| 31-Mar-01 | 30-Jun-01 | 30-Sep-01 | 31-Dic-01 | 31-Ene-02 | 28-Feb-02 | 31-Mar-02 | 30-Abr-02 | 31-May-02 | 30-Jun-02 | 31-Jul-02 | 31-Ago-02 | 30-Sep-02 | |||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
I. ACTIVOS EXTERNOS NETOS (a -b) | 314.3 | 276.3 | 349.3 | 502.1 | 479.1 | 487.6 | 485.7 | 544.8 | 560.2 | 502.2 | 565.6 | 577.6 | 672 | ||||
a. Activos | 877.5 | 843.8 | 891.3 | 1007.3 | 972.9 | 977.5 | 935.6 | 1010 | 1039 | 984.4 | 1006.5 | 990.3 | 1077.1 | ||||
b. Pasivos | 563.2 | 567.6 | 542 | 505.2 | 493.8 | 489.9 | 449.9 | 465.2 | 478.8 | 482.2 | 440.9 | 412.7 | 405.1 | ||||
II. ACTIVOS INTERNOS NETOS (c +d + e) | 3944.7 | 4066 | 4206.6 | 4315.3 | 4566 | 4604.4 | 4651.9 | 4632.2 | 4684.2 | 4699.5 | 4718.2 | 4766.2 | 4787.1 | ||||
c. Crédito interno (c.1 + c.2 + c.3 + c.4 + c.5) | 3550.5 | 3900.6 | 4119.1 | 4168.2 | 4317.4 | 4343.3 | 4327.8 | 4315.3 | 4396.2 | 4594.9 | 3919.7 | 3915.7 | 3953.7 | ||||
c.1 Crédito neto al gobierno central ( c.1 - c.2) | -498.7 | -236.7 | -318.6 | -478.1 | -329 | -325.6 | -367.7 | -435.5 | -405 | -279.3 | -224.6 | -242.6 | -242.1 | ||||
c.1 Crédito | 335.6 | 625.8 | 636.2 | 510.6 | 617.1 | 628.7 | 639.9 | 594.7 | 591.9 | 597.3 | 456.1 | 448.5 | 462.2 | ||||
c.2 Depósitos (2) | 834.4 | 862.5 | 954.8 | 988.7 | 946 | 954.3 | 1007.6 | 1030.2 | 996.9 | 876.6 | 680.6 | 691.1 | 704.3 | ||||
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) | 4197.9 | 4301.2 | 4585.9 | 4784.9 | 4787.6 | 4812 | 4846.5 | 4901.7 | 4953.2 | 5030.3 | 4231.8 | 4233.3 | 4272.2 | ||||
c.3.1 Cartera (c.3.1.1 + c.3.1.2) | 3621.8 | 3862 | 4124.8 | 4329.8 | 4320.7 | 4324.4 | 4349.7 | 4407.3 | 4447.6 | 4467.6 | 3763 | 3778.3 | 3798 | ||||
c.3.1.1 Por vencer | 1907.6 | 2151 | 2302.9 | 2454.2 | 2448.2 | 2460.1 | 2496 | 2549.8 | 2615.2 | 2701.3 | 2659.7 | 2703.1 | 2747.4 | ||||
c.3.1.2 Vencida | 1714.2 | 1711 | 1821.9 | 1875.6 | 1872.5 | 1864.3 | 1853.7 | 1857.5 | 1832.4 | 1766.3 | 1103.3 | 1075.2 | 1050.6 | ||||
c.3.2 Títulos valores (repos) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | ||||
c.3.3 Otros activos | 576.2 | 439.2 | 461.1 | 455.1 | 466.9 | 487.6 | 496.8 | 494.4 | 505.6 | 562.7 | 468.8 | 455 | 474.3 | ||||
c.4 Crédito neto auxiliares financieros y seguros (c.4.1 - c.4.2) | -4.2 | -4.1 | -4.2 | -4.4 | -4.4 | -4.5 | -5.1 | -5.1 | -5.3 | -5.3 | 2.5 | 2.5 | 2.8 | ||||
c.4.1 Activos | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 2.5 | 2.5 | 2.8 | ||||
c.4.2 Pasivos | 4.2 | 4.1 | 4.2 | 4.4 | 4.4 | 4.5 | 5.1 | 5.1 | 5.3 | 5.3 | 0 | 0 | 0 | ||||
