Financing and financial information of financial intermediaries   >   (CF390) - Guanajuato
  Financing and financial information of financial intermediaries     (CF390) - Guanajuato

Period: Oct-Dec 2008 - Jan-Mar 2011, Quarterly, Different Units or Measures, N-Homogeneous

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Jul-Sep 2010 Oct-Dec 2010 Jan-Mar 2011
Commercial Bank deposit taking distribution by instruments and localities 1/
Guanajuato
*Number of:
Branches
525 519 529
Contracts
2,494,192 2,550,110 2,571,782
Checking accounts for individuals
1,277,959 1,360,384 1,288,676
Checking accounts for institutions
73,853 74,571 71,423
Savings accounts 2/
1,010,656 987,747 1,089,321
Time deposits account
131,724 127,408 122,362
Payroll accounts 3/
1,282,675 1,224,434 1,286,416
Debit cards
2,375,390 2,472,583 2,524,839
Credit cards 4/
518,477 514,089 978,973
ATMs
1,249 1,264 1,275
Same-bank check claims
889,072 1,049,483 843,952
Interbank check claims
560,554 671,145 534,820
Institurion's personnel
4,029 4,050 4,111
Service provider's personnel
2,215 2,286 2,333
*Deposit taking
*Deposit taking balances in domestic currency
Checking accounts deposits with no interest
10,720,877 11,799,665 12,498,222
Checking accounts deposits with positive interest
23,604,431 22,011,102 21,462,183
Demand deposits in current account with no interest
338,411 403,156 350,430
Demand deposits in current account with positive interest
8,555,998 10,284,101 9,208,208
Other deposits with no interest
8,697 12,678 17,184
Other deposits with positive interest
2,805 3,076 3,189
Fixed-term deposits
3,829,387 3,603,126 5,258,419
Deposits from credit balance on credit card due to excess payments with no interest
48 94 65
Deposits from tax collection
201 67 112
Time deposits with pre-established withdrawal days
1,039,781 1,572,887 1,206,539
Notes with yields payable at maturity
28,187,161 27,363,277 26,647,238
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
1,170,773 1,721,725 1,752,568
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
2,591,486 1,748,953 1,844,636
Guarantee, investment or management trusts
9,832,344 8,024,644 7,752,117
Trusts in Udis
0 0 0
Assets under management
4,191,052 4,139,788 4,233,715
Investment banking agency transactions
3,280,937 3,221,475 3,449,515
*Deposit taking balances in foreign currency 6/
Checking accounts deposits with no interest
788,491 718,057 854,786
Checking accounts deposits with positive interest
1,788,074 1,676,645 1,773,775
Demand deposits in current account with no interest
0 0 0
Demand deposits in current account with positive interest
0 0 0
Other deposits with no interest
0 0 0
Other deposits with positive interest
0 0 0
Deposits from tax collection
0 0 0
Deposits from credit balance on credit card due to excess payments with no interest
0 0 0
Fixed-term deposits
695,262 685,321 764,228
Time deposits with pre-established withdrawal days
0 0 0
Notes with yields payable at maturity
176 175 176
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
35,353 47,504 14,153
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
0 0 0
Guarantee, investment or management trusts
535,434 539,043 513,468
Trusts in Udis
0 0 0
Assets under management
9,263 2,840 2,740
Investment banking agency transactions
15,397 15,091 14,552
Abasolo
*Number of:
Branches
4 4 4
Contracts
19,490 19,824 19,976
Checking accounts for individuals
10,549 11,263 10,790
Checking accounts for institutions
332 341 316
Savings accounts 2/
7,530 7,184 7,848
Time deposits account
1,079 1,036 1,022
Payroll accounts 3/
2,714 2,784 3,432
Debit cards
18,638 18,393 18,795
Credit cards 4/
2,437 2,533 3,539
ATMs
5 6 6
Same-bank check claims
3,671 6,321 3,189
Interbank check claims
1,498 2,533 1,401
Institurion's personnel
14 13 14
Service provider's personnel
15 15 18
*Deposit taking
*Deposit taking balances in domestic currency
Checking accounts deposits with no interest
78,058 83,172 87,472
Checking accounts deposits with positive interest
64,804 77,249 72,756
Demand deposits in current account with no interest
954 1,455 1,097
Demand deposits in current account with positive interest
85,977 95,532 89,663
Other deposits with no interest
14 183 131
Other deposits with positive interest
0 0 0
Fixed-term deposits
21,136 16,661 38,694
Deposits from credit balance on credit card due to excess payments with no interest
0 0 0
Deposits from tax collection
0 0 0
Time deposits with pre-established withdrawal days
0 0 0
Notes with yields payable at maturity
109,608 124,030 118,056
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
0 818 726
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
0 0 0
Guarantee, investment or management trusts
2,532 2,554 2,875
Trusts in Udis
0 0 0
Assets under management
15,137 16,193 19,668
