16.02.2016 Views

Denmark%20Yearbook%20-%201990%20

Denmark%20Yearbook%20-%201990%20.pdf

Denmark%20Yearbook%20-%201990%20.pdf

SHOW MORE
SHOW LESS

You also want an ePaper? Increase the reach of your titles

YUMPU automatically turns print PDFs into web optimized ePapers that Google loves.

Tabel 337.<br />

Bankernes, sparekassernes og andelskassernes driftsregnskab og<br />

status<br />

Profit and loss accounts and balance sheets of Danish banks<br />

Antal<br />

Driftsregnskab<br />

Indtægter i alt .............................. 62 192<br />

Rente og provision af udlån ................... 30 381<br />

Rente mv. af pantebreve ...................... 528<br />

Rente af obligat. og udb. at aktier .............. 10 412<br />

Øvrige renteindtægter ......................... 8 759<br />

Andre ordinære indtægter ..................... 5 161<br />

Ekstraordinære indtægter ...................... 374<br />

Kursreguleringer, netto ........................ 6 577<br />

Udgifter i alt ................................ 57 143<br />

Rente af indlån ............................... 21 180<br />

Øvrige renteudgifter ........................... 12 241<br />

Lønninger mv ................................. 9 077<br />

Øvrige omkostninger .......................... 4 962<br />

Afskrivninger og hensættelser .................. 6 058<br />

Ekstraordinære udgifter ........................ 1 452<br />

$kat ......................................... 2 173<br />

Arets nettoresultat .......................... 5 049<br />

Banker Heraf Sparekasser Andelskasser'<br />

1988 udenlandske 1988 1988<br />

bankfilialer<br />

1 2 3 4<br />

-<br />

77 6 52 34 Number<br />

- mio. kr.<br />

Profit and loss accounts<br />

393 23 088<br />

397 Receipts, total<br />

127 13 555<br />

264 Interest and commissions on loans<br />

- 355<br />

10 Interest etc. on mortgages<br />

24 3 398<br />

55 Bond interest, share dividends<br />

121 1 660<br />

29 Other interest receivable<br />

114 1 790<br />

9 Other ordinary income<br />

4 81<br />

3 Extraordinary income<br />

3 2 249<br />

27 Revaluations of securities, net<br />

389 22 399<br />

77 8 159<br />

134 3 334<br />

65 3 670<br />

86 2 577<br />

17 3 374<br />

1 877<br />

9 408<br />

4 689<br />

422 Expenditure, total<br />

179 Interest on deposits<br />

9 Other interest payable<br />

65 Salaries, etc.<br />

54 Other operating expenses<br />

110 Depreciation and other provisions<br />

5 Extraordinary expenditure<br />

- Taxes<br />

- 25 Net profit for the gear<br />

Status pr. 31. december<br />

Aktiver i alt ................................. 723 024<br />

Kassebeholdning mv .......................... 7 774<br />

Tilgodeh. i Danmarks Nationalt ................. 5 858<br />

Tilgodeh. i indeni. bank. og sparek .............. 33 548<br />

Tilgodeh. i udenl. pengeinst. mv ................ 102 592<br />

Beholdning af obligationer ..................... 123 515<br />

Uopsigelige pantebreve<br />

til fast rente .................................. 3 704<br />

Beholdning af aktier .......................... 22 160<br />

Udlånskonti med adgang til variabel udnyttelse.. 99 551<br />

Veksler ...................................... 4 499<br />

Byggelån .................................... 10 310<br />

Prioritetslån .................................. 5 172<br />

Andre udlån .................................. 168 694<br />

Garantidebitorer .............................. 96 349<br />

Faste ejendomme ............................ 9 288<br />

Maskiner og inventar mv ....................... 1 515<br />

Andre aktiver ................................. 28 495<br />

Passiver i alt ................................ 723 024<br />

Indlån på anfordring' .......................... 185 422<br />

Indlån på opsigelse mv.3 ...................... 150 290<br />

Gæld til Danmarks Nationalbank ............... 2 332<br />

Gæld til indeni, banker og sparek ............... 31 557<br />

Gæld til udenl. pengeinst. mv .................. 153 459<br />

Afgivne garantier ............................. 96 349<br />

Andre passiver ............................... 39 254<br />

Ansvarlig indskudskapital ..................... 15 861<br />

Aktiekapital .................................. 12 173<br />

Reserver ..................................... 36 327<br />

Balance sheets at 31 December<br />

5 356 255 213 3 580 Assets, total<br />

2 2 091 29 Cash in hand, etc.<br />

172 632 45 Claims on Danmarks Nationalbank<br />

510 16 498 382 Claims on domestic banks<br />

1 057 18 502 0 Claims on foreign banks<br />

549 43 564 655 Bonds<br />

Irredeemable mortgages<br />

2 967 80 with fixed interest rate<br />

-<br />

0 5 393 119 Shares<br />

113 24 490 575 Overdraft facilities<br />

55 2 218 5 Bills of exchange<br />

- 4 408 87 Construction credits<br />

15 12 115 181 Mortgage loans<br />

1 175 80 446 1 034 Other loans<br />

1 048 25 540 245 Collaterals for guarantees<br />

13 4 331 78 Real property<br />

35 901 28 Machinery, equipment, etc.<br />

612 11 117 37 Otter assets<br />

5 356 255 213 3 580 Liabilities, total<br />

1 052 70 140 1 051 Deposits (-1 month's notice)<br />

106 66 666 1 772 Deposits (1 month's notice or more)<br />

36 1 217 - Liab. to Danmarks Nationalbank<br />

773 14 761 28 Liabilities to domestic banks<br />

1 092 35 893 - Liabiities to foreign banks<br />

1 048 25 540 245 Contingent liabilities on guarantees<br />

706 16 880 53 Other liab., not elsewhere specified<br />

33 7 008 13 Risk-bearing deposits<br />

355 3 793 - 39 Share capitat<br />

155 13 315 379 Reserves<br />

' Kun medlemmer af Foreningen Danske Andelskasser er medtaget i opgørelsen. I Inkl. Kilde: Finanst8synets beretning om pengeinstitutter mv. 1988.<br />

indlån med kortere opsigelsesvarsel end 1 måned.<br />

TRANSLATION. - Columns, l: commercial banks. 2: of which foreign bank branches. 3: sa-<br />

' Indlån med opsigelsesvarsel på 1 måned og derover samt på særlige indlånsformer. vings banks. 4: co-operative savings banks.<br />

Penge- og kapitalmarked 345<br />

Statistisk Aarbog 1990

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!