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

20052006

May Jun Jul Ago Sep Oct Nov Dic Ene Feb Mar Abr
                  
                  
ACTIVOS (I+II+III+IV+V+VI)10965.411094.111236.811290.411719.411784.911913.812263.112442.912608.412795.713071.8     
                  
I. BILLETES Y MONEDAS Y DEPOSITOS (a+b)1341.31396.11437.61395.61701.51608.41592.72058.51963.51927.31951.42166.0     
    a. Billetes y monedas263.9249.7237.8261.7238.4278.7278.7261.6282.5265.5248.0259.8     
    b. Depósitos transferibles1077.51146.41199.81133.91463.11329.71314.01796.91681.01661.81703.51906.2     
        Banco Central194.5258.2288.5234.0254.4228.6270.5346.0226.0327.3348.5352.9     
        Otras sociedades de depósito35.834.833.235.236.444.234.941.636.435.434.946.0     
        Off-shore35.749.749.946.747.663.965.354.854.856.551.652.7     
        No residentes811.5803.8828.2818.11124.7993.0943.41354.51363.81242.61268.41454.6     
                  
II. VALORES DISTINTOS DE ACCIONES1855.41822.91764.11769.01728.51716.81793.51701.51808.61955.72061.22031.4     
     Gobierno Central268.2261.7243.9238.6239.9233.3271.4232.4215.4240.8262.9235.1     
     Banco Central24.923.919.239.555.741.438.727.829.230.629.738.6     
     Otras sociedades de depósito201.4205.9165.1163.9164.6183.6183.7171.2155.9161.6167.8202.3     
     Otras sociedades financieras21.820.726.733.330.330.330.430.430.128.430.322.1     
     Off-shore14.510.510.510.510.510.510.510.510.510.510.612.9     
     Otras sociedades no financieras164.9161.6171.6177.4160.4138.3150.3172.0168.0187.8235.390.0     
     Otros sectores residentes10.29.79.87.48.18.87.62.92.72.62.83.2     
     No residentes1149.41128.81117.51098.51059.01070.61101.01054.31196.91293.41321.81427.1     
                  
III. PRESTAMOS5373.85479.65580.65668.65779.05864.65985.06164.46178.76246.86341.16415.6     
     Gobierno Central0.60.60.60.30.50.40.41.51.41.10.80.5     
     Sociedades públicas no financieras0.90.90.90.90.80.80.70.70.70.70.70.7     
     Gobiernos estatales y locales7.07.06.86.46.26.26.26.05.86.06.28.7     
     Otras sociedades de depósito12.814.612.916.716.016.515.518.120.519.214.019.1     
     Otras sociedades financieras2.34.02.73.63.44.62.74.74.14.06.95.8     
     Otras sociedades no financieras3273.93355.23375.33406.23460.93520.93557.63611.83580.23613.03646.13685.1     
       Cartera por vencer2580.92674.62694.92717.72775.72802.22846.02922.52884.52907.62952.52988.3     
       Cartera vencida693.0680.6680.5688.5685.2718.7711.6689.3695.7705.4693.6696.8     
    Otros sectores residentes2075.82096.72180.72233.92290.32314.12400.92520.52564.82601.52665.22694.3     
       Cartera por vencer1887.41925.21992.62038.22106.52123.02214.42346.62371.82394.22461.42488.9     
       Cartera vencida188.4171.5188.1195.7183.8191.1186.6173.9193.0207.2203.8205.4     
    No residentes0.60.60.70.70.91.01.01.31.31.31.31.6     
                  
IV. ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL673.2686.5689.6672.0685.5733.0705.8658.7660.4648.7640.4661.1     
     Gobierno Central1.30.01.11.11.11.11.18.38.38.48.48.5     
     Sociedades públicas no financieras0.00.00.00.00.00.00.00.00.00.00.00.0     
     Otras sociedades de depósito24.324.324.221.423.824.024.124.124.120.620.420.4     
     Otras sociedades financieras57.962.259.158.461.060.573.372.670.770.771.4117.2     
     Off-shore206.0207.0207.2190.9191.6201.0167.5129.0129.9123.4124.1124.9     
     Otras sociedades no financieras253.4252.2252.5253.0267.4267.4263.9271.0266.6263.7258.9224.4     
     Otros sectores residentes28.938.640.842.534.962.458.635.237.939.536.549.8     
     No residentes101.5102.2104.7104.7105.6116.7117.2118.6122.9122.6120.9115.9     
                  