Investment banking agency transactions
0 0 0
*Deposit taking balances in foreign currency 6/
Checking accounts deposits with no interest
158 72 62
Checking accounts deposits with positive interest
0 0 0
Demand deposits in current account with no interest
0 0 0
Demand deposits in current account with positive interest
0 0 0
Other deposits with no interest
0 0 0
Other deposits with positive interest
0 0 0
Deposits from tax collection
0 0 0
Deposits from credit balance on credit card due to excess payments with no interest
0 0 0
Fixed-term deposits
11,148 6,200 7,530
Time deposits with pre-established withdrawal days
0 0 0
Notes with yields payable at maturity
0 0 0
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
0 0 0
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
0 0 0
Guarantee, investment or management trusts
0 0 0
Trusts in Udis
0 0 0
Assets under management
0 0 0
Investment banking agency transactions
0 0 0
Acámbaro
*Number of:
Branches
12 12 12
Contracts
70,460 71,128 76,162
Checking accounts for individuals
32,923 35,382 37,263
Checking accounts for institutions
1,744 1,761 1,767
Savings accounts 2/
28,019 26,414 29,624
Time deposits account
7,774 7,571 7,508
Payroll accounts 3/
12,459 13,017 13,305
Debit cards
45,800 49,957 57,308
Credit cards 4/
9,062 9,672 12,309
ATMs
16 16 16
Same-bank check claims
14,663 18,147 12,184
Interbank check claims
5,408 7,296 5,005
Institurion's personnel
62 60 57
Service provider's personnel
34 32 39
*Deposit taking
*Deposit taking balances in domestic currency
Checking accounts deposits with no interest
142,786 166,561 126,741
Checking accounts deposits with positive interest
147,664 156,884 152,812
Demand deposits in current account with no interest
6,260 7,312 7,297
Demand deposits in current account with positive interest
295,874 333,320 297,747
Other deposits with no interest
4 1 1
Other deposits with positive interest
162 163 162
Fixed-term deposits
91,848 83,654 101,404
Deposits from credit balance on credit card due to excess payments with no interest
0 0 0
Deposits from tax collection
0 0 0
Time deposits with pre-established withdrawal days
17,443 36,916 19,254
Notes with yields payable at maturity
618,321 608,109 589,723
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
0 0 0
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
2,012 502 522
Guarantee, investment or management trusts
3,974 3,873 3,720
Trusts in Udis
0 0 0
Assets under management
114,642 111,066 106,985
Investment banking agency transactions
3,029 3,029 3,029
*Deposit taking balances in foreign currency 6/
Checking accounts deposits with no interest
1,262 2,746 4,931
Checking accounts deposits with positive interest
1,386 1,823 2,211
Demand deposits in current account with no interest
0 0 0
Demand deposits in current account with positive interest
0 0 0
Other deposits with no interest
0 0 0
Other deposits with positive interest
0 0 0
Deposits from tax collection
0 0 0
Deposits from credit balance on credit card due to excess payments with no interest
0 0 0
Fixed-term deposits
8,806 7,880 9,044
Time deposits with pre-established withdrawal days
0 0 0
Notes with yields payable at maturity
0 0 0
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
0 0 0
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
0 0 0
Guarantee, investment or management trusts
0 0 0
Trusts in Udis
0 0 0
Assets under management
0 0 0
Investment banking agency transactions
0 0 0
San Miguel de Allende
*Number of:
Branches
17 17 18
Contracts
57,976 60,265 61,508
Checking accounts for individuals
26,668 28,138 28,439
Checking accounts for institutions
1,577 1,629 1,589
Savings accounts 2/
25,517 26,357 27,424
Time deposits account
4,214 4,141 4,056
Payroll accounts 3/
21,094 20,221 23,548
Debit cards
47,706 47,910 49,542
Credit cards 4/
5,787 6,145 7,720
ATMs
40 40 40
Same-bank check claims
25,194 29,986 24,311
Interbank check claims
12,801 14,815 12,220
Institurion's personnel
82 81 82
Service provider's personnel
43 45 42
*Deposit taking
*Deposit taking balances in domestic currency
Checking accounts deposits with no interest
206,960 214,592 255,953
Checking accounts deposits with positive interest
295,956 298,032 334,687
Demand deposits in current account with no interest
5,994 7,110 6,548
Demand deposits in current account with positive interest
199,040 191,530 159,729
Other deposits with no interest
97 116 51
Other deposits with positive interest
91 110 119
Fixed-term deposits
31,234 43,148 52,275
Deposits from credit balance on credit card due to excess payments with no interest
2 1 1
Deposits from tax collection
0 0 0
Time deposits with pre-established withdrawal days
9,137 14,192 11,129
Notes with yields payable at maturity
439,012 443,480 414,498
Time deposits from outstanding bank acceptances
0 0 0