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Pakistan: Money and Credit Statistical Bulletin - July 2020

IM Insights
By IM Insights
3 years ago
Pakistan: Money and Credit Statistical Bulletin - July 2020

Murabaha, Zakat, Provision, Reserves


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  1. 2 .1 Central Bank Survey (Million Rupees) 2019 ITEMS FY17 FY18 2020 FY19 Apr May Feb Mar Apr May P Net Foreign Assets 1,101,149 330,519 (653,319) (356,850) (493,989) 439,706 210,183 412,852 109,865 Claims on nonresidents 2,415,139 2,047,605 2,431,558 2,290,146 2,263,020 3,224,525 3,174,204 3,273,500 3,013,865 270,361 315,611 468,625 376,650 398,130 515,952 557,367 566,759 585,912 63,716 59,366 55,564 52,611 50,029 32,657 35,247 32,925 27,964 a) Monetary Gold, Coin and Bullion b) Holdings of SDRs c) Foreign currency d) Deposits e) Securities other than shares (Foreign) f) Loans g) Financial derivatives h) Other Of which: Quota-IMF 10,319 12,277 78,271 51,690 54,577 71,496 92,066 88,333 82,844 1,673,291 1,101,890 1,190,376 1,122,639 1,087,359 2,001,800 1,841,436 1,952,977 1,676,798 94,091 204,519 165,125 281,161 250,689 162,157 175,701 174,390 173,124 - - - - - - - - - 1,203 77 3,627 - - - 122 1,287 670 302,158 353,864 469,969 405,395 422,236 440,462 472,266 456,829 466,553 296,399 347,211 460,388 397,755 414,249 430,116 461,250 445,662 455,076 1,313,990 1,717,086 3,084,877 2,646,996 2,757,009 2,784,818 2,964,021 2,860,648 2,904,000 74,664 86,845 1,005,011 813,140 852,882 885,407 956,796 921,468 940,528 939,436 1,090,675 1,384,929 1,211,063 1,261,283 1,233,356 1,297,454 1,251,600 1,278,040 - .. .. - .. - .. - .. d) Financial derivatives 155,550 370,409 469,398 429,619 439,809 457,243 484,399 469,902 468,271 e) Other 144,340 169,156 225,539 193,174 203,036 208,813 225,371 217,678 217,161 Claims on Other Depository Corporations 2,047,042 2,147,364 1,500,098 680,653 1,520,136 1,532,806 1,756,085 2,113,142 2,426,177 Net claims on General Government 2,329,434 3,591,216 6,668,508 6,883,416 6,159,980 5,874,793 6,192,121 6,028,068 6,365,494 Net claims on Central Government 2,424,678 3,650,675 6,816,298 7,178,384 6,425,290 6,411,608 6,668,741 6,463,360 6,746,195 Claims on Central Government 2,524,167 3,709,002 7,802,574 7,243,756 7,281,279 7,712,562 7,801,784 7,866,683 7,955,033 2,521,427 3,668,611 7,762,570 7,201,838 7,239,552 7,670,246 7,759,157 7,824,752 7,913,430 2,740 40,391 40,004 41,918 41,728 42,316 42,627 41,932 41,603 99,489 58,327 986,276 65,372 855,989 1,300,954 1,133,043 1,403,324 1,208,838 99,489 58,327 986,276 65,372 855,989 1,300,954 1,133,043 1,403,324 1,208,838 - - - - - - - - - (95,244) (59,460) (147,790) (294,967) (265,310) (536,816) (476,620) (435,292) (380,700) - 49,361 3,691 296 296 296 296 296 898 - - - - - - - - - less: Liabilities to nonresidents a) Deposits b) Securities other than shares c) Loans a) Securities other than Shares b) Other claims less: Liabilities to Central Government a) Deposits b) Other liabilities Net claims on Provincial Governments Claims on Provincial and Local Governments a) Securities other than Shares b) Other claims less: Liabilities to Provincial and Local governments a) Deposits b) Other liabilities - 49,361 3,691 296 296 296 296 296 898 95,244 108,820 151,481 295,263 265,606 537,112 476,915 435,588 381,598 95,244 108,820 151,481 295,263 265,606 537,112 476,915 435,588 381,598 - - - - - - - - - 24,408 24,495 26,090 25,579 25,781 25,562 25,538 25,426 25,629 4,988 4,391 4,359 3,915 3,922 4,325 4,345 4,271 4,516 12 57 105 98 102 57 61 65 33 - - - - - - - - - 19,407 20,046 21,626 21,566 21,758 21,180 21,132 21,090 21,079 Monetary base (1+2+3+4) 4,838,708 5,451,198 6,533,695 5,828,153 6,286,070 6,558,877 6,957,256 7,114,115 7,569,059 1) Currency in Circulation 4,167,136 4,635,147 5,285,026 5,034,759 5,412,362 5,657,972 6,007,758 6,293,100 6,744,868 668,128 813,258 1,244,978 789,202 869,810 897,677 945,995 817,590 821,096 668,128 813,258 1,244,978 789,202 869,810 897,677 945,995 817,590 821,096 - - - - - - - - - Claims on other sectors a) Other financial corporations b) Public non-financial corporations c) Other non-financial corporations d) Other resident sectors 2) Liabilities to Other Depository Corporations Reserve deposits Other liabilities 10
  2. 2 .1 Central Bank Survey (Million Rupees) 2019 ITEMS 3) Deposits included in broad money FY17 FY18 2020 FY19 Apr May Feb Mar Apr May P 3,444 2,793 3,692 4,193 3,898 3,229 3,503 3,426 3,095 1,499 1,340 1,438 1,457 1,378 1,480 1,463 1,439 1,458 a) Other financial corporations .. .. 63 25 3 96 90 68 74 b) Public non-financial corporations - - - - - - - - - 112 132 157 188 156 146 146 145 160 1,387 1,208 1,218 1,244 1,219 1,238 1,227 1,226 1,225 1,945 1,453 2,254 2,736 2,520 1,749 2,040 1,986 1,637 1,553 941 1,651 1,914 1,865 1,051 1,406 1,328 1,110 b) Public non-financial corporations - - - - - - - - - c) Other non-financial corporations - - - - - - - - - 392 512 602 822 655 699 634 659 527 Transferable deposits c) Other non-financial corporations d) Other resident sectors Other deposits a) Other financial corporations d) Other resident sectors 4) Securities other than shares included in broad money - - - - - - - - - a) Other financial corporations - - - - - - - - - b) Public non-financial corporations - - - - - - - - - c) Other non-financial corporations - - - - - - - - - d) Other resident sectors - - - - - - - - - 51,168 57,424 67,332 65,170 66,399 66,410 67,209 68,214 71,995 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 535,756 - - 34,066 152,134 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 611,317 575,076 743,141 827,551 801,232 1,704,705 1,746,231 1,900,716 1,982,173 Deposits excluded from broad money Of which: Other financial corporations Securities other than shares excluded from broad money Of which: Other financial corporations Loans Of which: Other financial corporations Financial derivatives Of which: Other financial corporations Trade credit and advances Of which: Other financial corporations Shares and Other equity a) Funds contributed by owners 100 100 100 100 100 100 100 100 100 43,958 12,779 6,941 216,103 168,304 918,755 942,736 1,087,828 1,150,132 c) General & special reserves 142,136 110,715 112,538 110,522 110,522 99,538 99,731 99,731 99,731 d) Valuation adjustment 425,123 451,482 623,562 500,826 522,306 686,312 703,664 713,057 732,210 b) Retained earnings Other items (net) Other liabilities Less: Other Assets 840 9,896 197,208 (23,832) 58,206 (457,126) (620,835) (655,692) (696,062) 180,353 161,463 394,703 264,520 306,627 177,110 181,693 181,911 127,884 179,512 151,567 197,495 288,352 248,421 634,236 802,528 837,603 823,946 Source: Statistics & Data Warehouse Department SBP Note : 1. 2. The table shows monetary statistics of the Central Bank (State Bank of Pakistan) according to the guidelines of IMF Monetary and Financial Statistics Manual (MFSM 2000). Compilation methodology is available at: http://www.sbp.org.pk/departments/Guidelines.htm General Government includes Central and Provincial Government & Provincial Governments includes Provincial and Local Governments Archive link: http://www.sbp.org.pk/ecodata/AnaAccArc.xls 11
