Belgium Credit Institutions: Securities Portfolio: by IFRS

Credit Institutions: Cons: Securities Portfolio: LP: Debt

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Debt data was reported at 125,002.000 EUR mn in Dec 2022. This records an increase from the previous number of 123,888.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Debt data is updated quarterly, averaging 186,713.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 328,262.000 EUR mn in Jun 2006 and a record low of 123,888.000 EUR mn in Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Debt data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
125,851.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: LP: Debt from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Amortized Cost

2018 - 2018 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Debt: Amortized Cost data was reported at 85,884.000 EUR mn in Jun 2018. This records a decrease from the previous number of 87,566.000 EUR mn for Mar 2018. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Amortized Cost data is updated quarterly, averaging 86,725.000 EUR mn from Mar 2018 to Jun 2018, with 2 observations. The data reached an all-time high of 87,566.000 EUR mn in Mar 2018 and a record low of 85,884.000 EUR mn in Jun 2018. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Amortized Cost data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
85,884.000 Jun 2018 quarterly Mar 2018 - Jun 2018

View Belgium's Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Amortized Cost from Mar 2018 to Jun 2018 in the chart:

Belgium Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Amortized Cost

Credit Institutions: Cons: Securities Portfolio: LP: Debt: Fair Value

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Debt: Fair Value data was reported at 0.000 EUR mn in Dec 2022. This stayed constant from the previous number of 0.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Fair Value data is updated quarterly, averaging 2,401.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 21,474.000 EUR mn in Dec 2006 and a record low of 0.000 EUR mn in Dec 2022. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Fair Value data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
0.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: LP: Debt: Fair Value from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Fair Value

Credit Institutions: Cons: Securities Portfolio: LP: Debt: Held for Trading

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Debt: Held for Trading data was reported at 2,121.000 EUR mn in Dec 2022. This records a decrease from the previous number of 2,834.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Held for Trading data is updated quarterly, averaging 7,959.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 69,533.000 EUR mn in Jun 2007 and a record low of 1,852.000 EUR mn in Dec 2018. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Held for Trading data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
3,487.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: LP: Debt: Held for Trading from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Held for Trading

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Non Trading: Fair Value

2018 - 2018 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Debt: Non Trading: Fair Value data was reported at 2,175.000 EUR mn in Jun 2018. This records a decrease from the previous number of 2,362.000 EUR mn for Mar 2018. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Non Trading: Fair Value data is updated quarterly, averaging 2,268.500 EUR mn from Mar 2018 to Jun 2018, with 2 observations. The data reached an all-time high of 2,362.000 EUR mn in Mar 2018 and a record low of 2,175.000 EUR mn in Jun 2018. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Non Trading: Fair Value data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
2,175.000 Jun 2018 quarterly Mar 2018 - Jun 2018

View Belgium's Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Non Trading: Fair Value from Mar 2018 to Jun 2018 in the chart:

Belgium Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Non Trading: Fair Value

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Other Comprehensive Income: Fair Value

2018 - 2018 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Debt: Other Comprehensive Income: Fair Value data was reported at 45,764.000 EUR mn in Jun 2018. This records a decrease from the previous number of 48,490.000 EUR mn for Mar 2018. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Other Comprehensive Income: Fair Value data is updated quarterly, averaging 47,127.000 EUR mn from Mar 2018 to Jun 2018, with 2 observations. The data reached an all-time high of 48,490.000 EUR mn in Mar 2018 and a record low of 45,764.000 EUR mn in Jun 2018. Credit Institutions: Cons: Securities Portfolio: LP: Debt: Other Comprehensive Income: Fair Value data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
45,764.000 Jun 2018 quarterly Mar 2018 - Jun 2018

View Belgium's Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Other Comprehensive Income: Fair Value from Mar 2018 to Jun 2018 in the chart:

Belgium Belgium Credit Institutions: Cons: Securities Portfolio: LP: Debt: Other Comprehensive Income: Fair Value

Credit Institutions: Cons: Securities Portfolio: LP: Equity

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Equity data was reported at 2,512.000 EUR mn in Dec 2022. This records an increase from the previous number of 2,274.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Equity data is updated quarterly, averaging 5,198.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 64,260.000 EUR mn in Jun 2007 and a record low of 2,274.000 EUR mn in Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Equity data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
2,576.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: LP: Equity from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity

