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