| Indicators
| 01.01.2011 | 01.10.2011 | 01.11.2011 | 01.12.2011 | 01.01.2012 |
| Net foreign assets | -2 088.8 | -5 632.7 | -5 118.1 | 18 418.9 | 34 793.2 |
| Claims on nonresidents | 20 752.7 | 41 663.9 | 63 911.2 | 87 870.0 | 97 949.3 |
| Liabilities to nonresidents | 22 841.5 | 47 296.6 | 69 029.3 | 69 451.2 | 63 156.2 |
| Domestic claims | 72 578.8 | 98 785.3 | 111 381.1 | 87 597.2 | 104 591.4 |
| Net claims on general government | -23 655.2 | -42 452.4 | -54 999.3 | -78 597.7 | -67 060.8 |
| Claims on general government | 7 350.9 | 10 069.3 | 11 128.4 | 11 829.6 | 16 324.3 |
| Liabilities to general government | 31 006.1 | 52 521.8 | 66 127.7 | 90 427.2 | 83 385.1 |
| Claims on other sectors | 96 234.0 | 141 237.7 | 166 380.3 | 166 194.9 | 171 652.2 |
| Claims on other financial corporations | 1 800.0 | 3 188.0 | 3 430.0 | 3 411.8 | 17 026.1 |
| Claims on public nonfinancial corporations | 21 820.8 | 32 099.8 | 39 284.5 | 40 243.4 | 39 804.2 |
| Claims on other nonfinancial corporations | 49 677.8 | 75 558.5 | 92 222.9 | 90 463.2 | 82 039.0 |
| Claims on other resident sectors | 22 935.5 | 30 391.4 | 31 443.0 | 32 076.4 | 32 782.9 |
| Broad money | 50 260.2 | 78 920.2 | 104 153.7 | 104 080.9 | 111 195.3 |
| Cash in circulation | 4 493.9 | 7 727.1 | 6 721.0 | 6 521.7 | 6 711.8 |
| Deposits included in broad money | 43 026.7 | 66 455.0 | 91 172.3 | 90 411.0 | 98 206.8 |
Transferable deposits included in broad money | 14 220.9 | 21 648.7 | 27 757.7 | 25 948.9 | 28 453.9 |
| Transferable deposits other financial corporations | 74.7 | 128.5 | 173.7 | 193.6 | 210.4 |
| Transferable deposits public nonfinancial corporations | 2 472.5 | 3 352.2 | 4 848.7 | 4 851.6 | 5 333.1 |
| Transferable deposits other nonfinancial corporations | 8 176.8 | 12 770.7 | 17 183.8 | 15 186.1 | 16 195.8 |
| Transferable deposits other resident sectors | 3 497.0 | 5 397.2 | 5 551.4 | 5 717.6 | 6 714.6 |
| Other deposits included in broad money | 28 805.8 | 44 806.3 | 63 414.7 | 64 462.0 | 69 753.0 |
| Other deposits other financial corporations | 1 615.6 | 3 142.0 | 3 591.2 | 3 516.5 | 3 551.4 |
| Other deposits public nonfinancial corporations | 1 368.6 | 2 948.1 | 5 099.1 | 4 640.7 | 6 016.4 |
| Other deposits other nonfinancial corporations | 6 361.2 | 11 727.7 | 15 089.3 | 14 879.4 | 17 671.6 |
| Other deposits other resident sectors | 19 460.4 | 26 988.5 | 39 635.0 | 41 425.4 | 42 513.5 |
| Deposits in precious metals included in broad money | 16.4 | 242.9 | 405.3 | 409.7 | 392.4 |
| Securities other than shares included in broad money | 2 723.2 | 4 495.3 | 5 855.0 | 6 738.6 | 5 884.3 |
| Deposits excluded from broad money | 385.2 | 981.9 | 1 439.5 | 1 457.0 | 1 438.5 |
| Securities other than shares excluded from broad money | 255.9 | 284.7 | 289.7 | 301.6 | 13 783.2 |
| Loans | 30.1 | 56.9 | 86.3 | 87.5 | 90.9 |
| Financial derivatives | 2.9 | 38.7 | 24.4 | 32.0 | 35.6 |
| Shares and other equity | 21 704.4 | 30 498.5 | 38 586.7 | 39 136.2 | 11 497.9 |
| Other items (net) | -2 148.6 | -17 628.3 | -38 317.3 | -39 079.0 | 1 343.1 |
| Other liabilities | 14 320.2 | 25 771.8 | 36 109.5 | 36 243.1 | 35 752.2 |
| Other assets | 17 663.7 | 46 930.8 | 77 110.3 | 78 149.0 | 39 974.5 |
| Consolidation adjustment | -1 194.9 | -3 530.6 | -2 683.5 | -2 826.9 | -5 565.4
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