Sector Externo

Cuenta financiera de la balanza de pagos, pasivos flujos (millones de dólares)
Sel. Serie I.2010 II.2010 III.2010 IV.2010 I.2011 II.2011 III.2011 IV.2011 I.2012 II.2012 III.2012 IV.2012 I.2013 II.2013 III.2013 IV.2013 I.2014 II.2014 III.2014 IV.2014 I.2015 II.2015 III.2015 IV.2015 I.2016 II.2016 III.2016 IV.2016 I.2017 II.2017 III.2017 IV.2017 I.2018 II.2018 III.2018 IV.2018 I.2019 II.2019 III.2019 IV.2019 I.2020 II.2020 III.2020 IV.2020 I.2021 II.2021 III.2021 IV.2021
Cuenta financiera total, pasivos 3.976 1.819 8.542 2.927 6.979 2.258 4.080 12.973 3.954 10.702 8.312 14.811 8.824 -496 7.286 9.727 2.733 5.559 8.892 8.620 -2.104 2.726 6.534 448 1.864 1.976 697 1.702 -243 2.683 3.345 6.292 5.267 -3.225 2.529 3.567 1.134 6.136 5.746 3.053 8.381 495 -4.129 -5.632 13.008 8.092 24.290 718
      Inversión directa pasivos 5.134 1.814 5.488 2.414 6.838 2.174 4.726 12.632 4.663 8.175 6.940 12.025 7.669 501 6.405 6.546 5.641 4.455 7.491 7.941 2.313 3.152 9.796 2.506 4.000 2.820 2.873 1.670 2.253 -735 2.003 1.717 6.173 -1.726 2.683 813 2.471 4.429 4.865 1.815 6.737 2.707 1.242 762 9.462 4.882 4.062 -3.229
            Participaciones en el capital 1.594 -352 1.909 1.510 1.411 616 1.403 7.481 1.151 3.475 90 3.816 4.992 -3.400 735 2.450 2.610 623 5.202 2.071 1.449 1.706 1.905 1.434 1.865 1.010 1.059 2.214 795 -707 771 1.217 2.044 1.188 842 -1.598 1.310 1.588 2.602 861 3.715 636 447 447 7.327 3.130 2.894 -1.747
            Utilidades reinvertidas 2.627 98 3.084 523 4.862 939 2.640 3.784 2.787 3.365 3.633 2.418 1.809 1.914 2.360 1.546 1.674 2.010 801 919 283 312 281 612 1.069 800 1.049 -255 1.476 1.022 1.512 95 2.719 1.678 1.328 536 1.334 1.695 2.041 303 2.057 1.341 817 1.053 1.589 2.697 627 -362
            Instrumentos de deuda 913 2.068 494 380 564 619 684 1.367 725 1.335 3.216 5.790 868 1.986 3.310 2.550 1.357 1.823 1.487 4.951 582 1.134 7.609 460 1.066 1.011 765 -289 -17 -1.051 -280 405 1.409 -4.592 512 1.876 -173 1.146 222 651 965 731 -22 -738 546 -945 540 -1.120
      Inversión de cartera pasivos 1.384 915 3.542 3.421 2.376 1.740 1.870 3.751 2.269 4.007 3.658 2.026 4.833 4.522 2.168 3.916 -79 3.025 5.553 3.560 719 2.679 14 -765 654 709 749 676 387 3.517 1.977 3.527 1.340 403 1.236 2.386 1.357 2.686 2.034 5.364 7.151 2.499 -1.360 -1.130 4.236 6.509 16.558 5.506
            Titulos de participaciones en el capital 1.111 -31 70 615 513 1.339 1.035 1.764 1.199 2.972 520 942 1.904 1.320 1.598 1.061 581 1.086 745 -227 48 109 -200 36 -34 578 568 194 153 -244 19 520 -1.286 -1.381 475 635 906 -658 1.017 1.702 320 401 -422 -95 185 846 408 1.154
            Titulos de deuda 273 946 3.472 2.805 1.863 401 835 1.987 1.069 1.035 3.137 1.085 2.928 3.202 569 2.854 -660 1.939 4.808 3.788 671 2.570 213 -801 687 131 182 482 234 3.761 1.957 3.007 2.626 1.784 761 1.751 451 3.343 1.017 3.661 6.832 2.098 -938 -1.035 4.051 5.663 16.151 4.352
                  Largo plazo 473 946 3.272 2.627 2.031 411 1.035 1.852 1.009 276 3.280 1.966 3.333 3.452 267 2.210 -273 1.660 4.623 3.689 772 2.553 731 -97 814 8 95 572 -35 3.960 2.036 2.920 2.132 1.725 598 2.042 129 2.884 1.391 3.215 6.394 2.236 -439 -1.006 3.533 6.543 15.903 4.564
                  Corto plazo -200 0 200 178 -168 -10 -200 135 61 759 -143 -881 -405 -250 302 644 -387 279 185 99 -101 16 -518 -704 -127 123 87 -89 269 -199 -78 86 494 59 162 -291 323 459 -375 446 438 -138 -499 -29 518 -880 248 -212
      Instrumentos financieros derivados -2.321 -1.822 -2.195 -3.264 -3.729 -3.229 -3.320 -4.411 -2.472 -2.893 -2.243 -2.056 -1.543 -2.678 -2.190 -1.939 -2.445 -1.860 -1.938 -2.659 -3.090 -2.054 -2.864 -2.180 -2.533 -2.476 -1.802 -2.035 -1.715 -1.529 -2.006 -1.651 -2.267 -2.119 -2.725 -1.992 -1.861 -2.109 -2.118 -4.310 -5.370 -4.742 -3.984 -3.636 -3.018 -2.897 -2.677 -4.065
      Otra inversión -221 912 1.708 357 1.495 1.573 804 1.002 -506 1.413 -43 2.816 -2.135 -2.840 903 1.205 -383 -63 -2.214 -222 -2.046 -1.051 -411 887 -256 923 -1.124 1.391 -1.168 1.430 1.372 2.699 21 217 1.336 2.359 -833 1.131 965 185 -137 32 -27 -1.627 2.328 -402 6.347 2.506
            Créditos comerciales 67 393 629 620 334 478 658 -56 -417 -25 -15 105 -1.227 -177 -20 -132 -854 -301 -152 244 -796 -449 160 -156 -437 -38 479 241 243 136 213 549 25 486 -89 325 -625 -385 139 -398 -783 -703 689 796 1.207 354 1.121 844
            Préstamos -313 368 990 -323 1.246 1.100 230 1.007 -207 1.391 99 2.119 -719 -2.500 1.099 892 621 121 -1.905 -556 -1.460 -740 -427 1.060 21 640 -1.138 1.238 -1.377 1.318 1.045 1.531 -47 -135 917 1.769 -147 1.465 934 91 987 744 -765 -2.248 1.034 -738 2.769 1.718
            Moneda y depósitos 26 152 90 57 -90 -4 -80 40 123 44 -118 569 -180 -153 -169 437 -145 117 -154 79 224 139 -144 -17 160 322 -464 -89 -33 -24 115 618 43 -133 507 266 -61 51 -107 492 -341 -8 50 -176 87 -18 80 -56
            Otros pasivos -2 -1 -1 3 4 -2 -3 12 -5 4 -8 23 -9 -11 -7 8 -5 0 -2 12 -13 -1 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
            Asignaciones DEG 0 0 -1 1 1 1 -1 -1 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -1 1 0 0 0 0 0 0 0 0 -1 -1 0 0 0 0 2.378 0