  3. 2 .2 Other Depository Corporations Survey (Million Rupees) ITEMS Net Foreign Assets FY17 FY18 FY19 2019 2020 Apr May Feb Mar Apr May P (5,711) (72,715) (180,417) (179,460) (183,325) (152,809) (261,006) (305,560) (262,595) Claims on nonresidents 505,554 514,474 604,432 526,725 560,502 602,853 572,732 519,314 539,700 a) Foreign currency 29,434 35,023 59,945 36,203 45,318 41,979 43,107 50,404 57,523 b) Deposits 159,099 132,663 162,224 136,822 154,962 183,723 157,184 120,690 147,335 c) Securities other than shares 126,665 145,176 156,463 143,970 147,613 149,042 151,845 128,857 117,069 17,727 7,684 440 519 410 11,899 2,113 3,395 1,421 805 1,548 2,869 890 1,561 964 3,114 1,325 1,225 169,719 189,517 217,233 203,905 206,067 209,391 209,143 208,759 208,859 d) Loans e) Financial derivatives f) Shares & other equity g) Other less: Liabilities to nonresidents a) Deposits b) Securities other than shares c) Loans d) Financial derivatives e) Other Claims on Central bank 2,104 2,864 5,258 4,416 4,570 5,854 6,226 5,883 6,268 511,265 587,189 784,848 706,185 743,826 755,662 833,738 824,874 802,295 131,865 178,373 249,754 220,378 243,188 278,397 297,648 300,148 305,216 - - - - - - - - - 369,598 395,529 520,753 471,724 485,036 461,667 517,738 508,237 480,855 292 2,564 3,378 1,543 2,734 1,750 4,548 2,457 1,753 9,510 10,723 10,963 12,539 12,868 13,848 13,805 14,032 14,471 947,849 1,080,602 1,733,741 1,638,944 1,369,622 1,159,808 1,341,249 1,329,956 1,209,640 a) Currency 268,288 260,756 349,590 291,505 394,566 249,131 350,038 364,032 381,088 b) Reserve deposits 656,394 808,104 1,253,753 785,579 867,665 889,360 936,659 809,142 808,412 23,167 11,742 130,397 561,860 107,391 21,317 54,552 156,782 20,141 Net Claims on General Government 6,895,270 6,747,146 5,822,118 4,388,883 5,617,924 7,006,565 7,558,204 8,121,081 8,505,642 Net claims on Central Government 7,132,523 6,913,695 6,137,617 4,786,825 5,931,688 7,475,045 8,042,350 8,561,083 8,809,641 Claims on Central Government 8,026,138 8,009,697 7,384,672 5,937,304 7,054,392 8,709,448 9,324,059 9,866,447 10,310,046 7,801,618 7,761,847 7,116,683 5,698,435 6,785,105 8,435,795 9,054,272 9,605,698 9,999,698 224,520 247,850 267,989 238,869 269,287 273,653 269,787 260,749 310,348 893,614 1,096,002 1,247,054 1,150,479 1,122,704 1,234,403 1,281,709 1,305,364 1,500,405 893,614 1,096,002 1,247,054 1,150,479 1,122,704 1,234,403 1,281,709 1,305,364 1,500,405 - - - - - - - - - (237,253) (166,549) (315,499) (397,942) (313,764) (468,479) (484,146) (440,002) (303,999) 483,331 602,715 565,321 461,431 556,668 487,200 457,800 502,981 631,425 c) Other claims a) Securities other than Shares b) Other claims less: Liabilities to Central Government a) Deposits b) Other liabilities Net claims on Provincial Governments Claims on Provincial Governments a) Securities other than Shares b) Other claims less: Liabilities to Provincial Governments a) Deposits b) Other liabilities Claims on other sectors a) Other financial corporations .. .. .. .. .. .. .. .. 0 483,331 602,715 565,321 461,430 556,668 487,200 457,800 502,981 631,425 720,584 769,264 880,820 859,372 870,433 955,679 941,946 942,982 935,424 715,991 760,398 871,915 850,390 861,360 946,545 932,705 933,966 926,326 4,593 8,866 8,905 8,983 9,073 9,134 9,241 9,017 9,098 6,251,044 7,318,333 8,323,196 8,244,102 8,265,979 8,567,057 8,640,873 8,656,686 8,755,542 98,726 105,183 99,030 108,087 100,825 98,508 91,370 94,461 97,655 b) Public non-financial corporations 1,025,871 1,268,801 1,581,154 1,574,193 1,589,720 1,633,257 1,634,612 1,640,829 1,788,861 c) Other non-financial corporations 4,059,627 4,700,394 5,224,698 5,162,157 5,172,032 5,413,070 5,526,576 5,512,862 5,471,707 d) Other resident sectors 1,066,820 1,243,954 1,418,315 1,399,665 1,403,403 1,422,223 1,388,316 1,408,533 1,397,319 12
  4. 2 .2 Other Depository Corporations Survey (Million Rupees) ITEMS FY17 FY18 2019 FY19 Apr Liabilities to central bank Deposits included in broad money(1+2) 1) Transferable deposits 1,881,628 2,057,073 10,483,658 11,377,575 1,380,753 612,855 12,511,977 11,726,614 2020 May P May Feb Mar Apr 1,451,331 1,440,372 1,702,070 2,049,966 2,360,770 11,771,095 12,992,495 13,393,768 13,345,201 13,498,036 7,991,825 8,733,675 9,470,778 8,845,925 8,912,186 a) Other financial corporations 249,897 217,753 230,162 238,756 225,854 245,109 421,624 278,180 b) Public non-financial corporations 312,106 359,520 383,870 338,072 367,831 499,440 494,902 535,553 547,887 c) Other non-financial corporations 2,358,188 2,503,447 2,517,224 2,405,162 2,389,861 2,725,342 2,797,185 2,860,406 2,866,731 d) Other resident sectors 5,071,634 5,652,955 6,339,522 5,863,936 5,928,640 6,322,010 6,425,632 6,486,171 6,618,625 2,491,833 2,643,900 3,041,199 2,880,689 2,858,909 3,200,594 3,254,424 3,184,891 3,209,156 74,546 80,923 98,038 89,904 78,947 91,819 73,188 71,911 82,358 411,242 428,607 494,185 463,051 460,312 579,309 595,240 565,501 565,667 2) Other deposits a) Other financial corporations b) Public non-financial corporations c) Other non-financial corporations d) Other resident sectors Securities other than shares, included in broad money a) Other financial corporations 9,791,900 10,139,343 10,160,310 10,288,879 255,637 828,116 862,865 887,278 809,590 819,047 891,506 946,147 904,893 909,711 1,177,930 1,271,505 1,561,698 1,518,145 1,500,603 1,637,960 1,639,849 1,642,587 1,651,420 10 16 16 16 16 16 17 17 17 14 7 12 13 13 13 13 14 14 b) Public non-financial corporations - - - - - - - - - c) Other non-financial corporations 3 3 3 3 3 3 3 3 3 d) Other resident sectors - - - - - - - - - Deposits excluded from broad money - - - - - - - - - Of which: Other financial corporations Securities other than shares, excluded from broad money Of which: Other financial corporations - - - - - - - - - 15,535 19,530 36,745 38,196 38,369 41,170 41,008 41,821 39,863 11,582 12,876 19,053 20,368 20,460 21,660 21,616 22,715 20,472 Loans 11,395 12,744 15,257 18,200 14,904 24,443 24,555 25,554 29,954 1,743 3,411 6,628 9,099 6,185 16,106 16,218 17,217 21,799 962 3,686 10,259 3,504 5,397 7,767 6,574 5,349 5,331 - .. .. 21 1 - .. .. 