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 Sep Oct
                  
                  
ACTIVOS (I+II+III+IV+V+VI)9807.710041.710454.610773.510875.410975.011123.611238.211429.011422.911566.311739.611965.112144.6   
                  
I. BILLETES Y MONEDAS Y DEPOSITOS (a+b)1298.71230.31329.51570.61623.11533.71577.61552.11559.61552.71488.71453.91605.41650.0   
    a. Billetes y monedas180.2200.9212.2240.8192.7220.7225.7193.7214.2224.0193.7232.4258.5238.8   
    b. Depósitos transferibles1118.61029.41117.31329.81430.41313.11351.91358.41345.41328.71295.01221.51346.91411.2   
        Banco Central176.7181.0229.8259.7275.9296.4242.4229.6304.5262.0235.3248.6334.5341.6   
        Otras sociedades de depósito125.4104.6109.7108.6129.8118.1123.4111.8142.8127.8108.0108.7140.1133.5   
        Off-shore11.722.224.425.725.121.623.060.031.026.728.926.130.232.4   
        No residentes804.7721.7753.4935.8999.6876.9963.0957.0867.2912.2922.8838.0842.0903.7   
                  
II. VALORES DISTINTOS DE ACCIONES1254.31359.81462.91571.31633.71763.51813.91870.01901.81854.81900.21887.21791.11727.3   
     Gobierno Central494.9397.8350.5359.7332.2279.0286.4321.4315.6325.5310.0326.3320.0330.4   
     Banco Central10.710.530.212.019.354.058.748.649.747.847.450.143.235.1   
     Otras sociedades de depósito220.4274.8294.3330.8336.7337.6341.2351.2343.4343.1339.8342.6322.4332.1   
     Otras sociedades financieras29.921.623.220.525.927.526.126.825.027.435.628.224.921.0   
     Off-shore2.78.712.215.817.818.213.819.820.316.314.117.819.021.7   
     Otras sociedades no financieras101.290.684.0102.598.596.293.5106.998.584.2103.095.498.6110.5   
     Otros sectores residentes0.60.81.31.32.51.11.21.21.53.73.55.39.17.2   
     No residentes393.9555.1667.1728.8800.9949.8993.0994.11047.81006.81046.91021.6953.8869.3   
                  
III. PRESTAMOS4702.84804.55040.05124.75052.15057.15161.15243.75349.05458.55593.35746.65895.96064.9   
     Gobierno Central5.710.00.71.10.60.71.20.70.80.60.70.80.70.5   
     Sociedades públicas no financieras0.60.70.91.41.41.41.41.41.41.41.31.31.21.2   
     Gobiernos estatales y locales7.910.110.811.111.39.19.29.26.67.37.18.38.38.0   
     Otras sociedades de depósito37.039.442.039.09.611.17.58.17.712.99.618.723.121.2   
     Otras sociedades financieras2.11.42.63.02.02.72.91.81.52.02.82.72.42.2   
     Otras sociedades no financieras3012.33041.23132.93096.33048.33050.23091.03115.83171.13215.63266.33314.93360.13451.5   
       Cartera por vencer2122.52154.92234.32323.82292.52280.72318.92346.12392.02466.32495.22508.62550.72637.7   
       Cartera vencida889.8886.3898.6772.5755.9769.4772.1769.7779.1749.3771.0806.3809.4813.8   
    Otros sectores residentes1631.71700.91849.51972.21978.21980.92046.92105.72158.92217.62304.42398.82498.92579.3   
       Cartera por vencer1372.71434.01576.71700.91712.21691.61814.91875.51921.81991.42073.42153.42257.62328.7   
       Cartera vencida259.0266.9272.8271.3266.0289.3231.9230.2237.1226.2231.1245.4241.3250.6   
    No residentes5.50.70.70.70.61.00.91.00.91.01.11.21.21.1   
                  
IV. ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL712.7740.2762.2784.7770.2772.7743.0744.2742.9751.7755.9762.6756.2763.0   
     Gobierno Central5.32.13.81.31.30.80.82.70.80.40.40.01.61.6   
     Sociedades públicas no financieras0.00.00.00.00.00.00.00.00.00.00.00.00.00.0   
     Otras sociedades de depósito16.722.422.424.124.323.723.624.124.325.226.727.627.227.3   
     Otras sociedades financieras83.193.196.899.196.896.896.395.696.097.796.695.595.895.4   
     Off-shore195.9199.6199.5200.3201.6201.8201.2201.5201.9202.4202.7203.2207.2205.6   
     Otras sociedades no financieras286.3315.8326.0343.8331.5333.7306.9309.0310.6308.3309.6314.2308.7309.7   
     Otros sectores residentes43.522.931.936.634.734.230.126.024.932.627.627.719.826.3   
     No residentes82.084.381.879.680.181.784.085.484.385.192.294.595.997.2   
                  
