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