1.3.2 Balance Sectorial: Otras Sociedades de Depósito (OSD)(1)
En millones de dólares al final del período

2003 2004

Mar Jun Sep Dic Ene Feb Mar Abr May Jun Jul Ago
                  
                  
ACTIVOS (I+II+III+IV+V+VI)9807.710041.710454.610773.510875.410975.011123.611238.211429.011422.911566.311739.6     
                  
I. BILLETES Y MONEDAS Y DEPOSITOS (a+b)1298.71230.31329.51570.61623.11533.71577.61552.11559.61552.71488.71453.9     
    a. Billetes y monedas180.2200.9212.2240.8192.7220.7225.7193.7214.2224.0193.7232.4     
    b. Depósitos transferibles1118.61029.41117.31329.81430.41313.11351.91358.41345.41328.71295.01221.5     
        Banco Central176.7181.0229.8259.7275.9296.4242.4229.6304.5262.0235.3248.6     
        Otras sociedades de depósito125.4104.6109.7108.6129.8118.1123.4111.8142.8127.8108.0108.7     
        Off-shore11.722.224.425.725.121.623.060.031.026.728.926.1     
        No residentes804.7721.7753.4935.8999.6876.9963.0957.0867.2912.2922.8838.0     
                  
II. VALORES DISTINTOS DE ACCIONES1254.31359.81462.91571.31633.71763.51813.91870.01901.81854.81900.21887.2     
     Gobierno Central494.9397.8350.5359.7332.2279.0286.4321.4315.6325.5310.0326.3     
     Banco Central10.710.530.212.019.354.058.748.649.747.847.450.1     
     Otras sociedades de depósito220.4274.8294.3330.8336.7337.6341.2351.2343.4343.1339.8342.6     
     Otras sociedades financieras29.921.623.220.525.927.526.126.825.027.435.628.2     
     Off-shore2.78.712.215.817.818.213.819.820.316.314.117.8     
     Otras sociedades no financieras101.290.684.0102.598.596.293.5106.998.584.2103.095.4     
     Otros sectores residentes0.60.81.31.32.51.11.21.21.53.73.55.3     
     No residentes393.9555.1667.1728.8800.9949.8993.0994.11047.81006.81046.91021.6     
                  
III. PRESTAMOS4702.84804.55040.05124.75052.15057.15161.15243.75349.05458.55593.35746.6     
     Gobierno Central5.710.00.71.10.60.71.20.70.80.60.70.8     
     Sociedades públicas no financieras0.60.70.91.41.41.41.41.41.41.41.31.3     
     Gobiernos estatales y locales7.910.110.811.111.39.19.29.26.67.37.18.3     
     Otras sociedades de depósito37.039.442.039.09.611.17.58.17.712.99.618.7     
     Otras sociedades financieras2.11.42.63.02.02.72.91.81.52.02.82.7     
     Otras sociedades no financieras3012.33041.23132.93096.33048.33050.23091.03115.83171.13215.63266.33314.9     
       Cartera por vencer2122.52154.92234.32323.82292.52280.72318.92346.12392.02466.32495.22508.6     
       Cartera vencida889.8886.3898.6772.5755.9769.4772.1769.7779.1749.3771.0806.3     
    Otros sectores residentes1631.71700.91849.51972.21978.21980.92046.92105.72158.92217.62304.42398.8     
       Cartera por vencer1372.71434.01576.71700.91712.21691.61814.91875.51921.81991.42073.42153.4     
       Cartera vencida259.0266.9272.8271.3266.0289.3231.9230.2237.1226.2231.1245.4     
    No residentes5.50.70.70.70.61.00.91.00.91.01.11.2     
                  
IV. ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL712.7740.2762.2784.7770.2772.7743.0744.2742.9751.7755.9762.6     
     Gobierno Central5.32.13.81.31.30.80.82.70.80.40.40.0     
     Sociedades públicas no financieras0.00.00.00.00.00.00.00.00.00.00.00.0     
     Otras sociedades de depósito16.722.422.424.124.323.723.624.124.325.226.727.6     
     Otras sociedades financieras83.193.196.899.196.896.896.395.696.097.796.695.5     
     Off-shore195.9199.6199.5200.3201.6201.8201.2201.5201.9202.4202.7203.2     
     Otras sociedades no financieras286.3315.8326.0343.8331.5333.7306.9309.0310.6308.3309.6314.2     
     Otros sectores residentes43.522.931.936.634.734.230.126.024.932.627.627.7     
     No residentes82.084.381.879.680.181.784.085.484.385.192.294.5     
                  
