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1
-Banks' Business Structure - domestic and foreign liabilities
Raiffeisen credit cooperatives, Volksbank credit cooperatives, building and loan associations, special purpose banks
End of period
2022
2023
Q4 22
Q1 23
Q2 23
Q3 23
Q4 23
EUR million
Raiffeisen credit cooperatives
deposits
by counterparties
263,196.50
248,383.32
263,196.50
266,301.74
257,281.29
251,223.31
248,383.32
domestic deposits
226,571.72
213,383.44
226,571.72
222,821.25
215,538.33
211,234.63
213,383.44
official sector incl. central banks
26,282.42
13,466.10
26,282.42
23,085.75
17,917.75
15,927.27
13,466.10
banks (MFIs)
58,959.43
57,703.26
58,959.43
59,478.76
58,214.09
56,734.59
57,703.26
non-bank financial institutions
12,373.86
11,874.98
12,373.86
11,728.26
11,136.87
11,082.43
11,874.98
non-financial corporations
27,461.61
26,634.32
27,461.61
27,574.94
26,533.24
26,432.04
26,634.32
households
2
101,494.39
103,704.79
101,494.39
100,953.56
101,736.38
101,058.29
103,704.79
foreign deposits
36,624.79
34,999.88
36,624.79
43,480.49
41,742.97
39,988.68
34,999.88
official sector incl. central banks
1,839.03
1,384.09
1,839.03
1,718.42
1,583.69
1,472.48
1,384.09
banks (MFIs)
14,686.24
16,427.73
14,686.24
22,742.23
22,515.02
18,652.42
16,427.73
non-bank financial institutions
7,465.17
7,188.99
7,465.17
7,516.56
6,941.38
9,061.96
7,188.99
non-financial corporations
8,536.73
5,929.73
8,536.73
7,415.39
6,616.76
6,728.91
5,929.73
households
2
4,097.63
4,069.34
4,097.63
4,087.89
4,086.12
4,072.90
4,069.34
by maturity
263,196.50
248,383.32
263,196.50
266,301.74
257,281.29
251,223.31
248,383.32
overnight deposits and deposits up to one day
108,557.18
99,501.67
108,557.18
112,325.54
105,816.92
100,550.90
99,501.67
deposits up to and including 1 year
65,330.62
67,057.09
65,330.62
68,874.54
68,923.64
67,067.36
67,057.09
deposits over 1 year up to and including 2 years
17,777.06
14,457.49
17,777.06
14,530.68
13,435.11
14,960.21
14,457.49
deposits over 2 years
71,531.65
67,367.08
71,531.65
70,570.98
69,105.62
68,644.83
67,367.08
securities issued by maturity
49,567.58
56,439.80
49,567.58
54,845.96
56,448.67
58,219.12
56,439.80
up to and including 1 year
5,356.02
4,564.38
5,356.02
4,860.98
5,474.66
6,032.48
4,564.38
over 1 year up to and including 2 years
5,035.15
6,648.18
5,035.15
7,722.78
7,256.81
8,011.02
6,648.18
over 2 years
39,176.42
45,227.23
39,176.42
42,262.19
43,717.21
44,175.62
45,227.23
other liabilities (domestic and foreign countries)
43,093.11
47,663.76
43,093.11
44,065.02
45,022.06
46,873.66
47,663.76
total liabilities
355,857.19
352,486.87
355,857.19
365,212.71
358,752.02
356,316.08
352,486.87
Volksbank credit cooperatives
deposits
by counterparties
28,981.59
27,537.29
28,981.59
28,287.84
27,744.39
27,716.02
27,537.29
domestic deposits
28,002.58
26,745.53
28,002.58
27,373.80
26,925.31
26,908.51
26,745.53
official sector incl. central banks
2,550.20
1,711.33
2,550.20
2,278.39
2,003.29
1,984.00
1,711.33
banks (MFIs)
5,192.98
4,714.04
5,192.98
4,920.51
4,869.41
5,091.25
4,714.04
non-bank financial institutions
235.64
213.07
235.64
209.86
211.60
183.47
213.07
non-financial corporations
