Bank of Lithuania

Financial assets and liabilities of households, including non-profit institutions serving households, by financial instrument and purpose.

Outstanding amounts at the end of the period – in EUR millions.

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Measurement units: Euro (millions)

sorting sorting Q1/2021 sorting Q2/2021 sorting Q3/2021 sorting Q4/2021 sorting Q1/2022 sorting Q2/2022 sorting Q3/2022 sorting Q4/2022 sorting Q1/2023
Financial assets 57,123.13 59,097.87 60,692.39 65,625.36 64,284.37 65,713.98 66,670.02 66,567.61 68,670.05
Currency and deposits 22,073.69 22,812.71 23,285.15 24,584.60 23,841.98 23,923.68 24,116.72 25,345.62 24,878.74
Currency 3,078.40 3,213.48 3,286.74 3,345.58 3,628.21 3,659.22 3,630.10 3,638.00 3,640.22
Transferable deposits 14,462.90 15,097.37 15,532.41 16,758.29 15,824.87 16,131.09 16,358.02 17,460.57 16,436.63
Other deposits 4,532.39 4,501.86 4,466.00 4,480.72 4,388.89 4,133.36 4,128.60 4,247.05 4,801.89
Saving certificates 37.32 26.57 15.46 7.38 2.31 1.60 1.60 1.17 0.57
Debt securities 453.14 375.66 372.16 279.20 304.49 338.59 380.71 451.53 646.76
Equity 19,903.95 20,405.70 20,739.78 24,466.76 23,345.99 25,091.46 25,316.95 24,577.83 25,896.40
Listed shares 939.80 1,066.19 1,113.06 1,206.86 1,124.16 1,029.41 1,042.12 1,068.10 1,154.33
Unlisted shares  18,551.20 18,916.80 19,197.08 22,798.54 21,734.00 23,565.12 23,763.66 22,988.12 24,242.68
Other equity  412.94 422.70 429.64 461.35 487.83 496.93 511.17 521.60 499.40
Money market fund (MMF) shares/units 0.02 0.02 0.02 0.00 0.00 0.00 0.00 0.00 0.00
Non-MMF investment fund shares/units 897.32 992.58 1,081.83 1,240.44 1,212.62 1,123.21 1,157.32 1,249.97 1,264.02
Equity fund 290.57 342.30 365.37 438.00 429.18 401.75 401.02 434.89 462.74
Bond fund 126.72 135.91 149.99 155.03 151.94 148.89 150.98 154.27 156.37
Real estate 192.34 200.23 214.65 244.04 239.67 218.80 229.98 250.70 249.97
Mixed fund 124.23 138.70 164.99 169.27 173.23 158.86 166.14 174.36 183.19
Other fund 163.46 175.45 186.82 234.11 218.59 194.91 209.20 235.75 211.74
Life insurance and annuity entitlements 1,125.70 1,164.56 1,173.41 1,206.69 1,186.43 1,117.31 1,139.80 1,119.83 1,170.35
Unit-linked 619.62 649.31 667.06 701.91 697.92 648.14 685.82 692.01 723.40
Non unit-linked   506.08 515.25 506.35 504.78 488.51 469.17 453.99 427.82 446.95
Pension entitlements 5,053.93 5,409.81 5,604.12 6,106.55 5,968.24 5,553.23 5,671.61 5,824.84 5,919.80
Defined contribution plans 5,053.93 5,409.81 5,604.12 6,106.55 5,968.24 5,553.23 5,671.61 5,824.84 5,919.80
Defined benefit plans 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Hybrid schemes 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Non-life insurance technical reserves 279.83 282.01 286.94 295.01 288.39 290.22 293.68 305.75 314.99
Other financial assets not elsewhere classified 7,335.54 7,654.83 8,148.97 7,446.10 8,136.23 8,276.29 8,593.23 7,692.25 8,578.99
Liabilities 13,505.76 14,307.75 14,140.63 14,957.47 15,554.13 16,382.45 16,727.34 17,174.61 16,519.18
Short-term loans (up to one year) 271.49 281.16 292.15 291.71 290.92 316.68 312.53 279.70 265.22
Consumer credit 221.00 226.28 240.49 218.77 228.96 240.37 254.22 242.35 225.89
Loans for other purposes 50.48 54.89 51.66 72.94 61.96 76.31 58.31 37.35 39.33
Long-term loans (more than one year) 11,865.70 12,288.06 12,630.79 12,934.96 13,377.74 13,789.57 14,257.75 14,414.07 14,603.81
Consumer credit 1,166.33 1,253.42 1,295.26 1,265.66 1,424.61 1,473.07 1,578.93 1,497.55 1,542.26
Loans for house purchase 9,376.81 9,665.14 9,925.22 10,209.33 10,512.23 10,829.96 11,163.67 11,456.85 11,611.37
Loans for other purposes 1,322.56 1,369.50 1,410.31 1,459.98 1,440.90 1,486.54 1,515.15 1,459.67 1,450.17
Other liabilities not elsewhere classified 1,368.58 1,738.53 1,217.69 1,730.79 1,885.47 2,276.20 2,157.05 2,480.83 1,650.15
Last update: 09-04-2018