Asian-Pacific Bank - показатели деятельности за период c 2021-08-01 по 2021-09-01 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 %
51   −1 2   Net assets 139 199 801 139 790 821 −591 020 −0,42%
42   +3 1   Net profit 1 774 099 1 362 979 +411 120 +30,16%
61   2   Equity (form 123) 17 178 703 16 573 488 +605 215 +3,65%
47   −1 2   Credit portfolio 88 771 096 90 032 821 −1 261 725 −1,40%
49   −1 2   NPLs 4 924 240 4 886 276 +37 964 +0,78%
39   +3 2   Private deposits 56 892 454 54 779 030 +2 113 424 +3,86%
54   +1 1   Investments in securities 23 014 801 23 448 717 −433 916 −1,85%
Show all

Carrying amounts

show percentages:     RUR, thousands RUR, thousands RUR, thousands %
51   −1 2   Net assets 139 199 801 139 790 821 −591 020 −0,42%
41   −4 1   High-liquidity assets 12 686 569 11 826 607 +859 962 +7,27%
19   +5 1   Cash 9 652 819 5 976 938 +3 675 881 +61,50%
19   1   Cash, turnover 59 053 141 57 594 533 +1 458 608 +2,53%
102   −26 2   −1 Nostro accounts 907 514 1 617 744 −710 230 −43,90%
30   2   Household credits 67 302 898 66 744 780 +558 118 +0,84%
114   −23 2   For a term of up to 6 months 0 114 −114 −100,00%
99   −1 2   For a term of 6 months to 1 year 10 165 11 391 −1 226 −10,76%
28   +1 1   For a term of 1 to 3 years 4 704 319 4 668 761 +35 558 +0,76%
26   1   For a term of over 3 years 59 627 153 58 926 755 +700 398 +1,19%
24   +1 1   Overdrafts and other funds provided 5 829 380 5 736 594 +92 786 +1,62%
30   +2 2   Overdue debt 3 433 210 3 322 973 +110 237 +3,32%
245   −114 2   Inter-bank loans issued 539 491 2 408 537 −1 869 046 −77,60%
219   −149 1   Interbank credit in CBR 0 2 000 000 −2 000 000 −100,00%
215   −47 1   Interbank credit in CBR, turnover 1 000 000 2 450 000 −1 450 000 −59,18%
266   −30 2   Issued interbank, turnover 1 867 940 3 980 774 −2 112 834 −53,08%
62   −1 2   Loans extended to businesses and institutions 21 468 198 23 288 041 −1 819 843 −7,81%
52   +1 1   For a term of up to 6 months 2 823 388 3 003 247 −179 859 −5,99%
60   −13 1   For a term of 6 months to 1 year 3 534 691 4 224 969 −690 278 −16,34%
42   −1 1   For a term of 1 to 3 years 8 780 607 9 092 412 −311 805 −3,43%
69   −2 2   For a term of over 3 years 4 634 881 5 202 037 −567 156 −10,90%
71   2   Overdrafts 1 047 072 1 089 196 −42 124 −3,87%
53   −1 2   Overdue debt 1 491 030 1 563 303 −72 273 −4,62%
31   +1 2   Investments in shares 448 364 448 347 +17 +0,00%
53   +1 1   Investments in bonds 22 544 636 22 956 384 −411 748 −1,79%
46   +9 1   +1 Securities transferred in REPO 618 316 420 755 +197 561 +46,95%
22   −4 1   Investments in promissory notes 21 801 43 986 −22 185 −50,44%
43   1   Investments in other companies 491 320 491 666 −346 −0,07%
36   −1 2   Fixed assets and intangibles 5 427 992 5 443 692 −15 700 −0,29%
46   +6 2   Other assets 8 268 532 6 138 781 +2 129 751 +34,69%
39   +3 2   Private deposits 56 892 454 54 779 030 +2 113 424 +3,86%
37   1   +1 Deposits of individuals, turnover 27 450 944 25 424 162 +2 026 782 +7,97%
32   2   Accounts 14 590 144 15 133 409 −543 265 −3,59%
44   −3 2   Accounts, turnover 16 828 163 17 048 836 −220 673 −1,29%
35   1   For a term of up to 90 days 1 323 987 1 359 009 −35 022 −2,58%
31   +10 1   Term of up to 90 days, turnover 1 142 125 1 032 656 +109 469 +10,60%
