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 |
17 682 |
3 276 |
20 958
|
128 263 |
18 541 |
146 804
|
128 219 |
18 924 |
147 143
|
17 726 |
2 893 |
20 619
|
20209 |
0 |
0 |
0
|
39 050 |
0 |
39 050
|
39 050 |
0 |
39 050
|
0 |
0 |
0
|
30102 |
121 396 |
0 |
121 396
|
6 321 772 |
0 |
6 321 772
|
6 429 811 |
0 |
6 429 811
|
13 357 |
0 |
13 357
|
30110 |
4 351 |
305 528 |
309 879
|
2 381 |
94 005 |
96 386
|
2 896 |
67 456 |
70 352
|
3 836 |
332 077 |
335 913
|
30202 |
28 980 |
0 |
28 980
|
2 739 |
0 |
2 739
|
0 |
0 |
0
|
31 719 |
0 |
31 719
|
30204 |
23 866 |
0 |
23 866
|
0 |
0 |
0
|
2 293 |
0 |
2 293
|
21 573 |
0 |
21 573
|
30221 |
0 |
0 |
0
|
0 |
174 |
174
|
0 |
174 |
174
|
0 |
0 |
0
|
30233 |
26 |
0 |
26
|
5 529 |
2 231 |
7 760
|
4 329 |
2 210 |
6 539
|
1 226 |
21 |
1 247
|
30302 |
0 |
0 |
0
|
84 974 |
438 |
85 412
|
84 974 |
438 |
85 412
|
0 |
0 |
0
|
30306 |
105 188 |
54 945 |
160 133
|
259 440 |
5 013 |
264 453
|
252 921 |
1 551 |
254 472
|
111 707 |
58 407 |
170 114
|
30424 |
617 |
0 |
617
|
3 708 |
0 |
3 708
|
3 036 |
0 |
3 036
|
1 289 |
0 |
1 289
|
30602 |
10 |
0 |
10
|
0 |
0 |
0
|
0 |
0 |
0
|
10 |
0 |
10
|
32002 |
0 |
0 |
0
|
4 480 000 |
0 |
4 480 000
|
4 480 000 |
0 |
4 480 000
|
0 |
0 |
0
|
32003 |
0 |
0 |
0
|
1 410 000 |
0 |
1 410 000
|
1 000 000 |
0 |
1 000 000
|
410 000 |
0 |
410 000
|
32004 |
230 000 |
0 |
230 000
|
0 |
0 |
0
|
230 000 |
0 |
230 000
|
0 |
0 |
0
|
45201 |
8 884 |
0 |
8 884
|
12 906 |
0 |
12 906
|
12 947 |
0 |
12 947
|
8 843 |
0 |
8 843
|
45204 |
2 806 |
0 |
2 806
|
7 208 |
0 |
7 208
|
2 806 |
0 |
2 806
|
7 208 |
0 |
7 208
|
45205 |
7 775 |
0 |
7 775
|
7 050 |
0 |
7 050
|
1 098 |
0 |
1 098
|
13 727 |
0 |
13 727
|
45206 |
76 580 |
1 800 |
78 380
|
2 000 |
156 |
2 156
|
7 930 |
17 |
7 947
|
70 650 |
1 939 |
72 589
|
45207 |
344 748 |
125 862 |
470 610
|
23 650 |
10 262 |
33 912
|
9 901 |
990 |
10 891
|
358 497 |
135 134 |
493 631
|
45208 |
305 965 |
16 365 |
322 330
|
0 |
1 409 |
1 409
|
342 |
152 |
494
|
305 623 |
17 622 |
323 245
|
45407 |
25 000 |
19 310 |
44 310
|
0 |
1 663 |
1 663
|
0 |
178 |
178
|
25 000 |
20 795 |
45 795
|
45504 |
50 |
0 |
50
|
0 |
0 |
0
|
0 |
0 |
0
|
50 |
0 |
50
|
45505 |
