Sberbank - 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 %
1   1   Net assets 37 523 889 200 37 116 829 452 +407 059 748 +1,10%
1   1   Net profit 1 045 876 096 936 652 680 +109 223 416 +11,66%
1   1   Equity (form 123) 5 030 416 173 5 024 518 226 +5 897 947 +0,12%
1   1   Credit portfolio 25 736 369 176 25 329 515 494 +406 853 682 +1,61%
2   2   NPLs 644 441 855 626 881 188 +17 560 667 +2,80%
1   1   Private deposits 14 606 629 648 14 694 981 697 −88 352 049 −0,60%
1   1   Investments in securities 5 082 929 928 5 156 336 987 −73 407 059 −1,42%
Show all

Carrying amounts

show percentages:     RUR, thousands RUR, thousands RUR, thousands %
1   1   Net assets 37 523 889 200 37 116 829 452 +407 059 748 +1,10%
1   1   High-liquidity assets 2 480 686 805 2 120 140 733 +360 546 072 +17,01%
1   1   Cash 624 823 865 600 362 508 +24 461 357 +4,07%
1   1   Cash, turnover 9 020 458 600 9 719 901 878 −699 443 278 −7,20%
1   1   Nostro accounts 576 320 130 584 922 713 −8 602 583 −1,47%
1   1   Household credits 10 109 494 983 9 889 973 159 +219 521 824 +2,22%
1   1   For a term of up to 6 months 753 240 057 740 176 505 +13 063 552 +1,76%
1   1   For a term of 6 months to 1 year 41 685 417 40 151 255 +1 534 162 +3,82%
1   1   For a term of 1 to 3 years 494 958 427 496 664 272 −1 705 845 −0,34%
1   1   For a term of over 3 years 8 729 016 680 8 542 208 052 +186 808 628 +2,19%
34   24   Overdrafts and other funds provided 2 869 272 2 836 766 +32 506 +1,15%
1   1   Overdue debt 270 384 941 261 547 038 +8 837 903 +3,38%
2   2   Inter-bank loans issued 1 311 212 819 1 709 787 839 −398 575 020 −23,31%
327   −326 164   −163 Interbank credit in CBR 0 161 186 140 −161 186 140 −100,00%
1   1   Interbank credit in CBR, turnover 953 845 310 1 075 592 520 −121 747 210 −11,32%
1   1   Issued interbank, turnover 6 311 578 485 5 973 437 885 +338 140 600 +5,66%
1   1   Loans extended to businesses and institutions 15 626 874 193 15 439 542 335 +187 331 858 +1,21%
4   3   For a term of up to 6 months 627 848 766 619 981 467 +7 867 299 +1,27%
1   1   For a term of 6 months to 1 year 1 116 220 163 1 083 006 472 +33 213 691 +3,07%
1   1   For a term of 1 to 3 years 3 764 244 402 3 638 740 736 +125 503 666 +3,45%
1   1   For a term of over 3 years 9 721 296 335 9 728 694 196 −7 397 861 −0,08%
1   1   Overdrafts 299 001 171 301 772 366 −2 771 195 −0,92%
2   2   Overdue debt 374 203 749 365 476 231 +8 727 518 +2,39%
2   1   Investments in shares 39 859 825 39 932 520 −72 695 −0,18%
1   1   Investments in bonds 5 042 107 278 5 115 447 427 −73 340 149 −1,43%
1   1   Securities transferred in REPO 2 238 376 183 1 970 449 872 +267 926 311 +13,60%
4   +1 3   Investments in promissory notes 962 825 957 040 +5 785 +0,60%
1   1   Investments in other companies 1 033 769 304 1 024 221 095 +9 548 209 +0,93%
1   1   Fixed assets and intangibles 645 186 561 633 092 646 +12 093 915 +1,91%
1   +1 1   Other assets 1 233 734 607 1 143 734 658 +89 999 949 +7,87%
1   1   Private deposits 14 606 629 648 14 694 981 697 −88 352 049 −0,60%
1   1   Deposits of individuals, turnover 13 298 095 636 13 375 169 357 −77 073 721 −0,58%
1   1   Accounts 5 045 500 195 5 054 753 031 −9 252 836 −0,18%
1   1   Accounts, turnover 11 571 923 399 11 505 918 520 +66 004 879 +0,57%
1   1   For a term of up to 90 days 246 285 326 249 535 804 −3 250 478 −1,30%
3   3   Term of up to 90 days, turnover 84 503 823 79 314 673 +5 189 150 +6,54%
