Accounts of the three-year deposit plan of pool 1 bank customers | Before OPE25 | After OPE25 |
Insurance company Deposit accounts (Cash surplus planned on 67% of PRLs) | 0 | $1,441,554,831 |
Industry company Deposit accounts (Cash surplus planned on 67% of PRLs) | 0 | $2,436,432,108 |
Services company Deposit accounts (Cash surplus planned on 67% of PRLs) | 0 | $2,428,542,878 |
Local Authority Deposit accounts (Cash surplus planned on 67% of PRLs) | 0 | $4,780,920,762 |