Consolidated data based on Belgian GAAP (2000–2005) [CREDINSCONS00]
Updated on DBnomics on September 28, 2022 (10:20 AM)
Table [CREDINSCONS00_TABLE]
Item [CREDINSCONS00_ITEM]
Frequency [FREQUENCY]
Dataset has 316 series. Add search filters to narrow them.
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Assets – Quarterly [NBB/CREDINSCONS00/1.1A.Q]
- min:
- 971,096
- max:
- 1,369,331
- avg:
- 1,102,756.714
- σ:
- 112,919.452
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Cashflow and interbank assets – Quarterly [NBB/CREDINSCONS00/1.1A1.Q]
- min:
- 196,338
- max:
- 284,596
- avg:
- 235,537.286
- σ:
- 23,344.364
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Cash, balances with central banks and postal cheque offices – Quarterly [NBB/CREDINSCONS00/1.1A11.Q]
- min:
- 3,435
- max:
- 6,432
- avg:
- 4,518.81
- σ:
- 730.892
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Interbank loans and advances – Quarterly [NBB/CREDINSCONS00/1.1A12.Q]
- min:
- 192,845
- max:
- 280,472
- avg:
- 231,018.619
- σ:
- 23,097.244
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Due immediately (1A121) – Quarterly [NBB/CREDINSCONS00/1.1A121.Q]
- min:
- 22,814
- max:
- 40,262
- avg:
- 32,401.238
- σ:
- 4,606.76
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Other (1A122) – Quarterly [NBB/CREDINSCONS00/1.1A122.Q]
- min:
- 161,015
- max:
- 245,746
- avg:
- 198,617.286
- σ:
- 20,863.854
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Customer loans – Quarterly [NBB/CREDINSCONS00/1.1A2.Q]
- min:
- 392,820
- max:
- 591,313
- avg:
- 448,415.667
- σ:
- 57,888.113
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Credit originally granted by credit institutions – Quarterly [NBB/CREDINSCONS00/1.1A21.Q]
- min:
- 377,543
- max:
- 577,800
- avg:
- 432,125.857
- σ:
- 58,977.214
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Bills of trade (1A211) – Quarterly [NBB/CREDINSCONS00/1.1A211.Q]
- min:
- 1,900
- max:
- 4,623
- avg:
- 2,837.048
- σ:
- 826.843
- (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions – Own acceptances (1A212) – Quarterly [NBB/CREDINSCONS00/1.1A212.Q]
- min:
- 307
- max:
- 641
- avg:
- 440.143
- σ:
- 83.782
Showing results 1 - 10 / 316
Dimension codes and labels
[CREDINSCONS00_TABLE] Table
- [1] (Quarterly) General situation of credit institutions: quarterly overview by category of institutions - All credit institutions
- [2] (Monthly) Structure of off-balance-sheet transactions - All credit institutions
- [3] (Monthly) Basic components of the income statement - All credit institutions
- [4] (Quarterly) Structure of customer assets - all credit institutions
- [5] (Quarterly) Structure of interbank transactions and recourse to bankers' assets - all credit institutions
- [6] (Quarterly) Structure of loans granted - all credit institutions
- [7] (Quarterly) Structure of the securities portfolio - all credit institutions
[CREDINSCONS00_ITEM] Item
- [1A] Assets
- [1A1] Cashflow and interbank assets
- [1A11] Cash, balances with central banks and postal cheque offices
- [1A121] Due immediately
- [1A21] Credit originally granted by credit institutions
- [1A211] Bills of trade
- [1A31] Public bills
- [1A311] Admissible for refinancing with central banks
- [1A41] Financial fixed assets, of which :
- [1A411] Holdings consolidated according to the equity method
- [1L1] Interbank liabilities
- [1L11] Due immediately
- [1L21] Deposits
- [1L211] Sight deposits
- [1L31] Certificates of deposit and similar liabilities
- [1L71] Capital
- [1L711] Subscribed capital
- [201] Spot foreign exchange transactions
- [6P] Cash disbursement credits
- [6U1] Acceptances not negotiated
- [7I] Investments
- [7I1] Interest-bearing
- [7I11] By maturity - Short-term negotiable securities (at up to one year)
- [7I21] Shares in credit institutions
- [7S1] Interest-bearing
- [7S11] By maturity - Short-term negotiable securities (at up to one year)
- [7S21] Company shares
- [3BL1] Total interest result
- [3BL21] Income from equity and other variable interest securities
- [3BL61] Personnel expenses
- [3BL81] On accounts receivable
- [3BT1] Total interest result
- [3BT21] Income from equity and other variable interest securities
- [3BT61] Personnel expenses
- [3BT81] On accounts receivable
- [3F1] Total interest result
- [3F21] Income from equity and other variable interest securities
- [3F61] Personnel expenses
- [3F81] On accounts receivable
- [3A1] Total interest result
- [3A21] Income from equity and other variable interest securities
- [3A61] Personnel expenses
- [3A81] On accounts receivable
- [4E] Euros
- [4E1] Sight deposits
