Table 39: Consolidated Assets and Liabilities of Offshore Banks
(US dollars million) (End of Period) (US Dollars Million)
    Dec-97 Jun-98 Dec-98 Jun-99 Sep-99 Dec-99 Mar-00 Apr-00 May-00 Jun-00 Aug-00 Sep-00 Oct-00 Nov-00 Dec-00 Jan-01 Feb-01 Mar-01 Apr-01 May-01 Jun-01 Jun-01 Jul-01
                                                 
ASSETS EMPLOYED                                                
                                                 
Assets                                                
Cash in Hand and Balances with Banks           654.3 727.9      1,249.9      1,623.2       1,655.1      2,127.3 2,195.8 1,816.5 1,902.1 2,327.1 2,462.0       2,383.9       2,311.1       2,208.7       2,257.0       2,164.6       2,157.1       2,351.3       2,169.1       2,143.5       2,100.4       2,100.4       2,025.5
Investments in Bonds and Other Securities             34.8 58.5           56.2         103.8          109.6           92.4 109.3 158.9 162.6 162.7 172.0          172.5          156.0          156.1          198.8          303.6          231.0          229.3          245.1          249.2          249.6          249.6          251.1
Loans and Advances to Non-bank Customers           214.7 226.2         460.4         830.0          803.0         879.1 983.8 1,017.1 1,031.5 1,007.0 995.5       1,008.5       1,284.2       1,471.2       1,531.9       1,394.9       1,412.3       1,318.7       1,327.1       1,373.3       1,404.5       1,404.5       1,422.4
Bills Purchased and Discounted               3.5 3.3             2.2             3.7              4.4             4.4 6.7 5.5 5.9 6.0 7.4              7.8              8.0              7.1              6.5              6.5              6.6              6.7              5.8              6.1              6.0              6.0              6.1
Other Assets               6.5 6.3           12.0           12.3            17.4           17.9 26.3 24.9 31.0 31.0 28.9            33.8            25.5            26.5            30.6            31.7            32.2            32.7            25.9            31.3            27.4            27.4            22.5
                                                 
  [A]        913.8     1,022.2     1,780.7     2,573.0      2,589.5     3,121.1 3,321.9 3,022.9 3,133.1 3,533.8 3,665.8      3,606.5      3,784.8      3,869.6     4,024.8      3,901.3      3,839.2     3,938.7     3,772.9     3,803.4     3,787.9      3,787.8     3,727.6
Less :                                                
Liabilities                                                
Deposits of Non-bank Customers           669.4         651.0         882.9      1,090.9       1,131.9      1,334.3 1,452.0 1,284.1 1,358.4 1,504.6 1,604.6       1,546.3       1,598.7       1,642.6       1,693.0       1,635.4       1,643.4       1,629.9       1,584.9       1,610.6       1,635.1       1,635.1       1,649.8
Amounts due to Banks           190.3         158.9         568.8      1,067.6       1,007.3      1,287.7 1,235.0 1,105.1 1,138.7 1,378.5 1,400.1       1,398.7       1,522.3       1,604.3       1,687.7       1,758.6       1,684.3       1,816.7       1,699.2       1,679.6       1,649.6       1,649.6       1,602.1
Other Liabilities             15.6           20.9           42.2           47.1            54.6           72.9 53.2 60.8 73.5 76.0 100.5          119.2          141.0          141.8          145.6          110.5          112.3          125.2          130.6          161.5          163.9          163.8          112.9
                                                 
  [B]        875.3        830.8     1,493.9     2,205.6      2,193.8     2,694.9 2,740.2 2,450.0 2,570.6 2,959.1 3,105.2      3,064.2      3,262.0      3,388.7     3,526.3      3,504.5      3,440.0     3,571.8     3,414.7     3,451.7     3,448.6      3,448.6     3,364.8
                                                 
Excess of Assets over Liabilities [A]-[B]          38.5        191.4        286.8        367.4         395.7        426.2 581.7 572.9 562.5 574.7 560.6         542.3         522.8         480.9         498.5         396.8         399.2        366.9        358.3        351.7        339.3         339.2        362.8
                                                 
FINANCED BY :                                                
                                                 
Capital and Reserves            38.5        191.4        286.8        367.4         395.7        426.2 581.7 572.9 562.5 574.7 560.6         542.3         522.8         480.9         498.5         396.8         399.2        366.9        358.3        351.7        339.3         339.3        362.8
                                                 
                                                 
Off-Balance Sheet Items         110.4       166.9       155.9       307.0        311.0       282.9 362.3 433.9 450.5 401.3 349.5        410.1        280.6        355.4        373.3        463.6        364.0        351.6        324.2        414.5        425.1        425.1        396.7