1999 | 2000 | 2001 | |||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Dic | Mar | Jun | Sep | Dic | Ene | Feb | Mar | Abr | May | Jun | Jul | Ago | |
I. ACTIVOS EXTERNOS NETOS (a -b) | -186.7 | 63.1 | 164.3 | 94.1 | 256.5 | 137.9 | 262.3 | 317.3 | 267.9 | 319.9 | 278.8 | 267.3 | 294.6 |
a. Activos | 667.1 | 832.5 | 849.8 | 741.7 | 853 | 737.8 | 840.9 | 881.9 | 813.4 | 835.6 | 847.6 | 820.5 | 857.2 |
b. Pasivos | 853.8 | 769.4 | 685.5 | 647.6 | 596.6 | 599.9 | 578.6 | 564.6 | 545.5 | 515.7 | 568.9 | 553.2 | 562.6 |
II. ACTIVOS INTERNOS NETOS (c +d + e) | 3459.3 | 3077.7 | 3414.6 | 3625.3 | 3650.5 | 3949.8 | 3940.2 | 3981.6 | 4114.1 | 4067.3 | 4104.4 | 4068.5 | 4174.5 |
c. Crédito interno (c.1 + c.2 + c.3 + c.4 + c.5) | 4645.2 | 4342.6 | 4579.8 | 4633.9 | 4478.4 | 4255.7 | 4191.5 | 4186.1 | 4254.1 | 4535.9 | 4525.9 | 4592.8 | 4632.4 |
c.1 Crédito neto al gobierno central ( c.1 - c.2) | 311.9 | 282.3 | 303.6 | 256.6 | -65.2 | -495.6 | -514.2 | -555.6 | -569.2 | -308.8 | -289.6 | -307.3 | -430.2 |
c.1 Crédito | 382.2 | 359.3 | 404 | 371 | 363.2 | 367.3 | 357.1 | 345.6 | 353.9 | 630.4 | 655.3 | 648.4 | 616.5 |
c.2 Depósitos | 70.2 | 77.1 | 100.4 | 114.4 | 428.4 | 862.9 | 871.3 | 901.2 | 923.1 | 939.2 | 944.9 | 955.7 | 1046.7 |
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 | 3625.5 | 3819.4 | 3942 | 4271.2 | 4273.5 | 4247.1 | 4318.9 | 4383.3 | 4362.4 | 4371.3 | 4474.5 | 4592.7 |
c.3.1 Cartera (c.3.1.1 + c.3.1.2) | 3589.3 | 3279.5 | 3289.5 | 3358.1 | 3584.2 | 3592.2 | 3596.3 | 3664.9 | 3727.6 | 3813.7 | 3913.9 | 4012.5 | 4119.2 |
c.3.1.1 Por vencer | 2140.7 | 1707 | 1702.6 | 1665.6 | 1876.5 | 1881.9 | 1880.8 | 1932.1 | 1978.5 | 2074.9 | 2185.1 | 2279 | 2363.1 |
c.3.1.2 Vencida | 1448.6 | 1572.6 | 1586.9 | 1692.5 | 1707.7 | 1710.3 | 1715.5 | 1732.8 | 1749.1 | 1738.8 | 1728.8 | 1733.5 | 1756.1 |
c.3.2 Títulos valores (repos) | 10 | 7.1 | 27.5 | 36 | 19.7 | 13 | 7.8 | 13.4 | 12.9 | 24.8 | 0 | 0 | 0 |
c.3.3 Otros activos | 382.7 | 338.8 | 502.5 | 548 | 667.4 | 668.4 | 643.1 | 640.7 | 642.8 | 523.9 | 457.4 | 462 | 473.5 |
c.4 Crédito neto a otras sociedades de depósito (c.4.1 - c.4.2) | 395.7 | 505.3 | 559.3 | 539.9 | 385.7 | 612.6 | 593.5 | 567.6 | 597.4 | 642.1 | 604.3 | 567.5 | 611.2 |
c.4.1 Activos | 396.6 | 506 | 562.7 | 541.1 | 388.3 | 615.3 | 599.7 | 575 | 603.6 | 648.6 | 611.9 | 573.1 | 617.2 |
c.4.2 Pasivos | 0.9 | 0.7 | 3.4 | 1.2 | 2.6 | 2.6 | 6.3 | 7.4 | 6.2 | 6.5 | 7.6 | 5.6 | 5.9 |
