| 31-Dic-1999 | 31-Ene-2000 | 29-Feb-2000 | 31-Mar-2000 | 30-Abr-2000 | 31-May-2000 | 30-Jun-2000 | 31-Jul-2000 | 31-Ago-2000 | |
|---|---|---|---|---|---|---|---|---|---|
I. ACTIVOS EXTERNOS NETOS (a + b) | 585.6 | 579.1 | 719 | 782.2 | 794.8 | 790.9 | 888.4 | 828.5 | 567.9 |
a. Reserva internacional de libre disponibilidad | 872.6 | 852.6 | 909.7 | 778.9 | 938.6 | 890.8 | 890.9 | 873.8 | 835 |
b. Otros activos externos netos | -287 | -273.5 | -190.7 | 3.3 | -143.8 | -99.8 | -2.5 | -45.3 | -267.1 |
II. ACTIVOS INTERNOS NETOS (c + d + e) | 3279.5 | 2891.2 | 2829.2 | 2827.9 | 2937.4 | 3016.7 | 2912.7 | 2979.9 | 3295.8 |
c. Crédito interno (c.1+ c.2 + c.3 + c.4 + c.5 + c.6) | 5372.5 | 5089.9 | 5014.9 | 4876.7 | 4896.8 | 4905 | 4892.1 | 4858.9 | 5143.4 |
c.1 Crédito neto al gobierno central (c.1.1 - c.1.2) | 1406.7 | 1391.8 | 1339.1 | 1293.6 | 1192.4 | 1217.2 | 1137.9 | 1097.2 | 1290.3 |
c.1.1 Crédito | 1861.4 | 1805.5 | 1792.4 | 1796.8 | 1810.3 | 1878.3 | 1871.6 | 1846.9 | 1841.7 |
c.1.2 Depósitos | 454.7 | 413.7 | 453.4 | 503.2 | 617.9 | 661 | 733.7 | 749.6 | 551.4 |
c.2 Crédito al gobierno local | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
c.3 Crédito neto fondos de seguridad social | -7.6 | -10.5 | -12.8 | -16.2 | -24.9 | -38.1 | -41.6 | -53.2 | -68.1 |
c.4 Crédito al sector privado (c.4.1 + c.4.2 + c.4.3) | 3986.2 | 3727.5 | 3706.4 | 3628.2 | 3755 | 3754.9 | 3822 | 3841.2 | 3950.6 |
c.4.1 Cartera (c.4.1.1 + c.4.1.2) | 3589.3 | 3370.8 | 3337 | 3279.5 | 3336.9 | 3268.3 | 3289.4 | 3315 | 3362.6 |
c.4.1.1 Por vencer | 2140.7 | 1882.3 | 1849.7 | 1707 | 1743.8 | 1707.4 | 1702.6 | 1652.1 | 1649.1 |
c.4.1.2 Vencida | 1448.6 | 1488.5 | 1487.3 | 1572.6 | 1593.2 | 1560.9 | 1586.8 | 1662.8 | 1713.5 |
c.4.2 Títulos valores (repos) | 10 | 15.3 | 14.7 | 7.1 | 15 | 17.1 | 27.5 | 29.5 | 32 |
c.4.3 Otros activos | 386.9 | 341.5 | 354.7 | 341.6 | 403 | 469.4 | 505.1 | 496.7 | 556 |
c.5 Crédito neto a las otras soc. depósito | -12.7 | -19 | -17.8 | -28.9 | -25.6 | -29 | -26.2 | -26.3 | -29.4 |
c.6 Crédito a sociedades de seguro y fondo de pensiones | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
d. Posición neta con otros intermediarios (d.1 - d.2) | 12.9 | -7 | -19.6 | -28.1 | -22.9 | -2.6 | -6.5 | 11.5 | -7 |
d.1 Activos | 103.3 | 88.5 | 80.9 | 83.8 | 98.7 | 124.2 | 122.7 | 126.5 | 125.8 |
