1.7.2 Balance Sectorial: Bancos Privados(1)
En millones de dólares al final del período

20032004

Mar Jun Sep Dic Ene Feb Mar Abr May Jun Jul Ago Sep
                  
                  
ACTIVOS (I+II+III+IV+V+VI)8477.68637.98906.29126.19304.09386.59477.49579.49726.69692.29797.69898.210026.9    
                  
I. BILLETES Y MONEDAS Y DEPOSITOS (a+b)1142.01064.21143.31396.11447.11354.01386.51370.71371.51352.81304.91249.11367.3    
    a. Billetes y monedas168.1188.6197.3226.0178.2205.7210.2178.5197.3205.9176.6214.0238.3    
    b. Depósitos transferibles973.9875.6946.01170.11268.91148.31176.31192.31174.21146.91128.41035.11129.0    
        Banco Central153.8122.7160.1190.9206.0230.0176.1170.5236.5196.1170.6183.3253.5    
        Otras sociedades de depósito39.741.239.539.069.357.054.942.166.346.548.139.643.8    
        Off-shore5.622.124.425.524.921.623.056.027.022.825.422.527.0    
        No residentes774.9689.6722.1914.7968.7839.8922.3923.8844.4881.5884.3789.8804.8    
                  
II. VALORES DISTINTOS DE ACCIONES1143.31223.91304.01384.91464.31585.81638.01692.11718.81674.31716.71701.41609.1    
     Gobierno Central448.4345.9284.4298.0294.2235.2242.2276.1266.6275.2260.9272.8265.6    
     Banco Central10.610.530.212.019.354.058.748.649.747.847.450.143.2    
     Otras sociedades de depósito173.8208.4219.5230.9231.3229.9234.2244.7235.6234.8236.9236.4225.6    
     Otras sociedades financieras22.619.621.319.123.424.524.324.223.425.825.926.523.2    
     Off-shore2.08.712.212.813.113.213.812.512.912.614.013.013.2    
     Otras sociedades no financieras94.885.578.094.290.789.185.999.490.676.495.988.789.7    
     Otros sectores residentes0.20.11.10.82.10.80.90.90.93.53.34.68.5    
     No residentes390.9545.2657.2717.1790.2939.0978.0985.71039.2998.11032.51009.6940.1    
                  
III. PRESTAMOS3939.93995.94159.34164.94119.64120.84157.64215.24298.24379.64469.44585.54687.4    
     Gobierno Central5.710.00.71.10.60.71.20.70.80.60.70.70.7    
     Sociedades públicas no financieras0.60.70.91.41.41.41.41.41.41.41.31.31.2    
     Gobiernos estatales y locales7.910.110.811.111.39.19.29.26.67.37.18.38.3    
     Otras sociedades de depósito7.46.07.26.73.96.14.83.83.68.23.611.617.1    
     Otras sociedades financieras2.01.32.42.91.92.62.91.71.41.92.72.62.3    
     Otras sociedades no financieras2778.82777.32866.22807.22757.72757.72783.12820.92870.12907.32942.72995.93038.4    
       Cartera por vencer1911.41914.61991.02062.02031.02019.12042.82082.02121.72186.92201.12219.52259.2    
       Cartera vencida867.4862.6875.2745.2726.7738.6740.4738.9748.4720.4741.6776.4779.1    
    Otros sectores residentes1132.11189.81270.51333.81342.11342.21354.01376.41413.41451.81510.31563.91618.4    
       Cartera por vencer927.1976.61055.41146.01154.41137.01174.21202.91233.41279.91335.51383.01438.9    
       Cartera vencida205.0213.2215.1187.9187.7205.2179.9173.5179.9172.0174.8180.9179.5    
    No residentes5.50.70.70.70.61.00.91.00.91.01.11.21.2    
                  
IV. ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL611.7638.1653.5666.4667.5669.3664.5666.4664.3672.4672.8678.3671.3    
     Gobierno Central5.32.13.81.31.30.80.82.70.80.40.40.01.6    
     Sociedades públicas no financieras0.00.00.00.00.00.00.00.00.00.00.00.00.0    
     Otras sociedades de depósito9.119.820.721.221.621.721.522.022.022.922.523.322.8    
     Otras sociedades financieras68.477.781.382.680.580.579.779.479.981.480.379.179.4    
     Off-shore195.9199.6199.5200.3201.6201.8201.2201.5201.9202.4202.7203.2207.2    
     Otras sociedades no financieras229.1232.0234.8245.3248.0248.9247.5249.8250.8247.8247.3250.8244.9    
     Otros sectores residentes22.222.731.936.534.634.130.025.924.832.527.627.719.7    
     No residentes81.784.181.679.379.981.583.885.284.184.992.094.395.8    
                  
