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 | 30-Sep-2000 | 31-Oct-2000 | 30-Nov-2000 | 31-Dic-2000 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
I. ACTIVOS EXTERNOS NETOS (a -b) | -186.7 | -172.6 | -116.1 | 63.1 | 75.7 | 117.9 | 164.3 | 154.7 | 100.4 | 94.1 | 90.3 | 67.5 | 227.7 |
a. Activos | 667.1 | 655.6 | 675.3 | 832.5 | 855.8 | 848.4 | 849.8 | 828.3 | 747.8 | 741.7 | 731.4 | 699.4 | 816.7 |
b. Pasivos | 853.8 | 828.2 | 791.4 | 769.4 | 780.1 | 730.5 | 685.5 | 673.6 | 647.4 | 647.6 | 641.1 | 631.9 | 588.9 |
II. ACTIVOS INTERNOS NETOS (c +d + e + f + g) | 3459.3 | 3163.9 | 3172.4 | 3077.7 | 3275.5 | 3416.7 | 3414.6 | 3499.5 | 3635.7 | 3625.3 | 3713.9 | 3797.6 | 3689.4 |
c. Crédito interno (c.1 + c.2 + c.3) | 4294 | 4028.6 | 3995.1 | 3907.7 | 3981.4 | 4069.4 | 4123 | 4127.4 | 4228.1 | 4198.7 | 4405.9 | 4424 | 4495.4 |
c.1 Crédito neto al gobierno central ( c.1 + c.2) | 311.9 | 304.2 | 291.7 | 282.3 | 229.2 | 317.2 | 303.6 | 288.8 | 280.2 | 256.6 | 252.7 | 219.3 | 183.9 |
c.1 Crédito | 382.2 | 362.9 | 353.3 | 359.3 | 333.4 | 410.4 | 404 | 382.2 | 375.1 | 371 | 365.4 | 351.6 | 352.4 |
c.2 Depósitos | 70.2 | 58.7 | 61.6 | 77.1 | 104.2 | 93.2 | 100.4 | 93.5 | 94.8 | 114.4 | 112.7 | 132.2 | 168.5 |
c.2 Crédito al gobierno local | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
c.3 Crédito al sector privado (c.3.1 + c.3.2 + c.3.3) | 3982.1 | 3724.4 | 3703.4 | 3625.5 | 3752.2 | 3752.2 | 3819.4 | 3838.6 | 3947.9 | 3942 | 4153.2 | 4204.7 | 4311.5 |
c.3.1 Cartera (c.3.1.1 + c.3.1.2) | 3589.3 | 3370.8 | 3337 | 3279.5 | 3336.9 | 3268.3 | 3289.5 | 3315 | 3362.6 | 3358.1 | 3506.5 | 3531.3 | 3546.1 |
c.3.1.1 Por vencer | 2140.7 | 1882.3 | 1849.7 | 1707 | 1743.8 | 1707.4 | 1702.6 | 1652.1 | 1649.1 | 1665.6 | 1776.5 | 1781.5 | 1849.8 |
c.3.1.2 Vencida | 1448.6 | 1488.5 | 1487.3 | 1572.6 | 1593.2 | 1560.9 | 1586.9 | 1662.8 | 1713.5 | 1692.5 | 1729.9 | 1749.7 | 1696.4 |
c.3.2 Títulos valores (repos) | 10 | 15.3 | 14.7 | 7.1 | 15 | 17.1 | 27.5 | 29.5 | 32 | 36 | 41.6 | 42 | 38 |
c.3.3 Otros activos | 382.7 | 338.4 | 351.7 | 338.8 | 400.3 | 466.8 | 502.5 | 494.1 | 553.3 | 548 | 605.2 | 631.4 | 727.4 |
d. Pasivos con otras sociedades de depósito | -0.9 | -0.6 | -0.4 | -0.7 | -1.1 | -2.5 | -3.4 | -1.3 | -0.8 | -1.2 | -1.3 | -1.5 | -2.6 |
e. Posición neta con otros intermediarios (e.1 - e.2) | 14.6 | -3.6 | -17.9 | -27.1 | -18.9 | -0.6 | -5.7 | 14.8 | -5.6 | -5.1 | -23.1 | -16.4 | 18.1 |