- [4D1] Sight deposits
- [5E1] Euros - Interbank loans and deposits
- [6P1] Bills of trade
- [1A12] Interbank loans and advances
- [1A122] Other
- [1A2] Customer loans
- [1A212] Own acceptances
- [1A22] Other debtors
- [1A312] Other
- [1A32] Other short-term negotiable instruments
- [1A412] Other
- [1A42] Tangible fixed assets
- [1L] Liabilities
- [1L12] Liabilities arising out of realisations
- [1L2] Customer liabilities
- [1L212] Term or subject to < 1 month's notice
- [1L22] Other creditors
- [1L32] Savings bonds
- [1L712] Capital not called up
- [1L72] Issue premiums
- [2021] Loans and advances - Amounts receivable
- [6U] Commitment credits used
- [6U2] Guarantees having the nature of credit substitution
- [7I12] By maturity - Securities (at over one year)
- [7I2] Non-interest-bearing
- [7I22] Shares in other companies
- [7S] Securities to be realised
- [7S12] By maturity - Securities (at over one year)
- [7S2] Non-interest-bearing
- [7S22] Other securities
- [3BL2] Investment income other than net interest income
- [3BL22] Income from financial fixed assets
- [3BL62] Fees paid for the use of financial services
- [3BL82] On securities and investment income
- [3BT2] Investment income other than net interest income
- [3BT22] Income from financial fixed assets
- [3BT62] Fees paid for the use of financial services
- [3BT82] On securities and investment income
- [3F2] Investment income other than net interest income
- [3F22] Income from financial fixed assets
- [3F62] Fees paid for the use of financial services
- [3F82] On securities and investment income
- [3A2] Investment income other than net interest income
- [3A22] Income from financial fixed assets
- [3A62] Fees paid for the use of financial services
- [3A82] On securities and investment income
- [4E2] Term deposits <= 1 year
- [4D] Foreign currencies
- [4D2] Term deposits <= 1 year
- [5E21] Euros - Interbank loans and deposits - Loans on a day-to-day basis
- [6P2] Own acceptances
- [1A213] Claims arising out of lease financing and similar claims
- [1A3] Securities and other negociable instruments
- [1A33] Public funds
- [1A43] Formation costs and intangible fixed assets
- [1L13] Other term liabilities or liabilities subject to notice
- [1L213] Term or subject to >= 1 month's notice and <= 1 year's notice
- [1L3] Liabilities represented by a security
- [1L33] Debentures
- [1L73] Revaluation surpluses
- [2022] Loans and advances - Amounts delivered
- [6U3] Other guarantees
- [7I13] By type of security - Public bills and loans of general government
- [7I23] Other securities
- [7S13] By type of security - Public bills and loans of general government
- [3BL23] Results from the realisation of securities and investment instruments
- [3BL3] Fee and banking services income
- [3BL63] Value adjustments on formation costs and tangible and intangible fixed assets
- [3BL83] For other risks and expenses
- [3BT23] Results from the realisation of securities and investment instruments
- [3BT3] Fee and banking services income
- [3BT63] Value adjustments on formation costs and tangible and intangible fixed assets
- [3BT83] For other risks and expenses
- [3F23] Results from the realisation of securities and investment instruments
- [3F3] Fee and banking services income
- [3F63] Value adjustments on formation costs and tangible and intangible fixed assets
- [3F83] For other risks and expenses
- [3A23] Results from the realisation of securities and investment instruments
- [3A3] Fee and banking services income
- [3A63] Value adjustments on formation costs and tangible and intangible fixed assets
- [3A83] For other risks and expenses
- [4E3] Term deposits > 1 year
- [4D3] Term deposits > 1 year
- [5E22] Euros - Interbank loans and deposits - Their sight accounts
- [6P3] Claims arising out of leasing financing and similar claims
- [1A214] Loans at fixed interest
- [1A34] Other long-term debts represented by securities
- [1A4] Fixed assets
- [1A44] Variances due to consolidation and use of the equity method
- [1L214] Term or subject to > 1 year's notice
- [1L4] Reductions in value, provisions, contingency funds and deferred taxes
- [1L74] Reserves and result brought forward
- [2031] Purchases and sales of securities and negotiable instruments - Amounts receivable (sales)
- [6U4] Documentary credits opened on the instruction of credit institutions
- [7I14] By type of security - Securities of credit institutions
- [7S14] By type of security - Securities of credit institutions
- [3BL24] Net profits or losses on foreign-exchange operations
- [3BL4] Other operating income
