National Accounts

Financial balance sheet of households and non-profit organizations, reference 2013 (billions of 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
I. Outstanding financial assets  196,232 199,542 204,152 211,321 220,909 229,827 240,475 248,047 255,312 258,850 264,829 271,585 276,075 279,585 287,418 290,654 300,204 304,001 307,607 313,711 319,036 324,835 332,539 335,419 345,682 355,230 368,156 376,325 363,219 387,221 385,800 391,223 396,654 396,448 402,853
      Currency and deposits, assets 25,193 25,926 26,166 27,158 27,827 27,608 27,752 29,813 30,259 30,977 32,263 34,725 35,619 36,308 36,045 37,879 37,384 37,712 38,211 40,114 40,615 41,800 41,887 43,533 43,798 44,414 44,029 47,147 49,054 52,698 64,549 69,514 70,111 81,171 84,088
            Currency and transferable deposits, assets 11,554 11,738 11,553 12,899 13,337 13,191 13,267 14,535 14,602 15,020 15,660 16,848 16,709 16,841 16,582 17,863 17,434 17,931 18,089 19,149 19,312 19,738 19,617 20,545 20,639 21,175 21,305 23,762 25,277 28,743 38,776 43,467 43,184 50,985 51,536
            Other deposits, assets 13,638 14,189 14,613 14,259 14,490 14,418 14,485 15,278 15,658 15,957 16,604 17,878 18,910 19,467 19,463 20,017 19,950 19,781 20,122 20,965 21,303 22,062 22,270 22,988 23,159 23,238 22,724 23,385 23,778 23,955 25,773 26,048 26,926 30,186 32,551
      Securities other than shares, assets 216 211 208 198 206 207 228 237 240 242 268 282 251 250 261 270 268 272 258 255 280 298 294 303 349 344 397 481 534 531 635 611 688 695 801
            Short-term debt securities, assets 23 7 4 5 3 3 5 11 7 6 5 13 7 12 12 13 12 9 6 8 8 10 7 7 8 5 6 7 2 3 3 3 4 4 2
            Long-term debt securities, assets 192 204 204 194 204 204 223 226 233 236 262 269 244 238 250 257 256 263 252 246 272 287 286 296 341 340 390 474 532 528 632 608 684 691 799
      Shares and other equity, assets 66,794 68,743 69,974 72,135 76,382 79,941 84,957 87,012 88,837 89,751 92,442 92,523 94,493 95,525 97,106 97,608 99,782 99,600 100,004 101,886 104,805 107,293 110,355 111,048 112,248 113,253 116,576 117,508 117,822 118,175 116,399 117,413 122,342 122,510 125,722
            Shares, excluding mutual funds shares, assets 57,158 58,835 60,024 61,893 64,590 67,143 71,090 73,356 74,764 75,540 77,743 78,813 80,317 81,023 81,760 82,885 84,228 83,975 84,561 86,002 88,095 90,068 92,203 93,687 93,908 93,813 95,719 97,229 98,176 96,632 94,173 94,761 97,436 97,725 100,346
            Money market fund shares 5,395 5,757 5,693 5,604 6,308 6,011 6,462 6,696 6,196 6,322 6,468 6,408 6,899 6,797 6,724 6,805 7,011 6,930 6,901 7,089 7,641 7,612 8,137 7,915 8,368 8,560 8,693 9,855 11,641 12,233 12,128 11,605 12,698 13,207 13,351
            Other investment fund shares 4,242 4,150 4,257 4,639 5,484 6,786 7,405 6,960 7,876 7,890 8,231 7,302 7,277 7,705 8,622 7,918 8,544 8,696 8,541 8,795 9,070 9,612 10,015 9,446 9,973 10,880 12,164 10,424 8,005 9,310 10,098 11,047 12,208 11,578 12,024