V. OTRAS CUENTAS POR COBRAR (c+d)1023.61012.41070.81091.11133.31173.91148.61000.81150.01159.21118.51108.6     
     c. Créditos comerciales y anticipos282.8271.1272.7270.0314.7343.3292.1181.4285.4303.8305.2307.3     
         Gobierno Central5.56.27.79.311.812.413.113.011.711.512.010.1     
         Otras sociedades de depósito206.1192.7195.2189.4231.0257.7204.797.1198.2218.8218.8222.4     
         Otras sociedades no financieras68.369.268.068.868.569.569.767.671.569.269.569.8     
         Otros sectores residentes2.83.11.72.43.43.74.63.74.04.44.95.0     
     d. Otros740.8741.3798.2821.2818.6830.6856.5819.4864.7855.4813.3801.3     
         Sectores residentes740.8741.3798.2821.2818.6830.6856.5819.4864.7855.4813.3801.3     
                  
VI. ACTIVOS NO FINANCIEROS698.1696.6694.1694.2691.7688.3688.3679.2681.7670.7683.1689.2     
                  
                  
PASIVOS (VII+VIII+IX+X+XI+XII)10965.311094.111236.811290.411719.411784.811913.812263.112443.012608.612795.813071.9     
                  
VII DEPOSITOS INCLUIDOS EN LA DEFINICION DE DINERO                 
      EN SENTIDO AMPLIO (e + f )5992.96074.26111.16145.66329.46367.86462.06816.06923.97096.07208.17355.5     
      e. Depósitos transferibles2387.42433.82422.72375.12371.62413.52471.22627.32644.02684.62735.72795.9     
         Sociedades públicas no financieras100.0101.497.4100.197.9102.894.279.798.988.3107.3118.0     
         Gobiernos estatales y provinciales38.241.034.134.628.624.827.832.636.339.253.552.9     
         Otras sociedades no financieras1290.71332.41278.61237.01177.91225.21305.01377.41364.01389.31409.01373.0     
         Otros sectores residentes958.5959.11012.71003.41067.21060.71044.21137.61144.91167.91165.91252.0     
      f. Otros depósitos3605.63640.53688.53770.53957.83954.33990.84188.74279.94411.44472.44559.6     
         Sociedades públicas no financieras98.6100.3107.5119.9116.4117.8112.599.0103.799.9157.2114.8     
            Depósitos de ahorro1.41.51.71.71.82.14.14.64.64.74.56.7     
            Otros depósitos16.68.815.920.220.920.722.224.623.624.619.721.6     
            Depósitos a plazo80.489.689.697.693.394.485.569.475.170.1132.585.6     
            Intereses por pagar0.30.40.40.40.50.60.60.40.50.50.60.9     
         Gobiernos estatales y locales13.614.013.213.614.012.916.713.816.817.876.170.4     
            Depósitos de ahorro0.40.50.40.70.80.90.70.50.50.554.547.7     
            Otros depósitos1.21.20.20.20.20.20.10.30.50.60.80.6     
            Depósitos a plazo11.712.212.412.512.811.715.712.915.616.520.221.9     
            Intereses por pagar0.20.10.20.20.20.10.10.10.20.30.70.1     
          Otras sociedades no financieras874.4874.8873.3942.0956.2993.0991.61009.41043.01064.61034.71015.5     
            Depósitos de ahorro90.590.588.897.4102.4114.1128.5133.6159.9155.3179.3178.4     
            Otros depósitos38.136.031.531.330.234.136.049.435.942.532.532.1     
            Depósitos a plazo591.0597.1601.8646.5673.1693.9675.5656.2680.1705.5646.1628.5     
            Intereses por pagar154.9151.2151.2166.7150.6151.0151.6170.2167.1161.3176.9176.5     
          Otros sectores residentes2619.02651.42694.52695.02871.22830.72870.03066.63116.43229.23204.33358.9     
            Depósitos de ahorro1509.41521.51545.21525.21655.81625.11613.31743.91753.31798.51764.01910.9     
            Otros depósitos66.568.167.569.479.081.382.276.596.195.087.675.9     
            Operaciones de reporto23.815.317.818.120.925.428.944.846.783.361.448.4     
            Fondos de tarjetahabientes1.51.51.51.51.61.71.61.71.72.02.02.4     
            Depósitos a plazo983.41011.61028.71046.61079.41061.61108.51164.61183.71214.61253.91284.2     
            Depósitos de garantía0.80.80.90.90.90.80.90.80.70.70.70.7     
            Intereses por pagar33.532.732.833.333.734.734.634.434.235.134.736.3     
                  
