Cuentas Nacionales

Balance financiero del Banco Central, 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
I. Activos Financieros 20.858 22.823 23.303 23.523 24.602 24.572 26.110 25.589 25.154 25.122 27.893 28.271 27.644 27.088 26.880 27.861 26.696 26.618 24.735 24.951 23.755 24.551 25.247 28.460 27.109 27.554 28.977 32.442 36.374 51.788 59.688 59.294 60.389 71.795 78.436 78.816 73.615 77.803 71.877 68.664 65.868 66.098 71.777 75.068 78.868 57.462
      Oro monetario y DEG activos 564 564 575 606 640 640 670 661 650 671 761 755 521 508 505 492 493 506 493 480 482 499 505 530 517 518 542 564 635 538 529 503 496 439 2.531 2.990 2.478 3.031 3.012 2.819 2.603 2.697 3.023 2.980 3.387 3.303
      Efectivo y depósitos activos 1.925 2.874 3.161 2.704 3.081 2.906 3.407 3.820 3.431 3.312 3.792 4.201 3.990 3.956 3.629 5.111 3.849 3.380 2.183 2.439 1.663 1.458 1.538 3.483 1.771 1.675 1.151 4.360 3.401 1.119 1.832 2.023 1.481 2.975 6.269 4.283 2.977 2.573 1.874 2.200 1.743 1.745 1.752 5.010 4.902 3.968
            Efectivo y depósitos vista activos 16 11 9 10 15 11 17 104 255 384 433 428 684 683 669 685 718 691 412 722 700 23 480 511 503 804 25 377 1.024 657 959 530 675 886 1.048 814 946 1.021 981 1.061 976 1.032 979 2.182 2.122 1.292
            Otros depósitos activos 1.909 2.863 3.152 2.693 3.066 2.895 3.391 3.716 3.176 2.927 3.359 3.773 3.306 3.273 2.960 4.427 3.131 2.689 1.771 1.717 963 1.435 1.057 2.972 1.267 870 1.126 3.982 2.377 462 872 1.493 806 2.089 5.221 3.468 2.030 1.552 892 1.140 767 713 773 2.828 2.780 2.676
      Títulos activos 16.279 17.160 17.533 18.144 18.777 19.046 20.019 20.013 19.965 20.235 22.393 22.350 22.175 21.783 21.857 21.408 21.514 21.921 21.356 21.062 20.918 22.009 22.521 23.719 24.077 24.673 26.560 25.350 30.256 31.241 34.418 34.111 34.917 38.730 39.910 41.961 38.221 42.163 36.612 33.557 31.469 31.797 36.990 37.154 40.673 38.541
            Títulos de deuda a largo plazo activos 16.279 17.160 17.533 18.144 18.777 19.046 20.019 20.013 19.965 20.235 22.393 22.350 22.175 21.783 21.857 21.408 21.514 21.921 21.356 21.062 20.918 22.009 22.521 23.719 24.077 24.673 26.560 25.350 30.256 31.241 34.418 34.111 34.917 38.730 39.910 41.961 38.221 42.163 36.612 33.557 31.469 31.797 36.990 37.154 40.673 38.541
      Derivados financieros activos 0 0 0 0 0 0 0 0 0 -6 -9 -8 -13 -11 -5 -4 -1 -2 -2 -3 0 0 0 0 0 0 0 93 -19 -93 -5 0 0 0 0 0 0 0 -386 136 190 -8 -70 -25 -40 -73
      Préstamos activos 1.968 2.092 1.901 1.923 1.952 1.830 1.851 926 935 737 761 785 784 675 719 677 665 633 531 839 539 423 521 561 578 521 544 1.887 1.884 18.697 22.652 22.434 23.283 29.380 29.456 29.317 29.322 29.337 29.977 29.266 29.245 29.250 29.343 29.238 29.244 11.075
            Préstamos a corto plazo activos 54 312 84 69 57 31 22 80 82 10 18 28 16 36 71 23 3 105 0 303 0 32 125 160 177 206 227 1.568 1.562 18.375 22.330 22.112 22.964 29.055 29.116 28.967 28.966 28.967 29.596 28.951 28.932 28.933 29.025 28.933 28.933 10.763
            Préstamos a largo plazo activos 1.914 1.780 1.817 1.853 1.895 1.799 1.829 846 853 727 743 757 768 639 648 655 662 528 531 536 539 391 396 400 401 315 317 319 322 322 322 322 319 325 340 351 356 370 382 315 313 318 318 305 311 313
      Acciones y otras participaciones activos 117 125 125 130 137 137 148 149 152 154 171 171 164 161 160 161 160 161 155 118 143 152 154 162 160 161 173 178 205 202 198 183 185 188 202 215 197 227 232 211 195 201 225 222 249 244
            Acciones activos 117 125 125 130 137 137 148 149 152 154 171 171 164 161 160 161 160 161 155 118 143 152 154 162 160 161 173 178 205 202 198 183 185 188 202 215 197 227 232 211 195 201 225 222 249 244
      Otras cuentas activos 5 8 7 17 15 12 15 20 21 19 23 17 22 17 16 16 17 19 19 15 10 10 8 7 6 7 8 10 12 83 64 40 27 83 67 50 420 472 555 475 423 417 515 489 454 403