29   +3 1   +1 For a term of 91 to 180 days 1 561 332 1 344 246 +217 086 +16,15%
23   +3 1   +1 Term from 90 days to 180 days, turnover 506 771 519 630 −12 859 −2,47%
32   +4 2   For a term of 6 months to 1 year 10 238 541 7 584 268 +2 654 273 +35,00%
15   +14 1   +1 Term from 181 days to one year, turnover 4 420 076 1 575 674 +2 844 402 +180,52%
41   −4 2   For a term of 1 to 3 years 28 240 720 28 537 467 −296 747 −1,04%
34   −9 1   Term from one year to three years, turnover 4 305 621 4 936 657 −631 036 −12,78%
59   +4 2   For a term of over 3 years 937 730 820 631 +117 099 +14,27%
41   −4 1   Term more than three years, turnover 248 188 310 709 −62 521 −20,12%
44   +3 1   Funds held by businesses and institutions 49 344 632 45 607 100 +3 737 532 +8,20%
49   +5 1   Funds of businesses and institutions, turnover 180 698 005 150 079 671 +30 618 334 +20,40%
30   +3 1   Accounts 29 779 282 26 894 209 +2 885 073 +10,73%
49   +6 1   Accounts, turnover 117 294 950 107 871 385 +9 423 565 +8,74%
44   +1 1   For a term of up to 90 days 11 531 216 10 198 695 +1 332 521 +13,07%
40   +5 1   Term of up to 90 days, turnover 62 081 880 40 055 652 +22 026 228 +54,99%
25   −2 1   For a term of 91 to 180 days 5 484 193 5 850 075 −365 882 −6,25%
33   +2 1   Term from 90 days to 180 days, turnover 1 029 062 782 496 +246 566 +31,51%
43   1   For a term of up to 6 months 1 334 913 1 463 391 −128 478 −8,78%
39   −6 1   Term from 181 days to one year, turnover 272 738 869 077 −596 339 −68,62%
43   −2 1   For a term of 1 to 3 years 1 184 329 1 170 730 +13 599 +1,16%
69   −39 1   Term from one year to three years, turnover 18 676 501 061 −482 385 −96,27%
161   +2 2   For a term of over 3 years 30 699 30 000 +699 +2,33%
77   +20 2   Term more than three years, turnover 699 0 +699 0,00%
78   −17 1   Inter-bank loans raised 3 992 509 11 081 814 −7 089 305 −63,97%
43   +10 1   +1 Attracted interbank loans, turnover 75 598 089 43 633 253 +31 964 836 +73,26%
18   −2 1   Attracted interbank loans from CBR 1 299 392 1 352 333 −52 941 −3,91%
11   +9 1   Attracted interbank loans from CBR, turnover 598 531 250 000 +348 531 +139,41%
125   +2 2   Promissory notes and bonds issued 1 114 1 114 0 0,00%
48   1   Bonds 0 0 0 0,00%
117   +2 2   Promissory notes 1 114 1 114 0 0,00%
61   2   Equity (form 123) 17 178 703 16 573 488 +605 215 +3,65%
40   1   Loro accounts 813 031 947 248 −134 217 −14,17%
42   +3 1   Net profit 1 774 099 1 362 979 +411 120 +30,16%

Performance indicators

% % п.п.
102   +14 1   Return on Assets 2,02 1,79 +0,23 +12,94%
58   +17 1   Return on Equity 16,34 14,42 +1,92 +13,31%
158   +7 2   Overdue debts to loans portfolio 5,13 5,05 +0,09 +1,75%
141   +5 2   The level of provisioning loan portfolio 11,36 10,89 +0,47 +4,34%
276   +2 2   The level of ensuring loan portfolio by pledge of property 42,22 41,03 +1,20 +2,91%
8   1   Currency turnover towards assets 0,00 N/A N/A N/A
8   1   Turnover on currency transactions in thousand ruble 0 N/A N/A N/A
329   +9 2   Capital adequacy ratio (N1) 12,21 11,70 +0,51 +4,36%
99   +31 2   Instant liquidity ratio (N2) 112,52 88,93 +23,59 +26,53%
254   −22 2   The current liquidity ratio (N3) 102,69 106,05 −3,36 −3,17%

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