                  
VIII DEPOSITOS EXCLUIDOS EN LA DEFINICION DE DINERO                 
         EN SENTIDO AMPLIO (g+h)2016.82077.02120.92083.72190.92196.82179.82386.32356.02342.62385.42486.1     
       g. Depósitos transferibles291.2311.3309.6311.0384.2350.6313.5339.6346.6343.2361.1364.0     
           Gobierno Central90.486.295.796.5107.9108.6114.0104.3110.190.896.190.0     
           Fondos de la Seguridad Social ( IESS)8.18.49.210.231.811.29.58.68.817.15.14.1     
           Otras sociedades de depósito78.194.570.277.199.584.585.2122.1124.6120.5137.2147.4     
           Otras sociedades financieras32.038.939.947.748.949.643.260.761.969.876.380.5     
           Off-shore70.673.483.769.985.287.151.134.632.333.931.927.5     
           No residentes12.110.010.89.710.99.710.79.39.011.114.614.4     
      h. Otros depósitos1725.61765.71811.41772.71806.61846.21866.32046.72009.41999.32024.32122.1     
         Gobierno Central1225.51235.41283.11226.31241.71261.01258.41423.41400.21366.71366.21391.7     
             Ejecución presupuestaria117.0118.0129.5134.8145.4132.8124.0206.5153.8144.4160.0131.1     
             Recaudaciones para el sector público77.381.2122.677.0125.383.881.989.9103.586.695.5169.6     
             Depósitos de ahorro172.2172.1172.0172.0172.2172.1172.1172.3172.1172.5172.4173.2     
             Otros depósitos458.1461.7462.8464.8467.5469.0472.7474.0478.7467.2452.6452.5     
             Depósitos a plazo82.780.574.476.287.386.891.085.389.8110.1115.695.8     
             Intereses por pagar318.2321.9321.8301.6243.9316.6316.7395.4402.3386.0370.1369.4     
          Fondos de la Seguridad Social ( IESS)135.6169.2183.1183.8201.8194.9229.3237.9242.6265.2273.2334.3     
          Banco Central0.00.00.00.00.00.00.00.00.00.00.00.0     
          Otras sociedades de depósito160.2158.3146.4155.4153.4167.2163.0159.4143.2151.1150.7153.4     
            Depósitos de ahorro14.213.713.816.313.915.213.216.316.515.217.316.8     
            Otros depósitos5.56.37.15.27.87.89.37.55.55.77.24.3     
            Depósitos a plazo140.5138.4125.5133.8131.6144.2140.5135.6121.2130.2126.3132.3     
         Otras sociedades financieras173.8170.2164.7171.2173.1169.8170.3190.7183.4179.6192.0202.9     
            Depósitos de ahorro2.92.53.02.72.82.83.22.83.12.92.83.9     
            Depósitos a plazo138.5135.5129.5133.8136.0134.8134.6150.2147.3144.3157.0165.9     
            Otros depósitos31.731.431.433.433.431.331.636.731.831.431.031.6     
            Intereses por pagar0.80.80.81.30.90.90.91.11.11.01.21.5     
          Off-shore1.51.61.61.71.51.51.51.41.51.51.51.6     
            Depósitos a plazo0.00.00.00.00.00.00.00.00.00.00.00.0     
            Intereses por pagar1.51.61.61.71.51.51.51.41.51.51.51.6     
          No residentes29.131.132.534.335.251.943.734.038.535.240.638.3     
            Depósitos de ahorro3.74.73.53.43.43.63.43.73.83.83.73.9     
            Otros depósitos0.20.20.20.20.20.20.20.20.20.20.20.3     
            Depósitos a plazo23.224.026.428.329.846.037.527.632.328.434.832.2     
            Intereses por pagar2.12.22.42.41.92.12.62.52.32.71.82.0     
                  
