En millones de dólares al final del período
| 1999 | 2000 | 2001 | 2002 |
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| Dic | Dic | Mar | Jun | Sep | Dic | Ene | Feb | Mar | Abr | May | Jun | Jul | Ago | Sep | Oct | Nov |
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I. ACTIVOS EXTERNOS NETOS (a+b) | 808.8 | 990.0 | 756.3 | 1007.9 | 1044.0 | 993.3 | 968.2 | 971.3 | 992.0 | 1082.4 | 1134.3 | 1220.3 | 1236.5 | 1198.0 | 1290.3 | 1301.5 | 1228.0 |
a. Reserva internacional de libre disponibilidad | 872.7 | 1179.7 | 954.0 | 1204.2 | 1160.6 | 1073.8 | 1120.8 | 1103.3 | 1032.7 | 1096.9 | 1124.1 | 1173.4 | 1171.1 | 1120.5 | 1174.5 | 1175.6 | 1080.3 |
b. Otros activos externos netos (b.1-b.2) | -63.9 | -189.7 | -197.7 | -196.3 | -116.5 | -80.5 | -152.6 | -132.0 | -40.7 | -14.5 | 10.2 | 46.9 | 65.4 | 77.5 | 115.8 | 125.9 | 147.6 |
b.1 Activos | 408.5 | 310.3 | 271.3 | 276.9 | 317.5 | 315.4 | 314.2 | 314.2 | 313.2 | 329.8 | 340.0 | 377.7 | 383.7 | 378.8 | 412.7 | 414.4 | 418.0 |
b.2 Pasivos | 472.4 | 500.0 | 469.1 | 473.3 | 434.1 | 395.9 | 466.8 | 446.2 | 353.8 | 344.3 | 329.8 | 330.7 | 318.2 | 301.3 | 296.8 | 288.4 | 270.4 |
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II. ACTIVOS INTERNOS NETOS (c+d) | 445.7 | -509.7 | -286.5 | -488.1 | -543.6 | -380.3 | -432.0 | -404.6 | -486.9 | -558.6 | -555.1 | -602.1 | -670.9 | -613.4 | -788.8 | -783.2 | -683.2 |
c. Crédito interno (c.1+c.2+c.3+c.4) | 1513.5 | 704.4 | 942.1 | 758.1 | 743.7 | 825.0 | 780.8 | 809.4 | 722.8 | 724.8 | 752.1 | 706.0 | 603.3 | 684.3 | 526.9 | 542.7 | 658.9 |
c.1 Crédito neto al gobierno central | 1094.8 | 597.4 | 876.1 | 756.0 | 703.4 | 757.4 | 678.8 | 632.7 | 624.2 | 587.2 | 642.5 | 586.9 | 544.6 | 654.2 | 570.0 | 591.0 | 679.8 |
c.1.1 Crédito | 1479.2 | 1425.0 | 1406.1 | 1403.2 | 1271.9 | 1278.8 | 1264.5 | 1132.0 | 1132.3 | 1110.3 | 1111.1 | 1102.8 | 1102.8 | 1133.9 | 1129.1 | 1146.5 | 1148.3 |
c.1.2 Depósitos | 384.4 | 827.5 | 530.0 | 647.2 | 568.6 | 521.4 | 585.7 | 499.3 | 508.1 | 523.1 | 468.5 | 515.9 | 558.1 | 479.7 | 559.1 | 555.5 | 468.5 |
c.2 Crédito neto fondos de seguridad social | -7.6 | -113.2 | -148.8 | -212.2 | -306.8 | -313.6 | -283.9 | -297.5 | -354.4 | -315.2 | -344.3 | -338.3 | -362.5 | -388.4 | -456.4 | -461.9 | -433.9 |
c.3 Crédito al sistema financiero | 422.2 | 212.3 | 206.4 | 206.2 | 338.0 | 372.8 | 377.7 | 466.2 | 445.0 | 445.1 | 446.3 | 449.7 | 408.3 | 403.6 | 398.3 | 398.5 | 398.2 |
c.3.1 Crédito otras sociedades de depósito | 422.2 | 187.8 | 181.2 | 180.9 | 312.7 | 347.5 | 352.4 | 440.9 | 419.7 | 419.8 | 421.0 | 419.2 | 377.8 | 373.1 | 367.8 | 368.1 | 367.7 |
| | 0.0 | 24.6 | 25.2 | 25.3 | 25.3 | 25.3 | 25.3 | 25.3 | 25.3 | 25.3 | 25.3 | 30.5 | 30.5 | 30.5 | 30.5 | 30.5 | 30.5 |
| | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
c.4 Crédito al sector privado (particulares) | 4.1 | 7.8 | 8.4 | 8.1 | 9.1 | 8.5 | 8.2 | 8.0 | 8.0 | 7.8 | 7.6 | 7.7 | 12.8 | 15.0 | 15.1 | 15.0 | 14.8 |
