Financing and financial information of financial intermediaries   >   (CF180) - Coahuila
  Financing and financial information of financial intermediaries     (CF180) - Coahuila

Period: Oct-Dec 2002 - Jul-Sep 2008, Quarterly, Different Units or Measures, N-Homogeneous

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Period: - Orientation:
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Jan-Mar 2008 Apr-Jun 2008 Jul-Sep 2008
Coahuila
Number of offices
258.00 260.00 277.00
Number of contracts
Check accounts 2/
1,769,633.00 1,788,514.00 1,807,088.00
Saving deposits
5,006.00 4,887.00 3,554.00
Time deposits 3/
58,155.00 61,592.00 64,064.00
Deposit taking
28,990,232.00 31,061,443.00 30,659,937.00
Deposit taking in domestic currency
27,204,933.00 29,365,401.00 28,723,447.00
Check accounts 4/
12,729,129.00 13,729,728.00 13,577,859.00
Payroll deposits
4,167,220.00 4,384,172.00 3,995,127.00
Saving deposits
22,703.00 20,722.00 18,859.00
Time deposits 5/
10,285,881.00 11,230,779.00 11,131,602.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
1,785,299.00 1,696,042.00 1,936,490.00
Investment banks and repurchase agreements (m.n.) 8/
529,886.00 585,991.00 510,291.00
Torreón
Number of offices
87.00 87.00 88.00
Number of contracts
Check accounts 2/
594,808.00 597,208.00 602,664.00
Saving deposits
1,172.00 1,157.00 846.00
Time deposits 3/
16,378.00 17,417.00 18,401.00
Deposit taking
8,477,852.00 9,498,123.00 9,543,139.00
Deposit taking in domestic currency
7,750,970.00 8,887,859.00 8,668,726.00
Check accounts 4/
3,718,675.00 4,241,921.00 4,301,378.00
Payroll deposits
1,187,492.00 1,268,530.00 1,299,782.00
Saving deposits
5,640.00 5,230.00 4,862.00
Time deposits 5/
2,839,163.00 3,372,178.00 3,062,704.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
726,882.00 610,264.00 874,413.00
Investment banks and repurchase agreements (m.n.) 8/
189,839.00 230,008.00 165,093.00
Saltillo
Number of offices
72.00 72.00 75.00
Number of contracts
Check accounts 2/
564,888.00 570,571.00 574,937.00
Saving deposits
609.00 606.00 477.00
Time deposits 3/
16,414.00 18,171.00 19,620.00
Deposit taking
10,699,317.00 11,256,140.00 11,396,785.00
Deposit taking in domestic currency
10,375,544.00 10,991,942.00 11,132,023.00
Check accounts 4/
5,451,157.00 5,788,203.00 5,674,400.00
Payroll deposits
1,150,989.00 1,210,252.00 1,164,988.00
Saving deposits
3,167.00 3,121.00 2,910.00
Time deposits 5/
3,770,231.00 3,990,366.00 4,289,725.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
323,773.00 264,198.00 264,762.00
Investment banks and repurchase agreements (m.n.) 8/
223,615.00 243,920.00 238,372.00
Piedras Negras
Number of offices
17.00 17.00 17.00
Number of contracts
Check accounts 2/
115,286.00 115,100.00 115,387.00
Saving deposits
488.00 482.00 392.00
Time deposits 3/
3,045.00 3,235.00 3,282.00
Deposit taking
1,343,778.00 1,366,639.00 1,305,804.00
Deposit taking in domestic currency
1,162,047.00 1,188,388.00 1,137,799.00
Check accounts 4/
563,957.00 549,572.00 541,236.00
Payroll deposits
251,245.00 255,727.00 169,785.00
Saving deposits
1,765.00 1,565.00 1,445.00
Time deposits 5/
345,080.00 381,524.00 425,333.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
181,731.00 178,251.00 168,005.00
Investment banks and repurchase agreements (m.n.) 8/
0.00 0.00 0.00
Monclova
Number of offices
20.00 20.00 23.00
Number of contracts
Check accounts 2/
185,465.00 186,809.00 190,240.00
Saving deposits
351.00 363.00 229.00
Time deposits 3/
5,703.00 5,935.00 6,092.00
Deposit taking
3,584,035.00 3,677,314.00 3,624,594.00
Deposit taking in domestic currency
3,337,699.00 3,405,378.00 3,283,170.00
Check accounts 4/
1,319,639.00 1,363,744.00 1,313,842.00
Payroll deposits
528,203.00 530,817.00 493,463.00
Saving deposits
2,512.00 2,169.00 1,981.00
Time deposits 5/
1,487,345.00 1,508,648.00 1,473,884.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
246,336.00 271,936.00 341,424.00
Investment banks and repurchase agreements (m.n.) 8/
116,432.00 112,063.00 106,826.00
Sabinas
Number of offices
7.00 7.00 7.00
Number of contracts
Check accounts 2/
46,844.00 46,515.00 47,085.00
Saving deposits
233.00 226.00 146.00
Time deposits 3/
2,644.00 2,674.00 2,698.00
Deposit taking
809,583.00 924,195.00 787,642.00
Deposit taking in domestic currency
801,948.00 848,078.00 773,218.00
Check accounts 4/
296,344.00 307,639.00 300,500.00
Payroll deposits
146,456.00 149,441.00 88,770.00
Saving deposits
935.00 810.00 741.00
Time deposits 5/
358,213.00 390,188.00 383,207.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
7,635.00 76,117.00 14,424.00
Investment banks and repurchase agreements (m.n.) 8/
