1.7.1.a Memo Item: Cuentas monetarias: Bancos Privados Abiertos(1)
En millones de dólares al final del período

200220032004

DicEne Feb Mar Abr May Jun Jul Ago Sep Oct Nov Dic Ene Feb Mar
                   
                   
I. ACTIVOS EXTERNOS NETOS (a -b)837.5794.4983.91139.31147.81298.21270.71314.61349.61391.21460.91545.61615.31698.51712.71849.6  
      a. Activos1146.71092.31230.81397.31371.01518.51484.91524.51580.21636.41718.41831.61915.91995.72045.12173.2  
      b. Pasivos309.2297.9246.9258.0223.3220.3214.2209.9230.6245.2257.5286.1300.6297.2332.3323.6  
                   
II. ACTIVOS INTERNOS NETOS (c +d + e)3377.63296.82707.92665.72674.22590.02551.72586.32630.52634.62635.52687.32676.02665.22733.62755.6  
c. CrÚdito interno (c.1+c.2+c.3+c.4+c.5+c.6+c.7))3369.73357.23445.63432.53425.03431.43415.93320.73342.13398.03413.03451.83478.33489.33442.73497.9  
        c.1 CrÚdito neto al gobierno central ( c.1.1-c.1.2)174.7175.9202.5183.6147.088.673.2-18.7-37.7-35.3-42.9-58.8-26.8-53.6-96.3-101.7  
               c.1.1 CrÚdito354.2357.2467.7439.0438.3354.7336.3258.7271.4269.4270.3273.7278.7274.5215.1222.8  
              c.1.2 Depósitos y otros pasivos (c.1.2.1+c.1.2.2)179.5181.3265.2255.4291.2266.1263.1277.4309.1304.7313.2332.5305.5328.1311.5324.5  
                      c.1.2.1 Depósitos  244.2234.5280.9255.9251.1265.2296.8292.5300.3318.1284.4309.1293.0303.4  
                      c.1.2.2 Otros pasivos (2)  21.120.910.310.212.012.212.312.213.014.421.218.918.421.1  
        c.2 Depósitos fondos seguridad social (3)0.00.0-61.5-68.1-70.5-67.6-77.7-92.8-104.7-126.6-146.9-141.9-106.6-121.7-120.1-90.3  
        c.3 CrÚdito sociedades públicas no finan. (empresas).0.00.00.80.50.70.50.70.60.90.91.41.41.41.41.51.4  
        c.4 CrÚdito gobiernos provinciales y locales.0.00.08.57.98.310.610.19.611.010.810.510.011.111.39.19.2  
        c.5 CrÚdito neto otras sociedades financieras (c.5.1-c.5.2)-26.5-31.2-40.1-49.0-46.2-47.4-35.8-34.6-27.2-32.6-43.9-51.1-57.1-64.0-70.9-72.2  
               c.5.1 CrÚdito (4)0.00.052.058.464.966.867.370.370.973.973.176.673.674.776.675.8  
               c.5.2 Depósitos y otros pasivos (5)26.531.292.2107.4111.1114.1103.2105.098.1106.6117.0127.7130.6138.7147.5147.9  
        c.6 CrÚdito neto entidades off-shore (c.6.1-c.6.2)0.00.04.321.345.532.833.6-12.8-5.2-4.65.57.4-57.0-3.4-1.83.0  
                 c.6.1 CrÚdito (6)0.00.0120.9144.7143.4149.5161.9144.0145.8165.1172.4163.7166.9166.6163.6165.3  
                 c.6.2 Depósitos y otros pasivos (7)0.00.0116.6123.497.8116.7128.3156.8151.1169.6166.9156.3223.9170.0165.4162.2  
        c.7 CrÚdito al sector privado (empresas y hogares) (c.7.1+c.7.2+c.7.3)3221.53212.53331.33336.23340.33413.83411.83469.43505.13585.53629.33684.93713.23719.23721.33748.4  
                  c.7.1 Cartera (c.7.1.1+c.7.1.2)3047.43035.13064.83063.53059.93125.13115.83169.23203.83285.83324.23367.63393.23400.33406.03441.0  
                           c.7.1.1 Por vencer2792.02756.42780.22768.02774.52815.62824.72867.22882.52976.03015.63058.23130.33113.23087.43156.1  
                           c.7.1.2 Vencida255.4278.7284.7295.5285.4309.5291.1302.0321.4309.8308.6309.4262.9287.1318.6284.9  
                   c.7.2 Títulos valores0.00.085.286.279.485.583.389.677.277.181.787.292.990.887.884.7  
                   c.7.3 Otros activos (8)174.1177.4181.3186.5201.0203.3212.6210.6224.0222.6223.3230.1227.1228.1227.5222.7  
d. Posición neta con el BCE (d.1-d.2)221.2176.6187.4163.2175.5173.0132.2179.3250.8189.3202.9237.2201.9224.2284.0234.7  
          d.1. Reservas internas (d.1.1+d.1.2+d.1.3+d.1.4)222.3177.7191.8164.4176.8174.0133.2180.3251.8190.3203.9238.2202.9225.3284.0234.8  
                     d..1.1 Caja0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0  
                     d.1.2 Depósitos en el BCE (9)211.4152.5177.6153.8159.6168.1122.7162.2219.9160.1173.4215.1190.9206.0230.0176.1  
                     d.1.3 Títulos para encaje2.42.20.00.00.00.00.00.00.00.00.00.00.00.00.00.0  
                     d.1.4 Títulos TBC8.623.014.210.617.25.910.518.131.930.230.523.112.019.354.058.7  
          d.2. Pasivos (d.2.1+d.2.2+d.2.3)1.11.24.41.21.41.01.01.01.01.01.01.01.01.10.00.1  
                     d.2.1 Depósitos0.00.01.70.00.10.00.00.00.00.00.00.00.00.00.00.0  
                     d.2.2 Otros pasivos (PrÚstamos)0.00.00.10.00.00.00.00.00.00.00.00.00.00.00.00.1  
                     d.2.3 Operaciones de reporto1.11.22.71.21.21.01.01.01.01.01.01.01.01.10.00.0  
e. Otros activos netos no clasificados (e.1-e.2)-213.3-237.0-925.2-930.0-926.3-1014.4-996.3-913.7-962.5-952.8-980.5-1001.7-1004.3-1048.2-993.0-977.1  
          e.1 Activos (10) (11)1326.61395.91080.51091.91091.51084.41204.01101.41126.91132.91166.61166.31019.41141.41179.91157.7  
          e.2. Pasivos1539.91632.92005.72021.92017.82098.92200.32015.12089.32085.72147.12168.02023.62189.62173.02134.8  
                   