d. Activos netos no clasificados (d.1-d.2) | -1067.8 | -1214.1 | -1228.6 | -1246.2 | -1287.3 | -1205.3 | -1212.8 | -1214.0 | -1209.7 | -1283.4 | -1307.2 | -1308.0 | -1274.2 | -1297.7 | -1315.7 | -1325.8 | -1342.2 |
d.1 Activos | 100.0 | 317.9 | 300.7 | 301.3 | 326.6 | 346.6 | 353.9 | 361.0 | 370.7 | 321.7 | 311.6 | 297.1 | 343.1 | 344.2 | 343.2 | 341.7 | 336.4 |
d.2 Pasivos | 1167.8 | 1532.0 | 1529.3 | 1547.5 | 1613.9 | 1551.9 | 1566.6 | 1575.1 | 1580.4 | 1605.2 | 1618.8 | 1605.2 | 1617.3 | 1641.9 | 1658.9 | 1667.6 | 1678.6 |
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III. BASE MONETARIA Y OTRAS OBLIGACIONES ( I+II)=(e+f) | 1254.5 | 480.3 | 469.8 | 519.8 | 500.5 | 613.0 | 536.2 | 566.7 | 505.1 | 523.8 | 579.2 | 618.2 | 565.6 | 584.6 | 501.6 | 518.3 | 544.8 |
e. Base monetaria (e.1+e.2) | 770.2 | 261.2 | 207.1 | 178.9 | 163.2 | 288.6 | 227.3 | 278.5 | 239.8 | 238.8 | 248.1 | 262.1 | 265.5 | 296.6 | 224.6 | 251.4 | 286.9 |
e.1 Emisión monetaria | 577.9 | 35.2 | 37.2 | 35.2 | 25.8 | 27.2 | 27.9 | 28.8 | 29.9 | 31.2 | 32.8 | 34.0 | 35.2 | 35.8 | 36.8 | 36.8 | 38.3 |
e.1.1 Emisión Monetaria (antigua) (3) | 577.9 | 11.7 | 9.8 | 9.4 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
e.1.2 Emisión Monetaria (nueva) (4) | 0.0 | 23.5 | 27.3 | 25.7 | 25.8 | 27.2 | 27.9 | 28.8 | 29.9 | 31.2 | 32.8 | 34.0 | 35.2 | 35.8 | 36.8 | 36.8 | 38.3 |
e.2 Reservas bancarias | 192.3 | 225.9 | 170.0 | 143.7 | 137.4 | 261.4 | 199.4 | 249.7 | 209.9 | 207.6 | 215.3 | 228.2 | 230.4 | 260.9 | 187.8 | 214.6 | 248.6 |
e.2.1 Depósitos Otras sociedades de Depósito | 185.0 | 214.0 | 165.5 | 141.7 | 136.7 | 253.5 | 196.4 | 243.7 | 206.9 | 204.2 | 209.9 | 225.4 | 229.3 | 257.2 | 186.8 | 212.1 | 246.9 |
e.2.2 Depósitos Intermediarios financieros | 7.3 | 11.9 | 4.5 | 2.0 | 0.8 | 7.9 | 3.1 | 6.0 | 3.1 | 3.4 | 5.4 | 2.7 | 1.1 | 3.7 | 1.0 | 2.5 | 1.7 |
f. Otras obligaciones del BCE (f.1+f.2+f.3+f.4) | 484.2 | 219.1 | 262.7 | 340.9 | 337.3 | 324.4 | 308.8 | 288.3 | 265.3 | 285.0 | 331.1 | 356.1 | 300.1 | 288.0 | 277.0 | 266.9 | 257.9 |
f.1 Bonos de estabilización | 356.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 | 0.1 |
f.2 Títulos Banco Central del Ecuador | 0.0 | 6.1 | 10.0 | 19.3 | 17.1 | 54.6 | 59.6 | 51.6 | 23.6 | 2.0 | 7.3 | 7.3 | 4.1 | 10.2 | 13.3 | 8.4 | 16.3 |
f.3 Depósitos sector público y particulares | 125.2 | 203.7 | 249.8 | 313.8 | 312.6 | 261.6 | 243.1 | 230.9 | 232.9 | 275.2 | 316.3 | 344.9 | 291.8 | 272.9 | 260.4 | 255.4 | 238.0 |
f.3.1 Depósitos gobiernos locales | 45.7 | 73.1 | 123.3 | 187.3 | 179.8 | 153.8 | 136.1 | 146.8 | 143.5 | 150.1 | 181.0 | 188.9 | 171.3 | 169.4 | 140.5 | 133.5 | 123.3 |
| | 62.1 | 122.4 | 116.1 | 112.6 | 117.3 | 92.0 | 84.6 | 70.4 | 76.1 | 110.5 | 122.0 | 131.6 | 105.2 | 89.1 | 105.1 | 111.9 | 105.0 |
f.3.3 Depósitos sector privado (particulares) | 17.4 | 8.1 | 10.3 | 13.9 | 15.4 | 15.7 | 22.4 | 13.7 | 13.4 | 14.6 | 13.4 | 24.4 | 15.3 | 14.4 | 14.9 | 10.0 | 9.7 |
f.4 Cuentas por pagar | 2.9 | 9.3 | 2.9 | 7.7 | 7.6 | 8.2 | 6.1 | 5.8 | 8.7 | 7.8 | 7.4 | 3.9 | 4.2 | 4.8 | 3.2 | 3.2 | 3.6 |