Номер счета |
Входящие остатки |
Обороты за отчетный период |
Исходящие остатки |
по дебету |
по кредиту |
в рублях |
ин. вал., драг. металлы |
итого |
в рублях |
ин. вал., драг. металлы |
итого |
в рублях |
ин. вал., драг. металлы |
итого |
в рублях |
ин. вал., драг. металлы |
итого |
1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
13 |
А. Балансовые счета |
Актив |
20202 |
161 733 |
38 486 |
200 219
|
526 561 |
268 788 |
795 349
|
524 178 |
270 113 |
794 291
|
164 116 |
37 161 |
201 277
|
20209 |
0 |
0 |
0
|
283 619 |
10 922 |
294 541
|
283 619 |
10 922 |
294 541
|
0 |
0 |
0
|
30102 |
2 377 |
0 |
2 377
|
883 681 |
0 |
883 681
|
873 089 |
0 |
873 089
|
12 969 |
0 |
12 969
|
30110 |
45 125 |
2 478 |
47 603
|
3 009 065 |
2 368 |
3 011 433
|
3 054 005 |
2 298 |
3 056 303
|
185 |
2 548 |
2 733
|
30202 |
4 967 |
0 |
4 967
|
929 |
0 |
929
|
0 |
0 |
0
|
5 896 |
0 |
5 896
|
30204 |
491 |
0 |
491
|
0 |
0 |
0
|
6 |
0 |
6
|
485 |
0 |
485
|
30233 |
0 |
0 |
0
|
26 |
0 |
26
|
26 |
0 |
26
|
0 |
0 |
0
|
30424 |
1 391 |
0 |
1 391
|
819 |
0 |
819
|
825 |
0 |
825
|
1 385 |
0 |
1 385
|
31901 |
200 000 |
0 |
200 000
|
0 |
0 |
0
|
200 000 |
0 |
200 000
|
0 |
0 |
0
|
31902 |
0 |
0 |
0
|
2 255 000 |
0 |
2 255 000
|
2 255 000 |
0 |
2 255 000
|
0 |
0 |
0
|
31903 |
0 |
0 |
0
|
630 000 |
0 |
630 000
|
435 000 |
0 |
435 000
|
195 000 |
0 |
195 000
|
45205 |
4 800 |
0 |
4 800
|
0 |
0 |
0
|
200 |
0 |
200
|
4 600 |
0 |
4 600
|
45206 |
1 455 |
0 |
1 455
|
0 |
0 |
0
|
182 |
0 |
182
|
1 273 |
0 |
1 273
|
45505 |
13 000 |
0 |
13 000
|
0 |
0 |
0
|
0 |
0 |
0
|
13 000 |
0 |
13 000
|
45506 |
5 173 |
0 |
5 173
|
0 |
0 |
0
|
3 049 |
0 |
3 049
|
2 124 |
0 |
2 124
|
45507 |
43 048 |
0 |
43 048
|
0 |
0 |
0
|
194 |
0 |
194
|
42 854 |
0 |
42 854
|
45509 |
0 |
130 |
130
|
0 |
25 |
25
|
0 |
40 |
40
|
0 |
115 |
115
|
45815 |
4 300 |
831 |
5 131
|
0 |
181 |
181
|
0 |
157 |
157
|
4 300 |
855 |
5 155
|
45915 |
87 |
55 |
142
|
0 |
12 |
12
|
0 |
10 |
10
|
87 |
57 |
144
|
47408 |
0 |
0 |
0
|
0 |
9 485 |
9 485
|
0 |
9 485 |
9 485
|
0 |
0 |
0
|
47423 |
119 |
199 |
318
|
0 |
61 |
61
|
0 |
40 |
40
|
119 |
220 |
339
|
47427 |
55 |
8 |
