DEPOSITORY CORPORATIONS SURVEY (SRF-based) *                          
as of period indicated                                
                                   
          LEVELS (million pesos) FLOWS (million pesos) GROWTH RATES (%)  
  Oct-15 Nov-15 Oct-16 r Nov-16 p Nov 16  -      Oct 16 Oct 16  -      Oct 15 Nov 16 -       Nov 15   Nov 16  -      Oct 16 Oct 16  -      Oct 15 Nov 16 -       Nov 15  
           
1. NET FOREIGN ASSETS           3,985,983         3,986,379         4,331,224             4,352,299             21,075          345,241          365,920              0.5              8.7             9.2  
        A. Monetary Authorities           3,760,042         3,743,747         4,060,579             3,984,450            (76,129)          300,537          240,703            (1.9)              8.0             6.4  
     Claims on non-residents           3,835,053         3,818,454         4,134,503             4,059,900            (74,603)          299,450          241,446            (1.8)              7.8             6.3  
     less: Liabilities to non-residents                75,011               74,707               73,924                  75,450                1,526             (1,087)                  743              2.1            (1.4)             1.0  
        B. Other Depository Corporation              225,941             242,632             270,645                367,849             97,204             44,704          125,217           35.9            19.8           51.6  
     Claims on non-residents              969,160             993,961         1,116,808             1,222,915           106,107          147,648          228,955              9.5            15.2           23.0  
     less: Liabilities to non-residents              743,219             751,329             846,163                855,067                8,903          102,945          103,738              1.1            13.9           13.8  
   
2. DOMESTIC CLAIMS           7,456,078         7,572,466         8,702,303             8,862,678           160,375       1,246,225      1,290,213              1.8            16.7           17.0  
        A. Net Claims on Central Government            1,186,344         1,199,092         1,481,761             1,498,262             16,501          295,417          299,170              1.1            24.9           24.9  
  Claims on central government           2,005,689         1,999,596         2,081,286             2,092,223             10,937             75,597            92,627              0.5              3.8             4.6  
  less: Liabilities to central government              819,345             800,504             599,525                593,961              (5,564)         (219,820)        (206,543)            (0.9)          (26.8)         (25.8)  
        B. Claims on Other Sectors            6,269,734         6,373,374         7,220,542             7,364,416           143,875          950,808          991,042              2.0            15.2           15.5  
  Claims on other financial corporations              654,861             661,988             719,607                734,894             15,286             64,747            72,906              2.1              9.9           11.0  
  Claims on state and local government                74,204               74,180               82,298                  83,303                1,004               8,094              9,122              1.2            10.9           12.3  
  Claims on public nonfinancial corporations              275,887             277,615             275,856                262,338            (13,518)                   (30)          (15,277)            (4.9)            (0.0)            (5.5)  
  Claims on private sector           5,264,783         5,359,591         6,142,780             6,283,882           141,102          877,997          924,291              2.3            16.7           17.2  
   
3. LIQUIDITY AGGREGATES  
  M4 (M3 + 3.e)           9,402,781         9,520,808       10,528,947          10,763,616           234,668       1,126,166      1,242,808              2.2            12.0           13.1  
    M3 (M2 + 3.d) **           7,913,667         8,044,441         8,923,632             9,066,174           142,542       1,009,965      1,021,733              1.6            12.8           12.7  
      M2 (M1 + 3.c)           7,561,193         7,697,182         8,589,368             8,723,871           134,503       1,028,174      1,026,689              1.6            13.6           13.3  
        M1 (3.a + 3.b)           2,470,202         2,530,695         2,896,310             2,941,554             45,244          426,108          410,859              1.6            17.2           16.2  
   
        3.a  Currency outside depository corporations (Currency in circulation)              698,801             716,633             813,570                823,803             10,233          114,769          107,170              1.3            16.4           15.0  
        3.b  Transferable deposits included in broad money (Demand deposits)           1,771,402         1,814,062         2,082,740             2,117,751             35,010          311,339          303,689              1.7            17.6           16.7  
        3.c  Other deposits included in broad money           5,090,991         5,166,487         5,693,058             5,782,317             89,259          602,066          615,830              1.6            11.8           11.9  
  Savings deposits           3,395,158         3,434,755         3,895,133             3,939,348             44,215          499,975          504,593              1.1            14.7           14.7  
  Time deposits           1,695,833         1,731,733         1,797,924             1,842,969             45,044          102,091          111,236              2.5              6.0             6.4  
        3.d  Securities other than shares included in broad money (Deposit substitutes)              352,474             347,259             334,265                342,303                8,039           (18,209)             (4,956)              2.4            (5.2)            (1.4)  
        3.e  Transferable and other deposits in foreign currency (FCDs-Residents)           1,489,113         1,476,367         1,605,315             1,697,442             92,127          116,202          221,075              5.7              7.8           15.0  
   
4. LIABILITIES EXCLUDED FROM BROAD MONEY           2,039,280         2,038,037         2,504,580             2,451,361            (53,218)          465,299          413,324            (2.1)            22.8           20.3  
                                   
* 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)  
- Growth rate rounds off to zero