Financing and financial information of financial intermediaries   >   (CF412) - Deposits development banks: Total, Republic and Agencies (Summary met 2008)
  Financing and financial information of financial intermediaries     (CF412) - Deposits development banks: Total, Republic and Agencies (Summary met 2008)

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
Banks' deposit taking distribution by instruments
I. Total (II+III)
*Number of:
Branches
594 596 597
Contracts
5,596,488 6,206,787 6,454,696
Checking accounts for individuals
35,689 35,788 36,045
Checking accounts for institutions
3,140 3,083 3,092
Savings accounts 2/
4,923,276 5,535,156 5,756,990
Time deposits account
634,383 632,760 658,569
Payroll accounts 3/
124,688 130,577 199,570
Debit cards
891,988 2,161,689 887,944
Credit cards 4/
12,650 12,474 12,760
ATMs
171 175 180
Same-bank check claims
89,872 92,638 65,535
Interbank check claims
61,899 64,674 56,621
Institurion's personnel
5,280 5,304 5,721
Service provider's personnel
18 17 17
*Deposit taking
*Deposit taking balances in domestic currency
Checking accounts deposits with no interest
2,199,971 2,159,662 1,649,762
Checking accounts deposits with positive interest
6,901,768 1,640,749 2,009,863
Demand deposits in current account with no interest
415,619 248,021 1,001,483
Demand deposits in current account with positive interest
8,683,008 7,142,068 7,587,037
Other deposits with no interest
0 0 0
Other deposits with positive interest
0 9,412 9,511
Fixed-term deposits
25,257,180 32,576,509 38,898,174
Deposits from credit balance on credit card due to excess payments with no interest
3,631 3,908 4,014
Deposits from tax collection
0 0 0
Time deposits with pre-established withdrawal days
2,014,400 1,602,254 1,825,745
Notes with yields payable at maturity
270,225,691 273,786,736 259,162,437
Time deposits from outstanding bank acceptances
1,072,182 1,098,458 1,124,786
Outstanding bank bonds 5/
25,240,811 34,153,654 39,550,274
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
328,479,168 330,216,926 391,517,685
Guarantee, investment or management trusts
901,878,880 904,540,226 911,473,666
Trusts in Udis
569,561 555,925 529,919
Assets under management
130,217,105 120,418,802 111,858,236
Investment banking agency transactions
60,305,228 60,606,125 61,013,762
*Deposit taking balances in foreign currency 6/
Checking accounts deposits with no interest
15,072 8,896 8,077
Checking accounts deposits with positive interest
160,971 221,913 240,754
Demand deposits in current account with no interest
0 0 0
Demand deposits in current account with positive interest
2,217 2,135 2,177
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
5,731,285 6,894,169 8,521,490
Time deposits with pre-established withdrawal days
0 0 0
Notes with yields payable at maturity
3,177,242 2,958,665 8,639,214
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
16,038,309 15,250,794 13,489,273
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
0 0 0
Guarantee, investment or management trusts
2,993,465 2,513,515 2,415,626
Trusts in Udis
0 0 0
Assets under management
70,056 38,048 37,154
Investment banking agency transactions
0 0 0
II. Republic
*Number of:
Branches
591 593 594
Contracts
5,596,488 6,206,787 6,454,696
Checking accounts for individuals
35,689 35,788 36,045
Checking accounts for institutions
3,140 3,083 3,092
Savings accounts 2/
4,923,276 5,535,156 5,756,990
Time deposits account
634,383 632,760 658,569
Payroll accounts 3/
124,688 130,577 199,570
Debit cards
891,988 2,161,689 887,944
Credit cards 4/
12,650 12,474 12,760
ATMs
171 175 180
Same-bank check claims
89,872 92,638 65,535
Interbank check claims
61,899 64,674 56,621
Institurion's personnel
5,276 5,300 5,711
Service provider's personnel
18 17 17
*Deposit taking
*Deposit taking balances in domestic currency
Checking accounts deposits with no interest
2,199,971 2,159,662 1,649,762
Checking accounts deposits with positive interest
6,901,768 1,640,749 2,009,863
Demand deposits in current account with no interest
