Cuentas Nacionales

Operaciones no financieras del sector gobierno general, referencia 2018 (miles de millones de pesos)
Sel. Serie 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 I.2022 II.2022 III.2022 IV.2022 I.2023 II.2023 III.2023 IV.2023 I.2024 II.2024 III.2024 IV.2024
      Rentas de la producción (consumo de capital fijo) 292 314 317 381 335 355 361 437 379 403 408 491 417 443 456 518 447 469 474 551 484 500 504 587 525 547 543 631 573 583 582 684 582 618 630 794 678 732 767 864 803 795 791 850 799 811 787 829
      Rentas de la propiedad netas 80 175 408 269 202 90 167 202 38 146 -100 -43 -65 -11 52 73 5 -7 199 133 238 114 116 -17 2 7 -57 169 122 241 -75 179 -133 390 626 799 124 919 1.133 970 855 715 517 579 49 -148 -208 270
      Impuestos netos de subvenciones 6.188 5.358 5.724 6.165 6.069 5.501 6.224 6.935 6.729 6.605 6.716 8.188 7.539 7.389 6.774 8.483 7.398 8.392 7.128 8.084 8.028 8.872 8.064 9.611 8.644 8.918 8.416 8.944 9.277 6.312 7.618 10.003 9.719 11.445 11.337 14.687 12.789 17.124 12.809 13.388 14.288 12.187 11.651 12.929 13.312 14.631 12.769 15.580
      Prestaciones sociales netas de cotizaciones -765 -919 -901 -894 -818 -1.074 -960 -999 -1.000 -1.071 -1.075 -1.047 -1.121 -1.068 -1.045 -1.074 -1.138 -1.140 -1.166 -1.155 -1.179 -1.235 -1.199 -1.226 -1.283 -1.219 -1.289 -1.292 -1.607 -1.504 -1.571 -1.628 -1.704 -1.771 -1.630 -2.133 -2.043 -2.344 -2.441 -2.611 -2.760 -2.834 -2.710 -2.717 -2.800 -2.903 -2.799 -2.814
      Transferencias corrientes netas -77 89 -51 -266 -175 346 -117 -427 -275 28 -79 -491 -84 -104 -572 -645 23 -340 -414 -334 13 359 41 -502 -242 97 -604 -955 -314 -731 -3.170 -1.250 -599 -4.190 -7.987 -6.033 359 714 -2.024 -436 73 789 12 309 375 728 143 190
Ingreso disponible bruto 5.718 5.017 5.498 5.655 5.612 5.218 5.674 6.148 5.871 6.109 5.871 7.098 6.685 6.649 5.666 7.356 6.735 7.375 6.220 7.278 7.583 8.610 7.525 8.453 7.647 8.350 7.008 7.498 8.051 4.901 3.385 7.987 7.867 6.491 2.976 8.114 11.906 17.145 10.243 12.174 13.259 11.652 10.260 11.950 11.736 13.118 10.692 14.055
      Transferencias sociales en especie (salud, educación y otros) (menos) 2.012 2.392 2.334 2.684 2.285 2.621 2.598 3.039 2.632 2.941 2.938 3.419 2.885 3.473 3.475 3.880 3.300 3.966 3.801 4.178 3.800 4.190 3.864 4.550 4.065 4.530 4.238 4.836 4.343 5.005 4.708 5.289 4.955 5.365 5.257 5.753 5.546 5.766 5.654 6.471 6.107 6.735 6.376 6.964 6.976 7.405 7.039 7.560
Ingreso disponible bruto ajustado 3.706 2.625 3.164 2.970 3.327 2.597 3.076 3.109 3.239 3.168 2.933 3.680 3.801 3.176 2.191 3.476 3.435 3.408 2.419 3.100 3.784 4.420 3.661 3.903 3.582 3.820 2.770 2.662 3.708 -104 -1.324 2.698 2.912 1.127 -2.281 2.360 6.360 11.379 4.589 5.703 7.153 4.917 3.884 4.986 4.760 5.713 3.653 6.495
      Consumo final efectivo (menos) 1.768 1.841 1.892 2.633 2.015 2.020 2.038 2.952 2.199 2.222 2.263 2.946 2.292 2.450 2.547 3.203 2.443 2.569 2.625 3.384 2.544 2.698 2.707 3.791 2.806 2.878 2.905 3.569 2.902 2.933 3.067 4.007 3.016 3.227 3.311 4.399 3.249 3.577 3.856 4.618 3.788 3.998 4.145 5.011 4.175 4.413 4.479 4.907
Ahorro bruto 1.938 785 1.272 338 1.312 576 1.038 157 1.041 946 670 733 1.508 726 -356 273 991 840 -206 -284 1.240 1.723 953 112 775 943 -135 -907 805 -3.037 -4.391 -1.308 -105 -2.100 -5.593 -2.039 3.112 7.803 733 1.084 3.365 919 -260 -24 585 1.300 -826 1.588
      Formación bruta de capital (menos) 584 836 705 1.270 595 825 707 1.541 747 918 915 1.887 805 1.019 1.011 1.582 764 964 967 1.752 683 1.005 831 1.613 755 1.057 1.048 1.823 784 990 932 1.725 823 1.142 1.195 2.063 919 1.256 1.322 2.539 856 1.436 1.309 2.585 1.108 1.943 1.556 2.243
      Transferencias de capital netas -316 -466 -473 -517 -448 -454 -446 -679 -471 -629 -484 -980 -517 -548 -562 -734 -545 -529 -510 -554 -716 -608 -525 -460 -674 -481 -653 -912 -424 -573 -545 -870 -548 -662 -630 -789 -410 -745 -817 -1.461 -850 -997 -804 -1.074 -989 -967 -929 -1.155
Capacidad (+) / Necesidad (-) de financiamiento 1.039 -518 94 -1.449 270 -702 -114 -2.063 -178 -601 -729 -2.134 186 -841 -1.929 -2.043 -317 -654 -1.683 -2.591 -158 110 -403 -1.960 -653 -595 -1.836 -3.643 -403 -4.600 -5.868 -3.904 -1.476 -3.904 -7.417 -4.892 1.782 5.802 -1.406 -2.916 1.659 -1.514 -2.374 -3.684 -1.512 -1.610 -3.312 -1.810