V. OTRAS CUENTAS POR COBRAR (c+d)994.51002.91005.8863.9962.01013.1985.1985.31033.1963.2984.21016.71047.61061.9   
     c. Créditos comerciales y anticipos268.3276.6265.8157.4242.3266.3251.6259.0296.9245.6256.0261.6293.3300.4   
         Gobierno Central5.81.85.63.83.73.84.01.61.62.14.55.59.610.3   
         Otras sociedades de depósito186.0188.3173.773.4158.1182.6166.6175.2213.0160.2166.8169.3195.7206.8   
         Otras sociedades no financieras72.582.582.276.575.775.276.477.377.278.579.280.781.076.0   
         Otros sectores residentes4.14.04.23.64.94.74.64.85.14.95.56.27.17.3   
     d. Otros726.2726.2740.1706.5719.6746.8733.6726.3736.2717.6728.2755.1754.3761.6   
         Sectores residentes726.2726.2740.1706.5719.6746.8733.6726.3736.2717.6728.2755.1754.3761.6   
                  
VI. ACTIVOS NO FINANCIEROS844.7904.1854.1858.4834.4835.0843.0842.9842.7842.1844.0872.6868.9877.3   
                  
                  
PASIVOS (VII+VIII+IX+X+XI+XII)9807.510041.710454.610773.510875.310975.211123.811238.311429.511423.311566.111739.611964.912144.3   
                  
VII DEPOSITOS INCLUIDOS EN LA DEFINICION DE DINERO                 
      EN SENTIDO AMPLIO (e + f )4950.34963.05187.05496.15590.65600.25802.45808.85916.15971.76060.06200.06141.76264.4   
      e. Depósitos transferibles1607.91573.11621.91772.21787.71815.51932.71858.71952.01961.51975.82043.02032.91998.8   
         Sociedades públicas no financieras105.497.7109.1107.5111.4125.4124.3124.8116.5113.0116.6123.299.688.1   
         Gobiernos estatales y provinciales12.917.330.137.044.946.344.043.444.749.448.879.237.944.9   
         Otras sociedades no financieras827.8785.4785.1943.2944.0918.91030.1927.7956.5983.9986.91058.31047.81038.3   
         Otros sectores residentes661.8672.7697.6684.4687.4724.9734.3762.8834.4815.2823.5782.4847.6827.4   
      f. Otros depósitos3342.43390.03565.23723.93802.93784.73869.63950.13964.04010.24084.24157.04108.94265.6   
         Sociedades públicas no financieras56.345.052.951.767.680.677.270.965.373.269.568.374.566.5   
            Depósitos de ahorro2.52.31.61.61.816.82.12.11.91.91.90.92.93.7   
            Otros depósitos23.311.68.66.29.16.915.011.09.215.116.325.125.017.4   
            Depósitos a plazo30.130.842.443.656.256.359.457.353.755.750.841.946.445.0   
            Intereses por pagar0.40.40.40.30.50.60.60.40.60.60.50.40.30.3   
         Gobiernos estatales y locales10.417.314.012.016.815.215.015.314.416.014.616.513.013.8   
            Depósitos de ahorro0.40.60.50.40.60.60.60.60.60.50.50.80.70.8   
            Otros depósitos1.63.80.50.00.50.60.10.10.10.20.10.00.30.1   
            Depósitos a plazo8.412.813.011.415.613.814.214.613.715.214.015.611.912.9   
            Intereses por pagar0.10.10.10.10.10.20.10.10.10.10.10.10.10.1   
          Otras sociedades no financieras957.6914.7969.6991.51034.9969.4926.2987.9907.8895.4926.9979.21002.0979.1   
            Depósitos de ahorro74.146.853.561.167.068.068.073.469.374.276.9102.781.278.1   
            Otros depósitos158.6117.8107.192.0105.351.351.052.347.837.837.553.234.936.8   
            Depósitos a plazo528.2517.4568.1617.4639.1623.0588.4637.1566.6558.4584.5592.3652.0627.7   
            Intereses por pagar196.5232.6240.9221.0223.5227.1218.7225.1224.1224.9228.1231.0233.9236.5   
          Otros sectores residentes2318.12413.02528.72668.82683.62719.62851.32876.12976.63025.63073.23093.03019.23206.3   
            Depósitos de ahorro1152.41169.31262.41403.61427.91450.01482.21554.21564.21591.11625.71642.01642.41711.9   
            Otros depósitos43.959.558.257.550.060.660.157.264.064.563.571.665.174.0   
            Operaciones de reporto7.910.610.09.18.89.69.69.59.39.19.211.710.79.4   
            Fondos de tarjetahabientes16.119.236.416.819.515.817.413.417.316.618.518.315.925.2   
            Depósitos a plazo1026.71098.61098.81118.11145.71150.91249.81208.11287.91311.31322.31314.41250.01349.5   
            Depósitos de garantía24.322.925.227.41.01.01.31.41.31.31.31.31.41.4   
            Intereses por pagar46.832.937.736.230.631.830.932.432.631.732.733.733.935.1   
                  
