Kuap. Ru - Kosten von Bankressourcen РУССКИЙ ТОРГОВЫЙ БАНК, Erträge aus BankdarlehenРУССКИЙ ТОРГОВЫЙ БАНК, Bank Berichte Analyse



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  • no. of Russian banks - 857,
    including NKOs - 51
  • no. of Ukrainian banks - 172
  • белорусских банков - 39
  • Balances (F. 101), ratios (F. 135) and capital (F. 123 and 134) available
    at 1 February 2022
  • Income (F. 102) available
    at 1 January 2022
 

RUSSKIY TORGOVIY BANK

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Central Bank of Russia registration number: 2842  complies with 214-FZ (equity construction)

Data on cost of bank's liabilities (term and on demand accounts) and return on its assets (loans) is shown on this page. Click on column header to view rate dynamics on flash-chart.

Return on bank's assets / cost of bank's liabilities since the beginnig of each year
Period Cost Yield
Individual deposits Individual on demand accounts Corporate deposits 1 Corporate on demand accounts 2 Bonds Promissory notes Loans to corporates Loans to individuals
4Q 2018 0,00% 0,00% 0,00% - - - - -
3Q 2018 0,00% 0,00% 0,00% - - - - -
2Q 2018 0,00% 0,00% 0,00% - - - - -
1Q 2018 9,37% 0,00% 9,16% 0,29% - 9,74% - -
4Q 2017 10,15% 0,00% 11,07% 0,41% - 12,21% - -
3Q 2017 10,26% 0,00% 11,85% 0,71% - 12,15% - -
2Q 2017 10,38% 0,00% 8,76% 0,87% - 11,98% - -
1Q 2017 10,61% 0,00% 7,80% 1,19% - 11,00% 12,61% 8,90%
4Q 2016 11,50% 0,00% 9,77% 2,05% - 20,48% 13,94% 11,44%
3Q 2016 11,03% 0,00% 9,93% 2,03% - 20,25% 13,96% 11,83%
2Q 2016 11,32% 0,00% 10,02% 2,14% - 11,37% 14,09% 11,79%
1Q 2016 11,60% 0,00% 7,85% 2,47% - 8,46% 14,23% 11,74%
4Q 2015 12,67% 0,00% 9,77% 0,84% - 8,39% 13,86% 11,69%
3Q 2015 11,45% 0,00% 12,61% 1,11% - 7,86% 13,77% 11,57%
2Q 2015 11,88% 0,00% 11,66% 1,08% - 7,55% 13,69% 11,42%
1Q 2015 11,37% 0,00% 10,56% 1,50% - 7,47% 13,08% 11,23%
4Q 2014 7,66% 0,00% 8,40% - - 9,93% 12,63% 13,05%
3Q 2014 8,69% 0,00% 8,18% - - 10,74% 12,66% 13,43%
2Q 2014 8,65% 0,00% 7,45% - - 12,32% 12,64% 13,72%
1Q 2014 8,59% 0,00% 6,69% - - 12,99% 12,70% 13,98%
4Q 2013 9,31% 0,00% 6,62% 0,03% - 7,88% 13,42% 14,80%
3Q 2013 9,32% 0,00% 6,82% 0,05% - 7,15% 13,39% 14,74%
2Q 2013 9,30% 0,00% 6,41% 0,07% - 8,01% 13,41% 14,63%
1Q 2013 9,23% 0,00% 5,79% 0,11% - 6,36% 13,29% 15,20%
4Q 2012 9,94% 0,00% 5,05% 0,21% - 6,47% 12,96% 14,55%
3Q 2012 9,35% 0,00% 5,57% 0,28% - 6,59% 12,63% 14,92%
2Q 2012 9,48% 0,00% 5,20% 0,39% - 6,75% 12,38% 14,74%
1Q 2012 9,42% 0,00% 4,65% 0,34% - 6,17% 12,40% 14,52%
4Q 2011 9,96% 0,00% 5,92% 0,32% - 7,19% 12,42% 14,01%
3Q 2011 7,59% 0,00% 5,41% 0,24% - 5,58% 12,43% 13,78%
2Q 2011 10,27% 0,00% 9,02% 0,20% - 7,56% 12,43% 13,75%
1Q 2011 10,62% 0,00% 8,96% 0,20% - 8,15% 12,61% 13,63%
4Q 2010 4,56% 0,00% 6,19% 0,07% - 3,61% 3,33% 12,16%
3Q 2010 3,84% 0,00% 5,30% - - 3,09% 18,95% 11,10%
2Q 2010 3,91% 0,00% 8,98% - - 2,78% 30,42% 11,05%