0 127 136 73 72 80 22 25 24 24 Of which: Other financial corporations Financial derivatives Of which: Other financial corporations Trade credit and advances Of which: Other financial corporations - - - - - - - - - 1,682,897 1,678,673 1,719,972 1,699,934 1,693,405 1,890,705 1,943,575 2,071,484 2,052,999 a) Funds contributed by owners 737,674 610,095 633,292 628,017 629,339 646,483 649,008 648,830 649,416 b) Retained earnings 385,969 447,303 500,105 459,456 485,880 568,982 545,672 538,895 567,443 c) General and special reserves 288,062 377,673 439,292 433,547 430,290 461,224 471,510 488,712 485,271 d) Valuation adjustment 271,191 243,601 147,282 178,913 147,896 214,016 277,385 395,047 350,870 12,494 (75,794) 23,733 (6,778) 95,763 183,677 167,779 262,793 221,282 Other liabilities 1,325,403 1,453,328 1,741,724 1,689,409 1,739,122 2,025,453 2,066,189 2,049,383 2,024,952 less: Other assets 1,269,919 1,462,839 1,673,745 1,623,929 1,597,857 1,765,580 1,783,326 1,735,143 1,753,227 (42,990) (66,283) (44,245) (72,258) (45,501) (76,197) (115,084) (51,447) (50,443) Shares and other equity Other items (net) plus: Consolidation adjustment Source: Statistics & Data Warehouse Department SBP Note: 1. Other Depository Corporations (ODCs) include the data of Banks, DFIs, MFBs, Deposit Accepting Non-Bank Financial Companies and Money Market Mutual Funds (MMMFs) . The scope of ODCs survey has been enhanced with the inclusion of MMMFs with effect from April 2017. The archive of the ODCs including MMMFs has been prepared from July 2012. Therefore, the estimates are not comparable with Analytical Accounts of Banking Sector (up to June 2008 prepared under money & banking guide and up to June 2012 prepared under MFSM) and monetary aggregates of weekly monetary survey based on data of SBP and Scheduled Banks 2. The Stock of Government Deposits for July 2019 have been revised due to reclassification of some of the PSEs, which were previously reported under Government Institutions. The coverage of PSEs has been enhanced. 3. General Government includes Central and Provincial Government & Provincial Governments includes Provincial and Local Governments 4. Islamic Financings, Advances (against Murabaha etc) and other related items previously reported under Other Assets has been reclassified as domestic claims / credit from June 2014. Details of reclassifications/revisions are available in revision study on SBP website at: www.sbp.org.pk/ecodata/Revision_Monetary_Stats.pdf Archive Link: http://www.sbp.org.pk/ecodata/AnaAccDepArch.xls 13
  5. 2 .3 Depository Corporations Survey (Million Rupees) FY18 2019 FY19 2020 ITEMS FY17 Net Foreign Assets Claims on nonresidents less: Liabilities to nonresidents Domestic claims (a+b) a. Net Claims on general government (1+2) 1- Net claims on central government Claims on central government less: Liabilities to central government 2-Net claims on provincial governments Claims on provincial governments less: Liabilities to provincial governments b. Claims on other sectors Other financial corporations Public non-financial corporations Other non-financial corporations Other resident sectors Broad money liabilities (a+b+c+d) a. Currency outside depository corporations b. Transferable deposits Other financial corporations Public non-financial corporations Other non-financial corporations Other resident sectors less: Central bank float c. Other Deposits Other financial corporations Public non-financial corporations Other non-financial corporations Other resident sectors d. Securities other than shares included in broad money Other financial corporations Public non-financial corporations Other non-financial corporations Other resident sectors Deposits excluded from broad money of which: Other financial corporations Securities other than shares excluded from broad money of which: Other financial corporations Loans of which: Other financial corporations Financial Derivatives of which: Other financial corporations Trade credit & advances of which: Other financial corporations Shares & other equity Other items (net) Other liabilities (includes central bank float) less: Other assets plus: Consolidation adjustment 1,095,438 257,804 (833,736) (536,310) (677,314) 286,897 (50,822) 107,292 (152,730) 2,920,693 2,562,079 3,035,989 2,816,871 2,823,522 3,827,378 3,746,936 3,792,814 3,553,565 3,869,725 3,353,181 3,685,522 3,706,296 Apr May Feb Mar May P Apr 1,825,255 2,304,275 3,500,836 3,540,481 3,797,759 15,500,156 17,681,190 20,839,912 19,541,980 20,069,664 21,473,977 22,416,736 22,831,260 23,652,307 9,224,704 10,338,362 12,490,626 11,272,300 11,777,904 12,881,358 13,750,325 14,149,149 14,871,136 9,557,201 10,564,370 12,953,916 11,965,209 12,356,978 13,886,653 14,711,091 15,024,442 15,555,836 10,550,305 11,718,699 15,187,246 13,181,060 14,335,672 16,422,010 17,125,843 17,733,130 18,265,079 993,103 1,154,329 2,233,330 1,215,851 1,978,694 2,535,357 2,414,752 2,708,688 2,709,243 (332,497) (226,008) (463,289) (692,909) (579,074) (1,005,295) (960,766) (875,294) (684,700) 483,331 652,076 569,012 461,726 556,964 487,496 458,096 503,276 632,323 815,829 878,084 1,032,301 1,154,635 1,136,039 1,492,791 1,418,862 1,378,570 1,317,022 6,275,452 7,342,828 8,349,286 8,269,681 8,291,760 8,592,619 8,666,411 8,682,112 8,781,171 103,714 109,575 103,389 112,003 104,747 102,833 95,714 98,732 102,172 1,025,883 1,268,858 1,581,258 1,574,291 1,589,822 1,633,314 1,634,673 1,640,895 1,788,894 4,059,627 4,700,394 5,224,698 5,162,157 5,172,032 5,413,070 5,526,576 5,512,862 5,471,707 1,086,228 1,264,000 1,439,941 1,421,231 1,425,160 1,443,402 1,409,448 1,429,622 1,418,398 14,385,960 15,754,775 17,451,119 16,474,077 16,792,805 18,404,580 19,055,008 3,898,848 4,374,391 4,935,435 4,743,253 5,017,796 5,408,841 5,657,720 7,993,324 8,735,016 9,472,216 8,847,382 8,913,564 9,793,380 10,140,806 249,897 217,753 230,225 238,781 225,857 245,204 421,714 278,248 312,106 359,520 383,870 338,072 367,831 499,440 494,902 535,553 547,887 2,358,300 2,503,579 2,517,381 2,405,349 2,390,018 2,725,488 2,797,331 2,860,551 2,866,890 5,073,021 5,654,163 6,340,740 5,865,180 5,929,859 6,323,248 6,426,859 6,487,397 6,619,849 - - - - - - - - - 2,493,779 2,645,353 3,043,453 2,883,425 2,861,429 3,202,343 3,256,465 3,186,878 3,210,793 19,277,712 19,864,928 5,929,068 6,363,780 10,161,749 10,290,337 255,711 76,099 81,864 99,689 91,818 80,812 92,869 74,594 73,239 83,468 411,242 428,607 494,185 463,051 460,312 579,309 595,240 565,501 565,667 828,116 862,865 887,278 809,590 819,047 891,506 946,147 904,893 909,711 1,178,322 1,272,017 1,562,300 1,518,967 1,501,257 1,638,658 1,640,483 1,643,245 1,651,947 10 16 16 16 16 16 17 17 17 7 12 13 13 13 13 14 14 14 - - - - - - - - - 3 3 3 3 3 3 3 3 3 - - - - - - - - - 51,168 57,424 67,332 65,170 66,399 66,410 67,209 68,214 71,995 - - - - - - - - - 15,535 19,530 36,745 38,196 38,369 41,170 41,008 41,821 39,863 11,582 12,876 19,053 20,368 20,460 21,660 21,616 22,715 20,472 11,395 12,744 15,257 18,200 14,904 24,443 24,555 25,554 29,954 1,743 3,411 6,628 9,099 6,185 16,106 16,218 17,217 21,799 962 3,686 10,259 3,504 5,397 7,767 6,574 5,349 5,331 - .. .. 21 1 - .. .. .. 