c.5 Crédito neto a otros intermediarios (c.5.1 - c.5. 2) | -144.5 | -159.8 | -143.9 | -134.2 | -136.9 | -138.5 | -145.9 | -145.7 | -146.7 | -150.9 | -90 | -77.4 | -79.2 | ||||
c.5.1 Activos | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | ||||
c.5.2 Pasivos | 144.5 | 159.8 | 143.9 | 134.2 | 136.9 | 138.5 | 145.9 | 145.7 | 146.7 | 150.9 | 90 | 77.4 | 79.2 | ||||
d. Posición neta con el BCE (d.1 - d.2) | 57.4 | 35.9 | -0.9 | 97.9 | 62.6 | 120.8 | 86.5 | 70.8 | 67.5 | 99.7 | 91.8 | 117.6 | 87.5 | ||||
d.1. Reservas internas | 179.2 | 152.9 | 129.7 | 262.1 | 231.3 | 256 | 200.4 | 183.9 | 183 | 215.1 | 194 | 220 | 162.8 | ||||
d.2. Pasivos | 121.8 | 117 | 130.7 | 164.2 | 168.7 | 135.2 | 113.8 | 113.1 | 115.5 | 115.3 | 102.1 | 102.4 | 75.3 | ||||
e. Otros activos netos no clasificados (e.1 - e.2) | 336.8 | 129.5 | 88.4 | 49.2 | 186.1 | 140.3 | 237.5 | 246.1 | 220.5 | 4.8 | 706.6 | 732.9 | 745.8 | ||||
e.1. Activos | 2096 | 2135.4 | 2248.7 | 2096.8 | 2228 | 2291 | 2397.9 | 2402.4 | 2326.5 | 2075.8 | 2008.1 | 2014.4 | 2003.6 | ||||
e.2. Pasivos | 1759.2 | 2005.8 | 2160.3 | 2047.6 | 2042 | 2150.7 | 2160.4 | 2156.3 | 2106 | 2071 | 1301.5 | 1281.5 | 1257.8 | ||||
III. PASIVOS FINANCIEROS (I + II = f + g) | 4258.9 | 4342.2 | 4555.9 | 4817.4 | 5045 | 5092 | 5137.6 | 5176.9 | 5244.3 | 5201.7 | 5283.7 | 5343.8 | 5459.1 | ||||
f. Pasivos monetarios (f.1 + f.2) | 3952 | 4028.9 | 4192.7 | 4424.4 | 4650.5 | 4695.1 | 4742.7 | 4781.3 | 4852.9 | 4810.7 | 4875.7 | 4926.3 | 5043.4 | ||||
f.1 Depósitos a la vista (3) | 1167.5 | 1225.7 | 1244.2 | 1417.4 | 1541.5 | 1521.9 | 1535.1 | 1604.4 | 1623.7 | 1597.7 | 1602.3 | 1597.3 | 1657.6 | ||||
f.2 Cuasidinero (f.2.1 + f.2.2 + f.2.3 + f.2.4 + f.2.5) | 2784.5 | 2803.3 | 2948.6 | 3007 | 3109 | 3173.2 | 3207.5 | 3176.9 | 3229.2 | 3213 | 3273.5 | 3329 | 3385.8 | ||||
f.2.1 Depósitos de ahorro | 683.3 | 792.3 | 795 | 839.9 | 865.5 | 894.8 | 914.5 | 972 | 987.4 | 993.5 | 939.7 | 942.5 | 933.8 | ||||
f.2.2 Depósitos a plazo fijo | 1163.8 | 1209 | 1055.9 | 1161.3 | 1242.9 | 1252.8 | 1292.7 | 1288.7 | 1287.8 | 1322.1 | 1527.7 | 1578.8 | 1559.3 | ||||
f.2.3 Depósitos restringidos (4) | 330.1 | 238.7 | 246.5 | 148.5 | 142.1 | 143.9 | 136.7 | 131.2 | 211 | 212 | |||||||
f.2.4 Operaciones de reporto | 71.4 | 78.1 | 91.1 | 39.7 | 48.1 | 39.3 | 34.4 | 20.1 | 16.2 | 22 | 23 | 21.5 | 19.1 | ||||
f.2.5 Otros depósitos | 535.9 | 485.2 | 760.1 | 817.6 | 810.5 | 842.4 | 829.2 | 765 | 726.8 | 663.4 | 783.1 | 786.3 | 873.6 | ||||
g. Instrumentos financieros | 307 | 313.3 | 363.2 | 392.9 | 394.5 | 396.9 | 394.9 | 395.6 | 391.4 | 391 | 408 | 417.6 | 415.7 |