63
|
2 516 |
4 |
2 520
|
2 464 |
2 |
2 466
|
107 |
10 |
117
|
60302 |
527 |
0 |
527
|
0 |
0 |
0
|
32 |
0 |
32
|
495 |
0 |
495
|
60308 |
0 |
0 |
0
|
60 |
0 |
60
|
52 |
0 |
52
|
8 |
0 |
8
|
60310 |
0 |
0 |
0
|
169 |
0 |
169
|
0 |
0 |
0
|
169 |
0 |
169
|
60312 |
1 472 |
0 |
1 472
|
3 504 |
0 |
3 504
|
2 150 |
0 |
2 150
|
2 826 |
0 |
2 826
|
60323 |
5 |
0 |
5
|
20 |
0 |
20
|
5 |
0 |
5
|
20 |
0 |
20
|
60401 |
64 274 |
0 |
64 274
|
0 |
0 |
0
|
0 |
0 |
0
|
64 274 |
0 |
64 274
|
60901 |
28 |
0 |
28
|
300 |
0 |
300
|
0 |
0 |
0
|
328 |
0 |
328
|
61002 |
0 |
0 |
0
|
6 |
0 |
6
|
0 |
0 |
0
|
6 |
0 |
6
|
61008 |
30 |
0 |
30
|
23 |
0 |
23
|
23 |
0 |
23
|
30 |
0 |
30
|
61009 |
2 327 |
0 |
2 327
|
27 |
0 |
27
|
7 |
0 |
7
|
2 347 |
0 |
2 347
|
61403 |
1 148 |
0 |
1 148
|
297 |
0 |
297
|
707 |
0 |
707
|
738 |
0 |
738
|
61702 |
76 |
0 |
76
|
0 |
0 |
0
|
0 |
0 |
0
|
76 |
0 |
76
|
70606 |
142 871 |
0 |
142 871
|
8 700 |
0 |
8 700
|
142 871 |
0 |
142 871
|
8 700 |
0 |
8 700
|
70608 |
91 056 |
0 |
91 056
|
9 587 |
0 |
9 587
|
91 056 |
0 |
91 056
|
9 587 |
0 |
9 587
|
70611 |
546 |
0 |
546
|
33 |
0 |
33
|
546 |
0 |
546
|
33 |
0 |
33
|
70616 |
91 |
0 |
91
|
0 |
0 |
0
|
91 |
0 |
91
|
0 |
0 |
0
|
70706 |
0 |
0 |
0
|
143 233 |
0 |
143 233
|
0 |
0 |
0
|
143 233 |
0 |
143 233
|
70708 |
0 |
0 |
0
|
91 056 |
0 |
91 056
|
0 |
0 |
0
|
91 056 |
0 |
91 056
|
70711 |
0 |
0 |
0
|
546 |
0 |
546
|
0 |
0 |
0
|
546 |
0 |
546
|
70716 |
0 |
0 |
0
|
91 |
0 |
91
|
0 |
0 |
0
|
91 |
0 |
91
|
Итого по активу (баланс) |
792 572 |
42 187 |
834 759
|
7 849 868 |
291 846 |
8 141 714
|
7 869 377 |
293 067 |
8 162 444
|
773 063 |
40 966 |
814 029
|
Пассив |
10208 |
281 330 |
0 |
281 330
|
0 |
0 |
0
|
0 |
0 |
0
|
281 330 |
0 |
281 330
|
10701 |
42 040 |
0 |
42 040
|
0 |
0 |
0
|
0 |
0 |
0
|
42 040 |
0 |
42 040
|
30232 |
0 |
0 |
0
|
137 |
0 |
137
|
137 |
0 |
137
|
0 |
0 |
0
|
407 |
178 950 |
164 |
179 114
|
740 236 |
164 |
740 400
|
688 037 |
0 |
688 037
|
126 751 |
0 |
126 751
|
408.1 |
5 673 |
0 |
5 673
|
3 646 |
0 |
3 646
|
2 986 |
0 |
2 986
|
5 013 |
0 |
5 013
|
408.2 |
17 904 |
11 680 |
29 584
|
12 006 |
5 159 |
17 165
|
10 713 |
4 554 |