V. OTRAS CUENTAS POR COBRAR (c+d)954.8964.7950.5817.4915.1967.9936.0942.6982.7919.9937.3963.3970.8    
     c. Créditos comerciales y anticipos254.4267.3241.4147.8231.4255.0238.2249.0285.1236.7244.0250.3263.1    
         Gobierno Central3.21.63.81.61.51.51.71.21.21.73.44.36.5    
         Otras sociedades de depósito178.7183.1155.570.3153.4177.8159.9170.0205.6155.7160.6164.2173.9    
         Otras sociedades no financieras71.281.180.774.874.373.774.775.675.777.077.078.278.2    
         Otros sectores residentes1.21.51.51.12.21.91.82.22.62.43.03.54.5    
     d. Otros700.3697.4709.1669.7683.7713.0697.8693.6697.6683.2693.3713.0707.7    
         Sectores residentes700.3697.4709.1669.7683.7713.0697.8693.6697.6683.2693.3713.0707.7    
                  
VI. ACTIVOS NO FINANCIEROS686.0751.1695.6696.4690.5688.7694.9692.4691.2693.2696.5720.6721.0    
                  
                  
PASIVOS (VII+VIII+IX+X+XI+XII)8477.58637.98906.29126.19304.19386.89477.89579.89727.29692.89797.79898.510026.9    
                  
VII DEPOSITOS INCLUIDOS EN LA DEFINICION DE DINERO                 
      EN SENTIDO AMPLIO (e + f )4374.84356.24542.64773.64866.84859.65042.25035.95127.95164.05228.95300.45228.4    
      e. Depósitos transferibles1604.71567.21616.71767.51771.11797.91915.61842.31933.61944.71958.82000.82016.6    
         Sociedades públicas no financieras105.097.3108.6107.1110.8124.7123.6124.1115.7112.3115.9122.597.0    
         Gobiernos estatales y provinciales12.717.330.137.031.832.830.430.430.535.735.640.428.7    
         Otras sociedades no financieras827.7785.1784.9943.1943.9918.91030.1927.6956.4983.8986.81058.31047.8    
         Otros sectores residentes659.2667.5693.1680.3684.7721.6731.6760.3831.0812.8820.5779.7843.0    
      f. Otros depósitos2770.22789.02925.93006.23095.73061.73126.63193.63194.43219.33270.23299.63211.7    
         Sociedades públicas no financieras42.931.538.448.258.157.270.660.762.468.062.762.167.0    
            Depósitos de ahorro0.71.30.30.30.40.90.70.70.60.50.60.50.3    
            Otros depósitos23.311.68.66.29.16.915.011.09.115.116.325.125.0    
            Depósitos a plazo18.618.529.241.448.249.054.448.752.151.845.436.141.5    
            Intereses por pagar0.30.20.30.30.50.50.60.30.60.50.40.30.3    
         Gobiernos estatales y locales8.112.611.58.913.211.813.913.613.514.513.415.011.6    
            Depósitos de ahorro0.30.60.50.40.50.50.50.50.40.30.30.50.4    
            Otros depósitos1.53.80.50.00.50.60.10.10.10.20.10.00.3    
            Depósitos a plazo6.28.210.58.512.210.613.313.012.913.813.014.410.8    
            Intereses por pagar0.10.00.10.10.10.10.10.10.10.10.10.10.1    
          Otras sociedades no financieras888.2852.5899.9915.7949.1881.2834.8896.4816.0797.2824.6877.1899.2    
            Depósitos de ahorro71.043.449.450.255.558.762.067.663.367.770.497.275.1    
            Otros depósitos157.9117.3106.591.8105.050.850.551.947.437.337.252.934.4    
            Depósitos a plazo464.1460.5504.4553.7566.2545.9504.6552.8482.2468.3490.1497.1557.1    
            Intereses por pagar195.2231.3239.6220.0222.5225.8217.7224.1223.1223.9226.9229.9232.6    
          Otros sectores residentes1831.01892.41976.22033.42075.32111.52207.22223.02302.62339.62369.42345.52233.9    
            Depósitos de ahorro906.2904.8975.31081.91103.51129.81130.11191.31190.31205.61228.21211.01181.3    
            Otros depósitos40.354.253.251.745.053.653.749.156.157.357.360.657.7    
            Operaciones de reporto10.717.235.715.317.714.314.911.015.114.816.616.714.5    
            Fondos de tarjetahabientes0.80.90.90.90.90.91.01.01.01.01.11.41.5    
            Depósitos a plazo834.9890.9882.0856.1880.2883.9978.9940.41010.21031.21036.01024.8947.5    
            Depósitos de garantía0.70.70.80.60.60.61.11.21.11.11.11.11.1    
            Intereses por pagar37.323.628.326.927.528.527.529.028.928.529.129.930.4    
                  
