Novikombank - 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 %
22   +2 17   +2 Net assets 590 545 510 554 808 705 +35 736 805 +6,44%
18   +1 15   Net profit 9 550 972 8 574 434 +976 538 +11,39%
24   19   Equity (form 123) 66 669 740 65 987 798 +681 942 +1,03%
20   −1 16   −1 Credit portfolio 414 983 564 421 966 946 −6 983 382 −1,65%
20   +1 16   +1 NPLs 29 644 808 30 535 485 −890 677 −2,92%
47   32   Private deposits 43 534 253 43 038 207 +496 046 +1,15%
49   +9 35   +6 Investments in securities 27 524 861 19 153 623 +8 371 238 +43,71%
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Carrying amounts

show percentages:     RUR, thousands RUR, thousands RUR, thousands %
22   +2 17   +2 Net assets 590 545 510 554 808 705 +35 736 805 +6,44%
19   −1 16   −1 High-liquidity assets 41 580 061 45 507 571 −3 927 510 −8,63%
25   +4 18   +3 Cash 5 962 779 4 586 289 +1 376 490 +30,01%
47   +3 31   +1 Cash, turnover 16 403 481 15 166 817 +1 236 664 +8,15%
19   −1 16   Nostro accounts 14 177 157 15 743 965 −1 566 808 −9,95%
63   +2 43   +1 Household credits 10 131 469 9 771 752 +359 717 +3,68%
93   +4 47   −1 For a term of up to 6 months 122 90 +32 +35,56%
75   +6 46   +5 For a term of 6 months to 1 year 20 570 19 958 +612 +3,07%
56   +1 37   +1 For a term of 1 to 3 years 674 664 640 464 +34 200 +5,34%
57   39   For a term of over 3 years 9 675 744 9 339 677 +336 067 +3,60%
81   +2 49   +1 Overdrafts and other funds provided 41 772 37 034 +4 738 +12,79%
107   +1 62   Overdue debt 124 647 124 047 +600 +0,48%
21   +14 17   +10 Inter-bank loans issued 82 618 989 42 749 210 +39 869 779 +93,26%
304   −3 146   −2 Interbank credit in CBR 0 0 0 0,00%
47   −30 28   −15 Interbank credit in CBR, turnover 25 000 000 76 000 000 −51 000 000 −67,11%
16   −4 14   −3 Issued interbank, turnover 676 799 820 1 144 477 666 −467 677 846 −40,86%
15   12   Loans extended to businesses and institutions 404 852 095 412 195 194 −7 343 099 −1,78%
19   +3 15   +2 For a term of up to 6 months 19 291 855 15 358 215 +3 933 640 +25,61%
13   +1 10   +1 For a term of 6 months to 1 year 68 340 888 64 498 756 +3 842 132 +5,96%
8   7   For a term of 1 to 3 years 158 352 161 171 085 013 −12 732 852 −7,44%
16   12   For a term of over 3 years 119 007 728 118 900 037 +107 691 +0,09%
26   −5 20   −4 Overdrafts 12 760 340 14 429 485 −1 669 145 −11,57%
14   +1 11   +1 Overdue debt 29 520 161 30 411 438 −891 277 −2,93%
89   −2 45   Investments in shares 9 193 9 252 −59 −0,64%
47   +10 33   +7 Investments in bonds 27 515 668 19 144 371 +8 371 297 +43,73%
54   +7 35   +5 Securities transferred in REPO 298 463 115 736 +182 727 +157,88%
212   −1 110   Investments in promissory notes 0 0 0 0,00%
80   50   Investments in other companies 1 607 1 607 0 0,00%
18   13   Fixed assets and intangibles 11 273 028 11 235 524 +37 504 +0,33%
34   −3 27   −2 Other assets 12 563 400 14 194 224 −1 630 824 −11,49%
47   32   Private deposits 43 534 253 43 038 207 +496 046 +1,15%
44   +1 32   +1 Deposits of individuals, turnover 20 232 831 20 397 856 −165 025 −0,81%
37   26   +1 Accounts 11 563 972 11 212 242 +351 730 +3,14%
42   31   Accounts, turnover 17 123 224 17 283 895 −160 671 −0,93%
62   +1 32   +1 For a term of up to 90 days 440 599 433 810 +6 789 +1,56%
86   −10 36   −3 Term of up to 90 days, turnover 150 883 210 340 −59 457 −28,27%
73   −7 33   −1 For a term of 91 to 180 days 211 699 264 712 −53 013 −20,03%