15 267
|
16 611 |
11 075 |
27 686
|
40911 |
0 |
0 |
0
|
100 |
0 |
100
|
100 |
0 |
100
|
0 |
0 |
0
|
42309 |
1 812 |
157 |
1 969
|
0 |
29 |
29
|
30 |
33 |
63
|
1 842 |
161 |
2 003
|
42609 |
2 |
5 |
7
|
0 |
1 |
1
|
0 |
1 |
1
|
2 |
5 |
7
|
45215 |
1 303 |
0 |
1 303
|
115 |
0 |
115
|
0 |
0 |
0
|
1 188 |
0 |
1 188
|
45515 |
4 701 |
0 |
4 701
|
3 225 |
0 |
3 225
|
27 |
0 |
27
|
1 503 |
0 |
1 503
|
45818 |
5 131 |
0 |
5 131
|
157 |
0 |
157
|
181 |
0 |
181
|
5 155 |
0 |
5 155
|
45918 |
142 |
0 |
142
|
10 |
0 |
10
|
12 |
0 |
12
|
144 |
0 |
144
|
47405 |
0 |
0 |
0
|
0 |
164 |
164
|
0 |
164 |
164
|
0 |
0 |
0
|
47407 |
0 |
0 |
0
|
8 817 |
645 |
9 462
|
8 817 |
645 |
9 462
|
0 |
0 |
0
|
47416 |
80 |
0 |
80
|
1 554 |
0 |
1 554
|
1 482 |
0 |
1 482
|
8 |
0 |
8
|
47422 |
0 |
0 |
0
|
1 209 |
1 246 |
2 455
|
1 446 |
1 246 |
2 692
|
237 |
0 |
237
|
47425 |
334 |
0 |
334
|
96 |
0 |
96
|
120 |
0 |
120
|
358 |
0 |
358
|
52303 |
0 |
0 |
0
|
0 |
0 |
0
|
10 000 |
0 |
10 000
|
10 000 |
0 |
10 000
|
52501 |
0 |
0 |
0
|
0 |
0 |
0
|
21 |
0 |
21
|
21 |
0 |
21
|
60301 |
0 |
0 |
0
|
41 |
0 |
41
|
411 |
0 |
411
|
370 |
0 |
370
|
60305 |
447 |
0 |
447
|
685 |
0 |
685
|
2 867 |
0 |
2 867
|
2 629 |
0 |
2 629
|
60309 |
32 |
0 |
32
|
32 |
0 |
32
|
38 |
0 |
38
|
38 |
0 |
38
|
60311 |
36 |
0 |
36
|
483 |
0 |
483
|
447 |
0 |
447
|
0 |
0 |
0
|
60322 |
0 |
0 |
0
|
19 |
0 |
19
|
26 |
0 |
26
|
7 |
0 |
7
|
60324 |
1 |
0 |
1
|
9 |
0 |
9
|
182 |
0 |
182
|
174 |
0 |
174
|
60335 |
0 |
0 |
0
|
45 |
0 |
45
|
856 |
0 |
856
|
811 |
0 |
811
|
60414 |
0 |
0 |
0
|
0 |
0 |
0
|
46 614 |
0 |
46 614
|
46 614 |
0 |
46 614
|
60601 |
45 766 |
0 |
45 766
|
45 766 |
0 |
45 766
|
0 |
0 |
0
|
0 |
0 |
0
|
60903 |
13 |
0 |
13
|
0 |
0 |
0
|
3 |
0 |
3
|
16 |
0 |
16
|
61304 |
144 |
0 |
144
|
144 |
0 |
144
|
0 |
0 |
0
|
0 |
0 |
0
|
70601 |
138 520 |
0 |
138 520
|
138 520 |
0 |
138 520
|
12 653 |
0 |
12 653
|
12 653 |
0 |
12 653
|
70603 |
98 392 |
0 |
98 392
|
98 392 |
0 |
98 392
|
10 244 |
0 |
10 244
|
10 244 |
0 |
10 244
|
70701 |
0 |
0 |
0
|
0 |
0 |
0
|
138 637 |
0 |
138 637
|
138 637 |
0 |
138 637
|
70703 |
0 |
0 |
0
|
0 |
0 |
0
|
98 392 |
0 |
98 392
|
