DEPOSITORY CORPORATIONS SURVEY (SRF-based) *                            
as of period indicated                                  
                                     
  LEVELS (million pesos) FLOWS (million pesos) GROWTH RATES (%)  
            Oct-14 Nov-14 Oct-15 r Nov-15 p   Nov 15  -      Oct 15 Oct 15  -      Oct 14 Nov 15 -       Nov 14   Nov 15/  Oct 15 Oct 15/  Oct 14 Nov 15/  Nov 14  
   
1. NET FOREIGN ASSETS             3,683,274            3,660,214            3,985,954               3,988,760                 2,806            302,680            328,545              0.1               8.2              9.0  
        A. Monetary Authorities             3,518,478            3,487,306            3,760,042               3,743,747             (16,295)            241,564            256,441             (0.4)               6.9              7.4  
     Claims on non-residents             3,593,162            3,562,246            3,835,053               3,818,454             (16,599)            241,891            256,208             (0.4)               6.7              7.2  
     less: Liabilities to non-residents                  74,684                 74,940                 75,011                    74,707                  (304)                   327                 (233)             (0.4)               0.4            (0.3)  
        B. Other Depository Corporation                164,796               172,908               225,912                  245,013               19,101              61,116              72,104              8.5             37.1            41.7  
     Claims on non-residents                857,158               903,804               969,160                  990,862               21,702            112,002              87,058              2.2             13.1              9.6  
     less: Liabilities to non-residents                692,362               730,895               743,248                  745,849                 2,601              50,886              14,954              0.3               7.3              2.0  
   
2. DOMESTIC CLAIMS             6,681,641            6,755,501            7,438,617               7,541,450             102,833            756,976            785,948              1.4             11.3            11.6  
        A. Net Claims on Central Government              1,055,375            1,077,039            1,177,840               1,190,426               12,586            122,465            113,387              1.1             11.6            10.5  
  Claims on central government             1,760,848            1,836,599            1,997,102               1,990,461               (6,641)            236,254            153,863             (0.3)             13.4              8.4  
  less: Liabilities to central government                705,472               759,560               819,262                  800,035             (19,227)            113,790              40,475             (2.3)             16.1              5.3  
        B. Claims on Other Sectors              5,626,265            5,678,462            6,260,777               6,351,023               90,246            634,512            672,561              1.4             11.3            11.8  
  Claims on other financial corporations                617,714               602,677               652,607                  655,003                 2,396              34,893              52,325              0.4               5.6              8.7  
  Claims on state and local government                  71,110                 71,173                 74,249                    74,226                    (24)                3,139                3,052             (0.0)               4.4              4.3  
  Claims on public nonfinancial corporations                270,113               268,432               275,867                  276,878                 1,012                5,754                8,446              0.4               2.1              3.1  
  Claims on private sector             4,667,328            4,736,180            5,258,055               5,344,917               86,862            590,726            608,737              1.7             12.7            12.9  
   
3. LIQUIDITY AGGREGATES  
  M4 (M3 + 3.e)             8,541,666            8,645,518            9,376,170               9,485,569             109,399            834,504            840,050              1.2               9.8              9.7  
    M3 (M2 + 3.d) **             7,220,609            7,331,054            7,887,061               8,003,603             116,542            666,451            672,549              1.5               9.2              9.2  
      M2 (M1 + 3.c)             6,949,725            7,046,373            7,556,306               7,678,059             121,754            606,581            631,686              1.6               8.7              9.0  
        M1 (3.a + 3.b)             2,149,948            2,201,424            2,470,203               2,526,740               56,537            320,255            325,316              2.3             14.9            14.8  
   
        3.a  Currency outside depository corporations (Currency in circulation)                617,410               629,556               699,047                  718,924               19,877              81,637              89,368              2.8             13.2            14.2  
        3.b  Transferable deposits included in broad money (Demand deposits)             1,532,538            1,571,868            1,771,156               1,807,816               36,661            238,618            235,948              2.1             15.6            15.0  
        3.c  Other deposits included in broad money             4,799,777            4,844,949            5,086,103               5,151,319               65,217            286,326            306,370              1.3               6.0              6.3  
  Savings deposits             3,085,621            3,106,678            3,392,195               3,430,020               37,825            306,574            323,341              1.1               9.9            10.4  
  Time deposits             1,714,156            1,738,271            1,693,908               1,721,300               27,392             (20,248)            (16,971)              1.6             (1.2)            (1.0)  
        3.d  Securities other than shares included in broad money (Deposit substitutes)                270,884               284,681               330,755                  325,544               (5,211)              59,871              40,863             (1.6)             22.1            14.4  
        3.e  Transferable and other deposits in foreign currency (FCDs-Residents)             1,321,056            1,314,464            1,489,109               1,481,966               (7,144)            168,053            167,501             (0.5)             12.7            12.7  
   
4. LIABILITIES EXCLUDED FROM BROAD MONEY                 1,823,249            1,770,197            2,048,400               2,044,641              (3,759.6)            225,152            274,444               (0.2)             12.3            15.5  
                                   
* Based on the Standardized Report Forms (SRFs), a unified framework for reporting monetary and financial statistics to the International Monetary Fund (IMF). 12/23/15
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)