0.00 0.00 0.00
Ciudad Acuña
Number of offices
11.00 11.00 12.00
Number of contracts
Check accounts 2/
59,720.00 61,449.00 61,556.00
Saving deposits
442.00 439.00 282.00
Time deposits 3/
2,033.00 2,070.00 2,128.00
Deposit taking
690,778.00 717,671.00 635,746.00
Deposit taking in domestic currency
562,186.00 594,940.00 534,512.00
Check accounts 4/
249,763.00 251,504.00 251,139.00
Payroll deposits
149,315.00 155,493.00 99,806.00
Saving deposits
3,279.00 2,942.00 2,601.00
Time deposits 5/
159,829.00 185,001.00 180,966.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
128,592.00 122,731.00 101,234.00
Investment banks and repurchase agreements (m.n.) 8/
0.00 0.00 0.00
San Pedro de las Colonias
Number of offices
2.00 2.00 1.00
Number of contracts
Check accounts 2/
4,126.00 4,184.00 3,929.00
Saving deposits
67.00 66.00 64.00
Time deposits 3/
508.00 499.00 460.00
Deposit taking
116,394.00 117,901.00 55,395.00
Deposit taking in domestic currency
116,354.00 117,863.00 55,356.00
Check accounts 4/
25,824.00 26,134.00 24,778.00
Payroll deposits
65,981.00 67,301.00 8,670.00
Saving deposits
188.00 179.00 171.00
Time deposits 5/
24,361.00 24,249.00 21,737.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
40.00 38.00 39.00
Investment banks and repurchase agreements (m.n.) 8/
0.00 0.00 0.00
Nueva Rosita
Number of offices
5.00 5.00 6.00
Number of contracts
Check accounts 2/
21,716.00 22,134.00 22,715.00
Saving deposits
124.00 122.00 119.00
Time deposits 3/
2,006.00 2,035.00 2,009.00
Deposit taking
357,196.00 386,169.00 401,677.00
Deposit taking in domestic currency
350,982.00 379,251.00 394,038.00
Check accounts 4/
118,609.00 128,689.00 135,626.00
Payroll deposits
52,994.00 53,628.00 63,480.00
Saving deposits
137.00 137.00 136.00
Time deposits 5/
179,242.00 196,797.00 194,796.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
6,214.00 6,918.00 7,639.00
Investment banks and repurchase agreements (m.n.) 8/
0.00 0.00 0.00
Others
Number of offices
37.00 39.00 48.00
Number of contracts
Check accounts 2/
176,780.00 184,544.00 188,576.00
Saving deposits
1,520.00 1,426.00 999.00
Time deposits 3/
9,424.00 9,556.00 9,374.00
Deposit taking
2,911,299.00 3,117,291.00 2,909,155.00
Deposit taking in domestic currency
2,747,203.00 2,951,702.00 2,744,605.00
Check accounts 4/
985,161.00 1,072,322.00 1,034,960.00
Payroll deposits
634,545.00 692,983.00 606,383.00
Saving deposits
5,080.00 4,569.00 4,012.00
Time deposits 5/
1,122,417.00 1,181,828.00 1,099,250.00
Other instruments 6/
0.00 0.00 0.00
Deposit taking in foreign currency 7/
164,096.00 165,589.00 164,550.00
Investment banks and repurchase agreements (m.n.) 8/
0.00 0.00 0.00
Source: From December 2000 to December 2005 the statistical information published by Banco de Mexico came from the Accounting and Sectorization Report (ICS for its acronym in Spanish). From March 2006 on, the information reported comes from the Minimum Sectorized Catalogue (CMS for its acronym in Spanish). This catalogue collects sectorized information that banking institutions report to the CNBV through the Minimun Catalogue and from other sources of information reported to Banco de Mexico. The Analytical Statement of Accounts remained in operation until November 2000. Data presented for the last day of the quarter.
From December 2002, a new classification for traditional deposit taking instruments in domestic currency is presented.
From December 2004, banks that have filed for bankruptcy are excluded.
1) Includes stocks from transactions with the public considering the locality where the saving is generated. Commercial and investment banks' deposit taking refers to raw data, hence pyramid effects are not elliminated.
2) Includes contracts for traditional checking accounts, certified checks, and payroll deposits.
3) Includes contracts for deposits with pre-established withdrawal days, fixed-term deposits, and notes with yields payable at maturity.
4) Includes traditional checking accounts and certified checking accounts.
5) Includes contracts for deposits with pre-established withdrawal days, fixed-term deposits, notes with yields payable at maturity, and bank acceptances.
6) Includes outstanding bank bonds and subordinated obligations.
7) Data in foreign currency is converted to domestic currency using the exchange rate, used to settle liabilities denominated in U.S. dollars payable in Mexico, for the accounting closing date.
8) Investment Banking includes stocks from transactions registered as trusts and excludes transactions done with banks within the country.
Financing and financial information of financial intermediaries(CF180) - Coahuila