Gazprombank - показатели деятельности за период c 2021-10-01 по 2021-11-01 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 %
3   2   Net assets 8 256 025 715 8 105 161 279 +150 864 436 +1,86%
3   2   Net profit 113 178 941 108 655 787 +4 523 154 +4,16%
3   2   Equity (form 123) 837 309 760 831 330 566 +5 979 194 +0,72%
3   2   Credit portfolio 5 525 088 448 5 490 475 941 +34 612 507 +0,63%
9   8   NPLs 110 508 705 110 212 775 +295 930 +0,27%
4   3   Private deposits 1 434 714 052 1 422 604 766 +12 109 286 +0,85%
3   2   Investments in securities 693 336 930 685 337 067 +7 999 863 +1,17%
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Carrying amounts

show percentages:     RUR, thousands RUR, thousands RUR, thousands %
3   2   Net assets 8 256 025 715 8 105 161 279 +150 864 436 +1,86%
3   2   High-liquidity assets 612 505 288 604 829 393 +7 675 895 +1,27%
3   2   Cash 125 847 887 145 514 124 −19 666 237 −13,52%
4   3   Cash, turnover 558 112 235 612 136 396 −54 024 161 −8,83%
3   +1 3   +1 Nostro accounts 213 395 843 201 098 734 +12 297 109 +6,11%
4   3   Household credits 690 172 382 733 492 826 −43 320 444 −5,91%
168   −1 80   −1 For a term of up to 6 months 0 0 0 0,00%
11   10   For a term of 6 months to 1 year 2 162 668 2 160 242 +2 426 +0,11%
11   −2 10   −2 For a term of 1 to 3 years 21 173 317 24 428 608 −3 255 291 −13,33%
4   3   For a term of over 3 years 645 262 938 685 804 059 −40 541 121 −5,91%
15   10   Overdrafts and other funds provided 16 253 020 15 987 368 +265 652 +1,66%
11   9   Overdue debt 18 868 055 18 364 452 +503 603 +2,74%
5   4   Inter-bank loans issued 607 203 109 522 637 685 +84 565 424 +16,18%
250   −4 106   −4 Interbank credit in CBR 0 0 0 0,00%
12   +28 10   +14 Interbank credit in CBR, turnover 94 000 000 37 000 000 +57 000 000 +154,05%
11   10   Issued interbank, turnover 1 479 202 040 1 227 760 235 +251 441 805 +20,48%
3   2   Loans extended to businesses and institutions 4 834 916 066 4 756 983 115 +77 932 951 +1,64%
7   −1 6   −1 For a term of up to 6 months 170 499 528 161 588 716 +8 910 812 +5,51%
3   2   For a term of 6 months to 1 year 472 790 497 476 181 107 −3 390 610 −0,71%
3   2   For a term of 1 to 3 years 789 660 920 768 233 268 +21 427 652 +2,79%
3   2   For a term of over 3 years 3 243 853 996 3 192 598 013 +51 255 983 +1,61%
3   3   Overdrafts 157 751 378 156 082 733 +1 668 645 +1,07%
8   7   Overdue debt 91 640 650 91 848 323 −207 673 −0,23%
8   5   Investments in shares 19 371 807 19 505 947 −134 140 −0,69%
3   2   Investments in bonds 673 965 123 665 831 120 +8 134 003 +1,22%
22   −11 14   −7 Securities transferred in REPO 6 516 263 20 980 397 −14 464 134 −68,94%
98   −1 52   Investments in promissory notes 0 0 0 0,00%
3   2   Investments in other companies 348 188 503 342 812 849 +5 375 654 +1,57%
3   2   Fixed assets and intangibles 92 544 091 92 153 922 +390 169 +0,42%
3   2   Other assets 377 159 346 366 914 422 +10 244 924 +2,79%
4   3   Private deposits 1 434 714 052 1 422 604 766 +12 109 286 +0,85%
5   4   Deposits of individuals, turnover 1 053 766 530 878 526 260 +175 240 270 +19,95%
5   4   Accounts 463 899 898 440 903 770 +22 996 128 +5,22%
5   4   Accounts, turnover 798 417 255 551 170 844 +247 246 411 +44,86%
5   −2 4   −1 For a term of up to 90 days 43 684 178 67 801 936 −24 117 758 −35,57%