                  
VIII DEPOSITOS EXCLUIDOS EN LA DEFINICION DE DINERO                 
         EN SENTIDO AMPLIO (g+h)1278.51462.01676.01719.71749.91803.81776.11827.41818.51843.91879.51884.21983.81958.2   
       g. Depósitos transferibles197.0284.6330.7399.7344.9323.3322.8293.3311.1328.6325.2346.2380.1360.7   
           Gobierno Central82.6115.4139.1147.990.095.798.9101.971.591.492.5114.5113.9125.0   
           Fondos de la Seguridad Social ( IESS)7.017.522.810.121.920.613.49.88.614.616.313.944.716.5   
           Otras sociedades de depósito57.476.477.390.5137.9115.3121.695.2128.3113.6107.791.789.690.1   
           Otras sociedades financieras12.416.717.420.922.222.520.518.922.218.922.825.629.325.1   
           Off-shore28.550.561.3122.463.962.060.858.070.180.576.590.395.195.3   
           No residentes9.28.112.88.09.07.17.69.510.49.69.410.27.68.7   
      h. Otros depósitos1081.51177.41345.21320.01405.01480.51453.31534.11507.41515.21554.41538.01603.71597.5   
         Gobierno Central774.7866.1950.2915.7944.8928.4934.5983.3948.5943.8977.8947.3998.6994.2   
             Ejecución presupuestaria102.8113.6127.4129.5123.2137.9132.9125.4139.9141.3146.7147.3158.6174.8   
             Recaudaciones para el sector público71.162.1103.561.097.959.274.9121.777.876.3103.372.0108.898.3   
             Depósitos de ahorro152.1177.8178.2179.5171.8172.1172.5172.4172.0172.1173.9172.4172.6172.5   
             Otros depósitos402.6466.8468.9483.3492.0492.5493.9496.7497.2486.9487.2486.7488.1483.2   
             Depósitos a plazo45.645.471.561.859.266.059.866.561.266.666.268.369.864.8   
             Intereses por pagar0.50.50.70.60.60.70.60.60.60.60.60.60.60.6   
          Fondos de la Seguridad Social ( IESS)68.466.6117.6111.8122.1122.094.198.396.8116.5112.2117.8126.0127.6   
          Banco Central0.00.00.00.00.00.00.00.00.00.00.00.00.00.0   
          Otras sociedades de depósito133.1145.7182.3173.9208.9210.2189.7223.1226.5207.2211.6217.1228.2220.3   
            Depósitos de ahorro4.27.115.215.639.243.532.446.258.047.546.930.532.735.6   
            Otros depósitos4.15.34.310.112.19.111.57.56.17.08.28.76.17.9   
            Depósitos a plazo124.8133.3162.7148.3157.6157.7145.8169.4162.4152.7156.6177.8189.5176.7   
         Otras sociedades financieras81.279.181.7102.9112.1202.9211.0208.6210.2218.2220.9222.4218.7223.3   
            Depósitos de ahorro2.12.73.01.13.42.52.83.11.41.71.82.81.82.3   
            Depósitos a plazo76.274.275.799.0103.0145.0154.7159.9162.7170.7168.4173.7168.9177.8   
            Otros depósitos1.60.90.61.74.752.952.244.644.944.547.044.846.942.3   
            Intereses por pagar1.41.32.41.11.02.41.31.01.21.33.71.11.11.0   
          Off-shore12.72.41.82.22.42.23.02.71.81.71.51.51.51.5   
            Depósitos a plazo11.70.90.60.50.50.10.70.40.40.30.10.00.00.0   
            Intereses por pagar1.01.51.21.71.92.12.32.31.41.31.41.51.51.5   
          No residentes11.517.711.713.514.714.821.018.123.528.030.332.030.730.7   
            Depósitos de ahorro1.43.44.24.24.34.84.82.93.13.02.73.52.82.9   
            Otros depósitos0.14.60.20.10.20.20.30.10.20.10.10.10.10.2   
            Depósitos a plazo3.73.46.17.98.88.210.213.814.419.121.221.721.421.3   
            Intereses por pagar6.26.31.21.31.41.65.71.25.95.76.36.76.36.3   
                  