98 392 |
0 |
98 392
|
Итого по пассиву (баланс) |
822 753 |
12 006 |
834 759
|
1 055 444 |
7 408 |
1 062 852
|
1 035 479 |
6 643 |
1 042 122
|
802 788 |
11 241 |
814 029
|
В. Внебалансовые счета |
Актив |
90901 |
471 |
0 |
471
|
30 |
0 |
30
|
137 |
0 |
137
|
364 |
0 |
364
|
90902 |
4 553 |
0 |
4 553
|
23 |
0 |
23
|
13 |
0 |
13
|
4 563 |
0 |
4 563
|
91207 |
1 |
0 |
1
|
0 |
0 |
0
|
0 |
0 |
0
|
1 |
0 |
1
|
91414 |
2 196 |
0 |
2 196
|
0 |
0 |
0
|
0 |
0 |
0
|
2 196 |
0 |
2 196
|
91501 |
58 323 |
0 |
58 323
|
0 |
0 |
0
|
0 |
0 |
0
|
58 323 |
0 |
58 323
|
91604 |
1 150 |
99 |
1 249
|
0 |
33 |
33
|
0 |
20 |
20
|
1 150 |
112 |
1 262
|
91803 |
10 |
0 |
10
|
0 |
1 |
1
|
0 |
0 |
0
|
10 |
1 |
11
|
99998 |
80 547 |
0 |
80 547
|
13 666 |
0 |
13 666
|
12 853 |
0 |
12 853
|
81 360 |
0 |
81 360
|
Итого по активу (баланс) |
147 251 |
99 |
147 350
|
13 719 |
34 |
13 753
|
13 003 |
20 |
13 023
|
147 967 |
113 |
148 080
|
Пассив |
91003 |
0 |
0 |
0
|
923 |
0 |
923
|
923 |
0 |
923
|
0 |
0 |
0
|
91312 |
39 454 |
0 |
39 454
|
0 |
0 |
0
|
1 965 |
0 |
1 965
|
41 419 |
0 |
41 419
|
91317 |
0 |
573 |
573
|
0 |
680 |
680
|
0 |
961 |
961
|
0 |
854 |
854
|
91507 |
40 520 |
0 |
40 520
|
11 250 |
0 |
11 250
|
9 817 |
0 |
9 817
|
39 087 |
0 |
39 087
|
99999 |
66 803 |
0 |
66 803
|
169 |
0 |
169
|
86 |
0 |
86
|
66 720 |
0 |
66 720
|
Итого по пассиву (баланс) |
146 777 |
573 |
147 350
|
12 342 |
680 |
13 022
|
12 791 |
961 |
13 752
|
147 226 |
854 |
148 080
|
Г. Счета по учету требований и обязательств по производным финансовым инструментам и прочим договорам (сделкам), по которым расчеты и поставка осуществляются не ранее следующего дня после дня заключения договора (сделки) |
Актив |
93901 |
0 |
797 |
797
|
0 |
0 |
0
|
0 |
797 |
797
|
0 |
0 |
0
|
99996 |
802 |
0 |
802
|
0 |
0 |
0
|
802 |
0 |
802
|
0 |
0 |
0
|
Итого по активу (баланс) |
802 |
797 |
1 599
|
0 |
0 |
0
|
802 |
797 |
1 599
|
0 |
0 |
0
|
Пассив |
96901 |
802 |
0 |
802
|
802 |
0 |
802
|
0 |
0 |
0
|
0 |
0 |
0
|
99997 |
797 |
0 |
797
|
797 |
0 |
797
|
0 |
0 |
0
|
0 |
0 |
0
|
Итого по пассиву (баланс) |
1 599 |
0 |
1 599
|
1 599 |
0 |
1 599
|
0 |
0 |
0
|
0 |
0 |
0
|