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Table 15: Sectoral Balance Sheet of Bank of Mauritius1: May 2016 to May 2017

Code                         Assets                       May-16       Jun-16       Jul-16       Aug-16       Sep-16       Oct-16       Nov-16       Dec-16       Jan-17       Feb-17                                                                       Mar-17       Apr-17       (Rs million)
                                                                                                                                                                                                                                                                                      May-17

A1 Monetary Gold and SDRs                                 18,101.3 21,676.3 21,780.9 21,453.2 21,711.8 22,705.4 21,477.5 21,012.2 21,420.0 22,119.1 21,845.4 22,012.8 21,882.9

A2 Currency and Deposits                                  50,099.5     53,155.7     49,591.1     25,953.3     30,204.4     25,868.1     25,486.1     29,336.4     25,846.7     25,910.3                                                                     26,968.7     23,904.2     19,616.0
A2.1 Currency                                                     4.2          5.6          6.6          7.9          6.7          8.3          0.7          1.7          7.3          8.2                                                                          9.7        10.7         11.9
A2.2 Transferable deposits
A2.3 Savings deposits                                      49,472.7     52,727.8     49,087.2     25,395.1     29,680.8     25,239.6     24,858.6     28,864.9     25,291.8     25,281.7                                                                     26,356.0     23,110.0     18,864.1
A2.4 Time deposits                                             622.6        422.3        497.3        550.3        517.0        620.3        626.7        469.8        547.5        620.4                                                                        603.1        783.5        740.0
                                                                  0.0          0.0          0.0          0.0          0.0          0.0          0.0          0.0          0.0          0.0                                                                          0.0          0.0          0.0
A3 Securities other than Shares
                                                          92,693.4 92,946.7 96,612.5 120,073.7 118,150.8 123,148.2 123,661.4 124,113.2 123,926.7 123,715.5 120,156.1 126,607.0 126,898.6
A4 Loans
                                                          4,575.4      4,597.5      4,591.2      4,588.2      4,601.1      4,595.2      8,172.3      8,089.0      8,057.2      8,041.7 11,544.6 11,492.8 14,941.4
A5 Shares and Other Equity
                                                          425.1        450.8        449.5        447.0        449.0        455.1        456.4        456.6        452.0        451.0                                                                        447.6        443.8        441.0
A6 Insurance Technical Reserves
                                                          0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
A7 Financial Derivatives
                                                          0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
A8 Other Accounts Receivable
                                                          201.4        94.6         579.0        116.3        132.8        146.1        174.5        309.9        209.4        201.8                                                                        226.7        213.2        205.1
A9 Nonfinancial Assets
                                                          1,855.3      1,950.8      1,817.2      1,820.3      1,858.4      1,867.3      1,867.7      1,917.1      1,931.7      1,949.7                                                                      2,017.7      2,048.7      2,068.2
           TOTAL ASSETS
                                                          167,951.3 174,872.5 175,421.3 174,452.1 177,108.4 178,785.5 181,296.0 185,234.3 181,843.6 182,389.0 183,206.9 186,722.5 186,053.2

Code                         Liabilities                  May-16 Jun-16             Jul-16       Aug-16       Sep-16       Oct-16       Nov-16       Dec-16       Jan-17       Feb-17                                                                       Mar-17       Apr-17       (Rs million)
                                                                                                                                                                                                                                                                                      May-17

L1 Currency in Circulation                                30,571.6 30,580.8 31,022.9 31,154.8 31,412.2 31,813.9 31,992.0 35,918.4 34,021.8 33,440.6 33,640.4 33,183.7 32,557.5

L2 Deposits Included in Broad Money                       89.8         179.9        146.2        272.5        201.0        108.1        123.3        501.9        100.1        123.2                                                                        188.7        124.2        116.7
L2.1 Transferable deposits                                20.8           22.4         23.2         25.5         37.4         40.1         42.5         31.9         31.2         32.0                                                                         34.7         30.5         30.4
L2.2 Savings deposits                                                     0.0          0.0          0.0          0.0          0.0          0.0          0.0          0.0          0.0                                                                          0.0          0.0          0.0
L2.3 Time deposits                                          0.0                                                              68.0         80.8                      68.9         91.2                                                                                      93.7         86.3
                                                          69.0         157.6        123.1        247.0        163.6                                  470.1                                                                                                  154.0

L3 Deposits Excuded from Broad Money                      77,765.3     80,644.4     80,603.7     82,223.7     83,744.2     84,213.7     88,118.8     88,441.5     87,190.0     86,446.3                                                                     87,765.2     94,547.0     93,215.0
L3.1 Transferable deposits                                 70,596.4     71,028.9     71,238.3     72,748.9     73,340.1     74,509.6     78,514.7     77,932.4     75,207.0     75,656.6                                                                     76,515.5     83,297.3     80,388.3
L3.2 Savings deposits
L3.3 Time deposits                                              58.1         58.1         58.0         58.0         58.0         58.0         58.0         58.0         58.0         58.0                                                                         58.0         58.0         58.0
                                                            7,110.8      9,557.4      9,307.4      9,416.8     10,346.0      9,646.0      9,546.0     10,451.0     11,924.9     10,731.7                                                                     11,191.7     11,191.7     12,768.7

L4 Securities Other than Shares, Included in Broad Money  3,717.5      3,862.4      3,937.9      3,878.4      3,977.1      3,977.7      3,978.3      4,091.6      3,914.7      4,110.7                                                                      4,221.0      4,175.4      4,084.5

L5 Securities Other than Shares, Excluded from Broad Money 2 29,634.7 31,971.9 31,905.3 30,472.8 30,379.9 30,385.2 30,390.3 30,283.0 31,546.1 32,860.5 32,756.8 30,508.8 32,369.0

L6 Loans                                                  0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0

L7 Insurance Technical Reserves                           0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0

L8 Financial Derivatives                                  0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0

L9 Other Accounts Payable                                 1,593.5      1,637.6      1,872.2      1,516.6      1,586.4      2,183.1      2,250.2      2,308.1      1,881.9      1,911.1                                                                      2,037.4      2,139.0      2,148.7

L10 Shares and Other Equity                               24,578.9 25,995.4 25,933.1 24,933.2 25,807.5 26,103.8 24,442.9 23,689.9 23,188.9 23,496.7 22,597.5 22,044.5 21,561.8

      TOTAL LIABILITIES                                   167,951.3 174,872.5 175,421.3 174,452.1 177,108.4 178,785.5 181,296.0 185,234.3 181,843.6 182,389.0 183,206.9 186,722.5 186,053.2

1 The sectoral balance sheet contains the stock and flow data for all categories of assets and liabilities of the Bank of Mauriitus based on the concepts and principles of the IMF Monetary and Financial Statistics Manual (2000).
2 Following IMF recommendations in January 2013, with effect from January 2010, "Securities Other than Shares, Excluded from Broad Money" now include holdings of Bank of Mauritius securities by social security funds, which were formerly classified as
"Securities Other than Shares, Included in Broad Money".
Figures may not add up to totals due to rounding.
Source: Research and Economic Analysis Department.
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