IX VALORES DISTINTOS DE ACCIONES EXCLUIDOS DE LA DEFINICION                 
     DE DINERO EN SENTIDO AMPLIO94.489.295.5100.898.085.6131.7139.6138.6139.7164.2165.4     
     Otras sociedades de depósito53.853.953.354.456.256.895.0101.2101.788.1115.1119.2     
     Otros sectores residentes-0.1-0.1-0.1-0.2-0.3-0.3-0.8-1.0-0.9-1.4-1.6-1.6     
     No residentes40.735.542.346.642.129.037.639.537.953.050.747.8     
                  
X PRESTAMOS733.0738.0733.8737.8718.9747.4772.2779.7775.2731.8744.2744.6     
     Gobierno Central0.00.00.00.00.00.00.00.00.00.00.00.0     
     Banco Central50.049.949.949.949.949.949.926.126.226.025.525.5     
        Operaciones de reporto con BCE0.00.00.00.00.00.00.00.50.50.50.00.0     
        Intereses por pagar2.92.92.92.92.92.92.92.62.62.52.52.4     
        Sobregiros0.00.00.00.00.00.00.00.00.00.00.00.0     
        Obligaciones con entidades financieras del sector público47.047.047.047.047.047.047.023.023.023.023.023.0     
    Otras sociedades de depósito16.018.017.020.518.118.215.519.218.016.814.817.2     
    Otras sociedades financieras56.055.756.756.158.986.997.3128.8131.5118.3118.9119.6     
Off-shore87.990.889.887.767.978.868.161.568.364.757.556.1     
    No residentes523.1523.5520.4523.7524.2513.5541.5544.1531.3506.1527.5526.3     
                  
XI OTRAS CUENTAS POR PAGAR (h+i)3115.43075.33109.53113.13172.43240.43203.83058.53121.43086.83069.43062.7     
     h. Créditos comerciales y anticipos389.0363.7364.8359.3397.6441.4388.2338.3402.5414.7418.8403.9     
           Gobierno Central90.093.592.595.196.899.1102.5118.8116.3117.7122.7103.5     
           Fondos de la Seguridad Social1.71.61.61.71.81.81.92.22.32.62.83.0     
         . Otras sociedades de depósito297.4268.6270.7262.5299.0340.5283.8217.3283.8294.3293.3297.4     
     i. Otros2726.42711.62744.72753.92774.82799.02815.62720.22718.92672.12650.62658.8     
        Sectores residentes2726.42711.62744.72753.92774.82799.02815.62720.22718.92672.12650.62658.8     
           Provisiones, amortizaciones y depreciaciones1936.51927.71925.31919.61926.71949.91953.11857.01867.01852.81854.81862.5     
              Provisiones1644.81633.11631.81624.61632.21651.31652.31570.51579.41563.41561.41566.5     
              Amortizaciones47.449.948.851.053.155.757.856.456.758.760.562.8     
              Depreciaciones244.3244.7244.8244.0241.5243.0243.0230.1230.9230.7233.0233.2     
           Otros789.9783.9819.4834.3848.1849.1862.5863.2851.9819.4795.7796.3     
                  
XII ACCIONES Y OTRAS PARTICIPACIONES DE CAPITAL-987.3-959.7-934.1-890.6-790.2-853.1-835.6-917.0-872.2-788.4-775.5-742.4     
       Valores y acciones82.182.182.188.194.294.694.694.694.894.694.6102.8     
       Fondos aportados por propietarios574.1579.5580.8588.5590.8590.8591.1595.2603.7604.7633.9637.9     
       Utilidades retenidas-1755.4-1728.9-1715.7-1678.5-1586.3-1649.9-1622.1-1706.3-1677.5-1625.2-1662.7-1641.8     
       Reservas generales y especiales50.346.657.650.250.250.250.249.356.687.6108.8108.8     
       Ajuste por valoración61.661.061.061.060.961.250.550.250.349.949.949.8     
(1) Incluye bancos abiertos y en proceso de liquidación en la AGD, excepto el Filanbanco porque no se dispone del balance.