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Denmark%20Yearbook%20-%201990%20

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Tabel 336.<br />

Danmarks Nationalbanks driftsregnskab og status<br />

Profit and loss account and balance sheet of Danmarks Nationalbank<br />

1987<br />

1<br />

1988 1989<br />

2 3<br />

Driftsregnskab<br />

mio. kr<br />

Profit and loss account<br />

Renteindtægter mv. i alt ............................. 8 767 8 526 8 224 Income from interest, etc.<br />

Rente af tilgodehavender i udlandet .................... 3 675 5 224 4 580 Interest on foreign assets<br />

Rente og provision af udlån mv ........................ 2 293 254 480 Interest and commissions on loans, etc.<br />

Rente og udbytte af obligationer og aktier mv............ 2 799 2 655 2 638 Bond interest, share dividends, etc.<br />

Diverse indtægter ..................................... - 393 526 Various expenses<br />

Renteudgifter mv. i alt .............................. 3 606 3 148 2 184 Expenditure on interest, etc.<br />

Rente af forpligtelser over for udlandet ................. 536 243 275 Interest on foreign liabilities<br />

Rente af indlån mv .................................... 3 070 2 905 1 909 Interest on deposits, etc.<br />

Omkostninger i alt .................................. 513 316 329 Expenses<br />

Administrationsomkostninger ........................... 239 235 247 Administrative expenses<br />

Omk. ved seddelvæsenet og Den kgl. Mønt ............. 85 81 82 Exp. relating to note issue and Royal Mint<br />

Diverse udgifter ....................................... 189 - - Various expenses<br />

Kursregulering mv. i alt ............................. =1 034 4 558 =3 422 Exchange-rate and value adjustments<br />

Værdiregulering af guldbeholdningen .................... 229 =334 =347 Revaluation of gold stock<br />

Kursregulering af valutamellemværender ................ =1 458 2 351 =2 426 Revaluation of foreign-exchange accounts<br />

Kursregulering af obligationer og aktier mv ............... =116 2 589 =908 Revaluation of bonds and shares<br />

Regulering vedr. garantier ............................. 311 =48 259 Revaluation of guarantees<br />

Afskrivninger og hensættelser på udlån ............. 494 4 558 - Depreciations and appropriations<br />

Årets resultat ....................................... 3 120 5 062 2 289 Net profit for the year<br />

Status pr. 31. december<br />

Balance sheet at 31 December<br />

Aktiver i alt ......................................... 133 826 142 625 119 593 Assets, total<br />

Guldbeholdningen' .................................... 4 858 4 595 4 340 Stock of gold'<br />

Særlige trækningsrettigheder i<br />

Den internationale Valutafond (SDR) ................... 1 301 1 542 1 850 Special Drawing Rights in IMF<br />

Europæiske valutaenheder (ECU) ....................... 3 777 10 455 4 625 European Currency Units<br />

Fordringer på udlandet ................................ 54 078 59 063 33 180 Foreign assets<br />

Kvote i Den internationale Valutafond ................... 6 148 6 566 6 173 Denmark's IMF quota<br />

Udlån mv ............................................. 18 319 1 712 19 536 Advances, etc.<br />

Obligationer og aktier mv .............................. 24 188 26 911 32 431 Bonds and shares, etc.<br />

Forskellige debitorer .................................. 19 398 30 083 16 024 Sundry debtors<br />

Statens garanti for møntomløb ......................... 639 639 639 Governm. guarantee f. subsidiary<br />

coin<br />

Garantier ............................................. 1 120 1 059 795 Guarantees, as per contra<br />

Passiver i alt ........................................ 133 826 142 625 119 593 Liabilities, total<br />

Seddelomløb ......................................... 21 093 22 094 23 290 Note circulation<br />

Møntomløb ........................................... 1 716 1 776 1 755 Coin circulation<br />

Forpligtelser over for udlandet ......................... 711 1 582 1 304 Foreign liabilities<br />

Den internationale Valutafond .......................... 5 082 4 399 3 960 International Monetary Fund<br />

Tildelte særlige trækningsrettigheder i<br />

Den internationale Valutafond (SDR) ................... 1 546 1 652 1 553 Allocations of Special Drawing Rights<br />

Indlån mv ............................................ 1 402 7 865 8 978 Deposits, etc.<br />

Særlige indskud ...................................... 756 - - Special deposits<br />

Staten - løbende konto ............................... 58 939 44 137 34 504 Government current account<br />

Staten - postgiromidler ................................ 1 032 - - Government, Post Giro funds<br />

Forskellige kreditorer .................................. 15 877 28 951 14 344 Sundry creditors<br />

Garantier ............................................. 1 120 1 059 795 Guarantees, as per contra<br />

Grundfond ........................................... 50 50 50 General capital fund<br />

Reservefond ......................................... 250 250 250 General reserve<br />

Sikringsfonde ......................................... 24 252 28 810 28 810 Reserve against loss on bonds and shares<br />

' Beholdningen er optaget til en værdi for 1987 på grundlag af 1 kg fint guld =<br />

TRANSLATION - Note: ' The book value is for 1987: 1 kg of fine gold = 95.913 DKK<br />

95.913 kr., for 1988: 1 kg fint guld = 90.645 kr. og for 1989: 1 kg fint guld = 85.187 for 1988: 1 kg of fine gold = 90.645 DKK and for 1989: 1 kg of fine gold = 85.187<br />

kr.<br />

DKK.<br />

Kilde: Danmarks Nationalbanks årsregnskab.<br />

344 Penge- og kapitalmarked<br />

Statistisk Aarbog 1990

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