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

200220032004

MarJunSepDicEne Feb Mar Abr May Jun Jul Ago Sep Oct Nov Dic Ene Feb
I. ACTIVOS EXTERNOS NETOS (a + b)1499.71745.01976.91922.31911.81892.72194.52380.52544.92500.62724.02823.32971.23128.83215.53074.13256.43245.6
     a. Reserva internacional de libre disponibilidad1032.71173.41174.51008.01031.9913.21053.91134.01090.81054.21190.61229.31318.41379.21365.41160.41240.41206.6
     b. Otros activos externos netos467.1571.7802.4914.3879.8979.41140.51246.41454.11446.51533.41594.01652.81749.61850.11913.72016.02039.0
                   
II. ACTIVOS INTERNOS NETOS (c + d)4152.14179.44262.44436.74269.73242.73046.82896.42759.62813.62669.72681.62617.42574.42654.62801.72775.32772.1
c. CrÚdito interno (c.1+ c.2 + c.3 + c.4 + c.5 + c.6 )5117.45417.34886.04995.84874.05001.34851.74635.64635.54614.14556.84632.14576.24526.94664.14843.64741.54631.0
      c.1 CrÚdito neto al gobierno central (c.1.1 - c.1.2)214.0272.4356.2311.4235.8326.2214.037.4-55.0-49.2-156.5-159.2-270.0-275.0-187.8-83.8-44.2-83.7
              c.1.1 CrÚdito1819.61762.51654.91518.51519.71695.61669.61658.81579.71566.61565.81576.01606.01600.51611.21610.21590.11514.2
              c.1.2 Depósitos y otros pasivos1605.71490.11298.81207.01283.91369.41455.61621.41634.71615.91722.21735.21876.11875.51799.01693.91634.41597.8
      c.2 CrÚdito gobiernos provinciales y locales     8.57.98.310.610.19.611.010.810.512.212.512.710.5
      c.3 CrÚdito neto fondos de seguridad social-354.4-338.3-456.4-406.8-424.1-460.3-502.9-535.1-525.6-553.7-579.7-598.5-628.0-697.8-721.9-673.0-721.9-725.0
      c.4 CrÚdito sociedades públicas no finan. (empresas)     0.90.60.80.60.70.60.90.91.41.41.51.41.5
      c.5 CrÚdito neto otras sociedades financieras (c.5.1-c.5.2)-124.0-123.7-54.7-42.2-69.08.6-34.4-64.1-74.2-66.2-67.7-40.5-63.6-36.8-43.4-60.3-94.5-162.2
               c.5.1 CrÚdito25.330.534.030.230.2158.4141.7138.7141.7138.5140.7141.5145.0144.1147.9140.9143.0145.2
               c.5.2 Depósitos y otros pasivos149.3154.288.772.499.2149.9176.1202.9215.8204.7208.4181.9208.7180.9191.3201.2237.4307.4
      c.6 CrÚdito al sector privado (c.6.1 + c.6.2 + c.6.3)5381.85606.95041.05133.45131.35117.45166.45188.45279.15272.45350.55418.45526.25524.55603.75646.75587.95589.9
                  c.6.1 Cartera (c.6.1.1 + c.6.1.2)4820.74976.44498.44595.24583.64640.34644.04648.24743.54742.14808.44875.44982.44976.75037.25068.45026.55031.1
                           c.6.1.1 Por vencer2909.73153.93393.93489.23444.73502.53495.33503.53573.33588.93653.03688.13811.03837.03914.24024.74004.73972.4
                           c.6.1.2 Vencida1911.01822.51104.51106.01138.91137.81148.81144.71170.21153.21155.41187.31171.41139.71123.01043.81021.91058.7
                  c.6.2 Títulos valores0.00.00.00.00.092.6101.9102.7109.391.499.485.085.490.497.3103.7101.097.3
                  c.6.3 Otros activos561.1630.6542.6538.2547.7384.5420.4437.5426.3439.0442.7458.0458.4457.5469.2474.5460.5461.5
d. Otros activos netos no clasificados (d.1 - d.2)-965.2-1237.9-623.6-559.2-604.3-1758.6-1804.8-1739.2-1875.9-1800.5-1887.1-1950.5-1958.8-1952.5-2009.5-2041.9-1966.3-1858.9
      d.1 Activos3651.13261.13206.23198.53240.23286.03244.83260.33278.23382.73252.33276.63253.23297.43369.43305.23413.93582.3
      d.2 Pasivos4616.34499.03829.93757.73844.55044.65049.64999.55154.15183.25139.35227.15212.05249.95378.95347.15380.25441.2
                   
