| Table |
Chapter XI - General Data and Additional Tables |
Excel File |
| XI-1: |
Turnover of Clearing Houses, Number of Items on a Given Day in the Month |
 |
| XI-2: |
Consumer Price Index and Exchange Rates |
 |
| XI-3: |
Exchange Rates of Selected Currencies (Transfers and Checks) |
 |
| XI-4: |
Annual Velocity of Money as Derived from Demand Deposits |
 |
| XI-5: |
Debits Against the Public’s Current Accounts |
 |
| XI-6.1: |
Main Financial Ratios, Banking Groups, 2003-2004 |
 |
| XI-6.2: |
Main Financial Ratios, Banking Corporations, 2003-2004 |
 |
| XI-7: |
Restricted Checking Accounts and Customers, 2004 (As per the Checks Without Cover Law) |
 |
| XI-8: |
The Number of Returned Checks and Their Value, by Reason for Return |
 |
| XI-9: |
Derivatives - Nominal Value of Derivatives (on a Consolidated Basis) of the Five Major Banking Groups, by Banking Group |
 |
| XI-10: |
Derivatives - Gross Fair Value of Derivatives (on a Consolidated Basis) of the Five Major Banking Groups, by Banking Group |
 |
| XI-11: |
Derivatives – Credit Risk of Derivatives, by Counterparty to the Contract (on a Consolidated Basis) of the Five Major Banking Groups, by Banking Group |
 |
| XI-12: |
Derivatives – Gross Fair Value of Derivatives (on a Consolidated Basis) of the Five Major Banking Groups, by Banking Group |
 |
| XI-13: |
Derivatives of the Five Major Banking Groups, Notional Amounts (on a Consolidated Basis) |
 |
| XI-14: |
Derivatives of the Five Major Banking Groups, Gross Fair Value (on a Consolidated Basis) |
 |
| XI-15: |
Derivatives of the Five Major Banking Groups, Credit Risk of Derivatives, By Party to the Contract (on a Consolidated Basis) |
 |
| XI-16: |
Derivatives of the Five Major Banking Groups, Period Repayments, Notional Amounts (on a Consolidated Basis) |
 |