V. OTRAS CUENTAS POR COBRAR (c+d)994.51002.91005.8863.9962.01013.1985.1985.31033.1963.2984.21016.7     
     c. Créditos comerciales y anticipos268.3276.6265.8157.4242.3266.3251.6259.0296.9245.6256.0261.6     
         Gobierno Central5.81.85.63.83.73.84.01.61.62.14.55.5     
         Otras sociedades de depósito186.0188.3173.773.4158.1182.6166.6175.2213.0160.2166.8169.3     
         Otras sociedades no financieras72.582.582.276.575.775.276.477.377.278.579.280.7     
         Otros sectores residentes4.14.04.23.64.94.74.64.85.14.95.56.2     
     d. Otros726.2726.2740.1706.5719.6746.8733.6726.3736.2717.6728.2755.1     
         Sectores residentes726.2726.2740.1706.5719.6746.8733.6726.3736.2717.6728.2755.1     
                  
VI. ACTIVOS NO FINANCIEROS844.7904.1854.1858.4834.4835.0843.0842.9842.7842.1844.0872.6     
                  
                  
PASIVOS (VII+VIII+IX+X+XI+XII)9807.510041.710454.610773.510875.310975.211123.811238.311429.511423.311566.111739.6     
                  
VII DEPOSITOS INCLUIDOS EN LA DEFINICION DE DINERO                 
      EN SENTIDO AMPLIO (e + f )4950.34963.05187.05496.15590.65600.25802.45808.85916.15971.76060.06200.0     
      e. Depósitos transferibles1607.91573.11621.91772.21787.71815.51932.71858.71952.01961.51975.82043.0     
         Sociedades públicas no financieras105.497.7109.1107.5111.4125.4124.3124.8116.5113.0116.6123.2     
         Gobiernos estatales y provinciales12.917.330.137.044.946.344.043.444.749.448.879.2     
         Otras sociedades no financieras827.8785.4785.1943.2944.0918.91030.1927.7956.5983.9986.91058.3     
         Otros sectores residentes661.8672.7697.6684.4687.4724.9734.3762.8834.4815.2823.5782.4     
      f. Otros depósitos3342.43390.03565.23723.93802.93784.73869.63950.13964.04010.24084.24157.0     
         Sociedades públicas no financieras56.345.052.951.767.680.677.270.965.373.269.568.3     
            Depósitos de ahorro2.52.31.61.61.816.82.12.11.91.91.90.9     
            Otros depósitos23.311.68.66.29.16.915.011.09.215.116.325.1     
            Depósitos a plazo30.130.842.443.656.256.359.457.353.755.750.841.9     
            Intereses por pagar0.40.40.40.30.50.60.60.40.60.60.50.4     
         Gobiernos estatales y locales10.417.314.012.016.815.215.015.314.416.014.616.5     
            Depósitos de ahorro0.40.60.50.40.60.60.60.60.60.50.50.8     
            Otros depósitos1.63.80.50.00.50.60.10.10.10.20.10.0     
            Depósitos a plazo8.412.813.011.415.613.814.214.613.715.214.015.6     
            Intereses por pagar0.10.10.10.10.10.20.10.10.10.10.10.1     
          Otras sociedades no financieras957.6914.7969.6991.51034.9969.4926.2987.9907.8895.4926.9979.2     
            Depósitos de ahorro74.146.853.561.167.068.068.073.469.374.276.9102.7     
            Otros depósitos158.6117.8107.192.0105.351.351.052.347.837.837.553.2     
            Depósitos a plazo528.2517.4568.1617.4639.1623.0588.4637.1566.6558.4584.5592.3     
            Intereses por pagar196.5232.6240.9221.0223.5227.1218.7225.1224.1224.9228.1231.0     
          Otros sectores residentes2318.12413.02528.72668.82683.62719.62851.32876.12976.63025.63073.23093.0     
            Depósitos de ahorro1152.41169.31262.41403.61427.91450.01482.21554.21564.21591.11625.71642.0     
            Otros depósitos43.959.558.257.550.060.660.157.264.064.563.571.6     
            Operaciones de reporto7.910.610.09.18.89.69.69.59.39.19.211.7     
            Fondos de tarjetahabientes16.119.236.416.819.515.817.413.417.316.618.518.3     
            Depósitos a plazo1026.71098.61098.81118.11145.71150.91249.81208.11287.91311.31322.31314.4     
            Depósitos de garantía24.322.925.227.41.01.01.31.41.31.31.31.3     
            Intereses por pagar46.832.937.736.230.631.830.932.432.631.732.733.7     
                  