III. PASIVOS FINANCIEROS (I + II = e + f)5651.45924.36239.46358.96181.55135.45241.15276.15304.45314.25393.75504.95588.65703.15870.05875.76031.46017.7
e. Pasivos monetarios (e.1 + e.2 + e.3)5200.75495.55732.65830.55659.55104.85208.35241.05267.85280.85345.55442.35524.95637.45805.25810.55965.85954.2
        e.1 Circulación monetaria (e.1.1 - e.1.2)29.934.036.839.640.140.541.343.243.544.545.546.146.447.148.249.750.051.1
                 e.1.1 Emisión monetaria (e.1.1.1 + e.1.1.2)29.934.036.839.640.140.541.343.243.544.545.546.146.447.148.249.750.051.1
                          e.1.1.1. Emisión monetaria antigua0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
                          e.1.1.2. Emisión monetaria nueva29.934.036.839.640.140.541.343.243.544.545.546.146.447.148.249.750.051.1
                 e.1.2 (-) Caja bancos privados0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
        e.2 Depósitos a la vista (e.2.1 + e.2.2 + e.2.3+e.2.4)1777.51954.71971.32041.21892.51711.61810.91813.71834.41839.31858.71893.31906.21965.62020.62029.92105.82111.3
                 e.2.1 Gobiernos provinciales y locales143.5188.9140.5102.9118.1127.7122.8138.4134.7156.9149.7157.1193.1204.2190.8145.8215.1187.6
                 e.2.2 Sociedades públicas no financieras (empresas)76.1131.6105.1106.061.5155.2203.9219.5194.7220.0202.4233.8224.6257.0266.1241.1254.8274.2
                 e.2.3 Otras sociedades no financieras     777.1815.4752.0763.6778.9805.0828.4778.6820.5866.7937.3938.1913.0
                 e.2.4 Otros sectores residentes(hogares)1558.01634.21725.71832.31712.9651.6668.8703.8741.5683.4701.5674.0709.8683.9697.0705.7697.8736.5
                   
        e.3 Cuasidinero (e.3.1 + e.3.2 + e.3.3 + e.3.4 + e.3.5)3393.43506.83724.53749.73727.03352.73356.13384.13389.93397.13441.43503.03572.33624.73736.53731.03810.03791.8
                e.3.1 Depósitos de ahorro996.61082.91162.21240.21220.91208.71229.41273.91267.71218.91267.11275.51318.01350.71412.81466.71497.41535.5
                e.3.2 Depósitos a plazo fijo1531.71592.91851.01801.91828.71851.41837.21849.31873.41925.61938.51973.32001.22004.42069.12048.12111.22103.6
                e.3.3 Depósitos restringidos (2)141.7215.10.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
                e.3.4 Operaciones de reporto35.723.319.822.421.223.416.117.824.319.215.129.636.449.643.516.819.515.8
                e.3.5 Otros depósitos (3)687.7592.8691.6685.2656.2269.2273.3243.2224.5233.3220.7224.6216.7220.0211.2199.3181.8137.0
                   
f. Instrumentos financieros450.7428.8506.7528.4521.930.632.835.136.633.448.262.663.765.864.865.165.663.5
(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.