                  
VIII DEPOSITOS EXCLUIDOS EN LA DEFINICION DE DINERO                 
         EN SENTIDO AMPLIO (g+h)1098.31255.11424.71485.31517.71573.51533.61595.51581.51600.81626.91672.21712.0    
       g. Depósitos transferibles132.9216.6249.4326.4282.9262.0261.9236.2248.1266.7265.2308.5313.1    
           Gobierno Central37.465.875.592.578.984.287.490.959.579.981.392.792.7    
           Fondos de la Seguridad Social ( IESS)3.313.219.37.015.614.06.83.51.77.99.88.69.5    
           Otras sociedades de depósito42.262.863.476.093.372.078.955.584.369.865.581.179.0    
           Otras sociedades financieras12.416.217.020.622.222.520.518.922.218.922.825.629.3    
           Off-shore28.550.561.3122.463.962.060.858.070.180.576.590.395.1    
           No residentes9.28.112.88.09.07.17.69.510.49.69.410.27.6    
      h. Otros depósitos965.31038.61175.31158.81234.81311.51271.71359.31333.31334.11361.61363.61398.9    
         Gobierno Central704.2788.8851.6832.5872.8860.0868.3918.1883.1874.9900.3872.1895.0    
             Ejecución presupuestaria92.3100.9112.8116.2112.1128.3123.0114.8129.5127.5133.3133.9144.2    
             Recaudaciones para el sector público61.953.875.055.991.154.065.7115.672.071.495.265.475.2    
             Depósitos de ahorro146.5171.7171.7172.0171.7172.0172.3172.3171.9172.0172.0172.4172.1    
             Otros depósitos368.3430.4434.8447.1454.5455.4456.3458.6456.9445.6445.1444.4445.6    
             Depósitos a plazo34.931.656.740.943.149.850.456.352.357.854.155.657.5    
             Intereses por pagar0.40.40.50.50.40.50.50.50.50.50.50.50.5    
          Fondos de la Seguridad Social ( IESS)63.463.2110.5102.2108.7108.682.390.488.4106.8100.9104.4112.6    
          Banco Central0.00.00.00.00.00.00.00.00.00.00.00.00.0    
          Otras sociedades de depósito105.5105.5137.1129.5151.0155.2126.8162.6169.2148.0151.1174.1182.8    
            Depósitos de ahorro3.76.111.810.620.223.912.826.036.824.923.925.325.2    
            Otros depósitos4.15.34.110.112.18.911.27.55.96.98.28.66.1    
            Depósitos a plazo97.794.2121.2108.8118.7122.4102.9129.1126.5116.2119.0140.1151.6    
         Otras sociedades financieras70.763.065.081.188.2173.6174.4172.2173.1180.5183.4186.3183.1    
            Depósitos de ahorro2.02.73.01.03.32.52.73.01.41.61.82.81.8    
            Depósitos a plazo66.358.760.677.579.4117.1118.5123.7126.0133.5133.6138.0133.6    
            Otros depósitos1.50.90.61.74.752.952.244.644.844.447.044.846.9    
            Intereses por pagar0.80.70.80.90.81.11.00.80.91.01.00.80.8    
          Off-shore12.72.41.82.22.42.23.02.71.81.71.51.51.5    
            Depósitos a plazo11.70.90.60.50.50.10.70.40.40.30.10.00.0    
            Intereses por pagar1.01.51.21.71.92.12.32.31.41.31.41.51.5    
          No residentes8.915.79.511.411.612.016.913.317.822.224.525.223.9    
            Depósitos de ahorro1.43.44.24.24.34.84.82.93.13.02.73.52.8    
            Otros depósitos0.14.60.20.10.20.20.30.10.20.10.10.10.1    
            Depósitos a plazo1.21.53.95.95.85.56.39.28.813.515.515.114.8    
            Intereses por pagar6.16.31.11.21.31.55.61.15.75.66.16.56.2    
                  