399 |
0 |
399
|
0 |
0 |
0
|
26 |
0 |
26
|
373 |
0 |
373
|
45506 |
36 971 |
4 686 |
41 657
|
0 |
354 |
354
|
386 |
28 |
414
|
36 585 |
5 012 |
41 597
|
45507 |
182 965 |
27 098 |
210 063
|
0 |
2 065 |
2 065
|
443 |
169 |
612
|
182 522 |
28 994 |
211 516
|
45509 |
3 |
0 |
3
|
21 |
0 |
21
|
24 |
0 |
24
|
0 |
0 |
0
|
45815 |
0 |
0 |
0
|
69 |
0 |
69
|
0 |
0 |
0
|
69 |
0 |
69
|
45915 |
0 |
0 |
0
|
14 |
0 |
14
|
0 |
0 |
0
|
14 |
0 |
14
|
47101 |
5 |
0 |
5
|
0 |
0 |
0
|
0 |
0 |
0
|
5 |
0 |
5
|
47404 |
0 |
0 |
0
|
0 |
2 323 |
2 323
|
0 |
2 323 |
2 323
|
0 |
0 |
0
|
47408 |
0 |
0 |
0
|
181 081 |
193 706 |
374 787
|
181 081 |
193 706 |
374 787
|
0 |
0 |
0
|
47423 |
81 |
0 |
81
|
7 |
15 301 |
15 308
|
6 |
15 301 |
15 307
|
82 |
0 |
82
|
47427 |
2 151 |
146 |
2 297
|
10 864 |
1 348 |
12 212
|
9 516 |
1 065 |
10 581
|
3 499 |
429 |
3 928
|
50605 |
125 |
0 |
125
|
0 |
0 |
0
|
0 |
0 |
0
|
125 |
0 |
125
|
50606 |
128 |
0 |
128
|
0 |
0 |
0
|
0 |
0 |
0
|
128 |
0 |
128
|
50621 |
31 |
0 |
31
|
0 |
0 |
0
|
6 |
0 |
6
|
25 |
0 |
25
|
50706 |
1 200 |
0 |
1 200
|
0 |
0 |
0
|
0 |
0 |
0
|
1 200 |
0 |
1 200
|
51506 |
34 797 |
0 |
34 797
|
218 |
0 |
218
|
0 |
0 |
0
|
35 015 |
0 |
35 015
|
60302 |
53 |
0 |
53
|
43 |
0 |
43
|
40 |
0 |
40
|
56 |
0 |
56
|
60306 |
0 |
0 |
0
|
433 |
0 |
433
|
433 |
0 |
433
|
0 |
0 |
0
|
60308 |
0 |
0 |
0
|
145 |
0 |
145
|
145 |
0 |
145
|
0 |
0 |
0
|
60310 |
0 |
0 |
0
|
160 |
0 |
160
|
160 |
0 |
160
|
0 |
0 |
0
|
60312 |
2 331 |
0 |
2 331
|
10 652 |
0 |
10 652
|
10 627 |
0 |
10 627
|
2 356 |
0 |
2 356
|
60323 |
88 |
0 |
88
|
0 |
0 |
0
|
0 |
0 |
0
|
88 |
0 |
88
|
60401 |
99 248 |
0 |
99 248
|
0 |
0 |
0
|
0 |
0 |
0
|
99 248 |
0 |
99 248
|
60901 |
31 |
0 |
31
|
0 |
0 |
0
|
0 |
0 |
0
|
31 |
0 |
31
|
61002 |
0 |
0 |
0
|
16 |
0 |
16
|
16 |
0 |
16
|
0 |
0 |
0
|
61008 |
39 |
0 |
39
|
186 |
0 |
186
|
188 |
0 |
188
|
37 |
0 |
37
|
61009 |
0 |
0 |
0
|
162 |
0 |
162
|
162 |
0 |
162
|
0 |
0 |
0
|
61403 |
8 214 |
0 |
8 214
|
115 |
0 |
115
|
161 |
0 |
161
|
8 168 |
0 |
8 168
|
70606 |
247 000 |
0 |
247 000
|
19 287 |
0 |
19 287
|
247 001 |
0 |
247 001
|
19 286 |
0 |
19 286
|
70607 |
67 |
0 |
67
|
11 |
0 |
11
|
67 |
0 |
67
|
11 |
0 |
11
|
70608 |
