National Accounts

Non-financial transactions of the general government sector, reference 2018 (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 IV.2021 I.2022 II.2022 III.2022 IV.2022 I.2023 II.2023 III.2023 IV.2023 I.2024 II.2024
      Income from production (fixed capital consumption) 292 314 317 381 335 355 361 437 379 403 408 491 417 443 456 518 447 469 474 551 484 500 503 587 525 547 543 631 573 584 582 683 579 615 629 800 690 745 772 848 759 732 721 783 690 722
      Net property income 78 178 407 269 206 90 166 198 32 139 -100 -30 -35 -111 92 104 18 -7 193 126 235 114 118 -15 3 7 -58 169 122 241 -75 178 -135 388 626 800 121 902 1,116 938 821 664 482 554 63 -150
      Taxes on production and imports net of subsidies 6,188 5,358 5,725 6,165 6,069 5,501 6,223 6,936 6,730 6,605 6,720 8,183 7,538 7,389 6,774 8,484 7,397 8,393 7,128 8,084 8,026 8,871 8,064 9,612 8,644 8,919 8,416 8,944 9,268 6,304 7,620 10,018 9,747 11,470 11,333 14,640 12,746 17,026 12,727 13,318 14,123 11,933 11,628 12,814 13,174 13,232
      Social benefits other than social transfer in kind net of social contributions -765 -919 -901 -894 -818 -1,074 -960 -999 -1,000 -1,071 -1,075 -1,047 -1,121 -1,068 -1,045 -1,074 -1,138 -1,140 -1,166 -1,155 -1,179 -1,235 -1,199 -1,226 -1,283 -1,219 -1,289 -1,292 -1,607 -1,504 -1,571 -1,628 -1,703 -1,771 -1,630 -2,133 -2,044 -2,344 -2,441 -2,610 -2,757 -2,831 -2,710 -2,721 -2,811 -2,919
      Net current transfers -77 89 -51 -266 -175 346 -117 -427 -275 28 -79 -491 -84 -104 -572 -645 23 -340 -414 -334 12 359 41 -501 -241 99 -604 -957 -320 -736 -3,170 -1,239 -575 -4,205 -7,979 -6,050 319 654 -2,090 -491 119 862 63 324 381 731
Gross disposable income 5,716 5,020 5,497 5,655 5,616 5,218 5,673 6,144 5,866 6,102 5,875 7,106 6,715 6,548 5,705 7,388 6,747 7,376 6,214 7,271 7,579 8,610 7,526 8,457 7,648 8,352 7,008 7,495 8,036 4,889 3,387 8,011 7,913 6,497 2,979 8,057 11,832 16,983 10,083 12,003 13,065 11,360 10,184 11,755 11,497 11,616
      Social transfers in kind (health care, education and other) (minus) 2,012 2,392 2,334 2,684 2,285 2,621 2,598 3,039 2,632 2,941 2,939 3,419 2,885 3,473 3,475 3,880 3,300 3,966 3,801 4,178 3,800 4,190 3,864 4,550 4,066 4,530 4,238 4,835 4,343 5,004 4,708 5,291 4,959 5,368 5,257 5,746 5,530 5,743 5,652 6,466 6,154 6,818 6,485 7,055 7,061 7,517
Gross adjusted disposable income 3,704 2,628 3,163 2,970 3,332 2,597 3,075 3,105 3,235 3,161 2,936 3,688 3,830 3,075 2,231 3,508 3,447 3,410 2,413 3,092 3,779 4,420 3,662 3,907 3,583 3,822 2,770 2,660 3,694 -115 -1,321 2,720 2,954 1,128 -2,278 2,311 6,302 11,240 4,432 5,537 6,910 4,542 3,700 4,700 4,436 4,099
      Actual final consumption (minus) 1,768 1,841 1,892 2,633 2,015 2,020 2,038 2,952 2,199 2,222 2,263 2,947 2,293 2,451 2,547 3,203 2,443 2,569 2,626 3,384 2,543 2,698 2,708 3,791 2,804 2,877 2,908 3,570 2,896 2,932 3,072 4,010 3,010 3,216 3,309 4,419 3,271 3,600 3,904 4,554 3,644 3,829 3,916 4,670 3,816 4,070
Gross saving 1,936 788 1,271 338 1,316 577 1,037 154 1,036 939 674 741 1,538 624 -317 305 1,004 841 -213 -292 1,236 1,722 955 115 779 945 -138 -910 798 -3,047 -4,393 -1,290 -56 -2,088 -5,587 -2,108 3,031 7,640 527 983 3,267 713 -216 30 620 29
      Gross capital formation (minus) 584 836 705 1,270 595 825 707 1,541 747 918 915 1,887 805 1,019 1,011 1,582 764 964 967 1,752 683 1,005 831 1,613 755 1,057 1,048 1,823 783 990 932 1,727 826 1,144 1,193 2,061 903 1,236 1,303 2,523 849 1,426 1,284 2,533 1,017 1,823
      Net capital transfers -316 -466 -473 -517 -448 -454 -446 -679 -471 -629 -484 -980 -517 -548 -562 -734 -545 -529 -510 -554 -716 -608 -525 -460 -674 -481 -653 -912 -424 -573 -545 -870 -548 -661 -630 -790 -410 -745 -816 -1,461 -848 -997 -804 -1,075 -992 -972
Net lending (+) / Net borrowing (-) 1,037 -515 93 -1,449 274 -702 -116 -2,067 -182 -608 -725 -2,126 216 -942 -1,889 -2,011 -305 -652 -1,690 -2,598 -162 110 -402 -1,957 -650 -593 -1,839 -3,645 -410 -4,609 -5,870 -3,887 -1,430 -3,893 -7,411 -4,959 1,717 5,659 -1,591 -3,001 1,570 -1,709 -2,304 -3,579 -1,389 -2,767