Cuentas Nacionales

Balance financiero de las sociedades financieras, 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
I. Activos Financieros 400.050 404.173 407.440 416.752 430.158 440.382 459.609 464.931 476.669 476.878 491.335 501.257 506.253 514.133 526.268 537.826 551.903 560.537 575.825 585.996 593.440 601.628 612.723 623.081 636.365 649.756 675.926 686.089 680.938 737.242
      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
      Efectivo y depósitos activos 38.554 41.685 42.467 43.494 46.975 43.617 46.757 51.076 51.080 48.044 51.346 54.784 55.469 54.868 52.970 55.589 51.383 51.522 50.627 51.980 50.566 50.586 49.566 54.249 48.232 50.829 54.092 68.771 83.326 77.685
            Efectivo y depósitos vista activos 9.323 9.661 9.848 10.726 11.178 9.089 10.747 12.863 13.258 12.696 12.988 15.448 14.984 15.042 13.138 14.244 12.921 12.191 12.408 13.769 13.500 13.260 13.368 14.851 12.620 14.907 15.822 21.106 31.711 35.285
            Otros depósitos activos 29.231 32.024 32.618 32.768 35.798 34.527 36.010 38.214 37.822 35.349 38.358 39.336 40.485 39.826 39.833 41.346 38.462 39.331 38.219 38.212 37.067 37.327 36.198 39.398 35.611 35.922 38.270 47.665 51.615 42.400
      Títulos activos 80.004 83.558 85.131 87.107 90.825 96.471 100.529 101.983 103.907 106.888 113.943 114.215 119.165 123.465 130.659 133.358 139.312 142.211 138.464 137.797 140.134 145.049 149.033 153.657 161.187 171.283 186.516 178.499 175.876 201.701
            Títulos de deuda a corto plazo activos 1.782 1.958 1.275 1.008 1.944 2.462 2.802 1.127 2.423 2.195 1.610 966 2.457 2.336 3.518 4.007 4.410 4.698 3.973 4.690 5.883 6.330 7.025 6.239 8.777 7.617 7.903 8.987 5.254 21.457
            Títulos de deuda a largo plazo activos 78.222 81.600 83.855 86.099 88.881 94.009 97.728 100.856 101.484 104.693 112.332 113.249 116.707 121.129 127.141 129.352 134.902 137.513 134.492 133.107 134.251 138.719 142.007 147.418 152.409 163.666 178.613 169.512 170.622 180.244
      Derivados financieros activos 389 195 243 175 235 218 11 108 251 196 -310 109 161 592 571 380 286 362 344 247 13 -195 -7 270 211 379 125 434 -417 -683
      Préstamos activos 110.275 114.143 116.325 119.366 121.522 123.948 127.135 130.896 132.400 135.202 140.615 144.342 145.131 147.715 149.755 152.625 153.638 156.912 158.066 161.380 164.200 168.908 172.659 177.714 180.141 183.495 189.027 195.416 203.375 222.450
            Préstamos a corto plazo activos 13.729 15.455 15.339 15.424 15.531 15.547 15.949 16.498 16.821 16.829 17.822 17.818 17.277 17.478 17.323 17.517 17.044 18.021 16.913 17.864 17.856 18.110 18.791 19.814 19.865 19.947 20.740 22.141 23.679 36.788
            Préstamos a largo plazo activos 96.545 98.688 100.986 103.942 105.991 108.401 111.185 114.399 115.579 118.373 122.793 126.525 127.854 130.237 132.432 135.108 136.593 138.891 141.153 143.516 146.344 150.798 153.867 157.900 160.276 163.549 168.287 173.275 179.695 185.662
      Acciones y otras participaciones activos 154.673 147.202 145.334 148.601 151.169 156.538 162.436 158.676 165.161 163.182 159.520 163.394 162.472 163.278 168.157 172.155 181.669 184.362 202.883 209.574 212.723 211.830 214.496 207.254 216.233 213.088 215.006 211.521 185.330 205.723
            Acciones activos 123.576 117.503 114.808 114.601 115.648 118.681 120.785 116.593 119.382 115.701 114.122 116.008 116.464 117.371 119.934 125.004 130.350 128.805 142.791 147.845 147.707 146.014 147.164 143.393 146.079 139.639 139.108 129.978 112.530 119.761
            Participaciones emitidas por fondos de inversión del mercado monetario activos 1.425 1.163 1.294 1.334 1.637 1.245 1.541 1.462 1.626 1.504 1.459 1.290 1.502 1.238 1.116 1.298 1.664 1.506 1.431 1.393 1.641 1.160 1.360 1.429 1.531 1.667 1.880 2.077 2.069 2.614
