National Accounts

Financial account of households and non-profit organizations, financial transactions, 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. Net acquisition of financial assets 2,656 3,274 2,933 3,665 3,411 4,089 3,394 4,280 3,134 3,537 3,034 4,243 2,806 3,588 3,240 3,575 2,733 3,687 3,390 4,261 3,100 3,875 3,978 4,898 4,207 4,821 4,610 5,230 3,180 5,342 3,566 2,002 2,558 4,077 3,781
      Currency and deposits, assets 664 737 300 914 539 -226 -96 2,038 356 683 962 2,451 1,044 754 -252 1,797 -515 322 634 2,022 556 950 9 1,486 332 620 -589 3,046 1,411 3,789 12,010 5,387 469 11,025 2,443
            Currency and transferable deposits, assets -33 234 -129 1,321 356 -145 -63 1,252 14 396 443 1,180 -47 173 -252 1,256 -181 495 240 1,128 193 293 -163 824 138 539 -7 2,407 1,188 3,562 10,137 4,958 -362 7,783 272
            Other deposits, assets 697 503 429 -408 183 -81 -32 786 342 288 519 1,270 1,091 582 0 541 -334 -173 395 894 362 657 172 662 195 81 -582 639 223 227 1,873 429 831 3,243 2,171
      Securities other than shares, assets -1 -17 -3 1 -2 0 3 6 -4 -1 0 13 -19 3 13 6 0 3 -3 5 29 -1 -10 -5 51 -4 28 75 -11 16 123 37 59 3 40
            Short-term debt securities, assets -1 -17 -3 1 -2 0 3 6 -4 -1 0 8 -6 5 0 2 -2 -3 -3 3 -1 3 -3 0 1 -4 2 1 -5 1 -1 0 2 0 -2
            Long-term debt securities, assets 0 0 0 0 0 0 0 0 0 1 0 5 -13 -2 13 4 1 7 0 3 30 -4 -7 -5 50 -1 27 74 -6 15 124 37 58 4 43
      Shares and other equity, assets 1,255 814 325 352 1,790 1,132 1,230 -54 350 304 496 -946 347 391 719 -549 637 273 -173 774 1,022 831 1,439 -742 690 1,262 1,600 193 536 962 1,146 1,515 3,508 940 1,778
            Shares, excluding mutual funds shares, assets 361 563 292 85 294 211 215 97 48 130 -67 -27 1 39 -17 -16 30 85 46 217 234 340 544 -23 -145 376 368 343 836 -381 382 1,208 1,296 689 960
            Units issued by active money market investment funds 623 362 -63 -112 691 -304 437 242 -511 131 157 -51 457 -98 -74 83 195 -81 -36 193 550 -30 526 -217 453 182 123 1,174 1,760 578 -107 -551 1,078 562 171
            Units issued by investment funds other than money market assets 272 -111 97 379 805 1,224 578 -393 813 43 407 -868 -111 450 809 -615 412 268 -183 364 238 521 368 -502 382 704 1,109 -1,324 -2,060 765 872 858 1,134 -310 647
      Pension funds, assets 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 2,362 2,322 2,079 -10,563 -7,544 -902 -8,347 -7
      Insurance technical reserves, assets 382 404 402 437 407 543 514 523 458 694 636 637 564 752 736 586 635 648 558 536 576 599 640 576 691 787 636 255 106 213 -61 219 43 -533 272
            Life insurance entitlements, assets 377 398 398 431 403 535 512 519 454 677 630 635 563 748 736 577 631 636 555 530 571 596 636 560 680 781 643 221 112 244 -48 201 44 -520 248
            Reserves for premiums and claims, assets 5 6 4 6 4 8 2 5 4 17 6 2 1 4 1 8 4 12 3 7 5 2 5 16 10 5 -7 34 -6 -32 -14 18 -1 -13 25
      Other accounts receivable -1,035 -160 551 461 -948 934 192 -43 216 268 -635 361 -759 76 539 -18 202 493 638 -1,252 -913 -570 -2 1,595 520 -139 767 -701 -1,184 -1,716 910 2,388 -620 989 -745
II. Net lending (+) / Net borrowing (-) (I-III) 1,601 1,872 1,407 1,416 1,694 2,065 1,863 1,481 1,950 1,337 1,052 1,138 1,382 1,703 1,724 990 1,065 1,617 1,687 1,354 1,387 1,496 1,741 1,450 2,473 2,217 1,973 3,169 1,683 5,799 3,670 12 911 1,514 829
III. Net incurrence of liabilities 1,055 1,402 1,526 2,249 1,717 2,024 1,531 2,799 1,184 2,200 1,982 3,105 1,424 1,886 1,516 2,585 1,668 2,070 1,703 2,907 1,713 2,379 2,237 3,448 1,734 2,604 2,637 2,062 1,498 -457 -104 1,990 1,646 2,563 2,951
      Loans, liabilities 1,165 1,390 1,544 1,929 1,697 2,011 1,525 2,509 1,203 2,013 1,994 2,767 1,493 1,802 1,478 2,222 1,643 1,991 1,742 2,491 1,738 2,260 2,168 3,067 1,522 2,512 2,532 1,815 1,589 41 343 1,956 1,778 2,517 2,609
            Short-term loans, liabilities 146 35 147 349 204 63 190 363 160 -1 99 381 125 26 79 339 132 5 21 313 44 32 156 389 4 29 20 152 -108 -838 -322 229 -32 -148 227
            Long-term loans, liabilities 1,018 1,355 1,397 1,579 1,493 1,948 1,335 2,147 1,042 2,014 1,895 2,386 1,368 1,776 1,399 1,883 1,512 1,986 1,720 2,177 1,694 2,228 2,012 2,678 1,518 2,484 2,512 1,663 1,697 879 664 1,728 1,811 2,665 2,382
      Other accounts payable -110 12 -18 321 20 13 6 290 -19 187 -12 338 -69 84 38 364 25 79 -38 416 -25 119 69 380 212 91 104 246 -91 -498 -447 34 -132 45 343