305 606 |
0 |
305 606
|
50 312 |
0 |
50 312
|
305 606 |
0 |
305 606
|
50 312 |
0 |
50 312
|
70611 |
1 796 |
0 |
1 796
|
242 |
0 |
242
|
1 796 |
0 |
1 796
|
242 |
0 |
242
|
70706 |
0 |
0 |
0
|
248 235 |
0 |
248 235
|
39 |
0 |
39
|
248 196 |
0 |
248 196
|
70707 |
0 |
0 |
0
|
67 |
0 |
67
|
0 |
0 |
0
|
67 |
0 |
67
|
70708 |
0 |
0 |
0
|
305 606 |
0 |
305 606
|
0 |
0 |
0
|
305 606 |
0 |
305 606
|
70711 |
0 |
0 |
0
|
1 799 |
0 |
1 799
|
3 |
0 |
3
|
1 796 |
0 |
1 796
|
Итого по активу (баланс) |
2 227 253 |
559 016 |
2 786 269
|
13 620 415 |
348 989 |
13 969 404
|
13 450 485 |
304 682 |
13 755 167
|
2 397 183 |
603 323 |
3 000 506
|
Пассив |
10207 |
227 000 |
0 |
227 000
|
0 |
0 |
0
|
0 |
0 |
0
|
227 000 |
0 |
227 000
|
10601 |
61 086 |
0 |
61 086
|
0 |
0 |
0
|
0 |
0 |
0
|
61 086 |
0 |
61 086
|
10701 |
75 944 |
0 |
75 944
|
0 |
0 |
0
|
0 |
0 |
0
|
75 944 |
0 |
75 944
|
10801 |
26 804 |
0 |
26 804
|
0 |
0 |
0
|
0 |
0 |
0
|
26 804 |
0 |
26 804
|
30126 |
1 805 |
0 |
1 805
|
0 |
0 |
0
|
0 |
0 |
0
|
1 805 |
0 |
1 805
|
30232 |
112 |
9 |
121
|
1 241 |
821 |
2 062
|
1 129 |
832 |
1 961
|
0 |
20 |
20
|
30236 |
0 |
0 |
0
|
1 962 |
0 |
1 962
|
1 962 |
0 |
1 962
|
0 |
0 |
0
|
30301 |
0 |
0 |
0
|
84 974 |
438 |
85 412
|
84 974 |
438 |
85 412
|
0 |
0 |
0
|
30305 |
105 188 |
54 945 |
160 133
|
252 921 |
1 551 |
254 472
|
259 440 |
5 013 |
264 453
|
111 707 |
58 407 |
170 114
|
40702 |
391 814 |
2 259 |
394 073
|
689 189 |
43 635 |
732 824
|
654 329 |
43 507 |
697 836
|
356 954 |
2 131 |
359 085
|
40703 |
1 |
0 |
1
|
7 |
0 |
7
|
7 |
0 |
7
|
1 |
0 |
1
|
40802 |
5 549 |
0 |
5 549
|
14 602 |
106 |
14 708
|
17 063 |
106 |
17 169
|
8 010 |
0 |
8 010
|
40807 |
149 |
255 |
404
|
11 169 |
11 137 |
22 306
|
11 030 |
11 156 |
22 186
|
10 |
274 |
284
|
40817 |
26 142 |
5 043 |
31 185
|
171 873 |
15 148 |
187 021
|
159 653 |
14 049 |
173 702
|
13 922 |
3 944 |
17 866
|
40905 |
42 |
0 |
42
|
239 |
0 |
239
|
239 |
0 |
239
|
42 |
0 |
42
|
40909 |
0 |
0 |
0
|
54 |
46 |
100
|
54 |
46 |
100
|
0 |
0 |
0
|
40910 |
0 |
0 |
0
|
63 |
14 |
77
|
63 |
14 |
77
|
0 |
0 |
0
|
40911 |
0 |
0 |
0
|
38 825 |
0 |
38 825
|
38 825 |
0 |
38 825
|
0 |
0 |
0
|
40912 |
0 |
0 |
0
|
19 |