e.1 Activos | 103.3 | 88.5 | 80.9 | 83.8 | 98.7 | 124.2 | 122.7 | 126.5 | 125.8 | 124.4 | 112 | 118.2 | 153.2 |
e.2 Pasivos | 88.7 | 92.1 | 98.8 | 110.9 | 117.6 | 124.8 | 128.4 | 111.7 | 131.3 | 129.4 | 135.1 | 134.6 | 135.1 |
f. Posición neta con el BCE (f.1 - f.2) | 111.3 | 68.7 | 77 | -4.5 | 58 | 31 | 25.6 | 49.7 | 33.6 | 113.6 | 92.9 | 118.1 | 86.8 |
f.1. Reservas internas | 422 | 325.5 | 336.3 | 257 | 230 | 202.8 | 196.2 | 217.2 | 201.2 | 253.9 | 234 | 259.3 | 223 |
f.2. Pasivos | 256.8 | 259.3 | 261.5 | 172 | 171.8 | 170.6 | 167.4 | 167.6 | 140.3 | 141.1 | 141.2 | 136.2 | 136.2 |
g. Otros activos netos no clasificados (g.1 - g.2) | -959.7 | -929.3 | -881.4 | -797.7 | -744 | -680.6 | -724.9 | -691.1 | -619.6 | -680.7 | -760.4 | -726.6 | -908.4 |
g.1. Activos | 1385.2 | 1327.2 | 1360.2 | 1515.7 | 1848.2 | 2004.9 | 1999.9 | 1929.5 | 2030.4 | 1893.8 | 1833.6 | 1814.6 | 1743.2 |
g.2. Pasivos | 2344.9 | 2256.5 | 2241.7 | 2313.3 | 2592.1 | 2685.5 | 2724.7 | 2620.6 | 2650 | 2574.5 | 2593.9 | 2541.2 | 2651.5 |
III. PASIVOS FINANCIEROS (I + II = h + i) | 3272.6 | 2991.2 | 3056.3 | 3140.7 | 3351.1 | 3534.5 | 3578.9 | 3654.2 | 3736.2 | 3719.4 | 3804.3 | 3865.1 | 3917.1 |
h. Pasivos monetarios (h.1 + h.2) | 2878 | 2627.3 | 2698.9 | 2787.5 | 2986.3 | 3171.2 | 3208.2 | 3282.7 | 3349.2 | 3371.9 | 3450.4 | 3519.4 | 3625 |
h.1 Depósitos a la vista (3) | 571.4 | 533.8 | 596.5 | 696 | 697.9 | 801.8 | 808 | 845 | 829.7 | 828.8 | 870.2 | 871.2 | 951 |
h.2 Cuasidinero (h.2.1 + h.2.2 + h.2.3 + h.2.4 + h.2.5) | 2306.6 | 2093.6 | 2102.4 | 2091.5 | 2288.4 | 2369.4 | 2400.2 | 2437.6 | 2519.6 | 2543.2 | 2580.2 | 2648.2 | 2674 |
h.2.1 Depósitos de ahorro | 445.1 | 380.7 | 450.4 | 491.7 | 529.3 | 542.6 | 556.1 | 571.2 | 575.2 | 564.6 | 566.8 | 575.3 | 594.8 |
h.2.2 Depósitos a plazo fijo | 521.3 | 572.5 | 600.4 | 718.5 | 863.2 | 995.3 | 1043.5 | 1078.2 | 1157.5 | 1126.8 | 1148.7 | 1167.6 | 1146.7 |
h.2.3 Depósitos restringidos | 999.6 | 849.1 | 766.3 | 489.1 | 291.1 | 177.1 | 160.2 | 160.6 | 206.9 | 303.2 | 325.3 | 332.6 | 344 |
h.2.4 Operaciones de reporto | 168.6 | 114.3 | 118.7 | 103.8 | 116.1 | 99.4 | 96.9 | 75.1 | 65.6 | 70.4 | 61.2 | 69.3 | 88.5 |
h.2.5 Otros depósitos | 171.9 | 177 | 166.7 | 288.4 | 488.6 | 554.9 | 543.6 | 552.6 | 514.4 | 478.1 | 478.1 | 503.5 | 500 |
i. Instrumentos financieros | 394.6 | 363.9 | 357.4 | 353.2 | 364.8 | 363.3 | 370.8 | 371.5 | 386.9 | 347.5 | 353.9 | 345.7 | 292.2 |