Credit Institutions: Cons: Securities Portfolio: LP: Equity: Fair Value

2014 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Equity: Fair Value data was reported at 0.000 EUR mn in Dec 2022. This stayed constant from the previous number of 0.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Fair Value data is updated quarterly, averaging 0.000 EUR mn from Sep 2014 to Dec 2022, with 34 observations. The data reached an all-time high of 611.000 EUR mn in Sep 2014 and a record low of 0.000 EUR mn in Dec 2022. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Fair Value data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
0.000 Dec 2021 quarterly Sep 2014 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: LP: Equity: Fair Value from Sep 2014 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Fair Value

Credit Institutions: Cons: Securities Portfolio: LP: Equity: Held for Trading

2014 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Equity: Held for Trading data was reported at 1,025.000 EUR mn in Dec 2022. This records an increase from the previous number of 843.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Held for Trading data is updated quarterly, averaging 995.000 EUR mn from Sep 2014 to Dec 2022, with 34 observations. The data reached an all-time high of 3,908.000 EUR mn in Sep 2015 and a record low of 473.000 EUR mn in Jun 2016. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Held for Trading data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
993.000 Dec 2021 quarterly Sep 2014 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: LP: Equity: Held for Trading from Sep 2014 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Held for Trading

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Non Trading: Fair Value

2018 - 2018 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Equity: Non Trading: Fair Value data was reported at 841.000 EUR mn in Jun 2018. This records a decrease from the previous number of 1,322.000 EUR mn for Mar 2018. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Non Trading: Fair Value data is updated quarterly, averaging 1,081.500 EUR mn from Mar 2018 to Jun 2018, with 2 observations. The data reached an all-time high of 1,322.000 EUR mn in Mar 2018 and a record low of 841.000 EUR mn in Jun 2018. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Non Trading: Fair Value data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
841.000 Jun 2018 quarterly Mar 2018 - Jun 2018

View Belgium's Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Non Trading: Fair Value from Mar 2018 to Jun 2018 in the chart:

Belgium Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Non Trading: Fair Value

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Other Comprehensive Income: Fair Value

2018 - 2018 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Equity: Other Comprehensive Income: Fair Value data was reported at 2,415.000 EUR mn in Jun 2018. This records a decrease from the previous number of 2,488.000 EUR mn for Mar 2018. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Other Comprehensive Income: Fair Value data is updated quarterly, averaging 2,451.500 EUR mn from Mar 2018 to Jun 2018, with 2 observations. The data reached an all-time high of 2,488.000 EUR mn in Mar 2018 and a record low of 2,415.000 EUR mn in Jun 2018. Credit Institutions: Cons: Securities Portfolio: LP: Equity: Other Comprehensive Income: Fair Value data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
2,415.000 Jun 2018 quarterly Mar 2018 - Jun 2018

View Belgium's Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Other Comprehensive Income: Fair Value from Mar 2018 to Jun 2018 in the chart:

Belgium Belgium Credit Institutions: Cons: Securities Portfolio: LP: Equity: Other Comprehensive Income: Fair Value

Credit Institutions: Cons: Securities Portfolio: LP: Investments in Associates, Subsidiaries

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: LP: Investments in Associates, Subsidiaries data was reported at 7,889.000 EUR mn in Dec 2022. This records an increase from the previous number of 7,430.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: LP: Investments in Associates, Subsidiaries data is updated quarterly, averaging 4,322.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 29,792.000 EUR mn in Dec 2007 and a record low of 1,448.000 EUR mn in Mar 2009. Credit Institutions: Cons: Securities Portfolio: LP: Investments in Associates, Subsidiaries data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
8,538.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: LP: Investments in Associates, Subsidiaries from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: LP: Investments in Associates, Subsidiaries

Credit Institutions: Cons: Securities Portfolio: Short Positions

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: Short Positions data was reported at 1,797.000 EUR mn in Dec 2022. This records a decrease from the previous number of 2,239.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: Short Positions data is updated quarterly, averaging 2,446.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 88,573.000 EUR mn in Jun 2008 and a record low of 777.000 EUR mn in Sep 2018. Credit Institutions: Cons: Securities Portfolio: Short Positions data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
2,039.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: Short Positions from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: Short Positions

