Bank SIAB - показатели деятельности за период c 2020-03-01 по 2021-03-01 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 %
234   +5 17   −2 Net assets 4 482 898 4 800 716 −317 818 −6,62%
347   +21 22   +2 Net profit −23 247 −13 822 −9 425 −68,19%
254   +7 17   −1 Equity (form 123) 792 132 891 138 −99 006 −11,11%
213   +4 13   +1 Credit portfolio 1 784 471 2 041 470 −256 999 −12,59%
215   +8 15   NPLs 77 351 98 212 −20 861 −21,24%
170   +2 12   Private deposits 2 270 600 2 677 327 −406 727 −15,19%
157   +6 11   Investments in securities 1 537 739 1 246 330 +291 409 +23,38%
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Carrying amounts

show percentages:     RUR, thousands RUR, thousands RUR, thousands %
234   +5 17   −2 Net assets 4 482 898 4 800 716 −317 818 −6,62%
259   −6 16   High-liquidity assets 368 676 368 101 +575 +0,16%
170   +3 10   Cash 224 261 217 537 +6 724 +3,09%
124   +10 7   +1 Cash, turnover 2 494 136 2 797 114 −302 978 −10,83%
238   +5 17   −1 Nostro accounts 108 031 91 603 +16 428 +17,93%
289   −12 15   +1 Household credits 28 775 77 849 −49 074 −63,04%
336   +39 20   +2 For a term of up to 6 months 0 0 0 0,00%
225   +27 10   +4 For a term of 6 months to 1 year 70 85 −15 −17,65%
264   −43 15   −1 For a term of 1 to 3 years 5 371 26 046 −20 675 −79,38%
319   +32 20   +1 For a term of over 3 years 169 502 −333 −66,33%
113   −47 8   −2 Overdrafts and other funds provided 12 678 25 450 −12 772 −50,18%
221   −25 13   +1 Overdue debt 11 469 25 766 −14 297 −55,49%
369   +13 21   Inter-bank loans issued 7 443 127 008 −119 565 −94,14%
371   −66 21   −5 Interbank credit in CBR 0 50 000 −50 000 −100,00%
263   +23 13   +1 Interbank credit in CBR, turnover 699 000 950 000 −251 000 −26,42%
307   −25 17   −2 Issued interbank, turnover 1 350 438 4 166 800 −2 816 362 −67,59%
188   +6 12   +1 Loans extended to businesses and institutions 1 755 696 1 963 621 −207 925 −10,59%
178   −15 11   For a term of up to 6 months 102 479 174 860 −72 381 −41,39%
138   −4 10   −1 For a term of 6 months to 1 year 622 939 713 170 −90 231 −12,65%
141   +8 10   −1 For a term of 1 to 3 years 957 213 904 665 +52 548 +5,81%
296   +7 17   For a term of over 3 years 21 540 21 890 −350 −1,60%
181   −84 12   −5 Overdrafts 24 435 76 590 −52 155 −68,10%
190   +13 11   +3 Overdue debt 65 882 72 446 −6 564 −9,06%
343   +25 19   +1 Investments in shares 0 0 0 0,00%
154   +5 10   Investments in bonds 1 537 739 1 246 330 +291 409 +23,38%
322   +27 19   +2 Securities transferred in REPO 0 0 0 0,00%
313   +29 19   +1 Investments in promissory notes 0 0 0 0,00%
341   +30 22   +1 Investments in other companies 0 0 0 0,00%
129   −6 10   −1 Fixed assets and intangibles 667 936 686 283 −18 347 −2,67%
255   −38 18   −1 Other assets 116 633 331 524 −214 891 −64,82%
170   +2 12   Private deposits 2 270 600 2 677 327 −406 727 −15,19%
181   −11 13   −1 Deposits of individuals, turnover 499 695 749 103 −249 408 −33,29%
181   −8 12   −1 Accounts 201 852 216 162 −14 310 −6,62%
190   −14 12   −1 Accounts, turnover 224 584 374 198 −149 614 −39,98%
123   +26 8   −1 For a term of up to 90 days 84 753 54 148 +30 605 +56,52%
