DEPOSITORY CORPORATIONS SURVEY (SRF-based) *                          
as of period indicated                                
                                   
  LEVELS (million pesos) FLOWS (million pesos) GROWTH RATES (%)  
  Mar-13 Apr-13 Mar-14 r Apr-14 p  Apr 14  -  Mar 14 Mar 14 -  Mar 13 Apr 14 -  Apr 13    Apr 14  -  Mar 14 Mar 14 -  Mar 13 Apr 14 -  Apr 13  
           
1. NET FOREIGN ASSETS             3,251,034            3,332,258            3,574,380           3,569,524               (4,856)           323,346           237,266             (0.1)               9.9             7.1  
        A. Monetary Authorities             3,390,013            3,376,874            3,517,631           3,507,233             (10,398)           127,618           130,359             (0.3)               3.8             3.9  
     Claims on non-residents             3,458,702            3,446,624            3,594,977           3,584,566             (10,411)           136,275           137,942             (0.3)               3.9             4.0  
     less: Liabilities to non-residents                  68,689                 69,750                 77,346                77,333                    (13)               8,657               7,583             (0.0)             12.6           10.9  
        B. Other Depository Corporation              (138,979)               (44,616)                 56,749                62,291                5,542           195,728           106,907              9.8           140.8         239.6  
     Claims on non-residents                571,336               632,186               810,651              765,884             (44,767)           239,315           133,697             (5.5)             41.9           21.1  
     less: Liabilities to non-residents                710,315               676,803               753,903              703,593             (50,310)             43,587             26,790             (6.7)               6.1             4.0  
   
2. DOMESTIC CLAIMS             5,598,610            5,570,963            6,281,227           6,256,415             (24,812)           682,617           685,452             (0.4)             12.2           12.3  
        A. Net Claims on Central Government              1,148,773            1,089,911            1,183,141           1,106,440             (76,701)             34,368             16,529             (6.5)               3.0             1.5  
  Claims on central government             1,566,953            1,554,593            1,729,290           1,724,406               (4,884)           162,337           169,813             (0.3)             10.4           10.9  
  less: Liabilities to central government                418,180               464,682               546,149              617,966              71,818           127,968           153,284            13.1             30.6           33.0  
        B. Claims on Other Sectors              4,449,837            4,481,052            5,098,086           5,149,975              51,889           648,249           668,923              1.0             14.6           14.9  
  Claims on other financial corporations                551,152               541,856               559,994              564,802                4,807               8,842             22,945              0.9               1.6             4.2  
  Claims on state and local government                  72,469                 72,197                 73,188                72,719                  (468)                  718                  523             (0.6)               1.0             0.7  
  Claims on public nonfinancial corporations                281,660               286,669               265,140              269,755                4,615            (16,520)           (16,914)              1.7             (5.9)           (5.9)  
  Claims on private sector             3,544,556            3,580,330            4,199,764           4,242,699              42,935           655,208           662,369              1.0             18.5           18.5  
   
3. LIQUIDITY AGGREGATES  
  M4 (M3 + 3.e)             6,204,387            6,268,035            8,181,538           8,150,362             (31,175)        1,977,151        1,882,327             (0.4)             31.9           30.0  
    M3 (M2 + 3.d) **             5,195,058            5,246,677            6,995,922           6,932,052             (63,870)        1,800,864        1,685,375             (0.9)             34.7           32.1  
      M2 (M1 + 3.c)             4,973,652            5,011,619            6,760,817           6,694,596             (66,221)        1,787,165        1,682,977             (1.0)             35.9           33.6  
        M1 (3.a + 3.b)             1,657,127            1,702,544            2,050,010           2,092,886              42,876           392,883           390,343              2.1             23.7           22.9  
   
        3.a  Currency outside depository corporations (Currency in circulation)                541,531               545,180               586,427              607,742              21,315             44,897             62,563              3.6               8.3           11.5  
        3.b  Transferable deposits included in broad money (Demand deposits)             1,115,596            1,157,364            1,463,583           1,485,144              21,561           347,987           327,780              1.5             31.2           28.3  
        3.c  Other deposits included in broad money             3,316,525            3,309,075            4,710,807           4,601,709           (109,097)        1,394,281        1,292,634             (2.3)             42.0           39.1  
  Savings deposits             2,240,227            2,231,892            3,059,083           3,045,570             (13,514)           818,856           813,677             (0.4)             36.6           36.5  
  Time deposits             1,076,298            1,077,183            1,651,723           1,556,140             (95,584)           575,425           478,957             (5.8)             53.5           44.5  
        3.d  Securities other than shares included in broad money (Deposit substitutes)                221,406               235,058               235,105              237,456                2,351             13,699               2,398              1.0               6.2             1.0  
        3.e  Transferable and other deposits in foreign currency (FCDs-Residents)             1,009,328            1,021,358            1,185,616           1,218,310              32,694           176,288           196,952              2.8             17.5           19.3  
   
4. LIABILITIES EXCLUDED FROM BROAD MONEY             2,645,257            2,635,186            1,674,068           1,675,576             1,508.0          (971,189)         (959,610)              0.1           (36.7)         (36.4)  
   
* Based on the Standardized Report Forms (SRFs), a unified framework for reporting monetary and financial statistics to the International Monetary Fund (IMF).                  
p Preliminary  
r Revised  
**/Derived as Net Foreign Assets + Domestic Claims, net of Liabilities excluded from broad money and transferable and other deposits in foreign currency(FCDs-Residents)