I. Activos Financieros
499.751.404
514.647.151
532.700.749
547.719.890
561.093.082
577.248.814
595.433.152
614.447.752
633.416.308
650.879.848
652.199.697
Oro monetario y DEG activos
36.318
34.151
637.481
583.499
589.550
639.915
601.768
575.392
609.752
602.009
642.943
Efectivo y depósitos activos
76.317.226
72.441.874
73.736.259
76.639.219
76.045.122
78.918.621
75.915.336
82.783.099
87.056.249
88.828.457
94.742.616
Efectivo y depósitos vista activos
18.731.369
18.341.442
19.575.414
23.152.579
21.344.460
23.428.348
21.691.752
25.316.216
25.694.308
26.243.676
28.122.523
Otros depósitos activos
57.585.857
54.100.431
54.160.845
53.486.640
54.700.662
55.490.273
54.223.584
57.466.882
61.361.941
62.584.781
66.620.093
Títulos activos
66.962.667
65.155.559
66.377.574
65.317.011
67.244.345
67.554.516
70.365.185
70.235.515
76.221.537
81.763.461
90.807.013
Títulos a corto plazo activos
2.561.160
2.504.014
4.043.045
4.075.811
4.871.908
2.739.829
2.984.336
1.799.162
3.160.331
3.707.961
4.013.626
Títulos a largo plazo activos
64.848.905
62.628.318
62.506.767
60.719.512
62.659.812
65.318.911
67.779.355
68.690.447
73.428.033
78.489.499
87.616.666
Derivados financieros activos
-447.398
23.227
-172.237
521.689
-287.376
-504.224
-398.506
-254.094
-366.827
-433.999
-823.279
Préstamos activos
78.632.951
77.699.719
79.160.774
82.138.418
82.264.255
82.869.012
83.177.965
84.856.015
87.756.563
91.246.563
95.022.310
Préstamos a corto plazo activos
12.314.722
10.783.227
10.871.161
11.540.464
11.452.942
10.592.012
9.732.637
9.535.016
10.699.005
11.494.128
12.555.811
Préstamos a largo plazo activos
66.318.229
66.916.492
68.289.613
70.597.954
70.811.313
72.276.999
73.445.328
75.320.999
77.057.559
79.752.435
82.466.500
Acciones y otras participaciones activos
141.198.136
157.002.794
165.903.462
176.485.390
175.841.837
188.447.252
202.940.961
211.604.835
212.290.903
219.156.420
204.660.167
Acciones activos
116.074.268
126.766.875
127.809.882
134.018.232
130.494.785
143.775.073
157.154.688
163.322.107
163.363.730
172.914.019
164.715.690
Participaciones emitidas por fondos de inversión activos
25.123.868
30.235.919
38.093.580
42.467.158
45.347.052
44.672.179
45.786.273
48.282.728
48.927.173
46.242.400
39.944.477
Fondos de pensiones activos
48.652.557
53.842.690
58.964.271
60.643.735
63.650.705
63.980.055
68.209.982
70.721.983
72.688.486
73.534.180
69.979.567
Reservas técnicas de seguros activos
15.352.495
15.500.792
15.676.958
15.944.045
16.250.587
16.882.134
17.253.751
17.479.110
17.729.351
18.266.033
18.564.219
Reservas técnicas de seguros de vida activos
14.883.528
15.016.733
15.162.705
15.465.918
15.718.309
16.090.772
16.427.175
16.717.502
17.012.494
17.547.662
17.847.798
Reservas para primas y para siniestros activos
468.967
484.059
514.253
478.127
532.278
791.362
826.576
761.607
716.857
718.372
716.420
Otras cuentas activos
72.599.053
72.969.573
72.243.971
69.968.572
79.206.682
77.957.311
76.968.204
76.191.804
79.063.466
77.482.724
77.780.861
II. Activos Financieros Netos (I-III)
-21.080.011
-16.249.466
-12.060.414
-9.598.824
-6.516.271
-7.644.927
-6.146.254
-4.695.617
-2.280.369
-4.565.198
-5.596.790
III. Pasivos
520.831.415
530.896.618
544.761.163
557.318.714
567.609.353
584.893.741
601.579.406
619.143.369
635.696.676
655.445.046
657.796.487
Efectivo y depósitos pasivos
63.836.740
63.352.631
64.059.804
66.885.896
66.332.930
69.371.452
67.859.447
73.801.531
75.276.313
77.072.931
80.996.484
Efectivo y depósitos vista pasivos
16.167.737
16.576.800
17.535.326
20.751.033
19.835.184
21.616.048
19.998.737
23.574.668
22.855.516
22.549.092
23.383.582
Otros depósitos pasivos
47.669.003
46.775.831
46.524.478
46.134.863
46.497.745
47.755.404
47.860.710
50.226.863
52.420.797
54.523.839
57.612.902
Títulos pasivos
51.357.971
50.606.261
53.172.157
53.039.820
55.700.189
56.329.378
59.305.529
59.277.525
64.611.319
68.054.202
73.584.498
Títulos a corto plazo pasivos
2.561.160
2.504.014
4.043.045
4.075.811
4.871.908
2.739.829
2.984.336
1.799.162
3.160.331
3.707.961
4.013.626
Títulos a largo plazo pasivos
48.796.810
48.102.247
49.129.113
48.964.009
50.828.281
53.589.549
56.321.192
57.478.363
61.450.988
64.346.241
69.570.873
Préstamos pasivos
100.278.978
97.086.612
100.657.365
104.135.491
105.014.884
106.050.608
104.324.705
104.877.182
109.247.421
113.011.592
118.915.933
Préstamos a corto plazo pasivos
14.215.429
12.430.236
12.912.161
14.417.669
14.010.386
13.229.624
11.982.140
10.993.941
12.608.227
13.346.915
14.322.384
Préstamos a largo plazo pasivos
86.063.549
84.656.376
87.745.204
89.717.822
91.004.497
92.820.984
92.342.565
93.883.241
96.639.194
99.664.677
104.593.549
Acciones y otras participaciones pasivos
170.156.500
179.589.349
182.402.259
188.670.223
186.829.058
198.252.788
210.762.190
219.293.782
218.928.275
229.239.564
218.460.892
Acciones pasivos
154.744.964
163.202.906
164.517.174
168.924.374
167.255.648
178.779.184
192.077.081
198.566.279
198.259.335
208.504.489
197.902.137
Participaciones emitidas por fondos de inversión pasivos
15.411.535
16.386.443
17.885.085
19.745.849
19.573.411
19.473.604
18.685.109
20.727.503
20.668.940
20.735.075
20.558.755
Fondos de pensiones pasivos
48.652.557
53.842.690
58.964.271
60.643.735
63.650.705
63.980.055
68.209.982
70.721.983
72.688.486
73.534.180
69.979.567
Reservas técnicas de seguros pasivos
15.352.495
15.500.792
15.676.958
15.944.045
16.250.587
16.882.134
17.253.751
17.479.110
17.729.351
18.266.033
18.564.219
Reservas técnicas de seguros de vida pasivos
14.883.528
15.016.733
15.162.705
15.465.918
15.718.309
16.090.772
16.427.175
16.717.502
17.012.494
17.547.662
17.847.798
Reservas para primas y para siniestros pasivos
468.967
484.059
514.253
478.127
532.278
791.362
826.576
761.607
716.857
718.372
716.420
Otras cuentas pasivos
71.196.175
70.918.283
69.828.349
67.999.504
73.831.001
74.027.327
73.863.802
73.692.256
77.215.511
76.266.544
77.294.894