IX VALORES DISTINTOS DE ACCIONES EXCLUIDOS DE LA DEFINICION                 
     DE DINERO EN SENTIDO AMPLIO83.381.578.581.581.780.377.680.577.577.490.486.883.0    
     Otras sociedades de depósito40.441.043.542.754.254.754.555.655.455.054.854.553.6    
     Otros sectores residentes4.54.97.110.6-0.3-0.3-0.3-0.3-0.3-0.2-0.2-0.2-0.2    
     No residentes38.435.627.928.327.826.023.425.222.322.635.832.529.5    
                  
X PRESTAMOS683.3615.2652.0654.9647.0680.9662.3683.4695.0654.8650.6574.0734.6    
     Gobierno Central7.70.00.00.00.00.00.00.01.02.02.00.40.1    
     Banco Central103.079.662.954.455.753.353.253.353.053.053.353.451.2    
        Operaciones de reporto con BCE1.21.01.01.01.10.00.00.00.00.02.12.20.0    
        Intereses por pagar5.55.45.33.34.53.33.43.43.13.13.13.13.1    
        Sobregiros 0.00.00.00.00.00.00.00.00.00.00.00.0    
        Obligaciones con entidades financieras del sector público96.473.256.650.150.049.949.949.849.849.848.148.148.1    
    Otras sociedades de depósito51.842.942.534.436.027.330.528.142.236.126.430.831.9    
    Otras sociedades financieras67.690.387.857.153.462.558.651.751.552.359.960.158.4    
Off-shore92.685.8116.8109.6114.0111.4108.7105.383.584.984.090.493.1    
    No residentes360.4316.7342.1399.4388.0426.4411.3445.0463.8426.6425.0338.8500.1    
                  
XI OTRAS CUENTAS POR PAGAR (h+i)3302.33386.03326.23213.43138.33151.43106.63116.83171.93071.63060.43116.63101.9    
     h. Créditos comerciales y anticipos381.5366.9335.9265.6330.5353.7334.9365.5413.8343.5338.2354.7337.2    
           Gobierno Central90.781.781.890.888.688.190.982.583.985.985.985.189.4    
           Fondos de la Seguridad Social1.71.91.61.41.41.51.61.51.51.41.51.71.4    
         . Otras sociedades de depósito289.1283.4252.6173.4240.5264.1242.3281.5328.5256.2250.8268.0246.4    
     i. Otros2920.83019.02990.22947.82807.82797.72771.82751.32758.12728.12722.22761.82764.7    
        Sectores residentes2920.83019.02990.22947.82807.82797.72771.82751.32758.12728.12722.22761.82764.7    
           Provisiones, amortizaciones y depreciaciones2141.82150.72189.72142.01981.81991.31996.61995.01986.91961.61965.01968.41974.7    
              Provisiones1883.91886.41917.81868.31707.21713.81715.61713.81718.91694.11694.31694.41699.0    
              Amortizaciones39.041.742.848.949.150.651.950.335.634.536.137.938.2    
              Depreciaciones218.9222.7229.2224.9225.5226.9229.1230.9232.5233.0234.7236.1237.5    
           Otros779.0868.3800.5805.8826.0806.4775.2756.3771.2766.5757.2793.5790.0    
                  
XII ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL-1064.5-1056.1-1117.8-1082.5-947.4-958.8-944.6-932.3-926.6-875.8-859.5-851.4-832.9    
       Valores y acciones46.446.642.653.453.453.453.453.453.478.482.282.282.2    
       Fondos aportados por propietarios428.1454.1396.2414.8417.9417.9431.6445.0462.9487.2487.3487.3493.6    
       Utilidades retenidas-1671.6-1672.2-1667.3-1642.7-1514.5-1542.3-1543.2-1563.4-1563.0-1545.4-1533.2-1525.4-1513.0    
       Reservas generales y especiales65.542.843.731.034.250.751.269.756.940.941.041.041.0    
       Ajuste por valoración67.172.666.961.161.661.562.463.063.363.163.463.563.3    
(1) Incluye bancos abiertos y en proceso de liquidación en la AGD, excepto el Filanbanco porque no se dispone del balance.