Citibank 2013 Annual Report Download - page 331

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313
FINANCIAL DATA SUPPLEMENT
RATIOS
2013 2012 2011
Citigroup’s net income to average assets 0.73% 0.40% 0.57%
Return on average common stockholders’ equity (1) 7.0 4.1 6.2
Return on average total stockholders’ equity (2) 6.9 4.1 6.3
Total average equity to average assets (3) 10.5 9.7 8.9
Dividends payout ratio (4) 0.9 1.6 0.8
(1) Based on Citigroup’s net income less preferred stock dividends as a percentage of average common stockholders’ equity.
(2) Based on Citigroup’s net income as a percentage of average total Citigroup stockholders’ equity.
(3) Based on average Citigroup stockholders’ equity as a percentage of average assets.
(4) Dividends declared per common share as a percentage of net income per diluted share.
AVERAGE DEPOSIT LIABILITIES IN OFFICES OUTSIDE THE U.S. (1)
2013 2012 2011
In millions of dollars at year end except ratios
Average
interest rate
Average
balance
Average
interest rate
Average
balance
Average
interest rate
Average
balance
Banks 0.68% $ 63,759 0.71% $ 71,624 0.78% $ 50,831
Other demand deposits 0.57 220,599 0.84 217,806 0.91 248,925
Other time and savings deposits (2) 1.06 262,924 1.24 259,025 1.47 244,733
Total 0.82% $547,282 1.01% $548,455 1.15% $544,489
(1) Interest rates and amounts include the effects of risk management activities and also reflect the impact of the local interest rates prevailing in certain countries.
(2) Primarily consists of certificates of deposit and other time deposits in denominations of $100,000 or more.
MATURITY PROFILE OF TIME DEPOSITS
($100,000 OR MORE) IN U.S. OFFICES
In millions of dollars
at December 31, 2013
Under 3
months
Over 3 to 6
months
Over 6 to 12
months
Over 12
months
Certificates of deposit $19,314 $7,346 $1,996 $1,085
Other time deposits 576 4 1,208 1,380