      Pension funds, assets 82,237 82,498 85,027 88,361 92,400 97,098 101,829 104,288 108,774 109,704 110,521 113,819 114,920 115,845 121,404 121,562 128,726 131,506 133,616 135,163 136,317 137,658 141,278 140,893 149,083 155,823 164,914 167,875 152,033 171,540 159,874 158,634 158,073 146,587 145,943
      Insurance technical reserves, assets 20,916 21,310 21,899 22,505 23,151 24,028 24,662 25,559 26,013 27,001 27,952 28,828 29,542 30,512 31,406 32,106 32,858 33,691 34,241 34,916 35,658 36,446 37,285 38,073 38,764 39,902 40,692 41,228 41,639 41,956 41,906 42,507 42,890 42,682 43,344
            Life insurance entitlements, assets 20,642 21,027 21,607 22,206 22,839 23,699 24,325 25,210 25,661 26,634 27,571 28,448 29,172 30,134 31,025 31,715 32,461 33,278 33,826 34,491 35,225 36,008 36,839 37,607 38,288 39,415 40,210 40,707 41,119 41,465 41,429 42,005 42,384 42,184 42,814
            Reserves for premiums and claims, assets 274 283 292 299 311 329 338 349 351 367 382 380 370 378 381 391 397 413 416 425 433 438 446 466 476 487 482 521 521 491 477 501 506 498 529
      Other accounts receivable 876 855 877 964 942 945 1,048 1,139 1,190 1,175 1,383 1,408 1,250 1,146 1,196 1,228 1,185 1,221 1,278 1,378 1,361 1,341 1,440 1,570 1,440 1,494 1,549 2,086 2,136 2,321 2,437 2,544 2,551 2,803 2,956
II. Net Financial Assets (I-III) 146,624 148,722 151,988 157,120 165,177 172,266 181,637 186,563 192,798 194,342 198,503 202,386 205,625 207,452 213,967 214,897 223,014 225,008 227,146 230,584 234,446 238,055 243,783 243,472 252,263 259,464 270,046 276,653 262,177 287,077 286,055 289,671 293,613 291,002 294,616
III. Outstanding liabilities 49,608 50,820 52,163 54,201 55,732 57,560 58,839 61,484 62,514 64,508 66,326 69,200 70,450 72,133 73,451 75,757 77,190 78,993 80,461 83,127 84,590 86,780 88,756 91,947 93,419 95,766 98,111 99,672 101,042 100,145 99,745 101,551 103,041 105,446 108,237
      Loans, liabilities 46,885 48,085 49,443 51,158 52,722 54,539 55,810 58,164 59,216 61,019 62,848 65,376 66,695 68,293 69,576 71,518 72,925 74,656 76,164 78,407 79,896 81,970 83,881 86,647 87,919 90,165 92,413 93,720 95,097 94,769 94,861 96,632 98,253 100,614 103,084
            Short-term loans, liabilities 4,220 4,220 4,329 4,646 4,828 4,840 5,000 5,325 5,460 5,408 5,474 5,794 5,882 5,852 5,878 6,167 6,236 6,174 6,131 6,384 6,364 6,344 6,440 6,779 6,729 6,694 6,655 6,752 6,591 5,672 5,288 5,465 5,402 5,229 5,435
            Long-term loans, liabilities 42,665 43,865 45,113 46,512 47,894 49,699 50,810 52,839 53,756 55,611 57,374 59,582 60,813 62,441 63,698 65,351 66,689 68,482 70,033 72,023 73,532 75,626 77,441 79,868 81,190 83,471 85,758 86,968 88,506 89,097 89,573 91,168 92,850 95,385 97,649
      Other accounts payable 2,723 2,735 2,721 3,043 3,010 3,021 3,029 3,320 3,298 3,489 3,478 3,823 3,754 3,841 3,875 4,239 4,265 4,336 4,297 4,720 4,694 4,811 4,874 5,300 5,500 5,601 5,698 5,952 5,945 5,376 4,884 4,919 4,788 4,832 5,153