BOT: Financial Sector

ข่าวเศรษฐกิจ Wednesday August 31, 2011 15:34 —Bank of Thailand

Report Date: 31-Aug-11 (Data update until Jul 2011)

Unit : Billion Baht or as stated

2011

Apr May Jun Jul Other Depository Corporations deposits2/ 7/ 11,031.9 11,149.9 11,041.8 11,125.9 10.2 8.5 10.2 11.1 Other Depository Corporations loans 3/ 7/ 10,402.7 10,545.2 10,706.0 10,751.3 15.4 15.6 16.1 16.3 Securities Other Than Shares & 501.5 502.3 495.6 502.9 Shares and Other Equity 4/ 7/ (15.1) (12.9) (11.7) (9.3) Interest rates (%) Inter-bank rate 2.34 2.53 2.84 3.02 Prime rate5/ (MOR) 7.00-7.375 7.00-7.375 7.125-7.50 7.375-7.75 Prime rate5/ (MLR) 6.75-7.125 6.75-7.125 6.87-7.25 7.12-7.50 End-of-day Liquidity Rate 6/ 3.25 3.25 3.50 3.75 Bond repurchase (7-day) 7/ n.a. n.a. n.a. n.a. Bond repurchase (14-day) 7/ n.a. n.a. n.a. n.a. Monetary Base 1201.9 1192.90 1223.40 1206.80 9.3 9.60 14.10 13.10 Money Supply (Narrow Money) 1347.0 1395.80 1336.60 1336.30 13.9 10.60 13.30 13.90 Money Supply (Broad Money) 8/ 12495.2 12574.50 12611.70 12789.00 15.4 14.30 16.30 17.50 Memorandum Items Accrued Interest on Deposits 49.7 55.7 47.1 52.7 Accrued Interest on Loans 26.6 27.4 26.9 34.0 Accrued Interest on Securities Other Than Shares 1.3 1.1 1.2 1.3 Monetary and Financial Statistics Team Tel.. 0-2283-5622,0-2283-5606,0-2280-0628 31 August 2011 Remark: (Figures in parentheses represent percentage changes from the same period of the previous year.) 1/ (From 2003, the compilation method follows MFSM 2000. Other Depository Corporations (ODCs) comprise commercial banks, finance companies and Specialized Banks, saving cooperatives and money market mutual fund) 2/ (Excluding inter Other Depository Corporations) 3/ (Loan to Other Financial Corp., Other Nonfinancial Corp. and Other Resident Sectors) 4/ (Investment in Other Financial Corp. and Other Nonfinancial Corp.) 5/ (Beginning with January 1998, figures represent average interest rates of five major C.B. at end-period.) 6/ (According to the BOT notification dated Sep 25,2001,Bank rate was abalished and replaced since Oct.1,2001 by the End-of-day-liquidity rate which is the only standing facility.) 7/ (The last working day of the RP market was on Feb 12,2008.) 8/ (Broad Money included bill of exchange issued by commercial banks, deposit of saving cooperatives and net asset value of money market mutual fund) Source: ( Bank of Thailand.)

เว็บไซต์นี้มีการใช้งานคุกกี้ ศึกษารายละเอียดเพิ่มเติมได้ที่ นโยบายความเป็นส่วนตัว และ ข้อตกลงการใช้บริการ รับทราบ