III. PASIVOS FINANCIEROS (I + II = f + g)4214.44091.13691.83804.93822.03888.23822.43900.93980.14025.74096.44232.84291.34363.84446.54605.4  
f. Pasivos monetarios (f.1 + f.2)4098.23976.13690.73803.83820.93886.73821.03899.13977.44021.64091.34226.64283.24364.04446.84605.7  
          f.1 Depósitos a la vista (f.1.1+f.1.2+f.1.3+f.1.4)1764.61644.71502.41590.91552.21586.01560.01601.71604.71609.61632.71695.01760.41764.01790.81908.6  
                       f.1.1 Sociedades públicas no financieras0.00.074.4105.096.084.897.296.198.9108.6111.5114.1107.1110.7124.6123.6  
                       f.1.2 Gobiernos estatales y provinciales0.00.09.112.714.415.917.317.619.330.132.634.137.031.832.830.4  
                       f.1.3 Otras sociedades no financieras0.00.0777.1815.3751.9763.4778.6804.8828.3778.9820.3866.6937.2938.0913.01023.6  
                       f.1.4 Otros sectores residentes0.00.0641.8657.9690.0721.9666.9683.3658.2692.0668.2680.2679.2683.5720.4731.0  
          f.2 Cuasidinero (f.2.1 + f.2.2 + f.2.3 + f.2.4 + f.2.5)2333.62331.52188.42212.92268.72300.72261.02297.52372.72412.02458.62531.62522.82600.12656.02697.1  
                       f.2.1 Depósitos de ahorro961.9938.7941.2949.1999.2997.3946.4987.21006.21021.81047.31080.01129.21156.11186.31189.8  
                       f.2.2 Depósitos a plazo fijo1274.21307.31174.91182.21187.01206.31217.31228.31265.51288.61301.21348.01327.71375.71401.61433.0  
                       f.2.3 Depósitos restringidos (12)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0  
                       f.2.4 Operaciones de reporto20.518.618.510.716.223.617.211.328.335.741.841.915.317.614.214.9  
                       f.2.5 Otros depósitos (13)77.066.953.770.966.473.580.170.772.766.068.361.750.650.753.959.5