127 136 73 72 80 22 25 24 24 - - - - - - - - - 2,294,214 2,253,749 2,463,113 2,527,485 2,494,637 3,595,411 3,689,805 3,972,199 4,035,172 (163,513) (162,778) (37,576) (120,889) (20,082) (378,884) (518,221) (452,274) (547,643) 1,505,755 1,614,791 2,136,426 1,953,929 2,045,748 2,202,563 2,247,882 2,231,294 2,152,836 1,449,431 1,614,406 1,871,240 1,912,281 1,846,278 2,399,816 2,585,853 2,572,746 2,577,173 (219,837) (163,162) (302,762) (162,537) (219,552) (181,631) (180,249) (110,823) (123,306) Source: Statistics & Data Warehouse Department SBP Note: 1. 2. 3. Depository Corporations (DCs) include the data of SBP, Banks, DFIs, MFBs, Deposit Accepting Non Bank Financial Companies and Money Market Mutual Funds (MMMFs). The scope of DCs survey has been enhanced with the inclusion of MMMFs with effect from April 2017. The archive of the DCs including MMMFs has been prepared from July 2012. Therefore, the estimates are not comparable with Analytical Accounts of Banking Sector (up to June 2008 prepared under money & banking guide and up to June 2012 .prepared under MFSM) and monetary aggregates of weekly monetary survey based on data of SBP and Scheduled Banks. Methodological changes are given at the following links: http://www.sbp.org.pk/departments/stats/ntb.htm Islamic Financings, Adavances (against Murabaha etc) and Other related items previously reported under Other Assets has been reclassified as domestic claims / credit from June 2014. Details of reclassifications/revisions are available in revision study on SBP website at : www.sbp.org.pk/ecodata/Revision_Monetary_Stats.pdf From July, 2019 data on Central and Provincial Government deposits with scheduled banks have been revised. This revision is due to reclassification of some of the PSEs, which were previously reported under Government deposits. The coverage of PSEs has been increased. Archive Link: http://www.sbp.org.pk/ecodata/DepositoryArch.xls 14
  6. 2 .4 Reserve Money (Million Rupees) 30th June Components 2019 2020 FY17 FY18 FY19 Apr May Feb Mar Apr May P A. Currency in Circulation B. Cash in Tills C. Other Deposits D. Bank Deposits Reserve Money (A+B+C+D) Factor affecting Reserve Money (RM) A. Net Foreign Assets B. Net Domestic Assets (1+2+3) 1. Net Govt Sector Borrowing (i+ii) i. Borrowings for Budgetary Support 1 a) Federal Government of which deposits with SBP b) Provincial Government Balochistan Khyber Pakhtunkhwa Punjab Sindh c) AJK Government d) Gilgit-Baltistan ii. Others 2. Credit to Non-Govt. Sector (i+ii+iii) i. Claims on Sch. Banks (a+b+c+d+e) 3,911,315 4,387,828 4,950,039 4,777,295 5,031,826 5,423,316 5,672,624 5,930,357 6,371,862 264,627 255,891 343,516 260,271 389,234 243,907 344,451 312,243 382,341 22,692 26,962 33,636 34,102 33,777 33,295 33,695 34,980 38,095 669,338 813,949 1,246,239 900,946 871,139 898,533 947,063 844,924 821,932 4,867,971 5,484,630 6,573,429 5,972,613 6,325,976 6,599,052 6,997,832 7,122,505 7,614,230 a. Agriculture Sector b. Industrial Sector c. Export Sector d. Housing Sector e. Others ii. Claims on NBFIs iii. PSEs Special A/C Debt Repayment with SBP/PSPC 3. Other Items (Net) Reserve Money(RM) (A+B) (731,396) (895,922) (82,265) (353,875) (224,471) (483,204) 4,039,049 828,923 5,472,177 12,453 (1,127,203) 7,700,632 6,704,009 7,221,898 6,681,317 7,351,707 7,346,976 8,097,433 2,337,124 3,600,435 6,675,650 6,806,908 6,179,840 5,884,074 6,201,264 5,943,470 6,374,529 2,350,109 3,613,406 6,691,870 6,818,131 6,194,713 5,896,045 6,211,471 5,955,402 6,390,482 2,440,624 3,667,619 6,833,275 7,142,627 6,453,541 6,423,175 6,680,302 6,460,468 6,764,664 (91,238) (40,546) (967,305) (534,982) (821,625) (1,286,833) (1,119,397) (88,555) (43,840) (127,135) (298,825) (226,707) (487,058) (430,303) (469,805) (333,568) (1,460) (5,329) (19,072) (33,879) (36,336) (75,406) (75,766) (73,121) (77,110) (30,245) (23,945) (16,983) (57,729) (37,336) (87,260) (81,103) (70,034) (44,380) (38,146) (5,114) (70,339) (174,203) (121,768) (238,719) (189,335) (226,444) (152,502) (18,704) (9,453) (20,741) (33,014) (31,266) (85,673) (84,098) (100,207) (59,576) 7,279 5,515 (97) (4,079) (10,450) (18,242) (18,366) (16,331) (19,451) (9,239) (15,888) (14,174) (21,593) (21,671) (21,831) (20,162) (18,930) (21,163) (12,985) (12,971) (16,220) (11,223) (14,873) (11,971) (10,208) (11,932) (15,953) 491,157 562,297 694,966 663,368 673,790 811,700 828,661 845,311 869,015 500,160 569,866 682,889 669,162 679,479 799,124 815,411 831,936 854,793 1,217 1,056 1,279 1,127 1,122 1,625 1,727 1,813 1,880 79,196 113,524 150,030 141,632 146,930 173,684 182,476 184,856 188,603 238,383 292,539 386,843 380,747 385,760 476,380 508,506 522,814 533,635 - - - - - - - - - 181,364 162,747 144,737 145,657 145,666 147,435 122,703 122,454 130,675 15,241 16,675 36,321 18,450 18,556 36,820 37,494 37,618 38,466 (24,244) (24,244) (24,244) (24,244) (24,244) (24,244) (24,244) (24,244) (24,244) 1,210,768 1,309,445 330,016 (766,267) 368,268 (14,457) 321,783 558,196 853,889 4,867,971 5,484,630 6,573,429 5,972,613 6,325,976 6,599,052 6,997,832 7,122,505 7,614,230 (1,393,946) (1,189,040) Source: Statistics & Data Warehouse Department SBP Note:1. Excluding IMF A/c Nos. 1 & 2, SAF loan account, counterpart funds, deposits of foreign central banks, foreign govts, international organizations and deposit money banks. i - Data is based on weekly returns. The quarterly data covers the period up to the last working day of the month and others months data up to the last working day of last week. ii- Data from 30-June 2013 onward is revised on account of reclassification of SBP accounts 2.5 Currency in Circulation ( Million Rupees ) 30th June 2019 2020 FY17 FY18 FY19 Apr May Feb Mar Apr May P 4,167,136 4,635,147 5,285,026 5,028,939 5,412,362 5,657,972 6,007,758 6,233,281 6,744,868 9,779 9,754 9,728 9,670 9,676 9,907 10,056 9,937 9,935 4,176,915 4,644,900 5,294,754 5,038,609 5,422,038 5,667,879 6,017,814 6,243,218 6,754,803 146 1 Five Rupee Bills & Above 2 One Rupee Coins and above 3 Total ( 1+2 ) 4 Held by Banking Department of SBP 111 192 160 101 107 118 267 148 5 Held by Issue Department of SBP 862 989 1,039 942 871 537 472 469 454 6 Currency in tills of Scheduled Banks 264,627 255,891 343,516 260,271 389,234 243,907 344,451 312,243 382,341 3,911,315 4,387,828 4,950,039 4,777,295 5,031,826 5,423,316 5,672,624 5,930,357 6,371,862 7 Currency in Circulation (3-4-5-6) Note: Source: Statistics & Data Warehouse Department SBP i- The quarter end data relates to last working day whereas monthly data are of last Friday of the month. ii- Totals may not tally due to separate rounding off. iii- Data is based on weekly returns. Therefore, these estimates are not comparable with the monthly data given in table 2.1. The comparison of weekly and monthly compilation methodologies is available the link : http://www.sbp.org.pk/ecodata.asp 15