415,619 248,021 1,001,483
Demand deposits in current account with positive interest
8,683,008 7,142,068 7,587,037
Other deposits with no interest
0 0 0
Other deposits with positive interest
0 9,412 9,511
Fixed-term deposits
25,257,180 32,576,509 38,898,174
Deposits from credit balance on credit card due to excess payments with no interest
3,631 3,908 4,014
Deposits from tax collection
0 0 0
Time deposits with pre-established withdrawal days
2,014,400 1,602,254 1,825,745
Notes with yields payable at maturity
270,225,691 273,786,736 259,162,437
Time deposits from outstanding bank acceptances
1,072,182 1,098,458 1,124,786
Outstanding bank bonds 5/
25,240,811 34,153,654 39,550,274
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
328,479,168 330,216,926 391,517,685
Guarantee, investment or management trusts
901,878,880 904,540,226 911,473,666
Trusts in Udis
569,561 555,925 529,919
Assets under management
130,217,094 120,418,795 111,858,234
Investment banking agency transactions
60,305,228 60,606,125 61,013,762
*Deposit taking balances in foreign currency 6/
Checking accounts deposits with no interest
15,072 8,896 8,077
Checking accounts deposits with positive interest
160,971 221,913 240,754
Demand deposits in current account with no interest
0 0 0
Demand deposits in current account with positive interest
2,217 2,135 2,177
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
441,842 608,577 474,446
Time deposits with pre-established withdrawal days
0 0 0
Notes with yields payable at maturity
3,177,242 2,958,665 8,639,214
Time deposits from outstanding bank acceptances
0 0 0
Outstanding bank bonds 5/
5,628,434 5,644,180 5,358,781
Subordinated obligations (Non-convertible)
0 0 0
Repurchase agreement creditor operations
0 0 0
Guarantee, investment or management trusts
2,993,465 2,513,515 2,415,626
Trusts in Udis
0 0 0
Assets under management
70,056 38,048 37,154
Investment banking agency transactions
0 0 0
III. Agencies
*Number of:
Branches
3 3 3
Contracts
0 0 0
Checking accounts for individuals
0 0 0
Checking accounts for institutions
0 0 0
Savings accounts 2/
0 0 0
Time deposits account
0 0 0
Payroll accounts 3/
0 0 0
Debit cards
0 0 0
Credit cards 4/
0 0 0
ATMs
0 0 0
Same-bank check claims
0 0 0
Interbank check claims
0 0 0
Institurion's personnel
4 4 10
Service provider's personnel
0 0 0
*Deposit taking
*Deposit taking balances in domestic currency
Checking accounts deposits with no interest
0 0 0
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
Fixed-term deposits
0 0 0
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
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
11 7 2
Investment banking agency transactions
0 0 0
*Deposit taking balances in foreign currency 6/
Checking accounts deposits with no interest
0 0 0
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
5,289,443 6,285,592 8,047,044
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/
10,409,875 9,606,614 8,130,492
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
Source: Information from the R24 regulatory report by locality cross-checked with the Minimum Sectorized Catalogue (CMS, for its acronym in Spanish), which integrates sectorized information from banks through the Minimum Catalogue requested by the National Banking and Securities Commission (CNBV, for its acronym in Spanish), and with other sources of information provided to Banco de México. Figures for the last two quarters are preliminary.
1) End of period nominal stocks in thousand pesos. 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 demand deposits in current account without checkbook.
3) The number of contracts is included in checking accounts for individuals and savings accounts.
4) Included for informative purposes, it is not part of deposit taking.
5) Includes stock certificates.
6) 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.
Financing and financial information of financial intermediaries(CF412) - Deposits development banks: Total, Republic and Agencies (Summary met 2008)