1.10.4 Tasas de interés: operaciones pasivas en dólares(1)
Operaciones de libre contratación
Promedio ponderado del período
Periodo / No. de días Bancos Privados (2) Sociedades Financieras Privadas Asociaciones Mutualistas
Depósitos
de Ahorro
Otros
depósitos
Depósitos
a plazo
Operaciones
de reporto
Otros
depósitos
Depósitos
a plazo
Operaciones
de reporto
Depósitos
de Ahorro
Depósitos
a plazo
1-29 30-83 84-91 92-175 176-360 361
o?más
1-29 1-29 30-83 84-91 92-175 176-360 361
o más
1-29 30-83 84-91 92-175 176-360 361
o?más
2000
Abril
5.028.859.808.7410.658.868.016.82 9.319.669.658.457.715.663.837.507.967.877.997.41
 
Mayo
5.407.578.728.549.938.817.726.50 9.259.009.248.548.145.293.286.607.227.457.627.47
 
Junio
4.486.778.158.129.428.277.495.427.208.567.988.848.818.205.223.176.457.628.067.537.00
 
Julio
4.396.748.087.649.278.437.835.04 8.538.649.049.519.635.313.166.307.137.757.387.38
 
Agosto
4.196.398.008.048.989.407.635.26 8.948.826.918.799.476.313.166.377.138.087.397.12
 
Septiembre
4.325.567.807.678.818.066.835.16 9.228.979.249.438.256.763.166.417.147.687.317.31
 
Octubre
3.534.357.347.799.548.988.524.83 9.858.977.948.759.067.073.176.466.887.558.557.23
 
Noviembre
4.244.727.377.529.458.927.794.57 8.328.868.688.598.716.423.196.306.957.107.736.71
 
Diciembre
4.435.908.538.479.448.787.825.787.108.968.968.689.138.226.483.296.687.287.637.867.31
                       
2001
Enero
4.064.267.397.408.848.747.855.039.008.248.479.3710.449.915.213.186.546.927.238.405.46
 
Febrero
3.606.587.037.168.487.909.544.61 8.998.868.978.588.566.153.216.797.036.517.983.83
 
Marzo
3.645.447.167.148.658.228.584.63 8.698.978.789.737.445.373.206.747.136.618.637.00
 
Abril
3.625.126.896.998.568.408.694.17 8.489.039.069.797.827.243.096.847.156.598.336.89
 
Mayo
3.555.136.577.048.127.928.483.386.658.098.649.039.4110.905.183.097.397.586.518.346.94
 
Junio
3.524.826.516.518.197.558.092.646.008.089.089.239.5810.384.573.097.287.496.568.228.79
 
Julio
3.345.056.336.087.387.249.112.775.588.038.949.839.8211.244.853.177.007.186.637.986.67
 
Agosto
3.494.626.136.027.716.617.172.77 7.828.309.4410.449.985.173.166.957.176.787.917.38
 
Septiembre
3.524.706.446.867.428.227.822.334.328.238.889.289.5710.674.793.176.957.256.698.317.89
 
Octubre
3.294.466.266.267.258.098.682.548.958.468.869.669.7110.114.313.166.797.116.507.718.07
 
Noviembre
3.184.046.365.897.506.616.412.296.568.508.939.689.4710.644.083.157.047.236.737.887.11
 
Diciembre
3.034.215.915.487.306.897.031.697.138.358.738.6710.8110.804.253.126.827.176.718.006.87
                       
2002
Enero
2.824.045.885.336.966.556.981.815.408.388.999.8410.259.964.273.146.717.036.707.917.90
 
Febrero
2.722.765.935.197.056.387.511.795.408.779.4710.019.889.824.193.156.196.806.627.217.92
 
Marzo
2.783.185.485.146.996.229.251.565.768.809.538.7310.1711.344.333.136.336.956.677.587.92
 
Abril
2.652.975.145.036.925.375.311.725.858.919.269.6411.0411.344.793.236.077.236.767.468.00
 
Mayo
2.382.895.264.956.836.117.861.585.638.689.059.849.9710.704.463.145.977.416.728.087.01
 
Junio
2.363.015.314.876.306.238.431.565.408.829.779.1011.0410.844.503.145.927.096.707.777.45
 
Julio
2.322.525.225.336.486.298.831.650.008.549.039.059.7910.493.813.085.896.916.867.688.00
 
Agosto
2.372.495.355.196.646.688.211.080.008.498.079.688.3010.193.513.025.867.106.667.556.76
 
Septiembre
2.302.245.394.996.416.748.131.430.007.898.677.859.2310.493.843.035.907.056.687.736.47
 
Octubre
2.232.095.515.366.326.967.691.690.007.438.777.899.1210.264.003.005.897.066.737.567.93
 
Noviembre
2.232.665.505.126.906.867.851.290.007.248.148.329.7010.464.363.185.937.256.817.676.76
 
Diciembre
2.253.005.635.096.596.618.300.690.007.118.128.039.5810.434.183.336.316.866.937.770.00
(1)  Según Regulación 060-2000 de 11 de abril de 2000.
(2)  Corresponde a tasas de bancos nacionales, extranjeros y con asistencia estatal.
FUENTE: Instituciones financieras.