  7. 2 .6 Monetary Aggregates (Million Rupees) 30th June Assets / Liabilities 2019 2020 FY17 FY18 FY19 Apr May Feb Mar Apr May P 3,911,315 4,387,828 4,950,039 4,777,295 5,031,826 5,423,316 5,672,624 5,930,357 6,371,862 22,692 26,962 33,636 34,102 33,777 33,295 33,695 34,980 38,095 10,646,875 11,582,372 12,814,820 A. Components of M2 1. Currency in Circulation 2. Other Deposits with SBP 3. Total Private & PSE Deposits of which : RFCDs Money Supply (1+2+3) B. a. State Bank of Pakistan b. Scheduled Banks II.Net Domestic Assets of Banking System (1+2+3) a. State Bank of Pakistan b. Scheduled Banks 944,685 994,172 996,653 1,065,250 1,023,352 1,037,908 16,537,744 17,102,511 18,679,018 19,318,460 19,259,188 20,071,827 602,049 (208,423) (1,507,081) 828,923 12,453 (1,127,203) (226,873) (220,877) (379,879) 13,978,833 16,205,586 19,305,575 (1,098,821) (1,260,303) (380,130) (710,001) (606,861) (853,043) (731,396) (895,922) (82,265) (353,875) (224,471) (483,204) (367,425) (364,381) (297,866) (356,126) (382,389) (369,839) 17,636,565 18,362,814 19,059,149 20,028,461 19,866,049 20,924,870 3,538,889 4,902,311 7,017,743 11,303,275 12,287,832 11,601,718 11,820,394 13,176,956 13,492,164 13,351,009 13,682,230 8,955,597 10,199,670 12,336,664 11,025,558 11,639,710 12,434,280 13,171,974 13,225,470 14,155,911 8,282,074 9,392,960 11,596,468 10,383,835 10,895,071 11,786,751 12,562,925 12,597,476 13,351,104 2,350,109 3,613,406 6,691,870 6,818,131 6,194,713 5,896,045 6,211,471 5,955,402 6,390,482 2,440,624 3,667,619 6,833,275 7,142,627 6,453,541 6,423,175 6,680,302 6,460,468 6,764,664 (91,238) (40,546) (967,305) (534,982) (821,625) (1,286,833) (1,119,397) (1,393,946) (1,189,040) (88,555) (43,840) (127,135) (298,825) (226,707) (487,058) (430,303) (469,805) (333,568) (1,460) (5,329) (19,072) (33,879) (36,336) (75,406) (75,766) (73,121) (77,110) Khyber Pakhtunkhwa Government (30,245) (23,945) (16,983) (57,729) (37,336) (87,260) (81,103) (70,034) (44,380) Punjab Government (38,146) (5,114) (70,339) (174,203) (121,768) (238,719) (189,335) (226,444) (152,502) Sindh Government (18,704) (9,453) (20,741) (33,014) (31,266) (85,673) (84,098) (100,207) (59,576) 7,279 5,515 (97) (4,079) (10,450) (18,242) (18,366) (16,331) (19,451) (9,239) (15,888) (14,174) (21,593) (21,671) (21,831) (20,162) (18,930) (21,163) 5,931,965 5,779,554 4,904,598 3,565,704 4,700,359 5,890,706 6,351,454 6,642,074 6,960,622 6,631,399 6,523,418 5,753,677 4,398,316 5,541,327 6,810,854 7,259,336 7,550,618 7,859,440 Net Govt Sector Borrowing(a+b+c) (i) From SBP a) Federal Government of which deposits with SBP b) Provincial Government Balochistan Government c) AJK Government d) Gilgit-Baltistan (ii) From Scheduled banks (a+b) a) Federal Government of which deposits with banks b) Provincial Government (883,796) (1,083,755) (1,228,344) 6,034,847 6,542,420 5,882,193 6,536,297 6,515,040 7,242,640 (1,133,362) (1,103,874) (1,212,439) (1,257,478) (1,279,719) (1,467,984) (699,434) (743,864) (849,079) (832,612) (840,969) (920,148) (907,882) (908,544) (898,818) (700,458) (744,888) (850,103) (833,636) (841,993) (921,172) (908,906) (909,568) (899,842) b. Commodity operations 686,508 819,680 756,416 652,945 759,511 659,500 619,257 639,926 820,760 c. Others (12,985) (12,971) (16,220) (11,223) (14,873) (11,971) (10,208) (11,932) (15,953) 6,011,267 7,033,598 8,072,803 7,928,534 7,990,665 8,314,527 8,400,646 8,366,843 8,489,141 5,197,473 5,972,968 6,666,505 6,553,989 6,601,372 6,916,520 6,989,708 6,969,798 6,955,373 4,241,174 4,789,627 5,276,240 5,192,343 5,214,851 5,386,452 5,420,653 5,399,528 5,358,512 Islamic Banks 628,335 732,195 835,105 809,325 825,774 871,386 901,942 891,049 885,279 Islamic Banking Branches of Conventional Banks 327,963 451,146 555,160 552,322 560,747 658,681 667,113 679,221 711,583 822,797 1,068,199 1,394,221 1,380,338 1,394,981 1,385,431 1,397,687 1,383,671 1,519,545 (24,244) 15,241 (24,244) 16,675 (24,244) 36,321 (24,244) 18,450 (24,244) 18,556 (24,244) 36,820 (24,244) 37,494 (24,244) 37,618 (24,244) 38,466 of which deposits with banks Credit to Non-Govt. Sector (a+b+c+d) a. Credit to Private Sector* Conventional Banking Branches b. Credit to PSEs c. PSEs Special a/c-debt Repayment with BP/PSPC d. Credit to NBFIs 3. 1,109,780 17,798,494 10,439,944 a. Borrowings for Budgetary support 1 2. 829,355 15,997,162 Factors Affecting Money Supply ( M2) I.Net Foreign Assets of the Banking System 1. 655,340 14,580,882 11,726,347 12,036,907 13,222,407 13,612,141 13,293,851 13,661,870 Other Items (net) * Broad Money M2 (A+B) (988,031) (1,027,682) (1,103,892) 14,580,882 15,997,162 17,798,494 (1,317,527) (1,267,561) (1,689,659) (1,544,160) (1,726,264) (1,720,181) 16,537,744 17,102,511 18,679,018 19,318,460 19,259,188 20,071,827 C. Memorandum Items Accrued Profit on SBP holdings of MRTBs/MTBs 50,463 73,953 2,912 176,330 237,654 197,544 285,997 340,632 440,488 Outstanding amount of MTBs (realized value in auction) 3,711,754 4,743,836 4,363,090 3,051,460 4,106,154 4,207,123 4,803,332 4,771,148 4,950,955 Net Government Budgetary Borrowing (Cash Basis) 8,163,028 9,283,551 11,545,893 From SBP 2,299,646 3,539,453 6,688,958 10,178,472 10,642,967 11,475,383 12,147,705 12,063,064 12,741,155 6,641,801 5,957,058 5,698,500 5,925,475 5,614,770 5,949,994 From Scheduled Banks 5,863,382 5,744,098 4,856,935 3,536,671 4,685,909 5,776,882 6,222,230 6,448,294 6,791,161 Source: Statistics & Data Warehouse Department SBP 1. Excluding IMF A/c Nos. 1 & 2, SAF loan account, counterpart funds, deposits of foreign central banks, foreign governments, international organizations and deposit money banks. Note:i - Data is based on weekly returns. The quarterly data covers the period up to the last working day of the month and others months data up to the last working day of last week. ii- From July, 2019, the data on Central and Provincial Government Deposits with Scheduled Banks have been revised. This revision is due to reclassification of some of the PSEs, which were previous reported under Government Institutions. The coverage of PSEs has been enhanced since July 2019. Detail of changes are available at: http://www.sbp.org.pk/departments/stats/Expalanatory-Note.pdf * Note: Islamic Financings, Advances (against Murabaha etc), Inventories and any Other related item(s) pertaining to Islamic Financing previously reported under Other Assets has been reclassified as credit to private sector.Details of reclassifications/revisions are available in revision study on SBP website at: http://www.sbp.org.pk/ecodata/RSMS.pdf 16