- [3BL64] Other operating expenses
- [3BL84] Transfer to contingency reserves
- [3BT24] Net profits or losses on foreign-exchange operations
- [3BT4] Other operating income
- [3BT64] Other operating expenses
- [3BT84] Transfer to contingency reserves
- [3F24] Net profits or losses on foreign-exchange operations
- [3F4] Other operating income
- [3F64] Other operating expenses
- [3F84] Transfer to contingency reserves
- [3A24] Net profits or losses on foreign-exchange operations
- [3A4] Other operating income
- [3A64] Other operating expenses
- [3A84] Transfer to contingency reserves
- [4E4] Special deposits
- [4D4] Special deposits
- [5E23] Euros - Interbank loans and deposits - Term accounts <= 1 year
- [6P4] Loans at fixed interest
- [1A215] Mortgage loans
- [1A35] Company shares
- [1A5] Own shares
- [1L215] Special deposits
- [1L5] Other liabilities
- [1L75] Variances due to consolidated and use of the equity method
- [2032] Purchases and sales of securities and negotiable instruments - Amounts delivered (purchases)
- [6U5] Documentary credits opened under the instruction of counterparties other than credit institutions
- [7I15] By type of security - Other securities
- [7S15] By type of security - Other securities
- [3BL25] Net profits or losses on trading
- [3BL5] Banking income
- [3BT25] Net profits or losses on trading
- [3BT5] Banking income
- [3F25] Net profits or losses on trading
- [3F5] Banking income
- [3A25] Net profits or losses on trading
- [3A5] Banking income
- [4E5] Regulated savings deposits
- [4D5] Regulated savings deposits
- [5E24] Euros - Interbank loans and deposits - Term accounts > 1 year
- [6P5] Mortgage loans
- [1A216] Term loans
- [1A36] Other securities
- [1A6] Other assets
- [1L216] Regulated savings deposits
- [1L6] Subordinated liabilities
- [1L76] Consolidated profit (+) or loss (-)
- [211] Forward transactions on foreign currencies - Forward foreign exchange transactions
- [3BL6] Operating expenses
- [3BT6] Operating expenses
- [3F6] Operating expenses
- [3A6] Operating expenses
- [4E6] Deposit protection system
- [4D6] Certificates of deposit and similar liabilities
- [5E3] Euros - Interbank loans and deposits - Liabilities arising out of realisations and advances
- [6P6] p.m. Deposits related to mortgage loans
- [1A217] Current account advances
- [1L217] Linked to mortgage loans
- [1L7] Equity, of which :
- [212] Forward transactions on foreign currencies - Currency and interest rate swaps
- [6P7] Term loans
- [3BL7] Gross operating result (= Banking income - operating expenses)
- [3BT7] Gross operating result (= Banking income - operating expenses)
- [3F7] Gross operating result (= Banking income - operating expenses)
- [3A7] Gross operating result (= Banking income - operating expenses)
- [4E7] Certificates of deposit and similar liabilities
- [4D7] Savings bonds
- [5E4] Euros - Interbank loans and advances
- [1A218] Other credits
- [1L218] Deposit protection system
- [1L8] Minority interests
- [213] Forward transactions on foreign currencies - Futures
- [6P8] Current account advances
- [3BL8] Value adjustments in relation to ordinary banking operations
- [3BT8] Value adjustments in relation to ordinary banking operations
- [3F8] Value adjustments in relation to ordinary banking operations
- [3A8] Value adjustments in relation to ordinary banking operations
- [4E8] Savings bonds
- [4D8] Debentures
- [5E51] Euros - Interbank loans and deposits - Loans on a day-to-day basis
- [214] Forward transactions on foreign currencies - Options
- [6P9] Other credits and endorsements 'only for collection'
- [3BL9] Net operating result
- [3BT9] Net operating result
- [3F9] Net operating result
- [3A9] Net operating result
- [4E9] Debentures
- [4D9] Loan debts provided with real security
- [5E52] Euros - Interbank loans and deposits - Our sight accounts
- [215] Forward transactions on foreign currencies - Forward exchange rate contracts
- [6P10] Other receivables
- [3BL10] Extraordinary result
- [3BT10] Extraordinary result
- [3F10] Extraordinary result
- [3A10] Extraordinary result
- [4E10] Loan debts provided with real security
- [5E53] Euros - Interbank loans and deposits - Term accounts <= 1 year
- [2201] Forward interest rate transactions - Forward deposit contracts: to be placed
- [3BL11] Taxes
- [3BT11] Taxes
- [3F11] Taxes
- [3A11] Taxes
- [4E11] p.m. Deposits related to mortgage loans
- [5E54] Euros - Interbank loans and deposits - Term accounts > 1 year
- [2202] Forward interest rate transactions - Forward deposit contracts: receivable
- [3BL12] Transfers and withdrawals