II. Activos Financieros Netos (I-III) -283 -432 -489 -537 -690 -763 -928 -979 -1.054 -887 -924 -741 -883 -787 -895 -807 -900 -778 -658 -544 -540 -524 -529 -545 -630 -773 -1.012 -317 -314 -179 -131 -115 -103 -84 -71 -66 -67 -65 -59 -55 -55 -50 -46 -50 -120 -134
III. Pasivos 21.141 23.255 23.792 24.061 25.292 25.334 27.039 26.568 26.207 26.009 28.817 29.012 28.528 27.875 27.776 28.668 27.596 27.396 25.393 25.495 24.295 25.074 25.776 29.005 27.739 28.327 29.989 32.759 36.688 51.967 59.819 59.409 60.492 71.879 78.507 78.883 73.683 77.868 71.936 68.719 65.924 66.148 71.824 75.118 78.988 57.596
      Efectivo y depósitos pasivos 10.394 11.228 11.821 13.555 12.758 12.035 12.161 15.396 13.991 13.301 13.440 15.935 15.740 14.851 14.031 16.220 14.577 13.609 14.060 15.177 14.556 13.479 14.282 17.547 14.093 15.215 14.679 19.283 24.316 28.272 34.986 39.133 38.292 40.315 34.822 29.718 45.046 26.395 28.352 28.747 25.931 25.172 22.984 34.569 45.842 34.128
            Efectivo y depósitos vista pasivos 10.117 10.704 10.993 12.593 11.874 11.030 11.167 13.634 12.737 12.381 11.981 13.869 13.877 12.963 12.336 13.684 12.722 12.251 13.602 14.153 14.252 13.329 13.853 15.934 13.815 14.602 14.675 17.244 22.917 28.268 34.610 38.859 38.287 39.457 31.249 28.598 44.792 25.831 27.869 28.206 25.660 24.845 22.728 32.438 43.553 33.861
            Otros depósitos pasivos 277 523 829 962 884 1.005 995 1.762 1.254 920 1.459 2.066 1.863 1.888 1.695 2.536 1.855 1.358 459 1.024 304 150 428 1.612 278 613 4 2.039 1.399 4 376 274 5 858 3.573 1.120 254 564 483 541 272 327 256 2.131 2.289 267
      Títulos pasivos 15.138 15.659 15.534 13.552 14.756 15.612 16.080 13.867 15.111 15.538 16.189 14.209 14.759 15.703 16.613 15.898 16.496 17.073 15.448 15.337 15.108 15.982 15.507 14.381 16.874 16.050 16.402 14.150 10.384 22.203 23.847 21.122 22.566 31.897 39.373 42.853 26.682 45.225 38.588 38.074 40.670 42.868 48.609 40.854 30.612 22.532
            Títulos a corto plazo pasivos 2.275 2.519 2.468 925 2.091 3.127 3.469 999 2.458 2.436 2.547 898 2.850 3.379 4.898 4.206 5.276 6.273 5.162 5.100 6.121 7.280 7.500 6.449 9.507 8.440 8.562 9.124 5.440 20.474 22.679 19.999 21.949 31.292 38.786 42.250 26.347 44.869 38.370 37.841 40.581 42.798 48.528 40.767 30.513 22.441
            Títulos a largo plazo pasivos 12.863 13.140 13.066 12.627 12.666 12.484 12.610 12.868 12.652 13.102 13.642 13.311 11.909 12.324 11.715 11.692 11.221 10.799 10.286 10.237 8.986 8.701 8.007 7.932 7.367 7.610 7.840 5.026 4.944 1.729 1.167 1.123 617 604 588 602 335 356 218 233 90 70 80 87 99 91
      Préstamos pasivos 656 693 701 735 770 771 804 802 783 806 885 802 777 756 752 733 735 755 736 717 720 746 755 792 774 774 809 850 949 918 902 858 848 857 2.818 3.018 2.709 3.043 3.085 2.885 2.657 2.674 2.988 2.936 3.257 3.134
            Préstamos a corto plazo pasivos 9 4 0 5 2 2 1 8 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 8 5 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
            Préstamos a largo plazo pasivos 648 689 701 731 768 768 802 794 782 806 885 801 777 756 752 733 735 755 736 717 720 746 755 792 774 774 809 842 944 918 902 858 848 857 2.818 3.018 2.709 3.043 3.085 2.885 2.657 2.674 2.988 2.936 3.257 3.134
      Acciones y otras participaciones pasivos -5.064 -4.338 -4.286 -3.820 -3.026 -3.105 -2.035 -3.544 -3.735 -3.690 -1.741 -1.976 -2.775 -3.449 -3.636 -4.206 -4.249 -4.083 -4.893 -5.783 -6.126 -5.172 -4.806 -3.760 -4.040 -3.748 -1.933 -1.563 997 548 57 -1.739 -1.246 -1.225 1.453 3.252 -792 3.168 1.863 -1.024 -3.379 -4.609 -2.798 -3.274 -753 -2.226
            Acciones pasivos -5.064 -4.338 -4.286 -3.820 -3.026 -3.105 -2.035 -3.544 -3.735 -3.690 -1.741 -1.976 -2.775 -3.449 -3.636 -4.206 -4.249 -4.083 -4.893 -5.783 -6.126 -5.172 -4.806 -3.760 -4.040 -3.748 -1.933 -1.563 997 548 57 -1.739 -1.246 -1.225 1.453 3.252 -792 3.168 1.863 -1.024 -3.379 -4.609 -2.798 -3.274 -753 -2.226
      Otras cuentas pasivos 18 13 21 39 35 22 29 48 58 54 42 42 26 14 16 22 37 43 42 48 38 40 39 46 39 36 32 38 41 26 27 35 32 35 41 42 38 37 47 37 44 44 41 32 29 27