355 |
374
|
19 |
355 |
374
|
0 |
0 |
0
|
40913 |
0 |
0 |
0
|
88 |
100 |
188
|
88 |
100 |
188
|
0 |
0 |
0
|
42101 |
230 |
0 |
230
|
0 |
0 |
0
|
0 |
0 |
0
|
230 |
0 |
230
|
42103 |
14 200 |
261 834 |
276 034
|
0 |
2 419 |
2 419
|
0 |
22 543 |
22 543
|
14 200 |
281 958 |
296 158
|
42106 |
45 300 |
0 |
45 300
|
0 |
0 |
0
|
0 |
0 |
0
|
45 300 |
0 |
45 300
|
42107 |
59 000 |
0 |
59 000
|
0 |
0 |
0
|
0 |
0 |
0
|
59 000 |
0 |
59 000
|
42301 |
443 |
17 |
460
|
168 |
0 |
168
|
221 |
45 |
266
|
496 |
62 |
558
|
42304 |
800 |
0 |
800
|
800 |
0 |
800
|
700 |
0 |
700
|
700 |
0 |
700
|
42305 |
2 853 |
0 |
2 853
|
0 |
0 |
0
|
37 |
0 |
37
|
2 890 |
0 |
2 890
|
42306 |
393 780 |
224 756 |
618 536
|
10 125 |
18 484 |
28 609
|
99 651 |
29 116 |
128 767
|
483 306 |
235 388 |
718 694
|
42307 |
69 056 |
0 |
69 056
|
0 |
0 |
0
|
226 |
0 |
226
|
69 282 |
0 |
69 282
|
42309 |
54 |
0 |
54
|
3 |
0 |
3
|
3 |
0 |
3
|
54 |
0 |
54
|
45215 |
10 863 |
0 |
10 863
|
854 |
0 |
854
|
1 249 |
0 |
1 249
|
11 258 |
0 |
11 258
|
45515 |
729 |
0 |
729
|
2 |
0 |
2
|
12 |
0 |
12
|
739 |
0 |
739
|
45818 |
0 |
0 |
0
|
0 |
0 |
0
|
1 |
0 |
1
|
1 |
0 |
1
|
47108 |
5 |
0 |
5
|
0 |
0 |
0
|
0 |
0 |
0
|
5 |
0 |
5
|
47407 |
0 |
0 |
0
|
194 505 |
180 461 |
374 966
|
194 505 |
180 461 |
374 966
|
0 |
0 |
0
|
47411 |
829 |
484 |
1 313
|
4 679 |
830 |
5 509
|
4 795 |
1 018 |
5 813
|
945 |
672 |
1 617
|
47416 |
0 |
0 |
0
|
2 611 |
0 |
2 611
|
2 683 |
0 |
2 683
|
72 |
0 |
72
|
47422 |
5 |
0 |
5
|
74 |
413 |
487
|
78 |
413 |
491
|
9 |
0 |
9
|
47425 |
933 |
0 |
933
|
455 |
0 |
455
|
431 |
0 |
431
|
909 |
0 |
909
|
47426 |
381 |
0 |
381
|
360 |
0 |
360
|
418 |
108 |
526
|
439 |
108 |
547
|
50620 |
8 |
0 |
8
|
3 |
0 |
3
|
5 |
0 |
5
|
10 |
0 |
10
|
50908 |
138 |
0 |
138
|
6 |
0 |
6
|
2 |
0 |
2
|
134 |
0 |
134
|
52305 |
135 000 |
0 |
135 000
|
0 |
0 |
0
|
60 000 |
0 |
60 000
|
195 000 |
0 |
195 000
|
52501 |
333 |
0 |
333
|
0 |
0 |
0
|
717 |
0 |
717
|
1 050 |
0 |
1 050
|
60301 |
479 |
0 |
479
|
1 535 |
0 |
1 535
|
1 483 |
0 |
1 483
|
427 |
0 |
427
|
60305 |
0 |
0 |
0
|
2 897 |
0 |
2 897
|
2 897 |
0 |
2 897
|
0 |
0 |
0
|
60309 |
0 |
0 |
0
|
0 |
0 |
0
|
12 |
0 |
12
|
12 |
0 |
12
|
60311 |
0 |
0 |
