A more recent publication of this set of statistics is available.

Latest publication: Financial statement statistics on credit institutions 2019, 1st quarter

Appendix table 2. Balance sheets of domestic banks 1.1.- 31.12.2016, EUR thousands

  1.1.- 31.12.2016
Commercial banks Co-operative banks total Savings banks total Domestic banks total
ASSETS . . . .
Cash, cash balances at central banks and other demand deposits 48 624 403 1 781 587 561 435 50 967 424
Financial assets held for trading 127 820 120 108 891 .. 1) 127 929 190
Financial assets designated at fair value through profit or loss 290 308 6 036 10 498 306 842
Available-for-sale financial assets 23 875 551 6 770 583 1 593 690 32 239 824
Loans and receivables 124 331 478 58 469 971 8 201 365 191 002 814
Held-to-maturity investments 914 099 52 029 22 780 988 909
Derivatives - Hedge accounting (assets) 889 959 115 414 78 725 1 084 098
Fair value changes of the hedge items in portfolio hedge of interest rate risk (assets) .. .. .. ..
Investments in subsidiaries, joint ventures and associates 1 748 142 17 261 2 918 1 768 321
Investments of investment service companies in subsidiaries, joint ventures and associates .. .. .. ..
Tangible assets 121 423 780 681 128 121 1 030 225
Intangible assets 219 967 8 673 18 137 246 776
Other assets 18 322 546 65 897 33 473 18 421 915
Non-current assets held for sale and transferable item groups .. .. .. ..
Tax assets 62 294 38 106 1 926 102 326
TOTAL ASSETS 347 240 798 68 215 128 10 653 245 426 109 171
LIABILITIES . . . .
Financial liabilities held for trading 95 085 676 47 865 .. 95 133 615
Financial liabilities designated at fair value through profit or loss .. .. .. ..
Financial liabilities measured at amortised cost 210 644 352 57 139 306 9 218 954 277 002 612
Derivatives - Hedge accounting (liabilities) 615 993 6 926 .. 625 166
Fair value changes of the hedge items in portfolio hedge of interest rate risk (liabilities) 116 029 .. 59 032 177 733
Provisions 92 142 12 678 520 105 340
Tax liabilities 74 991 18 784 17 080 110 855
Share capital repayable on demand .. .. .. ..
Other Liabilities 22 204 204 2 139 585 419 047 24 762 836
Liabilities included in disposal groups classified as held for sale .. .. .. ..
Depreciation difference .. .. .. ..
Voluntary provisions .. .. .. ..
TOTAL LIABILITIES 330 533 120 59 367 816 9 716 956 399 617 891
Equity 3 227 166 3 317 482 113 643 6 658 290
Share premium 1 157 282 .. .. 1 167 602
Equity instruments issued other than capital .. .. .. ..
Other equity 42 346 .. .. 42 346
Accumulated other comprehensive income 114 782 88 236 52 974 255 992
Retained earnings 9 458 751 2 945 954 373 035 12 777 741
Revaluation reserves .. .. .. ..
Other reserves 1 186 298 2 050 908 319 335 3 556 541
(-) Treasury shares .. .. .. ..
Profit or loss allocated to shareholders of the parent company 1 522 803 444 732 66 983 2 034 518
(-) Interim dividends .. .. .. ..
Minority interests (non - controlling owners interests) .. .. .. ..
TOTAL EQUITY 16 707 678 8 847 312 936 289 26 491 280
TOTAL EQUITY AND TOTAL LIABILITIES 347 240 798 68 215 128 10 653 245 426 109 171
1) .. Data not available or too uncertain for presentation, or subject to secrecy

Source: Credit institutions' annual accounts, Statistics Finland

Inquiries: Pekka Tamminen 029 551 2460, Jarkko Kaunisto 029 551 3551, rahoitusmarkkinat@stat.fi

Director in charge: Ville Vertanen


Updated 18.4.2017

Referencing instructions:

Official Statistics of Finland (OSF): Financial statement statistics on credit institutions [e-publication].
ISSN=2342-5180. 4th quarter 2016, Appendix table 2. Balance sheets of domestic banks 1.1.- 31.12.2016, EUR thousands . Helsinki: Statistics Finland [referred: 21.7.2019].
Access method: http://www.stat.fi/til/llai/2016/04/llai_2016_04_2017-04-18_tau_002_en.html