Return on bank's assets / cost of bank's liabilities for the quarter specified
Period Cost Yield
Individual deposits Individual on demand accounts Corporate deposits 1 Corporate on demand accounts 2 Bonds Promissory notes Loans to corporates Loans to individuals
4Q 2018 0,00% 0,00% 0,00% - - - - -
3Q 2018 0,00% 0,00% 0,00% - - - - -
2Q 2018 0,00% 0,00% 0,00% - - - - -
1Q 2018 9,37% 0,00% 9,16% 0,29% - 9,74% - -
4Q 2017 9,66% 0,00% 9,47% 0,31% - 11,00% - -
3Q 2017 9,88% 0,00% 9,74% 0,21% - 11,23% - -
2Q 2017 10,15% 0,00% 10,74% 0,18% - 11,24% - -
1Q 2017 10,61% 0,00% 7,80% 1,19% - 11,00% 12,61% 8,90%
4Q 2016 11,05% 0,00% 10,75% 1,53% - 10,02% 13,80% 10,34%
3Q 2016 11,12% 0,00% 9,66% 2,70% - 9,77% 13,69% 12,06%
2Q 2016 11,05% 0,00% 10,07% 1,09% - 8,57% 14,07% 11,79%
1Q 2016 11,60% 0,00% 7,85% 2,47% - 8,46% 14,23% 11,74%
4Q 2015 13,19% 0,00% 8,71% 0,66% - 9,10% 14,14% 12,15%
3Q 2015 12,88% 0,00% 10,03% 0,25% - 9,12% 14,11% 11,92%
2Q 2015 13,04% 0,00% 9,61% 0,81% - 7,56% 14,20% 11,71%
1Q 2015 11,37% 0,00% 10,56% 1,50% - 7,47% 13,08% 11,23%
4Q 2014 7,70% 0,00% 8,64% - - 8,10% 12,68% 12,08%
3Q 2014 8,74% 0,00% 9,45% - - 7,49% 12,71% 12,96%
2Q 2014 8,75% 0,00% 9,04% - - 11,80% 12,53% 13,40%
1Q 2014 8,59% 0,00% 6,69% - - 12,99% 12,70% 13,98%
4Q 2013 9,39% 0,00% 6,45% - - 10,01% 13,37% 14,79%
3Q 2013 9,26% 0,00% 8,36% - - 5,44% 13,17% 14,75%
2Q 2013 9,23% 0,00% 8,29% 0,02% - 9,66% 13,55% 14,30%
1Q 2013 9,23% 0,00% 5,79% 0,11% - 6,36% 13,29% 15,20%
4Q 2012 10,74% 0,00% 5,36% 0,05% - 6,21% 13,84% 14,35%
3Q 2012 9,08% 0,00% 6,79% 0,09% - 6,31% 13,01% 15,35%
2Q 2012 9,46% 0,00% 6,29% 0,27% - 7,32% 12,42% 14,57%
1Q 2012 9,42% 0,00% 4,65% 0,34% - 6,17% 12,40% 14,52%
4Q 2011 9,59% 0,00% 4,55% 0,33% - 6,51% 12,53% 14,74%
3Q 2011 9,88% 0,00% 5,86% 0,51% - 7,22% 12,46% 14,02%
2Q 2011 9,98% 0,00% 9,05% 0,20% - 7,05% 12,16% 13,89%
1Q 2011 10,62% 0,00% 8,96% 0,20% - 8,15% 12,61% 13,63%
4Q 2010 11,23% 0,00% 5,61% 0,30% - 6,63% 13,72% 13,99%
3Q 2010 13,08% 0,00% 10,06% - - 7,54% 15,25% 11,74%
2Q 2010 7,82% 0,00% 17,96% - - 5,56% 60,85% 22,11%

1. Eurobonds issued using SPV also count as corporate deposits.
2. On demand accounts of corporate clients also include