  8. 2 .7 Government Budgetary Borrowing from Banks (Million Rupees) Stocks Monetary Impact During ITEMS 30-Jun-18 1. Central Government (a+b) 30-Jun-19 1st Jul 18 to 31st May 19 1st Jul 19 to 29th May 20 10,191,037 12,586,952 1,803,831 2,037,152 6,523,418 5,753,677 (982,091) 2,105,763 7,607,173 6,982,021 (961,971) 2,345,403 1,083,755 1,228,344 20,119 239,639 3,667,619 6,833,275 2,785,922 (68,612) 3,671,014 7,762,812 3,570,934 152,563 27,589 28,200 (3,939) 340 Govt. Deposits (Ex. Zakat and Privatization Fund) 40,546 967,305 781,079 221,735 Others (9,562) (9,569) (6) (220) (798,077) (990,484) (301,720) (282,516) (743,864) (849,079) (97,105) (49,739) 1,024 1,024 .. - 744,888 850,103 97,105 49,739 (54,213) (141,405) (204,616) (232,776) 5,515 - (5,515) - 59,728 141,405 199,100 232,776 9,392,960 11,596,468 1,502,111 1,754,636 a. Scheduled Banks T-Bills and Securities Less: Government Deposits b. State Bank T-bills and Securities etc.* Debtor Balances (Exc. Zakat Fund) Less: 2. Provincial Governments (c+d) c. Scheduled Banks Government Securities and Others Less: Government Deposits d. State Bank Government Securities Debtor Balances (Excluding Zakat Fund) Less: Government Deposits (Excluding Zakat Fund) Net Budgetary Borrowing from the Banking System Note; - From July, 2019, the data on Central and Provincial Government Deposits with Scheduled Banks have been revised. This revision is due to reclassification of some of the PSEs, which were previous reported under Government Institutions. The coverage of PSEs has been enhanced since July 2019. * it also includes securities purchased from secondary market (under OMO/Bai-muajjal) Detail of changes are available at: http://www.sbp.org.pk/departments/stats/Expalanatory-Note.pdf 2.8 Government Borrowing for Commodity Operations Rice 1,325 949 124 (831) Wheat 727,308 654,170 (70,544) 58,179 Sugar 51,610 56,074 4,465 8,452 Fertilizer 38,372 44,056 5,683 (1,635) Seeds - - - - Oilseeds - - - - Pulses - - - - Edible Oil - - - - Black Mash - - - - Chilies - - - - Seed Meal - - - - Gram - - - - Onion - - - - Potatoes - - - - Cotton 1,065 1,167 102 178 Total 819,680 756,416 (60,169) 64,344 Source: Statistics & Data Warehouse Department SBP 17
  9. 2 .9 Liabilities and Assets of State Bank of Pakistan Issue Department (Million Rupees) 2019 FY17 FY18 2020 FY19 LAST WEEDENK Apr May Feb Mar Apr May LIABILITIES Notes held in the Banking Department 111.4 196.7 198.8 101.3 107.2 118.4 128.8 148.4 146.1 4,167,135.8 4,689,317.5 5,318,986.8 5,028,939.2 5,412,362.4 5,657,971.6 5,963,808.6 6,233,280.9 6,744,868.1 4,167,247.2 4,689,514.2 5,319,185.5 5,029,040.5 5,412,469.6 5,658,090.0 5,963,937.5 6,233,429.3 6,745,014.2 1,817,225.8 347,132.5 950,759.4 904,257.4 890,392.6 1,265,542.3 1,154,356.3 1,130,104.9 809,110.5 270,361.2 313,461.1 468,625.0 378,848.8 398,129.5 515,952.4 515,952.4 557,366.5 585,912.2 1,546,167.0 32,973.8 481,371.3 524,645.5 491,500.0 748,592.6 637,406.6 571,741.1 222,201.0 697.6 697.6 763.0 763.0 763.0 997.3 997.3 997.3 997.3 2,344,960.1 4,336,626.9 4,360,065.1 4,117,871.1 4,514,853.3 4,383,200.0 4,800,233.5 5,093,307.4 5,925,425.4 861.9 989.8 1,039.4 941.7 870.8 536.9 473.5 469.2 454.1 2,344,098.2 4,335,637.1 4,359,025.7 4,116,929.4 4,513,982.5 4,382,663.1 4,799,759.9 5,092,838.2 5,924,971.3 - - - - - - - - - 5,061.4 5,754.8 8,361.0 6,912.0 7,223.7 9,347.7 9,347.7 10,017.0 10,478.4 4,374.5 5,068.0 7,573.7 6,124.7 6,436.4 8,338.6 8,338.6 9,007.9 9,469.3 Sterling Securities 450.2 450.2 528.5 528.5 528.5 670.9 670.9 670.9 670.9 Govt. of India Securities 231.8 231.8 253.6 253.6 253.6 331.4 331.4 331.4 331.4 4.8 4.8 5.2 5.2 5.2 6.7 6.7 6.7 6.7 Notes in Circulation Total Liabilities / Assets ASSETS Gold and Foreign Assets Gold Coins and Bullion 1 Approved Foreign Exchange 2 Indian Notes 3 Domestic Assets Rupee Coins Govt. of Pakistan Securities Internal Bills of Exchange & other Commercial Papers Held with Reserve Bank of India pending transfer to Pakistan Gold Coin and Bullion Rupee Coins 1. Gold is valued at end financial year (June ) on the basis of closing London Market Rate. 2. Approved Foreign Exchanges includes SDR held with IMF w.e.f June 2004 3. Receivable from Reserve Bank of India. 18 Source: Finance Department SBP
  10. 2 .10 Liabilities and Assets of State Bank of Pakistan Banking Department (Million Rupees) LAST WEEKEND FY17 FY18 2019 FY19 Apr 2020 May Feb Mar Apr May L I A B I L I T I E S Capital Paid-up 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0 89,364.5 103,135.7 58,135.7 58,135.7 58,135.7 47,151.2 47,151.2 47,151.2 47,151.2 Rural Credit Fund 2,600.0 2,600.0 2,600.0 2,600.0 2,600.0 2,600.0 2,600.0 2,600.0 2,600.0 Industrial Credit Fund 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 Export 1,500.0 1,500.0 1,500.0 1,500.0 1,500.0 1,500.0 1,500.0 1,500.0 1,500.0 900.0 900.0 900.0 900.0 900.0 900.0 900.0 900.0 900.0 4,700.0 4,700.0 4,700.0 4,700.0 4,700.0 4,700.0 4,700.0 4,700.0 4,700.0 1,931,266.0 2,907,186.3 4,307,760.6 3,861,923.7 4,149,832.8 4,901,421.5 4,677,453.2 5,033,998.7 4,682,699.0 1,375,440.9 1,175,057.3 Reserve Fund Loans Guarantee Fund Housing Credit Fund D e p o s i t s Federal Govt. 76,078.5 803,377.4 347,654.3 516,089.2 806,599.3 1,265,699.9 1,061,155.9 Provincial Govts. 102,523.4 67,094.4 209,294.7 331,195.9 265,310.1 536,815.7 393,081.4 512,084.8 380,700.4 Banks 669,337.5 832,450.5 1,282,761.3 900,945.5 871,138.9 898,533.2 970,864.2 844,923.9 821,932.0 Others 1,083,326.5 1,204,264.0 2,468,050.3 2,113,693.1 2,206,784.5 2,200,372.7 2,252,351.7 144,193.0 168,835.9 225,080.9 192,900.4 203,035.7 208,812.9 220,572.5 214,985.1 630.5 710.3 1,169.8 1,792.4 1,077.1 1,116.8 1,309.7 1,222.2 1,109.0 Re-valuation Account 358,755.3 387,297.5 523,255.7 433,626.8 452,907.5 625,602.9 625,602.9 642,955.4 671,501.1 Other Liabilities 453,416.0 871,945.4 976,452.8 1,432,779.1 1,114,791.8 1,698,840.4 1,816,374.6 2,056,653.0 1,960,565.7 2,989,025.2 4,450,511.1 6,103,255.3 5,992,558.0 5,991,180.5 7,494,345.8 7,399,864.2 8,008,365.7 7,591,586.8 111.4 196.7 198.8 101.3 107.2 118.4 128.8 148.4 146.1 37.0 3.6 3.6 3.6 3.6 3.6 3.6 3.6 3.6 Allocation of Special Drawing rights Bills Payable Total Liabilities/Assets 2,301,549.2 2,305,009.3 217,160.9 A S S E T S Notes and Coins1 Bills Purchased and Discounted Internal Exports Sector Others Balance held outside Pakistan SDR held with IMF Govt. Debtor Balances (a) Loans and Advances to Scheduled Banks Agricultural Sector Industrial Sector Export Sector Housing Sector Others (b) Loans and Advances to Non-Bank Financial Comp. Agriculture Sector Industrial Sector 3.6 3.6 3.6 3.6 3.6 3.6 3.6 3.6 3.6 33.4 - - - - - - - - 271,214.7 1,279,444.4 905,746.1 911,645.3 876,909.6 1,446,393.4 1,455,699.7 12,606.0 33,654.4 21,308.4 23,266.7 19,221.4 972.8 1,027.5 1,484,919.7 1,638,558.5 65,138.9 16,980.5 7,279.2 34,242.4 26,080.8 24,029.9 23,649.5 27,765.8 28,023.5 29,106.1 28,540.0 335,148.9 423,356.9 563,998.1 540,236.9 550,553.1 664,735.2 700,616.1 722,589.7 745,446.4 1,216.6 1,059.8 1,282.8 1,126.7 1,122.3 1,624.6 1,749.3 1,813.1 1,880.1 79,195.9 113,523.9 150,079.1 141,632.0 146,930.3 173,684.4 182,018.9 184,856.1 188,602.8 238,383.0 292,469.4 386,889.4 380,747.1 385,759.5 476,380.1 503,784.5 522,813.6 533,635.2 - - - - - - - - - 16,353.3 16,303.7 25,746.8 16,731.1 16,740.9 13,046.1 13,063.4 13,106.9 21,328.3 8,250.2 9,940.1 11,742.5 11,347.5 11,453.2 12,243.1 12,929.5 