Cuentas Nacionales

Operaciones no financieras de las empresas no financieras, 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 (excedente bruto) 11.759 11.797 10.582 13.090 12.619 12.969 11.489 14.189 14.005 13.733 12.048 14.486 14.865 13.849 12.781 15.502 14.621 14.778 14.224 16.954 15.847 15.621 13.550 16.849 15.688 15.580 14.411 16.448 17.104 15.125 15.702 21.067 20.615 20.406 20.853 25.688 22.478 21.694 21.729 26.091 23.853 22.468 21.788 26.732 28.235 26.288 25.832 32.446
      Rentas de la propiedad netas -140 506 -323 274 -451 495 -439 -325 -414 -99 -840 -91 -678 109 -801 10 -825 284 -546 330 -648 181 -534 325 -79 597 -502 -355 -2.133 -473 -1.360 -76 -1.069 134 213 4.158 492 1.826 -2.616 2.328 -1.744 2.200 -2.450 66 -1.287 144 -1.446 -1.081
Ingreso empresarial bruto 11.619 12.303 10.259 13.364 12.168 13.464 11.050 13.863 13.592 13.635 11.208 14.395 14.187 13.958 11.980 15.512 13.796 15.062 13.678 17.284 15.199 15.802 13.016 17.174 15.609 16.177 13.909 16.093 14.970 14.652 14.342 20.991 19.546 20.539 21.066 29.846 22.971 23.520 19.114 28.419 22.109 24.669 19.337 26.798 26.948 26.432 24.386 31.365
      Rentas distribuidas y utilidades reinvertidas (menos) 5.499 7.290 7.135 8.763 6.666 8.601 7.270 8.639 5.960 6.563 6.286 8.004 6.075 7.812 6.945 8.732 6.113 8.233 7.228 9.845 6.615 8.642 7.803 10.152 7.602 9.878 8.115 10.403 7.224 8.975 6.501 9.739 8.412 9.486 10.784 17.552 8.802 14.189 9.632 15.475 7.929 12.780 9.220 13.788 9.825 14.283 11.468 14.885
      Impuestos netos de subvenciones -1.744 -726 -1.402 -1.534 -1.216 -567 -1.506 -1.729 -1.472 -1.299 -1.720 -2.021 -1.728 -1.702 -1.311 -2.472 -1.307 -2.261 -1.390 -1.726 -1.499 -2.145 -1.705 -2.740 -1.760 -2.127 -1.778 -2.146 -2.256 -441 -1.024 -2.704 -1.722 -3.100 -2.437 -5.129 -3.424 -7.870 -3.947 -3.963 -4.039 -2.430 -2.518 -3.046 -2.726 -3.801 -2.374 -4.054
      Transferencias corrientes netas -169 -340 -104 -42 -78 -402 -49 -16 21 -347 17 165 -44 -268 198 236 -282 74 64 136 -198 -369 43 115 153 -210 389 495 243 204 -189 24 -670 -1.146 817 -1.740 -942 -1.371 402 -442 -743 -1.003 -616 -996 -858 -785 -831 -830
Ahorro bruto 4.207 3.947 1.618 3.025 4.208 3.894 2.226 3.480 6.181 5.426 3.219 4.535 6.340 4.177 3.921 4.544 6.094 4.642 5.125 5.849 6.888 4.646 3.550 4.396 6.400 3.962 4.406 4.038 5.733 5.440 6.628 8.571 8.741 6.807 8.662 5.424 9.802 89 5.936 8.538 9.399 8.455 6.983 8.967 13.540 7.563 9.713 11.596
      Formación bruta de capital (menos) 8.404 6.794 6.719 6.085 8.012 6.447 6.197 5.921 8.187 6.757 7.176 6.320 8.801 6.489 6.391 5.775 8.571 7.280 6.579 6.214 9.343 8.323 8.111 8.044 9.836 8.596 8.250 8.227 9.834 7.175 6.918 6.440 11.447 8.622 11.235 12.047 14.087 12.382 13.397 11.278 12.587 12.077 12.603 11.102 13.985 11.283 13.503 15.539
      Transferencias de capital netas 45 163 150 172 146 144 163 183 360 255 321 408 201 207 206 298 233 220 151 263 264 248 189 201 146 104 286 1.200 110 164 184 235 226 106 195 306 196 216 211 389 262 197 281 394 239 245 281 278
Capacidad (+) / Necesidad (-) de financiamiento -4.151 -2.685 -4.950 -2.887 -3.659 -2.409 -3.808 -2.258 -1.646 -1.076 -3.636 -1.376 -2.259 -2.105 -2.264 -933 -2.244 -2.418 -1.303 -102 -2.191 -3.429 -4.372 -3.447 -3.290 -4.531 -3.558 -2.989 -3.990 -1.571 -106 2.367 -2.479 -1.709 -2.377 -6.317 -4.088 -12.077 -7.250 -2.351 -2.926 -3.425 -5.339 -1.741 -206 -3.475 -3.510 -3.665