| Indicators
| 01.01.2010 | 01.04.2010 | 01.06.2010 | 01.07.2010 | 01.08.2010 |
| Net foreign assets | 8 003.2 | 9 802.6 | 8 555.0 | 7 937.1 | 6 075.6 |
| Claims on nonresidents | 21 040.4 | 23 298.9 | 23 429.9 | 23 249.7 | 21 139.0 |
| Liabilities to nonresidents | 13 037.2 | 13 496.4 | 14 874.8 | 15 312.6 | 15 063.4 |
| Domestic claims | 44 634.2 | 43 838.1 | 47 689.8 | 49 491.6 | 54 135.6 |
| Net claims on general government | -23 944.2 | -28 167.8 | -27 274.7 | -27 435.7 | -25 898.5 |
| Claims on general government | 5 122.1 | 5 441.7 | 6 088.0 | 6 209.7 | 6 261.0 |
| Liabilities to general government | 29 066.2 | 33 609.5 | 33 362.7 | 33 645.4 | 32 159.6 |
| Claims on other sectors | 68 578.4 | 72 005.9 | 74 964.5 | 76 927.3 | 80 034.2 |
| Claims on other financial corporations | 841.8 | 866.6 | 922.8 | 950.9 | 1 028.7 |
| Claims on public nonfinancial corporations | 16 981.7 | 17 370.1 | 17 641.4 | 18 153.4 | 18 907.2 |
| Claims on other nonfinancial corporations | 34 586.3 | 36 674.3 | 38 369.0 | 39 245.2 | 41 006.6 |
| Claims on other resident sectors | 16 168.6 | 17 094.9 | 18 031.2 | 18 577.9 | 19 091.7 |
| Broad money | 38 107.1 | 38 394.6 | 40 534.9 | 41 405.7 | 44 289.4 |
| Cash in circulation | 3 647.2 | 3 681.3 | 4 038.4 | 4 287.8 | 4 588.1 |
| Deposits included in broad money | 32 758.4 | 32 362.6 | 33 896.9 | 34 632.4 | 37 078.9 |
Transferable deposits included in broad money | 12 442.8 | 10 449.6 | 11 690.2 | 11 836.9 | 13 374.7 |
| Transferable deposits other financial corporations | 153.4 | 101.6 | 128.4 | 161.3 | 1 174.2 |
| Transferable deposits public nonfinancial corporations | 2 318.1 | 1 869.1 | 1 996.3 | 2 087.0 | 2 067.9 |
| Transferable deposits other nonfinancial corporations | 7 499.7 | 6 008.4 | 6 717.8 | 6 470.1 | 6 676.3 |
| Transferable deposits other resident sectors | 2 471.6 | 2 470.5 | 2 847.7 | 3 118.4 | 3 456.3 |
| Other deposits included in broad money | 20 315.6 | 21 913.0 | 22 206.7 | 22 795.5 | 23 704.2 |
| Other deposits other financial corporations | 719.5 | 782.6 | 833.0 | 808.4 | 890.1 |
| Other deposits public nonfinancial corporations | 669.3 | 647.3 | 808.6 | 829.7 | 894.2 |
| Other deposits other nonfinancial corporations | 3 245.2 | 3 507.1 | 3 375.5 | 3 573.9 | 3 798.0 |
| Other deposits other resident sectors | 15 681.6 | 16 976.0 | 17 189.5 | 17 583.4 | 18 121.9 |
| Deposits in precious metals and precious stones included in broad money | 7.0 | 8.1 | 7.8 | 7.8 | 7.7 |
Securities other than shares included in broad money | 1 694.4 | 2 342.6 | 2 591.8 | 2 477.8 | 2 614.7 |
| Deposits excluded from broad money | 1.3 | 1.3 | 1.3 | 1.3 | 1.3 |
| Loans | 32.7 | 33.1 | 33.1 | 34.5 | 34.8 |
| Financial derivatives | 2.7 | 2.7 | 2.6 | 2.2 | 2.7 |
| Shares and other equity | 16 201.8 | 16 712.9 | 17 307.4 | 17 686.2 | 17 815.7 |
| Other items (net) | -1 708.2 | -1 504.0 | -1 634.6 | -1 701.2 | -1 932.6 |
| Other liabilities | 12 807.9 | 13 364.0 | 13 574.5 | 13 736.6 | 13 591.8 |
| Other assets | 14 918.1 | 16 139.6 | 16 441.0 | 16 821.2 | 16 900.1 |
| Consolidation adjustment | -402.0 | -1 271.6 | -1 231.9 | -1 383.4 | -1 375.6
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