3,799.06
3,843.16
3,799.06
3,846.47
3,789.83
3,844.71
3,843.16
households
2
16,224.70
16,263.92
16,224.70
16,118.57
16,051.18
15,805.08
16,263.92
foreign deposits
979.02
791.76
979.02
914.04
819.08
807.51
791.76
official sector incl. central banks
191.20
30.00
191.20
118.50
59.28
45.00
30.00
banks (MFIs)
40.36
61.78
40.36
79.22
57.94
65.73
61.78
non-bank financial institutions
54.85
27.10
54.85
42.87
35.84
37.36
27.10
non-financial corporations
123.52
114.45
123.52
113.32
112.73
113.82
114.45
households
2
569.08
558.44
569.08
560.13
553.29
545.60
558.44
by maturity
28,981.59
27,537.29
28,981.59
28,287.84
27,744.39
27,716.02
27,537.29
overnight deposits and deposits up to one day
216.13
235.80
216.13
282.03
241.19
246.76
235.80
deposits up to and including 1 year
10,594.18
12,372.94
10,594.18
10,661.73
11,694.07
12,175.60
12,372.94
deposits over 1 year up to and including 2 years
4,178.12
3,396.92
4,178.12
3,924.72
3,547.15
3,502.45
3,396.92
deposits over 2 years
13,993.16
11,531.63
13,993.16
13,419.36
12,261.98
11,791.23
11,531.63
securities issued by maturity
2,584.65
4,022.51
2,584.65
3,225.89
3,333.16
3,956.43
4,022.51
up to and including 1 year
19.80
200.33
19.80
21.13
201.13
201.13
200.33
over 1 year up to and including 2 years
200.33
149.78
200.33
198.93
105.93
147.93
149.78
over 2 years
2,364.52
3,672.40
2,364.52
3,005.83
3,026.09
3,607.37
3,672.40
other liabilities (domestic and foreign countries)
2,826.13
3,525.97
2,826.13
2,980.11
3,365.13
3,565.10
3,525.97
total liabilities
34,392.38
35,085.77
34,392.38
34,493.85
34,442.68
35,237.56
35,085.77
building and loan associations
deposits
by counterparties
18,659.75
17,931.06
18,659.75
18,378.70
18,178.72
18,001.56
17,931.06
domestic deposits
18,606.80
17,886.59
18,606.80
18,326.76
18,116.96
17,917.06
17,886.59
official sector incl. central banks
120.31
80.35
120.31
120.31
50.35
0.35
80.35
banks (MFIs)
2,890.87
2,787.27
2,890.87
3,004.24
2,923.10
2,940.97
2,787.27
non-bank financial institutions
744.40
629.15
744.40
693.64
649.33
540.24
629.15
non-financial corporations
72.40
41.89
72.40
6.56
23.42
19.82
41.89
households
2
14,778.81
14,347.92
14,778.81
14,502.01
14,470.75
14,415.69
14,347.92
foreign deposits
52.95
44.48
52.95
51.94
61.76
84.50
44.48
official sector incl. central banks
0.00
0.00
0.00
0.00
0.00
0.00
0.00
banks (MFIs)
14.10
6.84
14.10
13.94
24.16
47.35
6.84
non-bank financial institutions
0.00
0.00
0.00
0.00
0.00
0.00
0.00
non-financial corporations
0.00
0.00
0.00
0.00
0.00
0.00
0.00
households
2
38.85
37.64
38.85
38.00
37.60
37.15
37.64
by maturity
18,659.75
17,931.06
18,659.75
18,378.70
18,178.72
18,001.56
17,931.06
overnight deposits and deposits up to one day
3,842.64
2,670.80
3,842.64
3,171.81
2,975.80
2,835.09
2,670.80
deposits up to and including 1 year
3,511.35
3,362.40
3,511.35
3,339.19
3,350.18
3,197.91
3,362.40
deposits over 1 year up to and including 2 years
2,254.40
2,351.09
2,254.40
2,583.99
2,430.69
2,463.70
2,351.09
deposits over 2 years
9,051.36
9,546.78
9,051.36
9,283.72
9,422.05
9,504.86
9,546.78
securities issued by maturity
2,417.19
3,183.21
2,417.19
2,692.08
2,914.92
3,129.81
3,183.21
up to and including 1 year