                  
VIII DEPOSITOS EXCLUIDOS EN LA DEFINICION DE DINERO                 
         EN SENTIDO AMPLIO (g+h)1278.51462.01676.01719.71749.91803.81776.11827.41818.51843.91879.51884.2     
       g. Depósitos transferibles197.0284.6330.7399.7344.9323.3322.8293.3311.1328.6325.2346.2     
           Gobierno Central82.6115.4139.1147.990.095.798.9101.971.591.492.5114.5     
           Fondos de la Seguridad Social ( IESS)7.017.522.810.121.920.613.49.88.614.616.313.9     
           Otras sociedades de depósito57.476.477.390.5137.9115.3121.695.2128.3113.6107.791.7     
           Otras sociedades financieras12.416.717.420.922.222.520.518.922.218.922.825.6     
           Off-shore28.550.561.3122.463.962.060.858.070.180.576.590.3     
           No residentes9.28.112.88.09.07.17.69.510.49.69.410.2     
      h. Otros depósitos1081.51177.41345.21320.01405.01480.51453.31534.11507.41515.21554.41538.0     
         Gobierno Central774.7866.1950.2915.7944.8928.4934.5983.3948.5943.8977.8947.3     
             Ejecución presupuestaria102.8113.6127.4129.5123.2137.9132.9125.4139.9141.3146.7147.3     
             Recaudaciones para el sector público71.162.1103.561.097.959.274.9121.777.876.3103.372.0     
             Depósitos de ahorro152.1177.8178.2179.5171.8172.1172.5172.4172.0172.1173.9172.4     
             Otros depósitos402.6466.8468.9483.3492.0492.5493.9496.7497.2486.9487.2486.7     
             Depósitos a plazo45.645.471.561.859.266.059.866.561.266.666.268.3     
             Intereses por pagar0.50.50.70.60.60.70.60.60.60.60.60.6     
          Fondos de la Seguridad Social ( IESS)68.466.6117.6111.8122.1122.094.198.396.8116.5112.2117.8     
          Banco Central0.00.00.00.00.00.00.00.00.00.00.00.0     
          Otras sociedades de depósito133.1145.7182.3173.9208.9210.2189.7223.1226.5207.2211.6217.1     
            Depósitos de ahorro4.27.115.215.639.243.532.446.258.047.546.930.5     
            Otros depósitos4.15.34.310.112.19.111.57.56.17.08.28.7     
            Depósitos a plazo124.8133.3162.7148.3157.6157.7145.8169.4162.4152.7156.6177.8     
         Otras sociedades financieras81.279.181.7102.9112.1202.9211.0208.6210.2218.2220.9222.4     
            Depósitos de ahorro2.12.73.01.13.42.52.83.11.41.71.82.8     
            Depósitos a plazo76.274.275.799.0103.0145.0154.7159.9162.7170.7168.4173.7     
            Otros depósitos1.60.90.61.74.752.952.244.644.944.547.044.8     
            Intereses por pagar1.41.32.41.11.02.41.31.01.21.33.71.1     
          Off-shore12.72.41.82.22.42.23.02.71.81.71.51.5     
            Depósitos a plazo11.70.90.60.50.50.10.70.40.40.30.10.0     
            Intereses por pagar1.01.51.21.71.92.12.32.31.41.31.41.5     
          No residentes11.517.711.713.514.714.821.018.123.528.030.332.0     
            Depósitos de ahorro1.43.44.24.24.34.84.82.93.13.02.73.5     
            Otros depósitos0.14.60.20.10.20.20.30.10.20.10.10.1     
            Depósitos a plazo3.73.46.17.98.88.210.213.814.419.121.221.7     
            Intereses por pagar6.26.31.21.31.41.65.71.25.95.76.36.7     
                  