c.5 Crédito neto a otros intermediarios (c.5.1 - c.5. 2) | -44.4 | -70.5 | -102.5 | -104.7 | -113.3 | -134.9 | -134.9 | -144.9 | -157.5 | -159.8 | -160.2 | -141.9 | -141.4 |
c.5.1 Activos | 44.3 | 40.4 | 26 | 24.7 | 24.6 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
c.5.2 Pasivos | 88.7 | 110.9 | 128.4 | 129.4 | 138 | 134.9 | 134.9 | 144.9 | 157.5 | 159.8 | 160.2 | 141.9 | 141.4 |
d. Posición neta con el BCE (d.1 - d.2) | 111.3 | -4.5 | 25.6 | 113.6 | 105.2 | 40.5 | 18.3 | 65.7 | 59.7 | 56.9 | 39.4 | 70.2 | 36 |
d.1. Reservas internas | 422 | 257 | 196.2 | 253.9 | 234.2 | 171.3 | 145.6 | 191.4 | 181.6 | 178.9 | 159.4 | 206.2 | 174 |
d.2. Pasivos | 310.7 | 261.5 | 170.6 | 140.3 | 129 | 130.8 | 127.3 | 125.7 | 121.9 | 122 | 119.9 | 136 | 138 |
e. Otros activos netos no clasificados (e.1 - e.2) | -1297.3 | -1260.3 | -1190.8 | -1122.2 | -933.1 | -346.4 | -269.6 | -270.2 | -199.7 | -525.5 | -460.9 | -594.5 | -493.9 |
e.1. Activos | 1047.7 | 1053 | 1533.9 | 1452.4 | 1385.3 | 1463.5 | 1588.9 | 1540.7 | 1574.7 | 1547.4 | 1606 | 1580 | 1614.2 |
e.2. Pasivos | 2344.9 | 2313.3 | 2724.7 | 2574.5 | 2318.4 | 1809.9 | 1858.5 | 1810.9 | 1774.4 | 2072.9 | 2066.8 | 2174.5 | 2108.1 |
III. PASIVOS FINANCIEROS (I + II = f + g) | 3272.6 | 3140.7 | 3578.9 | 3719.4 | 3907 | 4087.6 | 4202.5 | 4298.8 | 4382 | 4387.2 | 4383.2 | 4335.8 | 4469.1 |
f. Pasivos monetarios (f.1 + f.2) | 2878 | 2787.5 | 3208.2 | 3372 | 3607.6 | 3782.3 | 3889.1 | 3990.6 | 4074.5 | 4073.5 | 4068.6 | 4009.2 | 4112.9 |
f.1 Depósitos a la vista (3) | 571.4 | 696 | 808 | 828.8 | 948.5 | 1023.8 | 1078.3 | 1175.9 | 1189.9 | 1266.1 | 1233.5 | 1084.9 | 1220.2 |
f.2 Cuasidinero (f.2.1 + f.2.2 + f.2.3 + f.2.4 + f.2.5) | 2306.6 | 2091.5 | 2400.2 | 2543.2 | 2659.1 | 2758.5 | 2810.8 | 2814.7 | 2884.6 | 2807.4 | 2835.2 | 2924.3 | 2892.7 |
f.2.1 Depósitos de ahorro | 445.1 | 491.7 | 556.1 | 564.6 | 592.7 | 628.6 | 661.8 | 698.5 | 755.9 | 738.3 | 809.5 | 719.1 | 758.5 |
f.2.2 Depósitos a plazo fijo | 521.3 | 718.5 | 1043.5 | 1126.8 | 1147.4 | 1136.6 | 1173.9 | 1175.6 | 1184.9 | 1230.9 | 1222.8 | 1231.1 | 1174.7 |
f.2.3 Depósitos restringidos | 999.6 | 489.1 | 160.2 | 303.2 | 346.5 | 347.2 | 333.1 | 330.4 | 332.7 | 251.6 | 239 | 221.1 | 239.1 |
f.2.4 Operaciones de reporto | 168.6 | 103.8 | 96.9 | 70.4 | 92 | 68.8 | 70 | 71.4 | 52.2 | 64.6 | 78.1 | 89.8 | 97.3 |
f.2.5 Otros depósitos | 171.9 | 288.4 | 543.6 | 478.1 | 480.6 | 577.4 | 572.1 | 538.7 | 558.9 | 522.1 | 485.8 | 663.2 | 623.2 |