| Current period | Quarter (Year -1) | Accumulated from the beginning of year | Accumulated from the beginning of year (-1) | ||
| Average Balance | Average Balance | Average Balance | Average Balance | ||
| 1 | 1 | 4 | 4 | ||
| Credit to the public | |||||
| In Isarel | 1 | ||||
| Outside Israel | 2 | ||||
| Total | 3 | ||||
| Of which: Fees | 4 | ||||
| Credit to the government | |||||
| In Israel | 5 | ||||
| Outside Israel | 6 | ||||
| Total | 7 | ||||
| Deposits in Banks | |||||
| In Israel | 8 | ||||
| Outside Israel | 9 | ||||
| Total | 10 | ||||
| Deposits in central banks | |||||
| In Israel | 11 | ||||
| Outside Israel | 12 | ||||
| Total | 13 | ||||
| Securities borrowed or purchased under resale agreements | |||||
| In Israel | 14 | ||||
| Outside Israel | 15 | ||||
| Total | 16 | ||||
| Bonds held to maturity and available for sale | |||||
| In Israel | 17 | ||||
| Outside Israel | 18 | ||||
| Total | 19 | ||||
| Deducted from balance of bonds held to maturity were unutilized profits/losses from reconciliations to fair value | 20 | ||||
| Deducted from balance of bonds available for sale were unutilized profits/losses from reconciliations to fair value | 21 | ||||
| Bonds for trading | |||||
| In Israel | 22 | ||||
| Outside Israel | 23 | ||||
| Total | 24 | ||||
| Unutilized from reconciliations to fair value | 25 | ||||
| Other assets | |||||
| In Israel | 26 | ||||
| Outside Israel | 27 | ||||
| Total | 28 | ||||
| Total interest - bearing assets | 29 | ||||
| Receivables in respect of non-interesting-bearing credit cards | 30 | ||||
| Other non-interest bearing assets | 31 | ||||
| Total assets | 32 | ||||
| Total interest-bearing assets attributed to activity outside Israel | 33 | ||||