Credit Institutions: Cons: Securities Portfolio: Short Positions: Debt

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: Short Positions: Debt data was reported at 1,767.000 EUR mn in Dec 2022. This records a decrease from the previous number of 2,200.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: Short Positions: Debt data is updated quarterly, averaging 2,315.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 19,827.000 EUR mn in Jun 2007 and a record low of 752.000 EUR mn in Sep 2018. Credit Institutions: Cons: Securities Portfolio: Short Positions: Debt data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
1,996.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: Short Positions: Debt from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: Short Positions: Debt

Credit Institutions: Cons: Securities Portfolio: Short Positions: Equity

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Cons: Securities Portfolio: Short Positions: Equity data was reported at 31.000 EUR mn in Dec 2022. This records a decrease from the previous number of 39.000 EUR mn for Sep 2022. Credit Institutions: Cons: Securities Portfolio: Short Positions: Equity data is updated quarterly, averaging 53.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 72,592.000 EUR mn in Jun 2008 and a record low of 14.000 EUR mn in Dec 2017. Credit Institutions: Cons: Securities Portfolio: Short Positions: Equity data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
43.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Cons: Securities Portfolio: Short Positions: Equity from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Cons: Securities Portfolio: Short Positions: Equity

Credit Institutions: Consolidated (Cons): Securities Portfolio: Long Positions (LP)

2006 - 2021 | Quarterly | EUR mn | National Bank of Belgium

Credit Institutions: Consolidated (Cons): Securities Portfolio: Long Positions (LP) data was reported at 135,402.000 EUR mn in Dec 2022. This records an increase from the previous number of 133,593.000 EUR mn for Sep 2022. Credit Institutions: Consolidated (Cons): Securities Portfolio: Long Positions (LP) data is updated quarterly, averaging 198,004.000 EUR mn from Jun 2006 to Dec 2022, with 67 observations. The data reached an all-time high of 401,108.000 EUR mn in Jun 2008 and a record low of 133,593.000 EUR mn in Sep 2022. Credit Institutions: Consolidated (Cons): Securities Portfolio: Long Positions (LP) data remains active status in CEIC and is reported by National Bank of Belgium. The data is categorized under Global Database’s Belgium – Table BE.KB005: Credit Institutions: Securities Portfolio: by IFRS.

Last Frequency Range
136,964.000 Dec 2021 quarterly Jun 2006 - Dec 2021

View Belgium's Credit Institutions: Consolidated (Cons): Securities Portfolio: Long Positions (LP) from Jun 2006 to Dec 2021 in the chart:

Belgium Credit Institutions: Consolidated (Cons): Securities Portfolio: Long Positions (LP)
Credit Institutions: Cons: Securities Portfolio: LP: Debt
Credit Institutions: Cons: Securities Portfolio: LP: Debt: Amortized Cost
Credit Institutions: Cons: Securities Portfolio: LP: Debt: Fair Value
Credit Institutions: Cons: Securities Portfolio: LP: Debt: Held for Trading
Credit Institutions: Cons: Securities Portfolio: LP: Debt: Non Trading: Fair Value
Credit Institutions: Cons: Securities Portfolio: LP: Debt: Other Comprehensive Income: Fair Value
Credit Institutions: Cons: Securities Portfolio: LP: Equity
Credit Institutions: Cons: Securities Portfolio: LP: Equity: Fair Value
Credit Institutions: Cons: Securities Portfolio: LP: Equity: Held for Trading
Credit Institutions: Cons: Securities Portfolio: LP: Equity: Non Trading: Fair Value
Credit Institutions: Cons: Securities Portfolio: LP: Equity: Other Comprehensive Income: Fair Value
Credit Institutions: Cons: Securities Portfolio: LP: Investments in Associates, Subsidiaries
Credit Institutions: Cons: Securities Portfolio: Short Positions
Credit Institutions: Cons: Securities Portfolio: Short Positions: Debt
Credit Institutions: Cons: Securities Portfolio: Short Positions: Equity
Credit Institutions: Consolidated (Cons): Securities Portfolio: Long Positions (LP)
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