0
|
261 |
0 |
261
|
261 |
0 |
261
|
0 |
0 |
0
|
60320 |
31 |
0 |
31
|
0 |
0 |
0
|
0 |
0 |
0
|
31 |
0 |
31
|
60322 |
0 |
0 |
0
|
856 |
0 |
856
|
856 |
0 |
856
|
0 |
0 |
0
|
60324 |
88 |
0 |
88
|
0 |
0 |
0
|
0 |
0 |
0
|
88 |
0 |
88
|
60601 |
19 062 |
0 |
19 062
|
0 |
0 |
0
|
184 |
0 |
184
|
19 246 |
0 |
19 246
|
60903 |
31 |
0 |
31
|
0 |
0 |
0
|
0 |
0 |
0
|
31 |
0 |
31
|
61301 |
0 |
0 |
0
|
1 473 |
0 |
1 473
|
1 482 |
0 |
1 482
|
9 |
0 |
9
|
61304 |
30 |
0 |
30
|
5 |
0 |
5
|
6 |
0 |
6
|
31 |
0 |
31
|
70601 |
255 858 |
0 |
255 858
|
255 858 |
0 |
255 858
|
16 830 |
0 |
16 830
|
16 830 |
0 |
16 830
|
70602 |
67 |
0 |
67
|
67 |
0 |
67
|
3 |
0 |
3
|
3 |
0 |
3
|
70603 |
304 445 |
0 |
304 445
|
304 445 |
0 |
304 445
|
51 121 |
0 |
51 121
|
51 121 |
0 |
51 121
|
70701 |
0 |
0 |
0
|
0 |
0 |
0
|
255 887 |
0 |
255 887
|
255 887 |
0 |
255 887
|
70702 |
0 |
0 |
0
|
0 |
0 |
0
|
67 |
0 |
67
|
67 |
0 |
67
|
70703 |
0 |
0 |
0
|
0 |
0 |
0
|
304 445 |
0 |
304 445
|
304 445 |
0 |
304 445
|
Итого по пассиву (баланс) |
2 236 667 |
549 602 |
2 786 269
|
2 049 268 |
275 958 |
2 325 226
|
2 230 143 |
309 320 |
2 539 463
|
2 417 542 |
582 964 |
3 000 506
|
Б. Счета доверительного управления |
Актив |
80201 |
93 |
0 |
93
|
1 |
0 |
1
|
3 |
0 |
3
|
91 |
0 |
91
|
80601 |
6 |
0 |
6
|
0 |
0 |
0
|
0 |
0 |
0
|
6 |
0 |
6
|
80901 |
0 |
0 |
0
|
3 |
0 |
3
|
0 |
0 |
0
|
3 |
0 |
3
|
81001 |
1 |
0 |
1
|
0 |
0 |
0
|
0 |
0 |
0
|
1 |
0 |
1
|
Итого по активу (баланс) |
100 |
0 |
100
|
4 |
0 |
4
|
3 |
0 |
3
|
101 |
0 |
101
|
Пассив |
85101 |
100 |
0 |
100
|
0 |
0 |
0
|
0 |
0 |
0
|
100 |
0 |
100
|
85401 |
0 |
0 |
0
|
0 |
0 |
0
|
1 |
0 |
1
|
1 |
0 |
1
|
Итого по пассиву (баланс) |
100 |
0 |
100
|
0 |
0 |
0
|
1 |
0 |
1
|
101 |
0 |
101
|
В. Внебалансовые счета |
Актив |
90901 |
36 256 |
0 |
36 256
|
543 |
0 |
543
|
5 472 |
0 |
5 472
|
31 327 |
0 |
31 327
|
90902 |
31 338 |
0 |
31 338
|
795 |
0 |
795
|
376 |
0 |
376
|
31 757 |
0 |
31 757
|
91202 |
135 002 |
0 |
135 002
|
60 000 |
0 |
60 000
|
64 999 |
0 |
64 999
|
130 003 |
0 |
130 003
|
91414 |
115 549 |
0 |
115 549
|
0 |
0 |
0
|
0 |
0 |
0
|
115 549 |
0 |
115 549
|
99998 |
1 431 707 |
0 |
1 431 707
|
46 009 |
0 |
46 009
|
73 237 |