- [3BT12] Transfers and withdrawals
- [3F12] Transfers and withdrawals
- [3A12] Transfers and withdrawals
- [5E55] Euros - Interbank loans and deposits - Monetary reserve holdings
- [2203] Forward interest rate transactions - Interest rate swaps
- [3BL13] Share of income from companies accounted for by the equity method
- [3BT13] Share of income from companies accounted for by the equity method
- [3F13] Share of income from companies accounted for by the equity method
- [3A13] Share of income from companies accounted for by the equity method
- [5E56] Euros - Interbank loans and deposits - Claims arising out of realisations and advances
- [2204] Forward interest rate transactions - Futures: purchases
- [3BL14] Minority interest in the result of consolidated subsidiaries
- [3BT14] Minority interest in the result of consolidated subsidiaries
- [3F14] Minority interest in the result of consolidated subsidiaries
- [3A14] Minority interest in the result of consolidated subsidiaries
- [5E6] Euros - Net recourse to bankers' assets
- [2205] Forward interest rate transactions - Futures : sales
- [3BL15] Consolidated results
- [3BT15] Consolidated results
- [3F15] Consolidated results
- [3A15] Consolidated results
- [5D1] Foreign currencies - Interbank loans and deposits
- [2206] Forward interest rate transactions - Forward interest rate contracts: notional loans
- [5D21] Foreign currencies - Interbank loans and deposits - Loans on a day-to-day basis
- [2207] Forward interest rate transactions - Forward interest rate contracts: notional advances
- [5D22] Foreign currencies - Interbank loans and deposits - Their sight accounts
- [2208] Forward interest rate transactions - Options issued: notional loans
- [5D23] Foreign currencies - Interbank loans and deposits - Term accounts <= 1 year
- [2209] Forward interest rate transactions - Options issued: notional advances
- [5D24] Foreign currencies - Interbank loans and deposits - Term accounts > 1 year
- [2210] Forward interest rate transactions - Options acquired: notional loans
- [5D3] Foreign currencies - Interbank loans and deposits - Liabilities arising out of realisations and advances
- [2211] Forward interest rate transactions - Options acquired: notional advances
- [5D4] Foreign currencies - Interbank loans and deposits
- [2212] Forward interest rate transactions - Others: to be paid up
- [5D51] Foreign currencies - Interbank loans and deposits - Loans on a day-to-day basis
- [2213] Forward interest rate transactions - Others: receivable
- [5D52] Foreign currencies - Interbank loans and deposits - Our sight accounts
- [2301] Other forward transactions - Securities: purchases
- [5D53] Foreign currencies - Interbank loans and deposits - Term accounts <= 1 year
- [2302] Other forward transactions - Securities: sales
- [5D54] Foreign currencies - Interbank loans and deposits - Term accounts < 1 year
- [2303] Other forward transactions - Options issued: securities receivable
- [5D55] Foreign currencies - Interbank loans and deposits - Monetary reserve holdings
- [2304] Other forward transactions - Options issued: securities to be delivered
- [5D56] Foreign currencies - Interbank loans and deposits - Claims arising out of realisations and advances
- [2305] Other forward transactions - Options acquired: securities receivable
- [5D6] Foreign currencies - Net recourse to bankers' assets
- [2306] Other forward transactions - Options acquired: securities to be delivered
- [2307] Other forward transactions - Futures: purchases
- [2308] Other forward transactions - Futures : sales
- [2309] Other forward transactions - Others: securities purchased
- [2310] Other forward transactions - Others: securities sold
- [241] Income covered in advance
- [242] Expenses covered in advance
- [25] Commitment credits used
- [261] Credit lines obtained
- [262] Credit lines granted - To credit institutions
- [263] Credit lines granted to customers - for cash disbursement credits
- [264] Credit lines granted to customers - for commitment credits
- [271] Guarantees - Assets subject to real security
- [272] Guarantees received
- [281] Securities and claims entrusted to the credit institution - for overdraft purposes
- [282] Securities and claims entrusted to the credit institution - on a fiduciary basis
- [283] Securities and claims entrusted to the credit institution- others
- [284] Securities and claims entrusted by the credit institution - on a fiduciary basis
- [285] Securities and claims entrusted by the credit institution - others
- [29] Other rights and commitments
[FREQUENCY] Frequency
- [Q] Quarterly
- [M] Monthly