Table 37: Consolidated Assets and
Liabilities of Offshore Banks |
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(End of Period) |
(US dollars million) |
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Dec-97 |
Jun-98 |
Dec-98 |
Jun-99 |
Sep-99 |
Dec-99 |
Mar-00 |
Apr-00 |
May-00 |
Jun-00 |
Jul-00 |
Aug-00 |
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ASSETS
EMPLOYED |
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Assets |
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Cash in Hand and
Balances with Banks |
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654.3 |
727.9 |
1,249.9 |
1,623.2 |
1,655.1 |
2,127.3 |
2,195.8 |
1,816.5 |
1,902.1 |
2,327.1 |
2,574.2 |
2,462.0 |
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Investments in Bonds and
Other Securities |
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34.8 |
58.5 |
56.2 |
103.8 |
109.6 |
92.4 |
109.3 |
158.9 |
162.6 |
162.7 |
175.3 |
172.0 |
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Loans and Advances to
Non-bank Customers |
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214.7 |
226.2 |
460.4 |
830.0 |
803.0 |
879.1 |
983.8 |
1,017.1 |
1,031.5 |
1,007.0 |
991.3 |
995.5 |
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Bills Purchased and
Discounted |
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3.5 |
3.3 |
2.2 |
3.7 |
4.4 |
4.4 |
6.7 |
5.5 |
5.9 |
6.0 |
5.6 |
7.4 |
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Other Assets |
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6.5 |
6.3 |
12.0 |
12.3 |
17.4 |
17.9 |
26.3 |
24.9 |
31.0 |
31.0 |
30.5 |
28.9 |
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[A] |
913.8 |
1,022.2 |
1,780.7
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2,573.0
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2,589.5
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3,121.1
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3,321.9 |
3,022.9 |
3,133.1 |
3,533.8 |
3,776.9 |
3,665.8 |
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Less : |
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Liabilities |
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Deposits of Non-bank
Customers |
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669.4 |
651.0 |
882.9 |
1,090.9 |
1,131.9 |
1,334.3 |
1,452.0 |
1,284.1 |
1,358.4 |
1,504.6 |
1,729.0 |
1,604.6 |
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Amounts due to Banks |
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190.3 |
158.9 |
568.8 |
1,067.6 |
1,007.3 |
1,287.7 |
1,235.0 |
1,105.1 |
1,138.7 |
1,378.5 |
1,397.7 |
1,400.1 |
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Other Liabilities |
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15.6 |
20.9 |
42.2 |
47.1 |
54.6 |
72.9 |
53.2 |
60.8 |
73.5 |
76.0 |
88.8 |
100.5 |
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[B] |
875.3 |
830.8 |
1,493.9 |
2,205.6 |
2,193.8 |
2,694.9 |
2,740.2 |
2,450.0 |
2,570.6 |
2,959.1 |
3,215.5 |
3,105.2 |
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Excess of Assets over
Liabilities |
[A]-[B] |
38.5 |
191.4 |
286.8 |
367.4 |
395.7 |
426.2 |
581.7 |
572.9 |
562.5 |
574.7 |
561.4 |
560.6 |
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FINANCED BY : |
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Capital and Reserves |
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38.5 |
191.4 |
286.8 |
367.4 |
395.7 |
426.2 |
581.7 |
572.9 |
562.5 |
574.7 |
561.4 |
560.6 |
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Off-Balance Sheet Items |
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110.4 |
166.9 |
155.9 |
307.0 |
311.0 |
282.9 |
362.3 |
433.9 |
450.5 |
401.3 |
359.4 |
349.5 |
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