Yug-Investbank - показатели деятельности за период c 2021-11-01 по 2021-12-01 и его рейтинг.

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Basic indicators

rating position Indicator RUR, thousands change
in the Russian Federation in the Russian regions RUR, thousands %
170   +1 2   Net assets 12 860 781 12 455 292 +405 489 +3,26%
133   +3 2   Net profit 239 954 208 298 +31 656 +15,20%
185   3   Equity (form 123) 1 592 293 1 622 356 −30 063 −1,85%
143   +2 2   Credit portfolio 6 822 458 6 500 424 +322 034 +4,95%
132   +3 3   NPLs 318 568 300 289 +18 279 +6,09%
102   +1 2   Private deposits 7 247 658 7 138 595 +109 063 +1,53%
144   −2 2   Investments in securities 1 360 651 1 693 330 −332 679 −19,65%
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Carrying amounts

show percentages:     RUR, thousands RUR, thousands RUR, thousands %
170   +1 2   Net assets 12 860 781 12 455 292 +405 489 +3,26%
164   −4 2   High-liquidity assets 1 188 638 1 047 297 +141 341 +13,50%
86   +3 2   Cash 739 565 669 424 +70 141 +10,48%
96   −1 2   +1 Cash, turnover 3 882 385 4 518 403 −636 018 −14,08%
236   −1 2   Nostro accounts 88 113 92 178 −4 065 −4,41%
102   2   Household credits 2 206 484 2 255 272 −48 788 −2,16%
109   −7 3   −1 For a term of up to 6 months 47 59 −12 −20,34%
72   −1 2   For a term of 6 months to 1 year 21 270 22 367 −1 097 −4,90%
74   −2 2   For a term of 1 to 3 years 346 503 374 316 −27 813 −7,43%
100   −2 2   For a term of over 3 years 1 824 423 1 844 200 −19 777 −1,07%
165   +11 2   Overdrafts and other funds provided 634 264 +370 +140,15%
121   +3 2   Overdue debt 68 388 68 469 −81 −0,12%
131   +8 2   Inter-bank loans issued 2 405 320 2 105 320 +300 000 +14,25%
62   −9 1   Interbank credit in CBR 2 400 000 2 100 000 +300 000 +14,29%
86   +8 1   Interbank credit in CBR, turnover 7 950 000 7 200 000 +750 000 +10,42%
134   +3 2   −1 Issued interbank, turnover 13 022 985 12 951 000 +71 985 +0,56%
135   +4 2   Loans extended to businesses and institutions 4 615 974 4 245 152 +370 822 +8,74%
243   +119 4   +1 For a term of up to 6 months 120 0 +120 0,00%
111   +4 2   For a term of 6 months to 1 year 1 002 035 972 593 +29 442 +3,03%
89   +4 2   For a term of 1 to 3 years 2 646 222 2 338 570 +307 652 +13,16%
149   4   For a term of over 3 years 721 837 736 646 −14 809 −2,01%
122   +7 2   Overdrafts 111 612 96 320 +15 292 +15,88%
123   3   Overdue debt 250 180 231 820 +18 360 +7,92%
359   +1 5   Investments in shares 0 0 0 0,00%
140   −1 2   Investments in bonds 1 360 651 1 693 330 −332 679 −19,65%
358   +3 5   Securities transferred in REPO 0 0 0 0,00%
359   +2 5   Investments in promissory notes 0 0 0 0,00%
360   +2 5   Investments in other companies 0 0 0 0,00%
143   −2 3   Fixed assets and intangibles 495 233 496 633 −1 400 −0,28%
155   −9 4   −1 Other assets 588 481 612 288 −23 807 −3,89%
102   +1 2   Private deposits 7 247 658 7 138 595 +109 063 +1,53%
133   +1 2   Deposits of individuals, turnover 1 421 204 1 466 481 −45 277 −3,09%
206   +3 5   Accounts 97 302 90 254 +7 048 +7,81%