13,041.6 13,888.9 420.9 363.7 279.9 300.0 284.9 220.0 218.2 213.9 214.4 13,449.4 7,829.3 9,576.5 11,462.5 11,047.4 11,168.3 12,016.5 12,704.5 12,821.2 Housing Sector - - - - - - - - - Others - - - - - 6.7 6.7 6.5 225.1 Other Loans and Advances (a+b) 343,399.1 433,297.0 575,740.6 551,584.3 562,006.3 676,978.4 713,545.6 735,631.3 759,335.3 Investments 350,187.9 447,386.6 3,075,510.9 3,663,106.1 2,863,989.3 3,448,754.2 3,113,112.8 Scheduled Banks 104,606.5 90,287.9 74,289.4 74,289.4 74,289.4 78,393.6 78,393.6 54,331.9 54,331.9 5,381.6 5,381.6 5,381.6 5,381.6 5,381.6 22,938.7 22,938.7 22,938.7 22,938.7 177,459.0 290,005.3 2,937,442.3 3,525,031.8 2,726,411.8 3,288,600.7 2,954,228.1 62,740.8 61,711.9 58,397.6 58,403.2 57,906.4 58,821.1 57,552.4 2,004,189.9 2,222,286.1 1,498,666.3 818,821.0 1,645,293.8 1,893,359.4 2,088,322.6 Non-Bank Financial Companies Govt. Securities Others Other Assets 1 Includes all coins of various denominations 2,856,602.0 2,124,324.8 2,721,485.6 1,989,192.0 57,845.9 57,862.2 2,836,815.6 3,023,698.0 Source: Finance Department SBP 19
  11. 2 .11 Scheduled Banks’ Consolidated Position Based on Weekly Position of Liabilities & Assets (All Banks) (Million Rupees) FINANCIAL POSITION FY17 FY18 2019 FY19 Feb Mar 1,349,450 186,038 612,681 8,178,723 6,897,850 7,361,622 463,772 417,591 52,835 715,125 18,410,293 1,966,692 1,269,221 1,436,568 1,313,026 195,992 150,163 179,579 215,711 717,249 1,292,773 826,868 980,631 7,624,217 6,230,162 7,299,989 8,725,394 7,608,678 7,376,334 7,534,182 7,690,426 8,096,771 7,859,964 8,021,991 8,212,064 488,093 483,631 487,809 521,639 468,981 447,548 466,281 558,957 59,834 54,749 58,641 56,659 943,951 720,320 815,735 856,231 19,585,594 17,541,271 18,617,843 20,397,034 1,393,722 220,241 870,922 9,296,980 7,734,856 8,259,017 524,161 556,339 53,132 898,422 21,024,615 1,244,493 1,390,850 189,960 195,683 1,284,549 716,715 9,793,575 10,382,024 7,670,370 7,805,895 8,216,614 8,356,599 546,244 550,704 570,668 566,868 59,090 60,784 838,848 920,352 21,651,552 22,039,172 201,124 2,654,899 11,980,697 46,910 35 35,556 446,232 15,365,453 230,357 3,014,680 13,062,787 79,460 20 22,070 577,934 16,987,306 299,737 243,553 273,332 232,611 2,412,023 1,840,866 2,565,151 2,604,182 14,458,307 13,148,866 13,459,780 14,815,095 108,670 112,563 112,563 126,595 1 1 2,247 22,591 22,209 22,225 37,649 803,227 677,592 734,138 881,983 18,104,555 16,045,650 17,167,190 18,700,362 213,863 2,826,543 15,126,310 126,593 2,187 40,342 917,020 19,252,858 600,184 223,911 3,544,327 3,351,457 14,475,797 15,480,920 132,450 127,764 2,181 2,192 48,096 47,077 922,405 935,542 19,725,440 20,168,862 NET ASSETS 1,437,574 1,422,987 1,481,039 1,495,621 1,450,653 1,696,672 1,771,756 1,926,111 1,870,310 REPRESENTED BY: Paid up Capital / Head Office Capital Account Reserves Un-appropriated / Un-remitted Profit Surplus/ (Deficit) on Revaluation of Assets TOTAL 651,359 199,217 392,033 194,964 1,437,574 525,796 285,610 440,846 170,736 1,422,987 546,922 340,060 480,816 113,241 1,481,039 542,021 331,707 471,463 150,430 1,495,621 543,344 333,356 460,323 113,630 1,450,653 553,485 333,977 595,116 214,094 1,696,672 555,747 341,131 586,171 288,708 1,771,756 555,047 349,646 575,543 445,875 1,926,112 555,567 351,805 581,232 381,706 1,870,310 ASSETS Cash & Balances with Treasury Banks Balances with other Banks Lending to Financial Institutions Investments Advances – Net of Provision Gross Advances Less: Provision for Non- Performing Advances Operating Fixed Assets Deferred Tax Assets Other Assets TOTAL ASSETS 1,122,866 185,623 503,760 8,166,143 5,719,604 6,176,306 456,701 345,652 47,428 711,952 16,803,027 LIABILITIES Bills Payable Borrowings Deposits and other Accounts Sub-ordinated Loans Liabilities Against Assets Subject to Finance Lease Deferred Tax Liabilities Other Liabilities TOTAL LIABILITIES Apr 2020 May Apr May Source: Off-Site Supervision & Enforcement Department SBP Note: Figures pertain to last week end of every month 2.12 Scheduled Banks' Liquidity Position (All Banks) FY17 FY18 2019 FY19 Mar Demand Liabilities 2020 Apr Jan Feb 12,928,902 11,452,706 11,453,350 12,286,764 12,324,836 Mar Apr 10,519,911 11,397,954 1,254,315 1,498,250 11,774,226 12,896,204 5,359,170 6,166,451 7,213,730 5,695,617 5,553,924 6,568,075 6,580,569 7,129,003 7,679,431 Cash 294,115 300,473 414,380 247,970 289,063 281,365 277,478 327,707 373,632 Balance with SBP 502,760 595,456 986,670 549,799 476,899 548,643 581,207 612,602 675,971 Balance with agents of SBP 178,083 252,778 278,359 51,397 52,341 73,257 62,162 52,743 53,984 4,365,694 4,986,751 5,486,577 4,802,683 4,691,607 5,617,655 5,616,504 6,091,836 6,530,594 18,288 30,963 47,744 43,769 44,014 47,155 43,218 44,115 45,248 230 30 - - - - - - - 2,449,848 2,646,420 2,996,069 2,654,000 2,653,659 2,840,516 2,847,595 2,923,639 2,946,467 2,909,323 3,520,031 4,217,661 3,041,617 2,900,266 3,727,559 3,732,974 4,205,364 4,732,963 Time Liabilities TOTAL (Demand & Time Liabilities) LIQUID ASSETS MAINTAINED IN PAKISTAN Un-encumbered approved Securities Foreign Banks Deposits with SBP under section13(3) of Banking Companies Ordinance Share Capital of MFB Minimum of Assets required to be held under Section 29 of the Banking Companies Ordinance Excess of Assets being held over the minimum required under Section 29 of the Banking Companies Ordinance 1,429,689 1,430,380 1,447,093 1,779,676 1,816,824 14,358,591 12,883,086 12,900,443 14,066,441 14,141,660 12,657,760 12,750,673 1,829,334 1,831,004 14,487,094 14,581,677 Source: Off-Site Supervision & Enforcement Department SBP MFB : Micro Finance Bank 20
  12. 2 .13 Financial Position of DFIs, MFBs & NBFCs (Million Rupees) Sep-18 ASSETS/ LIABILITIES 1. Currency and Deposits a. Currency b. Transferable Deposits c. Restricted Deposits d. Other Deposits 2. Investment in securities other than shares a. Short-term b. Long-term 3. Loans extended (Advances) a. Short-term b. Long-term 4. Investment in shares a. Quoted b. Non-quoted 5. Insurance Technical Reserve a. Life b. Non-life 6. Financial Derivatives 7. Other accounts receivable 8. Non-financial assets a. Produced assets i. Fixed assets ii . Inventories iii. Valuables iv. Other produced assets b. Non-produced assets i. Land ii. Other-non-produced assets Total Assets/ Liabilities 1. Deposits a. Restricted deposits b. Other deposits 2. Securities other than shares (bonds/debentures etc) a. Short-term b. long-term 3. Loans (Borrowings) a. Short-term b. Long-term 4. Financial Derivatives 5. Other accounts payable 6. Shares and other equity a. Quoted b. Non-quoted c. Retained earnings d. Current year result e. General & special reserves f. Valuation adjustments DFIs* NBFCs 6,013 252,494 Sep-19 MFIs 39,953 Total 298,460 DFIs* NBFCs 10,169 336,304 MFIs 45,150 Total 391,624 4 1,973 4,362 6,339 5 3,256 5,632 8,893 2,380 206,751 29,845 238,977 5,427 275,647 34,303 315,377 1,002 1,701 2,062 4,765 - 1,458 2,212 3,670 2,627 42,069 3,683 48,379 4,737 55,943 3,004 63,684 93,414 108,303 28,858 230,574 178,291 97,687 38,335 314,312 44,843 67,636 28,247 140,727 110,603 53,654 37,925 202,182 48,571 40,666 611 89,848 67,688 44,033 409 112,130 101,615 88,030 178,290 367,935 110,367 92,230 220,281 422,879 23,862 23,629 137,839 185,330 24,878 26,282 178,227 229,387 77,753 64,401 40,451 182,605 85,490 65,949 42,054 193,493 31,560 359,786 - 391,346 33,261 221,712 - 254,973 25,717 344,063 - 369,780 27,414 207,706 - 235,120 5,843 15,723 - 21,566 5,847 14,006 - 19,853 - 2 105 106 - - 211 211 - - 9 9 - - 10 10 - 2 95 97 - - 201 201 - 3 - 3 - (..) - (..) 