78   −1 37   −1 Term from 90 days to 180 days, turnover 34 655 34 048 +607 +1,78%
65   −3 37   −3 For a term of 6 months to 1 year 2 209 631 2 362 743 −153 112 −6,48%
83   −12 44   −6 Term from 181 days to one year, turnover 152 511 201 006 −48 495 −24,13%
38   26   For a term of 1 to 3 years 28 665 878 28 635 136 +30 742 +0,11%
45   −2 29   −2 Term from one year to three years, turnover 2 446 704 2 608 509 −161 805 −6,20%
72   +31 34   +8 For a term of over 3 years 442 474 129 564 +312 910 +241,51%
33   +26 21   +9 Term more than three years, turnover 324 854 60 058 +264 796 +440,90%
17   −1 13   −1 Funds held by businesses and institutions 422 527 646 406 016 333 +16 511 313 +4,07%
16   +1 13   +1 Funds of businesses and institutions, turnover 1 515 863 847 1 327 773 623 +188 090 224 +14,17%
14   +1 11   +1 Accounts 183 031 942 202 704 333 −19 672 391 −9,70%
17   14   Accounts, turnover 997 080 348 965 857 398 +31 222 950 +3,23%
14   +1 11   +1 For a term of up to 90 days 126 030 598 82 029 061 +44 001 537 +53,64%
13   +3 10   +3 Term of up to 90 days, turnover 481 814 891 320 788 984 +161 025 907 +50,20%
12   −2 9   −1 For a term of 91 to 180 days 24 131 524 31 121 857 −6 990 333 −22,46%
15   +6 12   +2 Term from 90 days to 180 days, turnover 4 145 067 2 487 442 +1 657 625 +66,64%
12   +2 9   +2 For a term of up to 6 months 44 006 542 44 066 578 −60 036 −0,14%
6   −2 4   Term from 181 days to one year, turnover 27 784 993 37 583 459 −9 798 466 −26,07%
14   −2 11   −1 For a term of 1 to 3 years 32 276 738 32 821 617 −544 879 −1,66%
11   +11 7   +8 Term from one year to three years, turnover 4 849 891 846 762 +4 003 129 +472,76%
27   −1 18   For a term of over 3 years 13 050 302 13 272 887 −222 585 −1,68%
26   −3 14   +1 Term more than three years, turnover 188 657 209 578 −20 921 −9,98%
43   +42 35   +33 Inter-bank loans raised 21 254 077 3 297 777 +17 956 300 +544,50%
65   +35 48   +23 Attracted interbank loans, turnover 20 222 183 1 287 989 +18 934 194 +1 470,06%
19   13   Attracted interbank loans from CBR 1 281 333 1 089 501 +191 832 +17,61%
12   6   Attracted interbank loans from CBR, turnover 226 467 229 071 −2 604 −1,14%
43   +2 36   Promissory notes and bonds issued 948 425 750 391 +198 034 +26,39%
224   +1 120   +1 Bonds 0 0 0 0,00%
27   +3 22   Promissory notes 948 425 750 391 +198 034 +26,39%
24   19   Equity (form 123) 66 669 740 65 987 798 +681 942 +1,03%
18   −1 16   −1 Loro accounts 11 538 813 10 827 373 +711 440 +6,57%
18   +1 15   Net profit 9 550 972 8 574 434 +976 538 +11,39%

Performance indicators

% % п.п.
106   +2 52   +1 Return on Assets 1,96 1,95 +0,01 +0,46%
45   +2 23   Return on Equity 17,86 17,89 −0,02 −0,13%
114   +5 59   +2 Overdue debts to loans portfolio 7,10 7,19 −0,09 −1,28%
180   +1 83   The level of provisioning loan portfolio 7,78 7,88 −0,10 −1,27%
290   125   The level of ensuring loan portfolio by pledge of property 21,44 20,94 +0,50 +2,38%
141   87   Currency turnover towards assets 0,00 N/A N/A N/A
141   87   Turnover on currency transactions in thousand ruble 0 N/A N/A N/A
336   −4 172   −2 Capital adequacy ratio (N1) 11,75 11,76 −0,01 −0,09%
153   +41 96   +27 Instant liquidity ratio (N2) 79,88 62,21 +17,67 +28,40%
296   −12 144   −4 The current liquidity ratio (N3) 86,16 90,88 −4,72 −5,19%

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