Cuentas Nacionales

Operaciones no financieras del sector hogares e IPSFL , referencia 2013 (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
      Rentas de la producción (remuneración, ingreso mixto y excedente bruto) 17.105 17.274 17.542 18.543 18.291 18.399 18.663 19.967 19.710 19.852 20.255 21.525 21.379 21.544 21.927 23.019 22.501 22.821 23.044 24.560 24.291 24.571 24.873 26.411 26.035 26.471 26.606 27.802 26.770 23.283
      Rentas de la propiedad netas 5.217 6.219 5.508 6.766 5.862 6.968 6.423 7.530 6.574 7.084 6.429 7.811 6.838 7.769 7.004 7.821 6.991 7.960 7.221 8.425 7.280 8.216 7.612 8.542 7.818 8.665 7.776 8.762 8.022 8.108
      Impuestos netos de subvenciones -821 -636 -433 -384 -821 -635 -464 -436 -920 -668 -522 -981 -1.147 -714 -542 -499 -1.025 -767 -575 -553 -1.097 -863 -683 -596 -1.203 -922 -702 -630 -1.259 -892
      Prestaciones sociales netas de cotizaciones -760 -730 -627 -776 -948 -809 -787 -1.005 -907 -721 -713 -911 -675 -780 -669 -939 -861 -1.118 -887 -1.345 -921 -1.185 -1.038 -1.066 -967 -1.409 -1.234 -1.451 -1.131 -1.054
      Transferencias corrientes netas 393 476 435 626 431 459 532 593 485 556 645 740 455 614 743 720 481 494 623 744 376 489 556 637 333 348 491 596 378 1.061
Ingreso disponible bruto 21.134 22.603 22.424 24.774 22.815 24.383 24.367 26.648 24.941 26.102 26.094 28.184 26.849 28.433 28.462 30.122 28.087 29.390 29.426 31.831 29.929 31.228 31.320 33.928 32.015 33.154 32.937 35.079 32.780 30.506
      Transferencias sociales en especie (salud, educación y otros) 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
Ingreso disponible bruto ajustado 22.960 24.829 24.689 27.201 24.879 26.909 26.841 29.353 27.338 28.866 28.931 31.235 29.567 31.717 31.682 33.720 31.211 33.144 33.020 35.663 33.664 35.313 35.016 38.346 35.997 37.567 37.001 39.660 36.940 35.278
      Consumo final efectivo (menos) 21.981 23.534 23.590 26.016 23.978 25.617 25.541 28.411 26.202 27.756 27.831 30.481 28.460 29.806 29.641 32.398 30.492 31.861 31.541 34.393 32.796 34.233 33.555 36.623 34.345 35.927 35.357 36.423 35.104 29.949
      Variación neta en los fondos de pensiones 1.407 1.490 1.357 1.501 1.633 1.696 1.553 1.791 1.762 1.574 1.564 1.736 1.644 1.620 1.475 1.751 1.788 1.951 1.736 2.172 1.848 2.075 1.900 1.946 1.918 2.268 2.156 2.353 2.324 2.106
Ahorro bruto 2.386 2.784 2.456 2.686 2.534 2.987 2.853 2.733 2.898 2.685 2.664 2.490 2.751 3.531 3.516 3.072 2.506 3.233 3.215 3.442 2.715 3.155 3.361 3.668 3.570 3.908 3.801 5.589 4.160 7.435
      Formación bruta de capital (menos) 1.171 1.300 1.373 1.635 1.306 1.481 1.519 1.841 1.410 1.626 1.753 2.111 1.664 1.905 1.925 2.263 1.682 1.802 1.873 2.322 1.856 1.990 2.027 2.460 1.932 2.124 2.177 2.634 2.124 1.707
      Transferencias de capital netas 269 278 271 245 295 289 253 381 347 347 296 493 307 306 329 390 348 286 336 258 458 324 300 203 451 251 285 441 244 301
Capacidad (+) / Necesidad (-) de financiamiento 1.484 1.762 1.353 1.296 1.524 1.795 1.587 1.273 1.835 1.406 1.207 872 1.394 1.931 1.920 1.200 1.172 1.717 1.678 1.378 1.317 1.489 1.634 1.411 2.089 2.035 1.908 3.396 2.280 6.029
Ahorro bruto 2.386 2.784 2.456 2.686 2.534 2.987 2.853 2.733 2.898 2.685 2.664 2.490 2.751 3.531 3.516 3.072 2.506 3.233 3.215 3.442 2.715 3.155 3.361 3.668 3.570 3.908 3.801 5.589 4.160 7.435
      Ahorro previsional 1.942 2.052 1.844 2.037 2.143 2.259 2.105 2.320 2.336 2.378 2.320 2.507 2.456 2.571 2.396 2.519 2.606 2.759 2.609 3.034 2.828 3.034 2.825 2.972 2.961 3.310 3.139 3.156 3.269 2.800
      Ahorro no previsional 444 732 611 649 392 728 747 413 562 306 344 -17 295 960 1.120 554 -100 474 606 408 -113 121 536 696 609 598 661 2.433 891 4.636