2   −1 2   −1 Term of up to 90 days, turnover 86 819 005 172 132 239 −85 313 234 −49,56%
3   3   For a term of 91 to 180 days 31 335 490 38 303 694 −6 968 204 −18,19%
7   −4 7   −4 Term from 90 days to 180 days, turnover 3 282 789 4 708 563 −1 425 774 −30,28%
7   −1 5   −1 For a term of 6 months to 1 year 90 836 608 93 336 875 −2 500 267 −2,68%
9   −2 7   −2 Term from 181 days to one year, turnover 10 775 342 15 242 768 −4 467 426 −29,31%
4   3   For a term of 1 to 3 years 481 441 476 447 172 271 +34 269 205 +7,66%
3   2   Term from one year to three years, turnover 135 303 521 112 069 641 +23 233 880 +20,73%
2   2   For a term of over 3 years 323 516 402 335 086 220 −11 569 818 −3,45%
3   2   Term more than three years, turnover 19 168 618 23 202 205 −4 033 587 −17,38%
3   2   Funds held by businesses and institutions 4 916 999 610 4 847 477 051 +69 522 559 +1,43%
3   2   Funds of businesses and institutions, turnover 18 916 729 302 17 259 161 351 +1 657 567 951 +9,60%
3   2   Accounts 1 541 528 990 1 372 197 985 +169 331 005 +12,34%
3   2   Accounts, turnover 15 600 875 434 13 286 169 648 +2 314 705 786 +17,42%
4   3   For a term of up to 90 days 1 012 095 064 1 088 610 781 −76 515 717 −7,03%
4   −1 3   −1 Term of up to 90 days, turnover 2 970 682 714 3 715 039 332 −744 356 618 −20,04%
3   2   For a term of 91 to 180 days 672 260 765 650 605 230 +21 655 535 +3,33%
1   +1 1   +1 Term from 90 days to 180 days, turnover 269 534 281 168 485 441 +101 048 840 +59,97%
3   3   For a term of up to 6 months 279 129 561 297 281 781 −18 152 220 −6,11%
7   −6 5   −4 Term from 181 days to one year, turnover 16 521 025 46 393 507 −29 872 482 −64,39%
1   1   For a term of 1 to 3 years 428 923 042 431 249 513 −2 326 471 −0,54%
5   +1 2   +1 Term from one year to three years, turnover 10 718 892 10 159 530 +559 362 +5,51%
3   2   For a term of over 3 years 983 062 188 1 007 531 761 −24 469 573 −2,43%
4   +2 3   +2 Term more than three years, turnover 48 396 956 32 913 893 +15 483 063 +47,04%
7   6   Inter-bank loans raised 283 220 666 228 106 244 +55 114 422 +24,16%
3   2   Attracted interbank loans, turnover 2 088 218 544 2 096 244 274 −8 025 730 −0,38%
5   4   Attracted interbank loans from CBR 22 688 515 22 833 515 −145 000 −0,64%
107   49   −2 Attracted interbank loans from CBR, turnover 0 0 0 0,00%
3   2   Promissory notes and bonds issued 333 512 112 335 317 291 −1 805 179 −0,54%
3   2   Bonds 296 964 435 297 575 719 −611 284 −0,21%
4   3   Promissory notes 36 547 677 37 741 572 −1 193 895 −3,16%
3   2   Equity (form 123) 837 309 760 831 330 566 +5 979 194 +0,72%
4   +1 3   +1 Loro accounts 49 655 794 50 994 699 −1 338 905 −2,63%
3   2   Net profit 113 178 941 108 655 787 +4 523 154 +4,16%

Performance indicators

% % п.п.
126   −13 63   −8 Return on Assets 1,74 1,86 −0,13 −6,74%
53   −7 29   −7 Return on Equity 16,75 17,92 −1,17 −6,55%
235   +1 116   +1 Overdue debts to loans portfolio 1,96 1,97 −0,01 −0,38%
263   +4 121   +3 The level of provisioning loan portfolio 3,77 3,75 +0,02 +0,49%
201   +1 86   −2 The level of ensuring loan portfolio by pledge of property 84,41 85,22 −0,81 −0,95%
326   −1 168   −3 Capital adequacy ratio (N1) 12,16 12,10 +0,06 +0,50%
143   −14 87   −5 Instant liquidity ratio (N2) 88,34 95,55 −7,21 −7,55%
241   −109 115   −55 The current liquidity ratio (N3) 105,75 155,67 −49,92 −32,07%

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