IX VALORES DISTINTOS DE ACCIONES EXCLUIDOS DE LA DEFINICION                 
     DE DINERO EN SENTIDO AMPLIO83.381.578.581.581.780.377.695.592.592.4104.0100.5     
     Otras sociedades de depósito40.441.043.542.754.254.754.570.670.470.068.568.2     
     Otros sectores residentes4.54.97.110.6-0.3-0.3-0.3-0.3-0.3-0.2-0.2-0.2     
     No residentes38.435.627.928.327.826.023.425.222.322.635.832.5     
                  
X PRESTAMOS727.8676.9712.0712.1708.1741.9722.3744.7762.0729.1724.3651.3     
     Gobierno Central7.70.00.00.00.00.00.00.01.02.02.00.4     
     Banco Central103.379.662.954.455.753.353.253.353.053.053.353.4     
        Operaciones de reporto con BCE1.21.01.01.01.10.00.00.00.00.02.12.2     
        Intereses por pagar5.55.55.33.34.53.33.43.43.13.13.13.1     
        Sobregiros 0.00.00.00.00.00.00.00.00.00.00.0     
        Obligaciones con entidades financieras del sector público96.773.256.650.150.049.949.949.849.849.848.148.1     
    Otras sociedades de depósito68.668.363.247.555.044.246.544.254.652.140.145.0     
    Otras sociedades financieras78.8104.9102.774.370.379.575.368.077.678.886.387.0     
Off-shore92.685.8116.8109.6114.0111.4108.7105.383.584.984.290.6     
    No residentes376.8338.3366.4426.3413.2453.5438.5473.9492.3458.4458.4374.9     
                  
XI OTRAS CUENTAS POR PAGAR (h+i)3567.43639.53611.93527.33429.03442.53413.83414.53483.43371.73358.93445.1     
     h. Créditos comerciales y anticipos400.8381.3351.7288.3350.6374.3357.2383.0434.6362.5355.2373.3     
           Gobierno Central99.186.186.3101.998.997.8101.287.789.291.491.891.1     
           Fondos de la Seguridad Social3.13.93.12.92.83.13.23.13.22.82.62.8     
         . Otras sociedades de depósito298.6291.3262.3183.5248.9273.3252.8292.2342.2268.3260.8279.5     
     i. Otros3166.63258.13260.23239.03078.43068.23056.63031.53048.83009.23003.73071.8     
        Sectores residentes3166.63258.13260.23239.03078.43068.23056.63031.53048.83009.23003.73071.8     
           Provisiones, amortizaciones y depreciaciones2284.42296.52341.02303.32133.12146.42153.02154.82150.52126.32133.02139.6     
              Provisiones1973.51979.72014.61975.61809.51819.11821.51822.51830.81806.91810.81813.8     
              Amortizaciones40.943.745.051.551.953.454.853.438.637.539.241.2     
              Depreciaciones270.1273.1281.4276.1271.8273.8276.7278.9281.1282.0283.0284.5     
           Otros882.2961.7919.1935.7945.3921.9903.6876.8898.3882.9870.7932.2     
                  
XII ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL-799.8-781.2-810.7-763.1-684.1-693.5-668.4-652.6-643.0-585.4-560.7-541.5     
       Valores y acciones46.446.642.653.453.453.453.453.453.478.482.282.2     
       Fondos aportados por propietarios588.8620.7584.1621.4595.6603.8621.1641.3660.4687.5689.5692.8     
       Utilidades retenidas-1693.3-1687.0-1669.3-1654.7-1528.2-1563.7-1562.7-1585.3-1584.6-1561.6-1544.0-1527.9     
       Reservas generales y especiales154.9131.7130.8121.4100.3117.7123.7141.3130.8113.5113.5113.3     
       Ajuste por valoración103.3106.7101.095.694.995.396.296.897.296.998.198.2     
(1) Las otras sociedades de depósito están conformadas por los bancos privados, sociedades financieras, mutualistas, cooperativas, BEV y BNF.