IX VALORES DISTINTOS DE ACCIONES EXCLUIDOS DE LA DEFINICION                 
     DE DINERO EN SENTIDO AMPLIO83.381.578.581.581.780.377.695.592.592.4104.0100.595.3108.2   
     Otras sociedades de depósito40.441.043.542.754.254.754.570.670.470.068.568.266.066.3   
     Otros sectores residentes4.54.97.110.6-0.3-0.3-0.3-0.3-0.3-0.2-0.2-0.2-0.2-0.2   
     No residentes38.435.627.928.327.826.023.425.222.322.635.832.529.542.1   
                  
X PRESTAMOS727.8676.9712.0712.1708.1741.9722.3744.7762.0729.1724.3651.3814.5769.2   
     Gobierno Central7.70.00.00.00.00.00.00.01.02.02.00.40.10.3   
     Banco Central103.379.662.954.455.753.353.253.353.053.053.353.451.251.2   
        Operaciones de reporto con BCE1.21.01.01.01.10.00.00.00.00.02.12.20.00.0   
        Intereses por pagar5.55.55.33.34.53.33.43.43.13.13.13.13.13.1   
        Sobregiros 0.00.00.00.00.00.00.00.00.00.00.00.00.0   
        Obligaciones con entidades financieras del sector público96.773.256.650.150.049.949.949.849.849.848.148.148.148.1   
    Otras sociedades de depósito68.668.363.247.555.044.246.544.254.652.140.145.045.638.2   
    Otras sociedades financieras78.8104.9102.774.370.379.575.368.077.678.886.387.085.685.0   
Off-shore92.685.8116.8109.6114.0111.4108.7105.383.584.984.290.693.388.8   
    No residentes376.8338.3366.4426.3413.2453.5438.5473.9492.3458.4458.4374.9538.9505.8   
                  
XI OTRAS CUENTAS POR PAGAR (h+i)3567.43639.53611.93527.33429.03442.53413.83414.53483.43371.73358.93445.13445.33534.6   
     h. Créditos comerciales y anticipos400.8381.3351.7288.3350.6374.3357.2383.0434.6362.5355.2373.3357.7405.5   
           Gobierno Central99.186.186.3101.998.997.8101.287.789.291.491.891.196.296.9   
           Fondos de la Seguridad Social3.13.93.12.92.83.13.23.13.22.82.62.82.42.6   
         . Otras sociedades de depósito298.6291.3262.3183.5248.9273.3252.8292.2342.2268.3260.8279.5259.1306.1   
     i. Otros3166.63258.13260.23239.03078.43068.23056.63031.53048.83009.23003.73071.83087.63129.2   
        Sectores residentes3166.63258.13260.23239.03078.43068.23056.63031.53048.83009.23003.73071.83087.63129.2   
           Provisiones, amortizaciones y depreciaciones2284.42296.52341.02303.32133.12146.42153.02154.82150.52126.32133.02139.62147.52160.8   
              Provisiones1973.51979.72014.61975.61809.51819.11821.51822.51830.81806.91810.81813.81819.91831.1   
              Amortizaciones40.943.745.051.551.953.454.853.438.637.539.241.241.742.0   
              Depreciaciones270.1273.1281.4276.1271.8273.8276.7278.9281.1282.0283.0284.5285.9287.7   
           Otros882.2961.7919.1935.7945.3921.9903.6876.8898.3882.9870.7932.2940.1968.4   
                  
XII ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL-799.8-781.2-810.7-763.1-684.1-693.5-668.4-652.6-643.0-585.4-560.7-541.5-515.7-490.3   
       Valores y acciones46.446.642.653.453.453.453.453.453.478.482.282.282.282.2   
       Fondos aportados por propietarios588.8620.7584.1621.4595.6603.8621.1641.3660.4687.5689.5692.8701.5704.0   
       Utilidades retenidas-1693.3-1687.0-1669.3-1654.7-1528.2-1563.7-1562.7-1585.3-1584.6-1561.6-1544.0-1527.9-1510.4-1488.3   
       Reservas generales y especiales154.9131.7130.8121.4100.3117.7123.7141.3130.8113.5113.5113.3113.3114.0   
       Ajuste por valoración103.3106.7101.095.694.995.396.296.897.296.998.198.297.897.8   
(1) Las otras sociedades de depósito están conformadas por los bancos privados, sociedades financieras, mutualistas, cooperativas, BEV y BNF.