1.8 CUASIDINERO

Saldos en millones de dólares al final del período

1999 2000 2001 2002

Dic Dic Ene Feb Mar Abr May Jun Jul Ago Sep Oct Nov Dic Ene Feb

PANORAMA MONETARIO (PM)

Cuasidinero (a + b + c + d + e)

2306.62659.12758.52810.82814.72884.62807.42835.22924.32893.52957.12987.53051.93061.73072.43169.7

a. Depósitos de ahorro

445.1592.7628.6661.8698.5755.9738.3809.5719.1758.5778.1799.8832.3847840.2866.4

b. Depósitos a plazo fijo

521.31147.41136.61173.91175.61184.91230.91222.81231.11174.71197.91255.91309.41323.61348.51373.2

c. Depósitos restringidos

999.6346.5347.2333.1330.4332.7251.6239221.1239.1247245.6148.5149.6143.1145.2

d. Operaciones de reporto

168.69268.87071.452.264.678.189.897.391.16157.639.848.739.9

e. Otros depósitos

171.9480.6577.4572.1538.7558.9522.1485.8663.2623.9643625.2704.1701.8691.9745

OTRAS SOCIEDADES DE DEPOSITO (OSD)

Cuasidinero (a + b + c + d + e)

181.3214.1222.3229.7245.6258.2274279270.3265.5273.3284.9287.5295.7308.7317.3

a. Depósitos de ahorro

2031.535.337404142.243.343.845.546.148.749.551.854.154.3

b. Depósitos a plazo fijo

45.1131.1133.7132.3144150.1163.4174.5157.7155.2166.1173.2172179.7192.7201.8

c. Depósitos restringidos

91109.89.787.47.37.27.174.94.94.94.84.85

d. Operaciones de reporto

2.36.173.94.645.24.76.15.66.47.74.90.622.3

e. Otros depósitos

22.935.636.446.84955.855.949.355.552.249.950.456.358.755.154

OTROS INTERMEDIARIOS FINANCIEROS (OIF)

Cuasidinero (a + b + c + d )

11.120.62222.922.522.220.221.521.620.820.721.81515.31918

a. Depósitos a plazo fijo

1.45.36.46.57.78.49.210.610.79.81010.912.312.315.315.4

b. Depósitos restringidos

7.84.84.74.732.21.21110.80.80.60.60.60.6

c. Operaciones de reporto

1.610.110.410.610.610.48.58.58.68.78.78.80.10.10.10.1

d. Otros depósitos

0.40.40.41.11.21.21.31.41.31.31.21.322.332

PANORAMA FINANCIERO (PF)

Cuasidinero (a + b + c + d + e)

24992893.83002.83063.43082.831653101.53135.73216.23179.73251.23294.23354.43372.734003505.1

a. Depósitos de ahorro

465.1624.1663.9698.8738.5796.9780.5852.8762.9804824.2848.6881.7898.8894.3920.7

b. Depósitos a plazo fijo

567.71283.71276.71312.71327.31343.41403.51407.91399.51339.71373.91440.11493.61515.61556.61590.4

c. Depósitos restringidos

1098.3361.2361.7347.5341.4342.3260247.2229.2247.1252.8251.2154155.1148.5150.8

d. Operaciones de reporto

172.6108.286.284.586.666.678.291.3104.6111.6106.377.462.640.450.842.2

e. Otros depósitos

195.2516.6614.2620588.9615.9579.2536.5720677.4694676.9762.4762.8749.9801


Fuente: Instituciones financieras
Copyright 1997 © Banco Central del Ecuador