Cuentas Nacionales

Operaciones no financieras del sector hogares e IPSFL, 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
      Rentas de la producción (remuneración, ingreso mixto y excedente bruto) 17.109 17.475 17.766 18.784 18.593 18.659 18.968 20.200 20.120 20.212 20.556 21.685 21.664 21.740 22.105 23.032 23.009 23.104 23.242 24.577 24.693 24.690 24.803 26.200 26.160 26.229 26.280 27.361 26.754 24.497 24.716 27.439 27.914 28.404 29.567 31.859 32.638 33.268 34.055 36.046 36.181 36.478 36.420 37.633 37.853
      Rentas de la propiedad netas 4.626 5.535 4.758 5.851 5.014 5.963 5.540 6.301 5.559 5.748 5.218 6.447 5.706 6.616 6.069 6.809 5.401 6.241 5.846 7.193 5.359 6.949 5.882 7.263 6.124 7.379 6.242 7.404 5.470 6.308 4.646 5.248 4.777 5.086 5.000 6.456 5.037 5.276 5.160 7.366 6.556 7.771 7.576 7.529 7.588
      Impuestos netos de subvenciones -821 -636 -433 -384 -821 -635 -464 -436 -920 -668 -522 -981 -1.147 -714 -542 -499 -1.025 -767 -575 -553 -1.097 -863 -683 -596 -1.203 -922 -702 -630 -1.115 -930 -762 -678 -1.280 -1.059 -847 -750 -1.413 -1.228 -916 -814 -1.802 -1.335 -1.011 -952 -1.803
      Prestaciones sociales netas de cotizaciones -627 -578 -458 -606 -806 -632 -592 -809 -758 -516 -500 -680 -507 -543 -441 -681 -635 -808 -569 -1.021 -652 -832 -702 -762 -640 -1.077 -878 -1.071 -703 -564 12.149 9.184 2.600 10.054 1.510 1.200 692 242 240 322 711 103 447 416 486
      Transferencias corrientes netas 407 479 437 550 479 422 479 503 482 457 510 532 442 558 524 478 533 452 398 488 394 476 384 416 390 346 357 525 326 690 3.099 852 999 4.522 6.834 6.168 133 446 1.350 582 435 526 540 676 518
Ingreso disponible bruto 20.694 22.275 22.070 24.195 22.458 23.777 23.932 25.759 24.483 25.233 25.263 27.002 26.158 27.658 27.715 29.138 27.282 28.221 28.342 30.683 28.698 30.420 29.684 32.522 30.830 31.957 31.299 33.588 30.731 30.000 43.848 42.045 35.010 47.008 42.063 44.932 37.086 38.004 39.889 43.502 42.082 43.543 43.971 45.303 44.642
Ingreso disponible neto de liberación de activos previsionales 20.694 22.275 22.070 24.195 22.458 23.777 23.932 25.759 24.483 25.233 25.263 27.002 26.158 27.658 27.715 29.138 27.282 28.221 28.342 30.683 28.698 30.420 29.684 32.522 30.830 31.957 31.299 33.588 30.731 30.000 31.350 32.687 31.926 36.199 40.414 43.633 36.495 37.379 39.885 43.502 42.082 43.543 43.971 45.303 44.642
      Transferencias sociales en especie (salud, educación y otros) 2.012 2.392 2.334 2.684 2.285 2.621 2.598 3.039 2.632 2.941 2.939 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 4.066 4.530 4.238 4.835 4.343 5.004 4.708 5.291 4.959 5.368 5.257 5.746 5.530 5.743 5.652 6.466 6.154 6.818 6.485 7.055 7.061
