0 1 446 0 0 0 1 446 0 1 446
45915 591 0 591 62 0 62 641 0 641
                Memo: mortgage loans past-due
            Provision for impairment of loans to individuals
45515 -19 413 0 -19 413 -4 584 0 -4 584 -14 829 0 -14 829
            Loans to individuals
            Provision for impairment of loans to individuals
        Provision for impairment of loans past-due
45818 -1 446 0 -1 446 0 0 0 -1 446 0 -1 446
45918 -471 0 -471 -191 0 -191 -283 0 -283
        Provision for impairment of loans
        Loans and advances
            Provision for impairment of loans
            Past-due loans
    Other assets
        Mandatory reserves with Central Bank
30202 3 925 0 3 925 0 0 0 3 648 0 3 648
30204 10 0 10 0 0 0 10 0 10
        Premises and equipment
            Purchase cost
60401 7 975 0 7 975 0 0 0 7 419 0 7 419
61008 0 0 0 375 0 375 0 0 0
61009 0 0 0 1 0 1 0 0 0
61209 0 0 0 555 0 555 0 0 0
            Depreciation
60601 -3 472 0 -3 472 -555 0 -555 -3 051 0 -3 051
            Property, plant and equipment
            Investment properties
        Accrued interest not yet received
47427 71 0 71 1 113 0 1 113 60 0 60
        Acquired claims
        Acquired claims secured by real estate
        Factoring
        Assets under management
        Non-current assets
        Other assets
30301 -29 893 0 -29 893 -109 689 0 -109 689 -26 672 0 -26 672
30302 29 893 0 29 893 106 468 0 106 468 26 672 0 26 672
30305 -88 278 0 -88 278 -6 074 0 -6 074 -82 204 0 -82 204
30306 88 278 0 88 278 0 0 0 82 204 0 82 204
60202 82 0 82 0 0 0 82 0 82
60302 365 0 365 79 0 79 275 0 275
60306 0 0 0 181 0 181 1 0 1
60308 1 0 1 704 0 704 0 0 0
60312 45 0 45 404 0 404 42 0 42
        Investments in subsidiaries
        Provision for impairment of other assets
47425 -324 0 -324 -3 0 -3 -324 0 -324
        Other financial assets
        Provision for impairment of other financial assets
        Tax assets
            Current tax assets
            Deferred tax assets
        Premises, equipment and intangible assets
        Investment properties
        Derivatives - assets
        Deferred tax asset
        Intangible assets
LIABILITIES
    Dues to banks
        On demand
            Residents
            Non-residents
        Term
            Central Bank of Russia
                up to 30 days
                up to 180 days
                more than 180 days
                past-due
                other
            Residents
                up to 30 days
                up to 180 days
                more than 180 days
                Past-due
            Non-residents
                up to 30 days
                up to 180 days
                more than 180 days
                Past-due
        Other dues to banks
        Dues to banks
    On demand
        Corporate clients
            State-owned enterprises
40602 827 0 827 5 325 0 5 325 1 035 0 1 035
40603 10 225 235 10 14 24 0 219 219
            Residents
40701 711 0 711 0 0 0 3 225 0 3 225
40702 65 053 0 65 053 107 391 0 107 391 43 109 0 43 109
40703 5 560 0 5 560 2 002 0 2 002 5 326 0 5 326
40802 13 444 0 13 444 38 796 0 38 796 16 263 0 16 263
40905 184 0 184 841 0 841 111 0 111
40911 2 537 0 2 537 3 972 0 3 972 4 111 0 4 111
            Non-residents
            Corporate clients
        Individuals
            Residents
            Non-residents
            Individuals
        Brokerage accounts
            Residents
            Non-residents
    Term
        Corporate clients
            Residents
                up to 30 days
                up to 180 days
                up to 1 year
42105 1 000 0 1 000 1 000 0 1 000 0 0 0
42205 18 000 0 18 000 0 0 0 18 000 0 18 000
                up to 3 years
42106 2 500 0 2 500 2 500 0 2 500 0 0 0
42206 3 159 0 3 159 0 0 0 3 175 0 3 175
                more than 3 years
            Non-residents