2.07
23.03
2.07
25.39
33.23
23.13
23.03
over 1 year up to and including 2 years
33.42
250.00
33.42
10.00
250.00
250.00
250.00
over 2 years
2,381.69
2,910.18
2,381.69
2,656.69
2,631.69
2,856.68
2,910.18
other liabilities (domestic and foreign countries)
2,015.39
2,145.14
2,015.39
2,169.30
2,176.97
2,314.91
2,145.14
total liabilities
23,092.33
23,259.42
23,092.33
23,240.08
23,270.61
23,446.28
23,259.42
special purpose banks
deposits
by counterparties
8,936.08
9,617.79
8,936.08
8,928.02
8,932.65
9,041.15
9,617.79
domestic deposits
6,209.91
6,684.31
6,209.91
6,385.36
6,385.23
6,361.72
6,684.31
official sector incl. central banks
656.26
700.37
656.26
696.99
733.15
731.82
700.37
banks (MFIs)
1,593.06
1,556.10
1,593.06
1,665.42
1,610.55
1,636.40
1,556.10
non-bank financial institutions
1,282.04
1,645.53
1,282.04
1,270.70
1,255.40
1,144.07
1,645.53
non-financial corporations
801.77
835.60
801.77
894.95
916.28
910.56
835.60
households
2
1,876.78
1,946.70
1,876.78
1,857.30
1,869.85
1,938.87
1,946.70
foreign deposits
2,726.17
2,933.48
2,726.17
2,542.66
2,547.41
2,679.43
2,933.48
official sector incl. central banks
0.14
0.00
0.14
0.14
0.05
0.05
0.00
banks (MFIs)
565.95
648.20
565.95
403.22
380.85
500.71
648.20
non-bank financial institutions
1,989.23
2,070.23
1,989.23
1,964.87
1,998.83
2,014.80
2,070.23
non-financial corporations
136.23
120.87
136.23
142.24
131.80
123.97
120.87
households
2
34.61
94.17
34.61
32.19
35.88
39.90
94.17
by maturity
8,936.08
9,617.79
8,936.08
8,928.02
8,932.65
9,041.15
9,617.79
overnight deposits and deposits up to one day
2,382.77
2,378.80
2,382.77
2,462.72
2,543.45
2,555.10
2,378.80
deposits up to and including 1 year
1,527.19
1,666.45
1,527.19
1,431.11
1,362.83
1,444.53
1,666.45
deposits over 1 year up to and including 2 years
966.88
895.48
966.88
942.86
879.35
1,046.32
895.48
deposits over 2 years
4,059.25
4,677.06
4,059.25
4,091.33
4,147.02
3,995.21
4,677.06
securities issued by maturity
27,968.22
28,399.39
27,968.22
27,722.25
27,710.64
28,815.97
28,399.39
up to and including 1 year
12,299.44
12,765.45
12,299.44
9,956.58
9,860.92
13,527.80
12,765.45
over 1 year up to and including 2 years
4,268.90
6,042.77
4,268.90
5,518.87
6,131.55
4,874.66
6,042.77
over 2 years
11,399.87
9,591.18
11,399.87
12,246.80
11,718.17
10,413.51
9,591.18
other liabilities (domestic and foreign countries)
3,698.13
3,873.33
3,698.13
3,825.06
3,892.18
4,001.32
3,873.33
total liabilities
40,602.42
41,890.52
40,602.42
40,475.33
40,535.46
41,858.45
41,890.52
Source:
OeNB
.
This table replaces the former table "banks' business structure", which was based on national VERA-data and is not available anymore.
Some fundamental changes in reporting methodology, especially the new scope of reporting institutions (CRR-Banks), a new data-collection (FMS-Smart Cube of the joint Data Modell) render the new tables mostly uncomparable to the former tables available at the Archive.
1
CRR-Banks are credit institutions under Article 4 (1)(1) of Regulation (EU) No 575/2013.
2
Including nonprofit institutions serving households.
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Last update on 01.03.2024 09:49