83   +3 7   −2 Term of up to 90 days, turnover 136 382 156 044 −19 662 −12,60%
141   −9 10   +1 For a term of 91 to 180 days 26 526 62 419 −35 893 −57,50%
357   −216 21   −10 Term from 90 days to 180 days, turnover 0 10 242 −10 242 −100,00%
73   +10 6   +1 For a term of 6 months to 1 year 1 874 939 2 205 607 −330 668 −14,99%
80   +13 8   −2 Term from 181 days to one year, turnover 137 467 208 619 −71 152 −34,11%
238   +9 13   +1 For a term of 1 to 3 years 82 530 138 991 −56 461 −40,62%
249   +156 15   +8 Term from one year to three years, turnover 1 262 0 +1 262 0,00%
363   +31 21   +1 For a term of over 3 years 0 0 0 0,00%
355   +30 20   +1 Term more than three years, turnover 0 0 0 0,00%
246   +17 17   Funds held by businesses and institutions 958 163 710 034 +248 129 +34,95%
168   +7 13   −2 Funds of businesses and institutions, turnover 5 679 553 5 158 239 +521 314 +10,11%
205   +22 15   +2 Accounts 881 363 636 871 +244 492 +38,39%
163   +1 13   −2 Accounts, turnover 5 597 703 5 108 599 +489 104 +9,57%
222   +2 16   For a term of up to 90 days 6 300 16 950 −10 650 −62,83%
187   +2 13   −2 Term of up to 90 days, turnover 34 850 45 640 −10 790 −23,64%
144   +5 13   −1 For a term of 91 to 180 days 30 000 46 000 −16 000 −34,78%
81   +74 8   +6 Term from 90 days to 180 days, turnover 30 000 4 000 +26 000 +650,00%
147   +80 10   +7 For a term of up to 6 months 34 000 5 000 +29 000 +580,00%
89   +288 8   +14 Term from 181 days to one year, turnover 17 000 0 +17 000 0,00%
154   +23 13   −1 For a term of 1 to 3 years 6 500 5 213 +1 287 +24,69%
337   +30 21   Term from one year to three years, turnover 0 0 0 0,00%
358   +35 21   +2 For a term of over 3 years 0 0 0 0,00%
334   +29 20   +1 Term more than three years, turnover 0 0 0 0,00%
138   +238 9   +13 Inter-bank loans raised 54 908 0 +54 908 0,00%
109   +257 10   +12 Attracted interbank loans, turnover 351 011 0 +351 011 0,00%
43   +302 4   +16 Attracted interbank loans from CBR 54 908 0 +54 908 0,00%
9   +331 2   +18 Attracted interbank loans from CBR, turnover 351 011 0 +351 011 0,00%
73   +31 7   Promissory notes and bonds issued 172 438 40 000 +132 438 +331,10%
321   +27 19   +1 Bonds 0 0 0 0,00%
60   +32 7   Promissory notes 172 438 40 000 +132 438 +331,10%
254   +7 17   −1 Equity (form 123) 792 132 891 138 −99 006 −11,11%
338   +30 21   +1 Loro accounts 0 0 0 0,00%
347   +21 22   +2 Net profit −23 247 −13 822 −9 425 −68,19%

Performance indicators

% % п.п.
344   +8 22   Return on Assets −2,95 −1,66 −1,29 −77,45%
346   +15 22   Return on Equity −17,28 −9,19 −8,10 −88,16%
215   +16 14   −2 Overdue debts to loans portfolio 4,24 4,81 −0,57 −11,86%
256   +20 16   −2 The level of provisioning loan portfolio 5,83 8,12 −2,29 −28,19%
244   +24 16   The level of ensuring loan portfolio by pledge of property 70,91 74,27 −3,37 −4,53%
223   13   Currency turnover towards assets 0,00 N/A N/A N/A
223   13   Turnover on currency transactions in thousand ruble 0 N/A N/A N/A
263   +32 16   +2 Capital adequacy ratio (N1) 17,27 16,61 +0,66 +3,96%
273   −200 12   −10 The current liquidity ratio (N3) 111,00 299,01 −188,01 −62,88%

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