1.7. TASAS DE INTERES
1.7.1. OPERACIONES PASIVAS DE LIBRE CONTRATACION (cont.)

Promedio ponderado del periodo

PERIODONo. de dias ASOSIACIONES MUTUALISTAS COMPANIAS DE INTERMEDIACION FINANCIERA COMPANIAS DE ARRENDAMIENTO MERCANTIL
Operaciones de Reporto Operaciones de libre contratación Operaciones de reporto Operaciones de libre contratación Operaciones de libre contratación
1-29 1-29 30-83 84-91 92-175 176-360 361 o más 1-29 1-29 30-83 84-91 92-175 176-360 361 o más 176-360 361 o más
1989Marzo21.3430.7532.4335.3939.5636.1740.8
Junio21.5832.5734.2735.2740.1141.0841.27
Septiembre21.6134.134.835.6440.7741.4241.43
Diciembre21.9234.2434.246.9142.5843.2541.8
1990Marzo23.2534.8635.9831.8742.242.8944.1
Junio23.7935.335.2944.0546.1144.0444.31
Septiembre23.935.9237.6938.4547.8347.9746.35
Diciembre25.130.7939.3335.0143.2148.0449.0544.8546.5160.97
1991Marzo24.5828.7636.7433.734042.3647.1743.443.652.75
Junio25.9428.9136.7440.724243.3747.3545.0947.5756.49
Septiembre25.1933.5943.0236.1643.3146.4948.4747.4549.1653.21
Diciembre25.2133.1842.9538.8248.0949.2851.8151.5957.9460.8
1992Marzo25.0533.8443.0443.9549.1151.3654.2551.6652.0257.45
Junio24.4835.8543.2662.7249.5250.9855.4752.5454.4960.01
Septiembre25.3650.1652.8867.7359.8658.6959.9168.9266.1469.88
Diciembre25.1430.739.2242.5546.1351.9158.6248.3851.9656.16
1993Marzo19.4822.2324.5726.5431.7836.5144.1227.6130.8835.43
Junio18.7638.2438.1135.3243.5732.6847.2743.9749.7829.5543.4948.3243.6851.34
Septiembre18.8429.6233.4121.732.1727.7633.636.4438.8922.830.7336.0736.139.84
Diciembre16.7321.6823.9734.5329.924.7530.8731.0329.1635.1728.929.1230.9931.55
1994Enero16.5726.6931.346.5836.0628.8235.9936.1635.4247.1736.6338.7439.1436.05
Febrero16.4533.133.3630.2638.6930.4140.3538.6239.3733.3239.4439.1134.1138.26
Marzo15.926.0727.3615.1227.6924.4932.6130.9130.4117.627.7930.330.8235.18
Abril14.8323.0124.5321.4927.8626.6831.4830.0231.724.3226.9929.3732.1531.91
Mayo15.5723.6725.0134.7332.627.0633.5632.6236.1436.133.0533.7231.9138.03
Junio18.5227.6227.4739.2635.5729.0335.8535.2137.340.7836.0634.7634.1231.77
Julio18.3433.0728.5650.7437.4730.1342.3637.7338.3344.7339.4338.5933.4934.96
Agosto20.2231.3632.6332.7635.530.1938.1536.745.6433.5135.5636.4135.3432.28
Septiembre19.3628.8430.1136.413336.1437.1334.3635.4636.735.6934.1833.7335.42
Octubre19.5232.9934.1636.2834.4237.2540.0435.9837.5735.9736.2537.4335.9137.52
Noviembre19.632.4933.9637.8335.3837.8337.8736.9842.4538.8337.4238.4836.2736.01
Diciembre20.1934.1836.0149.5239.8341.8240.9641.1334.4550.642.634.9538.2241.67
1995Enero20.3934.0934.7736.5435.0337.4343.7938.839.542.8241.0237.4661.2637.8837.4234.9930.22
Febrero27.1754.6441.8240.6637.7490.3673.4661.4544.3953.2994.9161.1951.7134.5943.64
Marzo27.7547.7842.5541.3140.736.9549.7150.248.846.3752.5441.9451.3856.9351.2456.5
Abril23.5739.1140.6635.9836.483424.4240.6845.0645.4943.1841.1236.5943.4345.9142.0249.75
Mayo21.9732.5133.9935.37353426.3834.9542.1844.2743.1644.2530.9938.0438.3739.0836.2
Junio20.329.932.4629.9933.1522.5131.1238.340.7239.339.4628.3836.0338.939.1236
Julio20.6431.6432.8934.7234.9330.5139.5541.8340.7540.1942.744037.1938.3532.6743
Agosto21.6834.8636.4237.0337.5840.0132.4840.2642.3343.9940.1743.9639.4641.2436.6434.8341
Septiembre20.9736.7937.2937.4338.837.0433.1643.7943.0543.1342.243.8445.4842.7441.8544.9645.5
Octubre21.5437.7938.3838.0439.8535.346.8444.4949.5745.942.646.3350.3241.7340.1540.942.5
Noviembre22.6840.7940.3839.4241.534.4750.264345.344.9847.746.2870.7546.1346.543
Diciembre23.0140.8242.0542.1641.5237.3351.2848.5755.6248.6452.9950.7880.4149.0843.05
1996Enero23.7241.0343.5644.4442.4336.4644.4853.6152.4654.6851.4351.9953.8150.8746.74
Febrero24.3145.5645.2144.947.2636.3441.4650.345137.1551.4650
Marzo22.9741.943.3243.3645.4734.8141.3846.5851.9444831.3744.67
Abril22.5741.842.5443.3247.0133.8344.4646.7848.845.94444336.29
Mayo23.842.0842.543.3745.3244.3740.5642.8641.63544836.85
Junio24.0142.1142.0543.1547.7535.6943.9754.344.9949.9637.56

.


(1) Con Regulación 214-84 y 367-86 se establecen tasas de libre contratación para todos los depósitos. Mediante Resolución No. SB-94-1405 del 8 de junio de 1994, la Superintendencia de Bancos procedió a reformar el Catalogo Unico de Cuentas y su instructivo, la nueva presentación de los estados financieros implica un cambio en la denominación, agrupación y contenido de las cuentas.
(2) La tasa correspondiente a depósitos a plazo para toda la serie es el promedio ponderado de pólizas de acumulación y depósitos de plazo mayor, respondiendo a la estructura del Catalogo Unico de Cuentas vigente.
FUENTE : Instituciones financieras.