1.4 Panorama monetario (PM)(1)
En millones de dólares al final del período

31-Mar-01 30-Jun-01 30-Sep-01 31-Dic-01 31-Mar-02 30-Jun-02 30-Sep-02 31-Dic-02 31-Ene-03 28-Feb-0331-Mar-0330-Abr-0331-May-0330 Jun-03 31 Jul-0331 Ago- 03
I. ACTIVOS EXTERNOS NETOS (a + b)1075.71289.41399.81503.71499.71745.01976.91922.31911.81892.72194.52380.52544.92500.62724.02823.3 
     a. Reserva internacional de libre disponibilidad954.01204.21160.61073.81032.71173.41174.51008.01031.9913.21053.91134.01090.81054.21190.61229.3 
     b. Otros activos externos netos121.785.2239.2429.8467.1571.7802.4914.3879.8979.41140.51246.41454.11446.51533.41594.0 
                  
II. ACTIVOS INTERNOS NETOS (c + d)3647.83599.73710.13861.14152.14179.44262.44436.74269.73242.73046.82896.42759.62813.62669.72681.6 
c. CrÚdito interno (c.1+ c.2 + c.3 + c.4 + c.5 + c.6 )4689.54839.14957.75108.75117.45417.34886.04995.84874.05001.34851.74635.64635.54614.14556.84632.1 
      c.1 CrÚdito neto al gobierno central (c.1.1 - c.1.2)349.8481.4339.3249.1214.0272.4356.2311.4235.8326.2214.037.4-55.0-49.2-156.5-159.2 
              c.1.1 CrÚdito1782.52074.51960.41841.61819.61762.51654.91518.51519.71695.61669.61658.81579.71566.61565.81576.0 
              c.1.2 Depósitos y otros pasivos1432.71593.11621.11592.51605.71490.11298.81207.01283.91369.41455.61621.41634.71615.91722.21735.2 
      c.2 CrÚdito gobiernos provinciales y locales         8.57.98.310.610.19.611.0 
      c.3 CrÚdito neto fondos de seguridad social-148.8-212.2-306.8-313.6-354.4-338.3-456.4-406.8-424.1-460.3-502.9-535.1-525.6-553.7-579.7-598.5 
      c.4 CrÚdito sociedades públicas no finan. (empresas)         0.90.60.80.60.70.60.9 
      c.5 CrÚdito neto otras sociedades financieras (c.5.1-c.5.2)-124.3-137.0-119.8-117.2-124.0-123.7-54.7-42.2-69.08.6-34.4-64.1-74.2-66.2-67.7-40.5 
               c.5.1 CrÚdito25.225.325.325.325.330.534.030.230.2158.4141.7138.7141.7138.5140.7141.5 
               c.5.2 Depósitos y otros pasivos149.5162.2145.1142.5149.3154.288.772.499.2149.9176.1202.9215.8204.7208.4181.9 
      c.6 CrÚdito al sector privado (c.6.1 + c.6.2 + c.6.3)4612.84706.95044.95290.45381.85606.95041.05133.45131.35117.45166.45188.45279.15272.45350.55418.4 
                  c.6.1 Cartera (c.6.1.1 + c.6.1.2)3928.64217.94517.84768.74820.74976.44498.44595.24583.64654.64658.14662.04757.34755.94822.24889.3 
                           c.6.1.1 Por vencer2157.52453.32638.32834.62909.73153.93393.93489.23444.73516.83509.43517.33587.13602.73666.93702.1 
                           c.6.1.2 Vencida1771.11764.61879.51934.11911.01822.51104.51106.01138.91137.81148.81144.71170.21153.21155.41187.3 
                  c.6.2 Títulos valores13.40.00.00.00.00.00.00.00.092.6101.9102.7109.391.499.485.0 
                  c.6.3 Otros activos670.8489.0527.1521.7561.1630.6542.6538.2547.7370.3406.3423.7412.4425.1428.9444.1 
d. Otros activos netos no clasificados (d.1 - d.2)-1041.8-1239.4-1247.6-1247.6-965.2-1237.9-623.6-559.2-604.3-1758.6-1804.8-1739.2-1875.9-1800.5-1887.1-1950.5 
      d.1 Activos2955.13040.93271.83303.93651.13261.13206.23198.53240.23286.03244.83260.33278.23382.73252.33276.6 
      d.2 Pasivos3996.94280.34519.44551.54616.34499.03829.93757.73844.55044.65049.64999.55154.15183.25139.35227.1 
                  
