National Accounts

Non-financial transactions of the general government sector, 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
      Income from production (fixed capital consumption) 334 354 353 434 385 388 389 491 438 440 441 503 459 484 495 546 486 503 491 549 503 532 510 584 485 476 443 527 477 500
      Net property income -204 -4 -186 20 -141 94 -258 146 -334 48 -552 33 -384 85 -365 102 -475 18 -426 197 -284 144 -306 114 -539 126 -629 296 -548 454
      Taxes on production and imports net of subsidies 6,354 4,971 5,757 6,391 6,608 5,033 6,384 6,516 7,413 6,271 6,957 7,494 8,092 6,651 6,788 7,378 8,171 7,846 7,394 7,261 8,768 8,306 8,187 8,970 9,500 8,616 8,908 7,718 10,023 5,661
      Social benefits other than social transfer in kind net of social contributions -647 -760 -729 -724 -686 -887 -766 -786 -854 -853 -851 -825 -969 -839 -805 -811 -927 -833 -849 -827 -926 -890 -862 -880 -951 -859 -922 -902 -1,193 -1,053
      Net current transfers -23 -16 -33 -462 -174 291 -222 -693 -402 -98 -235 -607 -103 -63 -644 -705 -517 -21 -567 -360 -356 -25 -480 -883 -430 -20 -758 -714 -336 -1,078
Gross disposable income 5,813 4,545 5,162 5,658 5,992 4,918 5,528 5,673 6,261 5,807 5,761 6,598 7,094 6,318 5,469 6,510 6,739 7,513 6,042 6,821 7,705 8,065 7,049 7,905 8,066 8,339 7,041 6,925 8,423 4,485
      Social transfers in kind (health care, education and other) (minus) 1,826 2,226 2,264 2,428 2,063 2,526 2,474 2,704 2,398 2,764 2,837 3,051 2,718 3,284 3,220 3,598 3,124 3,753 3,594 3,832 3,735 4,085 3,696 4,418 3,983 4,413 4,065 4,581 4,160 4,771
Gross adjusted disposable income 3,987 2,319 2,898 3,230 3,929 2,392 3,054 2,969 3,864 3,044 2,924 3,547 4,377 3,034 2,249 2,912 3,615 3,760 2,448 2,989 3,970 3,980 3,353 3,487 4,083 3,925 2,977 2,344 4,264 -286
      Actual final consumption (minus) 1,995 1,774 1,858 2,589 2,381 1,885 1,952 2,888 2,516 2,193 2,139 2,835 2,507 2,360 2,565 3,111 2,715 2,477 2,535 3,333 2,744 2,765 2,759 3,552 2,912 2,791 2,799 3,411 3,258 2,976
Gross saving 1,992 545 1,040 641 1,548 507 1,102 81 1,347 851 785 712 1,870 675 -316 -198 901 1,282 -87 -344 1,226 1,215 594 -65 1,171 1,134 178 -1,067 1,006 -3,262
      Gross capital formation (minus) 478 742 602 1,225 492 738 600 1,514 674 841 842 1,777 753 956 948 1,490 723 910 897 1,640 605 903 728 1,432 633 933 923 1,649 665 865
      Net capital transfers -307 -547 -469 -567 -429 -451 -428 -834 -521 -680 -548 -1,081 -498 -538 -530 -786 -595 -695 -587 -719 -685 -581 -530 -608 -621 -479 -683 -951 -401 -655
Net lending (+) / Net borrowing (-) 1,207 -744 -31 -1,151 627 -682 74 -2,267 153 -670 -604 -2,146 618 -820 -1,794 -2,475 -417 -322 -1,571 -2,703 -64 -268 -664 -2,105 -84 -277 -1,429 -3,666 -60 -4,781