1.6 Panorama Financiero (PF)-1
En millones de dólares al final del período

200120022003

DicMarJunSepDicEne Feb Mar Abr May Jun Jul Ago Sep Oct Nov Dic
                   
I. ACTIVOS EXTERNOS NETOS (a + b)1268.11538.91780.42011.61954.51942.51922.82226.52415.32582.02539.82761.52856.43006.63164.93251.03110.4 
     a. Reserva internacional de libre disponibilidad1073.81032.71173.41174.51008.01031.9913.21053.91134.01090.81054.21190.61229.31318.41379.21365.41160.4 
     b. Otros activos externos netos194.3506.2607.0837.1946.6910.61009.61172.51281.31491.31485.71570.91627.11688.31785.81885.61950.0 
                   
II. ACTIVOS INTERNOS NETOS (c + d)4168.64181.14206.64279.64440.74274.93215.43017.62864.22725.02777.02634.62650.82584.32540.42621.32767.6 
c. CrÚdito interno (c.1+ c.2 + c.3 + c.4 + c.5 )5633.85657.75934.95013.85083.84983.85046.14946.44750.24747.54726.74665.14716.84683.54610.34742.54939.7 
      c.1 CrÚdito neto al gobierno central (c.1.1 - c.1.2)294.0288.5336.0409.5336.9255.8349.5244.157.3-48.3-34.0-146.7-145.9-257.4-259.4-172.9-68.7 
              c.1.1 CrÚdito1993.32002.41928.41813.51642.31637.51817.41801.31784.21696.31692.91682.61695.81723.21715.51724.61724.4 
              c.1.2 Depósitos y otros pasivos1699.31713.91592.41404.01305.41381.71468.01557.21726.91744.61726.91829.31841.71980.61974.91897.51793.1 
      c.2 CrÚdito gobiernos provinciales y locales0.00.00.00.00.00.08.57.98.310.610.19.611.010.810.512.212.5 
      c.3 Depósitos fondos seguridad social-313.6-354.4-338.3-456.4-406.8-424.1-460.3-502.9-535.1-525.6-553.7-579.8-598.5-628.0-697.8-721.9-673.0 
      c.4 CrÚdito sociedades públicas no finan. (empresas)0.00.00.00.00.00.00.90.60.80.60.70.60.90.91.41.41.5 
      c.5 CrÚdito al sector privado (c.5.1 + c.5.2 + c.5.3)5653.55723.65937.25060.85153.75152.05147.65196.65219.05310.25303.65381.45449.35557.25555.55623.85667.4 
                  c.5.1 Cartera (c.5.1.1 + c.5.1.2)5108.25136.95282.44498.44595.24583.64657.94661.74665.84761.44759.94826.34893.35000.34994.55044.85076.4 
                           c.5.1.1 Por vencer2888.52951.83199.03393.93489.23444.73504.23497.03504.83575.13589.33654.73689.33811.73837.73914.94024.7 
                           c.5.1.2 Vencida2219.72185.12083.41104.51106.01138.91153.71164.61161.01186.31170.71171.61204.01188.51156.81129.91051.7 
                  c.5.2 Títulos valores23.625.624.20.00.00.092.6101.9102.7109.391.499.485.085.490.497.3103.7 
                  c.5.3 Otros activos521.7561.1630.6562.4558.5568.4397.1433.1450.5439.4452.3455.6471.0471.6470.7481.7487.3 
d. Otros activos netos no clasificados (d.1 - d.2)-1465.3-1476.6-1728.3-734.2-643.1-708.9-1830.7-1928.7-1886.0-2022.5-1949.7-2030.5-2065.9-2099.2-2069.8-2121.2-2172.1 
      d.1 Activos3733.83802.33420.23670.63573.83621.33800.43748.43761.03789.03891.13761.53788.33761.43806.13821.93749.4 
      d.2 Pasivos5199.15278.95148.54404.84217.04330.25631.15677.15646.95811.55840.95792.15854.35860.65875.95943.15921.5 
                   
III. PASIVOS FINANCIEROS (I + II = e + f)5436.35719.45986.96291.36395.16217.45138.25243.95278.75306.95316.75396.05507.35591.05705.45872.25877.9 
e. Pasivos monetarios (e.1 + e.2 + e.3)4907.35200.85495.65732.65830.55659.55104.85208.35241.05267.85280.85345.55442.35524.95637.45805.25810.5 
        e.1 Circulación monetaria (e.1.1 - e.1.2)27.229.934.036.839.640.140.541.343.243.544.545.546.146.447.148.249.7 
                 e.1.1 Emisión monetaria (e.1.1.1 + e.1.1.2)27.229.934.036.839.640.140.541.343.243.544.545.546.146.447.148.249.7 
                          e.1.1.1. Emisión monetaria antigua0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0 
                          e.1.1.2. Emisión monetaria nueva27.229.934.036.839.640.140.541.343.243.544.545.546.146.447.148.249.7 
                 e.1.2 (-) Caja bancos privados0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0 
        e.2 Depósitos a la vista (e.2.1 + e.2.2 + e.2.3+e.2.4)1687.51777.51954.71971.32041.21892.51711.61810.91813.71834.41839.31858.71893.31906.21965.62020.62029.9 
                 e.2.1 Gobiernos provinciales y locales153.8143.5188.9140.5102.9118.1127.7122.8138.4134.7156.9149.7157.1193.1204.2190.8145.8 
                 e.2.2 Sociedades públicas no financieras (empresas)92.076.1131.6105.1106.061.5155.2203.9219.5194.7220.0202.4233.8224.6257.0266.1241.1 
                 e.2.3 Otras sociedades no financieras0.00.00.00.00.00.0777.1815.4752.0763.6778.9805.0828.4778.6820.5866.7937.3 
                 e.2.4 Otros sectores residentes(hogares)1441.71558.01634.21725.71832.31712.9651.6668.8703.8741.5683.4701.5674.0709.8683.9697.0705.7 
        e.3 Cuasidinero (e.3.1 + e.3.2 + e.3.3 + e.3.4 + e.3.5)3192.53393.43506.93724.53749.73727.03352.73356.13384.13389.93397.13441.43503.03572.33624.73736.53731.0 
                e.3.1 Depósitos de ahorro917.7996.61082.91162.21240.21220.91208.71229.41273.91267.71218.91267.11275.51318.01350.71412.81466.7 
                e.3.2 Depósitos a plazo fijo1367.81531.71592.91851.01801.91828.71851.41837.21849.31873.41925.61938.51973.32001.22004.42069.12048.1 
                e.3.3 Depósitos restringidos (2)154.2141.7215.10.00.00.00.00.00.00.00.00.00.00.00.00.00.0 
                e.3.4 Operaciones de reporto40.335.823.319.822.421.223.416.117.824.319.215.129.636.449.643.516.8 
                e.3.5 Otros depósitos (3)712.5687.7592.8691.6685.2656.2269.2273.3243.2224.5233.3220.7224.6216.7220.0211.2199.3 
                   
f. Instrumentos financieros529.0518.7491.3558.6564.6557.933.435.637.739.135.950.565.066.168.067.067.3 
(1) Corresponde a la consolidación de las cuentas del panorama monetario y del panorama de las otras sociedades financieras.
(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.