                up to 30 days
                up to 180 days
                up to 1 year
                up to 3 years
                more than 3 years
            State-owned enterprises
                up to 30 days
                up to 180 days
                up to 1 year
                up to 3 years
                more than 3 years
            corporate clients
        Individuals
            residents
                up to 30 days
                up to 180 days
                up to 1 year
                up to 3 years
                more than 3 years
            non-residents
                up to 30 days
                up to 180 days
                up to 1 year
                up to 3 years
                more than 3 years
            individuals
    Securities issued
        Bonds
        Promissory notes
            on demand
            up to 30 days
            up to 180 days
            more than 180 days
            up to 1 year
            up to 3 years
            more than 3 years
            Discount accrued
        Depositary certificates
            up to 30 days
            up to 180 days
            more than 180 days
        Securities issued
    Other liabilities
30232 0 0 0 448 32 480 0 0 0
47416 27 0 27 733 0 733 0 0 0
60301 205 0 205 115 0 115 323 0 323
60305 152 0 152 773 0 773 155 0 155
60309 1 0 1 0 0 0 1 0 1
60311 26 0 26 1 756 0 1 756 0 0 0
60322 0 0 0 2 0 2 0 0 0
        Accrued interest not yet paid
47426 181 0 181 312 0 312 0 0 0
        Liabilities under accreditives
        Liabilities past-due
        Tax liabilities
            Current tax liabilities
            Deferred tax liabilities
        Other financial liabilities
        Provision for other liabilities
        Subordinated debt
        Non-current liabilities
        Derivatives - liabilities
        Deferred tax liabilities
    Deposits
    Private clients deposits
    Corporate accounts
EQUITY
        Capital
10208 160 142 0 160 142 0 0 0 160 142 0 160 142
10701 8 200 0 8 200 0 0 0 8 200 0 8 200
        Profit from previous years
            Retained earnings from previous years
10801 22 017 0 22 017 0 0 0 22 017 0 22 017
            Distribution of previous years profit
        Current year profit
            Current year retained earnings
70601 39 573 0 39 573 0 0 0 100 517 0 100 517
70603 80 0 80 0 0 0 95 0 95
70606 -114 221 0 -114 221 -3 696 0 -3 696 -117 917 0 -117 917
70608 -75 0 -75 -9 0 -9 -84 0 -84
70611 -582 0 -582 -1 0 -1 -583 0 -583
            Distribution of current year profit
        Future expenses
61403 -189 0 -189 0 0 0 -183 0 -183
        Other capital sources
OFF-BALANCE SHEET
    Unused credit limits available
    Contingent liabilities
        Guarantees issued
91315 -18 069 0 -18 069 0 0 0 -18 069 0 -18 069
        Unused credit limits opened
91317 0 0 0 -17 000 0 -17 000 0 0 0
        Unused guarantee limits
    Collateral on loans
        goods
91312 396 973 0 396 973 76 219 0 76 219 487 113 0 487 113
        securities
        precious metals
91313 550 0 550 0 0 0 550 0 550
    Unprocessed payments
        Due to lack of funds in bank
        Due to lack of funds on client accounts
90902 972 116 0 972 116 6 134 0 6 134 976 602 0 976 602
    Other off-balance sheet accounts
        Accrued interest not yet received
91604 7 065 0 7 065 583 0 583 5 946 0 5 946
        Written-off interest
91704 -109 0 -109 0 0 0 -109 0 -109
        Written-off loans to banks
        Written-off loans
91802 -112 0 -112 0 0 0 -112 0 -112
CALCULATED RATIOS
    Credit card balances
    Past due ratio, total
    Past due ratio, individuals
    Past due ratio, corporates
    Past due ratio, entrepreneurs
    Past due ratio, corporates + entrepreneurs
    Risk-weighted assets

You can also get acquainted with balance sheet aggregation methodics.