Cuentas Nacionales

Operaciones no financieras del sector gobierno general, referencia 2018 (miles de millones de 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 III.2024 IV.2024 I.2025 II.2025 III.2025 IV.2025
      Rentas de la producción (consumo de capital fijo) 294 317 318 375 338 358 362 430 381 405 410 484 418 446 458 512 447 472 473 548 482 505 503 585 521 549 546 630 573 588 587 673 581 625 636 782 669 736 766 868 776 790 795 894 853 904 894 961 912 923 915 998
      Rentas de la propiedad netas 80 175 408 269 202 90 167 202 38 146 -100 -43 -65 -11 52 73 5 -7 199 133 238 114 116 -17 2 7 -57 169 122 241 -75 179 -133 390 626 799 125 919 1.132 968 852 716 515 585 66 -140 -208 260 -341 -72 -128 128
      Impuestos netos de subvenciones 6.188 5.358 5.725 6.165 6.069 5.501 6.223 6.936 6.729 6.605 6.716 8.188 7.538 7.389 6.774 8.484 7.399 8.392 7.128 8.084 8.027 8.870 8.064 9.612 8.644 8.916 8.416 8.946 9.287 6.319 7.611 9.993 9.721 11.451 11.354 14.664 12.798 17.071 12.841 13.399 14.380 12.236 11.657 13.045 13.350 14.622 13.009 15.674 15.648 15.465 14.605 15.709
      Prestaciones sociales netas de cotizaciones -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 -1.704 -1.771 -1.630 -2.133 -2.044 -2.344 -2.441 -2.610 -2.758 -2.832 -2.710 -2.720 -2.809 -2.911 -2.799 -2.799 -3.003 -2.963 -2.852 -2.774
      Transferencias corrientes netas -77 89 -51 -266 -175 346 -117 -427 -275 28 -79 -491 -84 -104 -572 -645 23 -340 -414 -334 13 359 41 -502 -242 97 -604 -955 -314 -731 -3.170 -1.250 -598 -4.190 -7.987 -6.033 359 714 -2.024 -435 75 784 -6 268 312 647 32 112 371 649 127 -19
Ingreso disponible bruto 5.721 5.020 5.499 5.649 5.615 5.220 5.675 6.142 5.873 6.112 5.873 7.091 6.686 6.651 5.668 7.350 6.735 7.377 6.220 7.275 7.581 8.614 7.525 8.452 7.643 8.350 7.011 7.499 8.062 4.913 3.383 7.966 7.867 6.504 2.998 8.078 11.907 17.096 10.275 12.190 13.325 11.695 10.251 12.072 11.772 13.122 10.929 14.208 13.588 14.002 12.668 14.042
      Transferencias sociales en especie (salud, educación y otros) (menos) 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 4.065 4.530 4.238 4.836 4.343 5.005 4.708 5.289 4.955 5.364 5.255 5.755 5.543 5.772 5.674 6.447 6.129 6.760 6.387 6.931 6.903 7.272 6.901 7.437 7.803 8.161 7.768 8.152
Ingreso disponible bruto ajustado 3.709 2.628 3.165 2.964 3.330 2.599 3.077 3.103 3.241 3.171 2.935 3.673 3.801 3.179 2.194 3.470 3.435 3.411 2.419 3.097 3.781 4.424 3.661 3.902 3.578 3.821 2.773 2.663 3.718 -92 -1.326 2.677 2.911 1.140 -2.257 2.323 6.364 11.323 4.601 5.743 7.196 4.935 3.865 5.140 4.869 5.850 4.028 6.771 5.784 5.841 4.900 5.889
      Consumo final efectivo (menos) 1.768 1.841 1.892 2.633 2.015 2.020 2.038 2.951 2.200 2.222 2.263 2.945 2.308 2.451 2.546 3.189 2.461 2.566 2.625 3.369 2.570 2.696 2.706 3.768 2.830 2.876 2.901 3.550 2.926 2.926 3.061 3.996 3.055 3.239 3.306 4.354 3.396 3.541 3.832 4.530 3.910 3.976 4.165 4.926 4.268 4.345 4.591 5.164 4.517 4.548 4.824 5.414
Ahorro bruto 1.941 787 1.273 331 1.315 578 1.039 152 1.042 948 672 728 1.494 728 -352 281 974 845 -206 -272 1.211 1.728 955 134 747 945 -129 -888 792 -3.018 -4.386 -1.319 -144 -2.099 -5.563 -2.031 2.968 7.782 768 1.213 3.286 959 -300 214 601 1.505 -563 1.606 1.268 1.292 76 475
      Formación bruta de capital (menos) 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 1.823 784 990 932 1.726 824 1.143 1.195 2.061 914 1.252 1.323 2.548 878 1.462 1.330 2.593 1.093 1.914 1.521 2.210 1.573 1.864 1.561 2.400
      Transferencias de capital netas -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 -662 -630 -789 -410 -745 -817 -1.461 -850 -987 -805 -1.074 -988 -967 -930 -1.160 -918 -1.021 -979 -1.404
Capacidad (+) / Necesidad (-) de financiamiento 1.042 -515 94 -1.455 272 -700 -114 -2.068 -177 -598 -727 -2.139 172 -839 -1.925 -2.036 -335 -649 -1.683 -2.578 -187 115 -401 -1.939 -681 -592 -1.830 -3.623 -416 -4.580 -5.864 -3.915 -1.517 -3.903 -7.388 -4.881 1.644 5.786 -1.371 -2.796 1.559 -1.490 -2.435 -3.453 -1.480 -1.376 -3.013 -1.764 -1.223 -1.593 -2.464 -3.329