Ingreso disponible bruto ajustado 22.706 24.668 24.404 26.879 24.743 26.398 26.530 28.798 27.115 28.174 28.201 30.421 29.043 31.131 31.190 33.018 30.582 32.187 32.143 34.861 32.497 34.610 33.548 37.072 34.896 36.486 35.537 38.424 35.074 35.004 48.556 47.336 39.969 52.376 47.320 50.678 42.616 43.747 45.540 49.968 48.236 50.361 50.456 52.358 51.703
      Consumo final efectivo (menos) 21.365 22.970 23.003 25.411 23.306 25.043 24.994 27.809 25.574 27.072 27.197 30.076 27.733 29.277 29.438 32.168 29.928 31.391 31.164 34.077 31.726 33.445 32.864 35.930 32.988 34.933 34.465 35.867 34.177 29.773 33.533 39.474 37.623 40.685 43.570 48.205 45.686 47.164 47.621 50.972 47.100 48.907 48.794 52.628 49.730
      Variación neta en los fondos de pensiones 1.391 1.496 1.358 1.500 1.624 1.706 1.552 1.808 1.758 1.588 1.575 1.727 1.628 1.611 1.486 1.755 1.774 1.948 1.736 2.176 1.831 2.066 1.902 1.988 1.923 2.296 2.167 2.363 2.310 2.068 -10.578 -7.555 -896 -8.283 121 934 1.352 2.102 2.201 2.288 2.046 2.728 2.263 2.305 2.326
Ahorro bruto 2.732 3.193 2.760 2.967 3.061 3.061 3.088 2.797 3.299 2.690 2.579 2.072 2.938 3.464 3.237 2.605 2.428 2.745 2.715 2.960 2.602 3.231 2.585 3.130 3.831 3.850 3.240 4.920 3.207 7.299 4.445 307 1.450 3.408 3.870 3.406 -1.717 -1.315 120 1.284 3.182 4.182 3.925 2.034 4.298
      Formación bruta de capital (menos) 1.394 1.364 1.425 1.486 1.428 1.409 1.440 1.592 1.511 1.540 1.667 1.768 1.709 1.689 1.709 1.782 1.631 1.501 1.549 1.756 1.808 1.684 1.764 1.928 1.909 1.828 1.831 2.000 1.948 1.509 1.259 1.811 1.883 1.808 2.015 2.204 2.151 1.981 2.152 2.284 2.192 1.994 2.190 2.320 2.285
      Transferencias de capital netas 272 305 325 347 303 326 284 498 360 376 328 607 317 342 357 438 355 324 359 292 476 361 337 259 528 378 368 548 315 409 361 635 322 555 435 484 214 529 605 1.073 633 800 524 679 773
Capacidad (+) / Necesidad (-) de financiamiento 1.610 2.135 1.660 1.828 1.936 1.979 1.931 1.702 2.148 1.526 1.240 911 1.546 2.117 1.886 1.261 1.151 1.568 1.525 1.496 1.271 1.907 1.157 1.461 2.451 2.400 1.776 3.468 1.573 6.200 3.547 -869 -111 2.155 2.290 1.686 -3.654 -2.766 -1.427 73 1.623 2.989 2.259 393 2.786
Ahorro bruto 2.732 3.193 2.760 2.967 3.061 3.061 3.088 2.797 3.299 2.690 2.579 2.072 2.938 3.464 3.237 2.605 2.428 2.745 2.715 2.960 2.602 3.231 2.585 3.130 3.831 3.850 3.240 4.920 3.207 7.299 4.445 307 1.450 3.408 3.870 3.406 -1.717 -1.315 120 1.284 3.182 4.182 3.925 2.034 4.298
      Ahorro previsional 1.926 2.059 1.846 2.036 2.133 2.269 2.104 2.337 2.332 2.392 2.331 2.499 2.439 2.562 2.407 2.523 2.592 2.756 2.608 3.039 2.811 3.026 2.826 3.013 2.966 3.338 3.151 3.166 3.255 2.761 2.455 2.612 2.918 2.784 2.616 3.091 2.973 3.923 3.487 3.588 3.502 4.343 3.860 3.836 3.946
      Ahorro no previsional 806 1.135 915 931 928 792 984 459 966 298 248 -427 498 902 830 82 -164 -12 106 -79 -209 205 -241 117 865 511 89 1.754 -48 4.538 1.991 -2.305 -1.468 624 1.254 315 -4.690 -5.238 -3.368 -2.304 -320 -161 65 -1.802 352