160   −9 2   Accounts, turnover 439 806 506 903 −67 097 −13,24%
71   +4 3   For a term of up to 90 days 340 630 300 525 +40 105 +13,34%
89   +16 2   +1 Term of up to 90 days, turnover 119 197 84 842 +34 355 +40,49%
195   5   For a term of 91 to 180 days 348 337 +11 +3,26%
192   +1 5   Term from 90 days to 180 days, turnover 24 9 +15 +166,67%
206   −2 5   For a term of 6 months to 1 year 37 233 37 231 +2 +0,01%
249   −3 5   Term from 181 days to one year, turnover 4 9 −5 −55,56%
78   +1 2   For a term of 1 to 3 years 6 658 402 6 591 123 +67 279 +1,02%
78   −7 2   Term from one year to three years, turnover 842 222 858 973 −16 751 −1,95%
104   3   For a term of over 3 years 113 743 119 125 −5 382 −4,52%
85   −4 3   Term more than three years, turnover 19 951 15 745 +4 206 +26,71%
155   +2 2   Funds held by businesses and institutions 3 229 727 2 913 896 +315 831 +10,84%
144   −6 2   Funds of businesses and institutions, turnover 9 522 665 10 480 701 −958 036 −9,14%
124   −2 2   Accounts 2 992 687 2 689 114 +303 573 +11,29%
139   −6 2   Accounts, turnover 9 193 717 10 246 401 −1 052 684 −10,27%
157   +28 2   For a term of up to 90 days 89 400 34 200 +55 200 +161,40%
144   +3 2   Term of up to 90 days, turnover 267 200 213 400 +53 800 +25,21%
117   −14 2   For a term of 91 to 180 days 86 933 148 840 −61 907 −41,59%
90   +12 2   Term from 90 days to 180 days, turnover 41 383 20 400 +20 983 +102,86%
155   +42 3   For a term of up to 6 months 20 865 1 900 +18 965 +998,16%
92   +36 2   +1 Term from 181 days to one year, turnover 20 365 500 +19 865 +3 973,00%
131   +2 2   For a term of 1 to 3 years 23 070 23 070 0 0,00%
360   +2 5   Term from one year to three years, turnover 0 0 0 0,00%
170   +2 5   For a term of over 3 years 16 772 16 772 0 0,00%
359   +2 5   Term more than three years, turnover 0 0 0 0,00%
360   +2 5   Inter-bank loans raised 0 0 0 0,00%
359   +2 5   Attracted interbank loans, turnover 0 0 0 0,00%
358   +2 5   Attracted interbank loans from CBR 0 0 0 0,00%
358   +3 5   Attracted interbank loans from CBR, turnover 0 0 0 0,00%
359   +2 5   Promissory notes and bonds issued 0 0 0 0,00%
358   +2 5   Bonds 0 0 0 0,00%
359   +2 5   Promissory notes 0 0 0 0,00%
185   3   Equity (form 123) 1 592 293 1 622 356 −30 063 −1,85%
93   +2 1   Loro accounts 11 896 12 064 −168 −1,39%
133   +3 2   Net profit 239 954 208 298 +31 656 +15,20%

Performance indicators

% % п.п.
92   +9 1   Return on Assets 2,15 2,06 +0,09 +4,33%
43   +12 1   Return on Equity 17,24 16,56 +0,68 +4,11%
170   +1 3   Overdue debts to loans portfolio 4,56 4,49 +0,06 +1,42%
204   −1 3   The level of provisioning loan portfolio 6,35 6,64 −0,30 −4,45%
121   −1 3   The level of ensuring loan portfolio by pledge of property 124,20 127,87 −3,67 −2,87%
256   −15 4   Capital adequacy ratio (N1) 15,76 16,92 −1,16 −6,86%
83   +48 5   Instant liquidity ratio (N2) 129,26 92,88 +36,38 +39,17%
150   +6 5   The current liquidity ratio (N3) 132,71 140,03 −7,32 −5,23%

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