16,448 37,949 21,737 76,135 18,107 37,439 33,253 88,799 4,964 30,116 14,662 49,742 5,901 31,080 30,953 67,934 4,817 24,775 14,375 43,967 5,753 25,676 30,237 61,666 4,649 23,201 11,791 39,641 5,558 23,632 26,635 55,825 - 612 - 612 - 628 - 628 - 273 - 273 - 582 - 582 168 689 2,584 3,440 195 834 3,603 4,632 148 5,342 286 5,776 148 5,404 716 6,268 148 1,178 152 1,478 148 1,518 152 1,818 - 4,163 134 4,297 - 3,886 564 4,450 254,015 876,682 283,605 1,414,301 356,096 816,453 368,183 1,540,732 12,639 29,580 204,910 247,129 9,021 29,792 242,182 280,995 360 16,648 7 17,015 290 17,901 7 18,198 12,279 12,932 204,903 230,114 8,732 11,890 242,175 262,797 - 1,537 1,000 2,537 - 1,531 6,031 7,562 - 574 - 574 - 583 - 583 - 962 1,000 1,962 - 949 6,031 6,979 102,218 44,317 14,327 160,862 200,557 49,556 22,239 272,352 69,880 10,016 2,708 82,604 128,925 9,379 4,472 142,776 32,338 34,300 11,619 78,257 71,632 40,177 17,767 129,576 - - - - - 1 - 1 34,643 65,567 25,277 125,486 36,654 73,029 52,130 161,812 104,514 735,682 38,091 878,288 109,864 662,544 45,602 818,010 - 406,697 2,500 409,197 - 354,642 3,440 358,081 69,032 264,942 21,008 354,981 69,622 269,337 21,736 360,695 22,482 56,930 5,709 85,122 24,381 28,203 5,732 58,316 2,643 1,842 4,184 8,669 2,801 5,035 153 7,989 13,232 7,598 4,685 25,515 14,927 8,144 14,578 37,648 (2,874) (2,327) 5 (5,196) (1,866) (2,816) (37) (4,719) Source: Statistics & Data Warehouse Department SBP * DFIs also includes HBFC & PMRCL data. DFIs Development Finance Institutions NBFCs Non Bank Financial Companies MFB Microfinance Banks 21
  13. 2 .14 Classification of Deposits with DFIs, MFBs & NBFCs (Million Rupees) SECTOR 1 Non-financial Corporations Jun-18 Sep-18 Dec-18 Mar-19 Jun-19 Sep-19 97,501 91,250 97,597 96,778 96,681 93,082 i Public 25,217 22,516 20,714 18,890 16,315 21,490 ii Private 72,284 68,734 76,883 77,888 80,367 71,591 25,803 22,673 30,068 25,289 30,655 27,754 3,171 3,774 6,141 7,452 7,456 9,329 12,038 9,799 14,974 11,186 15,703 13,139 3,825 1,775 2,554 3,016 3,831 2,658 22 24 25 27 25 26 6,746 7,303 6,373 3,607 3,640 2,601 2 Financial Corporations i Deposit money institutions ii Other deposit accepting institutions iii Financial intermediaries iv Financial auxiliaries v Insurance and pension funds 3 Central Government 4 Provincial Governments 5 Local Governments 6 Household 7 Non-profit Institutions (NPIs) Serving Households 624 614 614 1,266 1,116 614 1,953 1,682 1,853 2,252 2,844 3,034 281 5 71 70 64 64 120,534 119,453 136,909 137,046 136,210 138,979 17,468 8,659 11,451 14,141 14,367 16,824 8 Non-residents - - - - - - 9 Foreign Currency .. .. .. .. .. .. 255,355 247,129 281,252 277,069 284,394 280,995 Total Source: Statistics & Data Warehouse Department SBP 2.15 Classification of Loans Extended (Advances) by DFIs, MFBs & NBFCs (Million Rupees) Sep-18 SECTOR Depository* 1 Non-financial corporations i Public ii Private 2 Financial Corporations i Deposit money institutions Sep-19 NonDepository** Total Depository* NonDepository** Total 96,835 7,371 104,206 97,637 5,816 3,365 529 3,894 2,934 2,502 103,452 5,436 93,470 6,842 100,312 94,702 3,314 98,016 17,755 19,729 37,484 17,570 30,170 47,740 19,604 - - - 12,135 7,469 4,716 529 5,245 4,310 31 4,341 11,363 15 11,377 748 22,600 23,348 1,102 18,851 19,954 377 - 377 574 235 809 .. 70 70 3 Central Government .. 99 99 - - - 4 Provincial Governments - - - - - - 5 Local Governments - - - - - - 44,254 11,721 55,974 45,389 11,909 57,299 36 - 36 44 - 44 (199) ii Other deposit accepting institutions iii Financial intermediaries iv Financial auxiliaries v Insurance and pension funds 6 Household 7 Non-profit Institutions (NPIs) Serving Households 8 Non-Residents 9 Bills purchased and discounted (inland bills) 10 Other Advances and Financial Leases Total - - - - (199) 35 10 45 - 20 20 157,516 12,672 170,188 200,404 14,119 214,523 316,432 51,503 367,935 361,044 61,835 422,879 Source: Statistics & Data Warehouse Department SBP * This includes Depository NBFCs, DFIs and MFIs. ** This includes Non Depository NBFCs , PMRCL and HBFC. 22
  14. 2 .16 Classification of Investments in Securities and Shares by DFIs, MFBs & NBFCs SECURITIES Depository* A. Securities 1 Non-financial Corporations i Public ii Private Sep-18 NonDepository** Total Depository* (Million Rupees) Sep-19 NonTotal Depository** 138,894 91,681 230,574 215,578 98,734 314,312 7,066 21,621 28,687 12,222 23,602 35,825 119 6,442 6,561 3,550 6,438 9,989 6,947 15,179 22,126 8,672 17,164 25,836 32,165 34,929 67,094 28,604 29,114 57,718 i Deposit money institutions 14,151 11,908 26,059 20,483 10,587 31,070 ii Other deposit accepting institutions 13,743 4,113 17,856 6,639 4,841 11,480 4,271 18,909 23,180 1,482 13,685 15,168 iv Financial auxiliaries - - - - - - v Insurance and pension funds - - - - - - 99,664 35,130 134,794 174,752 46,018 220,770 4 Provincial Governments - - - - - - 5 Local Governments - - - - - - 6 Household - - - - - - 7 Non-profit institutions (NPIs) Serving Households - - - - - - 8 Non-Residents - - - - - - 2 Financial Corporations iii Financial intermediaries 3 Central Government 9 Foreign Currency - - - - - - 33,873 357,473 391,346 35,865 219,108 254,973 10,463 338,308 348,772 11,242 206,700 217,942 i Public 1,576 207,004 208,580 1,838 132,364 134,202 ii Private 8,887 131,305 140,192 9,404 74,336 83,740 22,488 18,963 41,451 23,554 12,095 35,649 14,145 2,426 16,571 15,567 1,886 17,453 ii Other deposit accepting institutions 1,351 6,637 7,988 1,356 1,863 3,220 iii Financial intermediaries 4,807 9,387 14,194 4,478 7,994 12,472 iv Financial auxiliaries 1,722 2 1,724 1,780 2 1,782 B. Shares 1 Non-financial Corporations 2 Financial Corporations i Deposit money institutions v Insurance and pension funds 462 512 974 373 349 722 3 Central Government - - - - - - 4 Provincial Governments - - - - - - 5 Local Governments - - - - - - 6 Household - - - - - - 7 Non-profit institutions (NPIs) Serving Households - - - - - - 923 201 1,124 1,069 314 1,383 172,767 449,153 621,921 251,443 317,842 569,286 8 Non-residents Total (A+B) Source: Statistics & Data Warehouse Department SBP * This includes Depository NBFCs, DFIs and MFIs. ** This includes Non Depository NBFCs, PMRCL and HBFC. 23