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