National Accounts

Non-financial transactions of financial corporations, 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 (gross operating surplus and FISIM) 725 652 583 581 618 584 515 537 585 566 527 514 598 567 547 590 603 580 630 632 762 769 731 657 588 537 616 685 964 930 885 920 724 594 497 441 672 416 393 238 150 -31 552 334 -50 134
            Net property income -343 -437 785 677 -23 304 560 1,150 -234 -190 1,198 786 28 -242 687 698 199 -110 121 262 -144 -731 540 911 104 26 837 1,224 697 -323 539 1,303 1,824 642 1,887 3,502 1,775 2,095 3,224 1,511 859 123 173 1,500 104 537
            Taxes on production and imports net of subsidies -91 -353 -182 -146 -195 -343 -233 -200 -200 -408 -97 -241 -173 -402 -262 -331 -257 -502 -242 -252 -303 -498 -330 -284 -249 -373 -457 -332 -330 -195 -364 -112 -390 -518 -596 -534 -474 -572 -268 -245 -347 -317 -236 -267 -399 -333
            Social benefits other than social transfer in kind net of social contributions 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 2,363 2,310 2,068 -10,578 -7,555 -896 -8,283 121 934 1,352 2,102 2,201 2,288 2,046 2,728 2,263 2,305 2,326 2,734
            Other net current transfer -12 5 -11 -36 -14 0 -5 -35 -30 -1 -40 2 -36 10 6 -3 1 32 10 37 7 14 25 12 -7 4 8 -13 -28 -33 -17 -31 -44 10 0 -12 -32 -75 -17 8 -9 -57 8 1 14 -66
Gross disposable income 1,671 1,364 2,533 2,576 2,010 2,251 2,389 3,259 1,879 1,555 3,163 2,789 2,045 1,544 2,464 2,709 2,321 1,948 2,253 2,854 2,153 1,619 2,868 3,284 2,359 2,489 3,171 3,928 3,613 2,447 -9,535 -5,476 1,218 -7,555 1,909 4,331 3,293 3,966 5,533 3,800 2,699 2,446 2,760 3,873 1,995 3,007
            Net change in pension funds (minus) 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 2,363 2,310 2,068 -10,578 -7,555 -896 -8,283 121 934 1,352 2,102 2,201 2,288 2,046 2,728 2,263 2,305 2,326 2,734
Gross saving 279 -133 1,175 1,076 385 545 838 1,451 121 -33 1,588 1,061 417 -67 978 954 548 0 518 678 322 -447 966 1,296 436 193 1,004 1,565 1,303 379 1,043 2,080 2,114 728 1,788 3,397 1,941 1,864 3,332 1,512 653 -282 497 1,568 -331 273
            Gross capital formation (minus) 137 111 104 339 275 89 411 333 413 178 547 76 134 199 622 297 363 73 290 335 33 212 177 290 239 243 467 654 423 122 169 341 379 259 230 364 265 478 509 448 481 455 552 460 393 472
            Net capital transfers 0 0 0 0 0 -15 0 0 0 -1 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 -65 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Net lending (+) / Net borrowing (-) 143 -244 1,071 737 110 441 427 1,118 -292 -213 1,041 985 283 -266 356 657 184 -73 227 343 289 -659 790 1,006 197 -50 537 846 880 257 874 1,738 1,736 469 1,559 3,033 1,676 1,386 2,822 1,064 172 -737 -55 1,108 -724 -200