PRIME-TASS. In the January-September period of 2008 Tyumenenergobank’s
As of October 1 the banks cash came to Rub 279.48 mln, money held with CBR amounted to Rub 183.84 mln, mandatory reserves were equal to Rub 68.76 mln, funds with lending institutions totaled Rub 41.88 mln, net investment in securities equaled Rub 477.23 mln, net loans due came to Rub 14.24 bln, net investments in securities and other financial assets available for sale aggregated Rub 425.64 mln, fixed assets, intangibles and inventories equaled Rub 611.85 mln, loans, deposits and other funds with CBR totaled Rub 119,000, lending institutions funds equaled Rub 203.43 mln, client funds held with non-lending institutions came to Rub 12.19 bln, private deposits amounted to Rub 8.66 bln, debt obligations issued were equal to Rub 404.76 mln, shareholders funds came to Rub 741.73 mln, registered common shares were equal to Rub 741.73 mln, the revaluation of fixed assets totaled Rub 208.21 mln and retained earnings of the previous years amounted to Rub 592.49 mln.