0 |
73 237
|
1 404 479 |
0 |
1 404 479
|
Итого по активу (баланс) |
1 749 852 |
0 |
1 749 852
|
107 347 |
0 |
107 347
|
144 084 |
0 |
144 084
|
1 713 115 |
0 |
1 713 115
|
Пассив |
91003 |
0 |
0 |
0
|
446 |
0 |
446
|
446 |
0 |
446
|
0 |
0 |
0
|
91312 |
1 253 922 |
0 |
1 253 922
|
25 620 |
0 |
25 620
|
0 |
0 |
0
|
1 228 302 |
0 |
1 228 302
|
91315 |
25 701 |
0 |
25 701
|
0 |
0 |
0
|
0 |
0 |
0
|
25 701 |
0 |
25 701
|
91316 |
5 965 |
0 |
5 965
|
8 650 |
0 |
8 650
|
8 470 |
0 |
8 470
|
5 785 |
0 |
5 785
|
91317 |
64 763 |
0 |
64 763
|
38 521 |
0 |
38 521
|
37 093 |
0 |
37 093
|
63 335 |
0 |
63 335
|
91507 |
81 356 |
0 |
81 356
|
0 |
0 |
0
|
0 |
0 |
0
|
81 356 |
0 |
81 356
|
99999 |
318 145 |
0 |
318 145
|
70 847 |
0 |
70 847
|
61 338 |
0 |
61 338
|
308 636 |
0 |
308 636
|
Итого по пассиву (баланс) |
1 749 852 |
0 |
1 749 852
|
144 084 |
0 |
144 084
|
107 347 |
0 |
107 347
|
1 713 115 |
0 |
1 713 115
|
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 |
0 |
0
|
145 108 |
0 |
145 108
|
126 124 |
0 |
126 124
|
18 984 |
0 |
18 984
|
99996 |
0 |
0 |
0
|
145 196 |
0 |
145 196
|
125 958 |
0 |
125 958
|
19 238 |
0 |
19 238
|
Итого по активу (баланс) |
0 |
0 |
0
|
290 304 |
0 |
290 304
|
252 082 |
0 |
252 082
|
38 222 |
0 |
38 222
|
Пассив |
96901 |
0 |
0 |
0
|
0 |
125 958 |
125 958
|
0 |
145 196 |
145 196
|
0 |
19 238 |
19 238
|
99997 |
0 |
0 |
0
|
126 124 |
0 |
126 124
|
145 108 |
0 |
145 108
|
18 984 |
0 |
18 984
|
Итого по пассиву (баланс) |
0 |
0 |
0
|
126 124 |
125 958 |
252 082
|
145 108 |
145 196 |
290 304
|
18 984 |
19 238 |
38 222
|
Д. Счета депо |
Актив |
98000 |
0 |
0 |
3,0000
|
0 |
0 |
0,0000
|
0 |
0 |
0,0000
|
0 |
0 |
3,0000
|
98010 |
0 |
0 |
1 555 943,0000
|
0 |
0 |
0,0000
|
0 |
0 |
0,0000
|
0 |
0 |
1 555 943,0000
|
Итого по активу (баланс) |
0 |
0 |
1 555 946,0000
|
0 |
0 |
0,0000
|
0 |
0 |
0,0000
|
0 |
0 |
1 555 946,0000
|
Пассив |
98050 |
0 |
0 |
1 205 512,0000
|
0 |
0 |
0,0000
|
0 |
0 |
0,0000
|
0 |
0 |
1 205 512,0000
|
98055 |
0 |
0 |
350 434,0000
|
0 |
0 |
0,0000
|
0 |
0 |
0,0000
|
0 |
0 |
350 434,0000
|
Итого по пассиву (баланс) |
0 |
0 |
1 555 946,0000
|
0 |
0 |
0,0000
|
0 |
0 |
0,0000
|
0 |
0 |
1 555 946,0000
|