d.2 Pasivos | 90.4 | 95.5 | 100.5 | 111.9 | 121.6 | 126.7 | 129.3 | 115 | 132.7 |
e. Otros activos netos no clasificados (e.1 - e.2) | -2106 | -2191.7 | -2166.1 | -2020.7 | -1936.5 | -1885.7 | -1972.8 | -1890.5 | -1840.7 |
e.1 Activos | 2244 | 2035.8 | 2096.7 | 2183.2 | 2501.7 | 2632 | 2646.9 | 2602.9 | 2705.4 |
e.2 Pasivos | 4350 | 4227.4 | 4262.8 | 4203.9 | 4438.2 | 4517.7 | 4619.7 | 4493.3 | 4546.1 |
III. PASIVOS FINANCIEROS (I + II = f + g) | 3865.1 | 3470.2 | 3548.2 | 3610 | 3732.2 | 3807.6 | 3801.2 | 3808.4 | 3863.7 |
f. Pasivos monetarios (f.1 + f.2 + f.3) | 3468.3 | 3105.1 | 3187.6 | 3251.1 | 3365.6 | 3442.5 | 3427.7 | 3433.8 | 3472.9 |
f.1 Circulación monetaria (f.1.1 - f.1.2) | 465.2 | 362.3 | 358.7 | 324.2 | 226 | 112.9 | 51.4 | -3.4 | -53.2 |
f.1.1 Emisión monetaria (f.1.1.1 + f.1.1.2) | 577.9 | 457.3 | 442.7 | 425 | 339 | 237.4 | 152.8 | 100.7 | 46.7 |
f.1.1.1. Emisión monetaria antigua (2) | 577.9 | 457.3 | 442.7 | 425 | 339 | 237.4 | 152.8 | 100.7 | 46.7 |
f.1.1.2. Emisión monetaria nueva (3) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
f.1.2 (-) Caja bancos privados | 112.7 | 95 | 84 | 100.7 | 113 | 124.5 | 101.4 | 104 | 99.9 |
f.2 Depósitos a la vista (f.2.1 + f.2.2 + f.2.3) | 696.6 | 649.2 | 726.5 | 835.4 | 851.2 | 960.3 | 976.1 | 999.5 | 1006.5 |
f.2.1 Gobiernos provinciales y locales | 45.7 | 42.6 | 49.3 | 48.6 | 47.5 | 55.5 | 58.9 | 55.7 | 59.9 |
f.2.2 Sociedades públicas no financieras (empresas) | 62.1 | 48.8 | 58.3 | 68.1 | 72.8 | 93.5 | 100.4 | 86.7 | 101.8 |
f.2.3 Particulares (4) | 588.8 | 557.7 | 619 | 718.7 | 730.9 | 811.3 | 816.8 | 857.1 | 844.9 |
f.3 Cuasidinero (f.3.1 + f.3.2 + f.3.3 + f.3.4 + f.3.5) | 2306.5 | 2093.5 | 2102.4 | 2091.5 | 2288.4 | 2369.4 | 2400.2 | 2437.6 | 2519.6 |
f.3.1 Depósitos de ahorro | 445.1 | 380.7 | 450.4 | 491.7 | 529.3 | 542.6 | 556.1 | 571.2 | 575.2 |
f.3.2 Depósitos a plazo fijo | 521.3 | 572.5 | 600.4 | 718.5 | 863.2 | 995.3 | 1043.5 | 1078.2 | 1157.6 |
f.3.3 Depósitos restringidos | 999.6 | 849.1 | 766.3 | 489.1 | 291.1 | 177.2 | 160.2 | 160.6 | 206.7 |
f.3.4 Operaciones de reporto | 168.6 | 114.3 | 118.7 | 103.8 | 116.2 | 99.4 | 96.9 | 75.1 | 65.6 |
f.3.5 Otros depósitos | 171.9 | 177 | 166.7 | 288.4 | 488.6 | 554.9 | 543.6 | 552.6 | 514.4 |