III. PASIVOS FINANCIEROS (I + II = e + f)4723.54889.25109.15364.45651.45924.36239.46358.96181.55135.45241.15276.15304.45314.25393.75504.9 
e. Pasivos monetarios (e.1 + e.2 + e.3)4375.74532.44689.94907.25200.75495.55732.65830.55659.55104.85208.35241.05267.85280.85345.55442.3 
        e.1 Circulación monetaria (e.1.1 - e.1.2)37.235.225.827.229.934.036.839.640.140.541.343.243.544.545.546.1 
                 e.1.1 Emisión monetaria (e.1.1.1 + e.1.1.2)37.235.225.827.229.934.036.839.640.140.541.343.243.544.545.546.1 
                          e.1.1.1. Emisión monetaria antigua9.89.40.00.00.00.00.00.00.00.00.00.00.00.00.00.0 
                          e.1.1.2. Emisión monetaria nueva27.325.725.827.229.934.036.839.640.140.541.343.243.544.545.546.1 
                 e.1.2 (-) Caja bancos privados0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0 
        e.2 Depósitos a la vista (e.2.1 + e.2.2 + e.2.3+e.2.4)1425.61547.31572.21687.51777.51954.71971.32041.21892.51711.61810.91813.71834.41839.31858.71893.3 
                 e.2.1 Gobiernos provinciales y locales123.3187.3179.8153.8143.5188.9140.5102.9118.1127.7122.8138.4134.7156.9149.7157.1 
                 e.2.2 Sociedades públicas no financieras (empresas)116.1112.6117.392.076.1131.6105.1106.061.5155.2203.9219.5194.7220.0202.4233.8 
                 e.2.3 Otras sociedades no financieras         777.1815.4752.0763.6778.9805.0828.0 
                 e.2.4 Otros sectores residentes(hogares)1186.21247.41275.11441.71558.01634.21725.71832.31712.9651.6668.8703.8741.5683.4701.5674.5 
                  
        e.3 Cuasidinero (e.3.1 + e.3.2 + e.3.3 + e.3.4 + e.3.5)2912.92949.93091.93192.53393.43506.83724.53749.73727.03352.73356.13384.13389.93397.13441.43503.0 
                e.3.1 Depósitos de ahorro738.5852.8861.0917.7996.61082.91162.21240.21220.91208.71229.41273.91267.71218.91267.11275.5 
                e.3.2 Depósitos a plazo fijo1327.31407.91246.11367.81531.71592.91851.01801.91828.71851.41837.21849.31873.41925.61938.51973.3 
                e.3.3 Depósitos restringidos (2)341.4247.2252.4154.2141.7215.10.00.00.00.00.00.00.00.00.00.0 
                e.3.4 Operaciones de reporto76.082.897.640.335.723.319.822.421.223.416.110.510.610.615.129.6 
                e.3.5 Otros depósitos (3)429.6359.2634.8712.5687.7592.8691.6685.2656.2269.2273.3250.4238.2242.0220.7224.6 
                  
f. Instrumentos financieros347.8356.7419.2457.1450.7428.8506.7528.4521.930.632.835.136.633.448.262.6 
(1) Corresponde a la consolidación de las cuentas del BCE con las OSD. A partir del mes de julio de 2002 no se incluye el Filanbanco porque no se dispone del balance contable.
(2) De acuerdo al Catálogo de Cuentas vigente a partir del 1o de julio de 2002, los depósitos restringidos están incluidos en el rubro otros depósitos. 
(3) No incluye depósitos por confirmar.


Fuente: Instituciones Financieras.