1   1   For a term of 91 to 180 days 709 958 683 848 841 616 −138 882 933 −16,36%
1   1   Term from 90 days to 180 days, turnover 118 752 080 120 752 104 −2 000 024 −1,66%
1   1   For a term of 6 months to 1 year 5 031 782 171 4 890 112 020 +141 670 151 +2,90%
1   1   Term from 181 days to one year, turnover 691 248 789 705 668 558 −14 419 769 −2,04%
1   1   For a term of 1 to 3 years 3 030 476 944 3 100 976 143 −70 499 199 −2,27%
1   1   Term from one year to three years, turnover 423 316 595 550 243 632 −126 927 037 −23,07%
1   1   For a term of over 3 years 542 626 329 550 763 083 −8 136 754 −1,48%
1   1   Term more than three years, turnover 408 350 950 413 271 870 −4 920 920 −1,19%
1   1   Funds held by businesses and institutions 10 670 677 321 10 922 581 014 −251 903 693 −2,31%
1   1   Funds of businesses and institutions, turnover 42 598 766 518 45 856 748 295 −3 257 981 777 −7,10%
1   1   Accounts 3 749 680 304 3 853 513 714 −103 833 410 −2,69%
1   1   Accounts, turnover 33 243 531 275 33 323 666 258 −80 134 983 −0,24%
2   1   For a term of up to 90 days 2 978 777 933 3 135 221 071 −156 443 138 −4,99%
2   −1 1   Term of up to 90 days, turnover 9 026 095 004 11 855 654 546 −2 829 559 542 −23,87%
1   1   For a term of 91 to 180 days 1 217 222 109 1 137 399 121 +79 822 988 +7,02%
2   −1 2   −1 Term from 90 days to 180 days, turnover 192 190 919 444 519 912 −252 328 993 −56,76%
1   1   For a term of up to 6 months 820 518 402 810 671 993 +9 846 409 +1,21%
2   +1 1   +2 Term from 181 days to one year, turnover 68 321 895 41 701 826 +26 620 069 +63,83%
3   2   For a term of 1 to 3 years 246 531 165 251 639 171 −5 108 006 −2,03%
7   −5 4   −3 Term from one year to three years, turnover 7 015 521 31 905 640 −24 890 119 −78,01%
1   1   For a term of over 3 years 1 657 947 408 1 734 135 944 −76 188 536 −4,39%
3   −2 2   −1 Term more than three years, turnover 61 611 904 159 300 113 −97 688 209 −61,32%
2   +2 2   +1 Inter-bank loans raised 1 809 625 116 1 273 104 536 +536 520 580 +42,14%
1   1   Attracted interbank loans, turnover 11 536 325 402 5 515 485 935 +6 020 839 467 +109,16%
2   2   Attracted interbank loans from CBR 1 090 014 457 457 774 361 +632 240 096 +138,11%
1   1   Attracted interbank loans from CBR, turnover 7 298 562 542 1 160 056 892 +6 138 505 650 +529,16%
1   1   Promissory notes and bonds issued 923 680 935 920 619 907 +3 061 028 +0,33%
1   1   Bonds 858 564 152 856 648 073 +1 916 079 +0,22%
2   2   Promissory notes 65 116 783 63 971 834 +1 144 949 +1,79%
1   1   Equity (form 123) 5 030 416 173 5 024 518 226 +5 897 947 +0,12%
1   1   Loro accounts 251 961 079 225 354 838 +26 606 241 +11,81%
1   1   Net profit 1 045 876 096 936 652 680 +109 223 416 +11,66%

Performance indicators

% % п.п.
42   21   +3 Return on Assets 3,53 3,53 −0,00 −0,06%
21   +1 10   +1 Return on Equity 25,93 25,91 +0,02 +0,06%
219   +3 109   +1 Overdue debts to loans portfolio 2,46 2,43 +0,03 +1,33%
239   +5 113   +2 The level of provisioning loan portfolio 4,70 4,83 −0,13 −2,61%
157   +1 63   +1 The level of ensuring loan portfolio by pledge of property 109,24 108,79 +0,44 +0,41%
284   −6 142   −3 Capital adequacy ratio (N1) 14,40 14,66 −0,26 −1,77%
47   +22 30   +12 Instant liquidity ratio (N2) 167,72 135,39 +32,33 +23,88%
209   −55 98   −28 The current liquidity ratio (N3) 117,00 139,04 −22,04 −15,85%

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