            Participaciones emitidas por fondos de inversión distintos a los del mercado monetario activos 29.672 28.536 29.233 32.666 33.884 36.611 40.110 40.621 44.153 45.976 43.940 46.096 44.507 44.670 47.107 45.853 49.656 54.051 58.661 60.337 63.374 64.656 65.973 62.432 68.622 71.782 74.018 79.467 70.731 83.348
      Reservas de fondos de pensiones activos 787 788 811 842 880 924 969 992 1.034 1.043 1.048 1.080 1.089 1.097 1.149 1.150 1.218 1.244 1.265 1.279 1.288 1.299 1.333 1.326 1.367 1.467 1.553 1.584 1.428 1.618
      Reservas técnicas de seguros activos 166 172 177 181 189 199 205 211 213 222 231 230 224 229 231 237 241 250 252 257 262 266 270 282 288 295 292 316 315 297
            Reservas para primas y para siniestros activos 166 172 177 181 189 199 205 211 213 222 231 230 224 229 231 237 241 250 252 257 262 266 270 282 288 295 292 316 315 297
      Otras cuentas activos 14.638 15.865 16.377 16.380 17.725 17.827 20.896 20.326 21.972 21.430 24.180 22.348 22.022 22.381 22.271 21.839 23.662 23.167 23.430 23.000 23.771 23.387 24.867 27.799 28.189 28.402 28.772 28.985 31.069 27.912
II. Activos Financieros Netos (I-III) -22.792 -21.843 -22.476 -21.430 -20.413 -22.176 -22.042 -19.387 -22.671 -21.077 -19.081 -18.461 -19.414 -16.763 -20.615 -21.632 -23.765 -24.781 -25.001 -29.249 -29.817 -30.858 -29.637 -25.743 -29.074 -27.581 -28.448 -20.984 -9.393 -13.698
III. Pasivos 422.842 426.016 429.915 438.182 450.571 462.557 481.651 484.318 499.340 497.955 510.415 519.718 525.667 530.896 546.883 559.457 575.668 585.318 600.826 615.245 623.257 632.486 642.360 648.823 665.438 677.337 704.375 707.074 690.331 750.939
      Efectivo y depósitos pasivos 93.213 97.312 98.222 102.539 102.515 99.734 102.923 111.989 110.150 110.479 114.194 122.218 122.164 122.541 120.735 127.305 122.875 123.412 124.928 130.291 129.237 130.724 132.347 139.742 133.862 137.404 140.519 155.326 169.018 171.197
            Efectivo y depósitos vista pasivos 27.502 28.626 29.149 33.082 31.595 30.999 31.463 36.873 35.427 35.639 35.397 41.095 39.288 38.602 37.361 41.577 40.066 39.586 40.545 44.121 43.224 43.156 43.389 47.970 44.851 46.972 47.926 56.109 63.165 74.164
            Otros depósitos pasivos 65.711 68.686 69.072 69.457 70.920 68.735 71.460 75.117 74.723 74.840 78.797 81.123 82.876 83.939 83.374 85.728 82.809 83.826 84.383 86.170 86.013 87.568 88.958 91.772 89.011 90.433 92.593 99.217 105.854 97.033
      Títulos pasivos 41.598 43.265 44.304 44.004 45.496 50.367 52.306 51.831 55.037 57.057 59.469 56.877 57.435 59.501 63.862 63.278 66.793 68.215 65.631 65.838 68.758 71.182 71.900 71.825 78.793 81.986 88.175 83.907 81.378 97.936
            Títulos a corto plazo pasivos 2.404 2.649 2.602 1.053 2.222 3.263 3.595 1.186 2.663 2.616 2.715 1.026 2.920 3.517 5.058 4.387 5.460 6.458 5.333 5.286 6.419 7.601 7.850 6.859 9.884 8.765 8.899 9.469 5.777 20.710
            Títulos a largo plazo pasivos 39.193 40.616 41.702 42.951 43.274 47.104 48.711 50.645 52.374 54.441 56.754 55.851 54.515 55.984 58.804 58.891 61.334 61.757 60.298 60.552 62.338 63.581 64.050 64.966 68.909 73.221 79.276 74.437 75.600 77.226
      Préstamos pasivos 17.512 18.355 19.037 19.512 19.339 19.266 19.901 18.937 19.118 19.206 20.827 22.190 21.456 20.755 20.331 20.419 19.769 21.347 19.686 21.084 19.869 20.874 21.994 24.402 24.769 24.813 27.911 28.447 33.134 46.403
            Préstamos a corto plazo pasivos 5.589 6.046 5.451 5.823 5.549 5.492 5.812 6.021 5.646 6.001 6.221 6.425 5.778 5.828 6.042 6.850 6.420 7.439 6.698 8.070 6.702 6.920 7.408 8.668 7.453 8.268 9.433 11.520 14.299 28.564
            Préstamos a largo plazo pasivos 11.923 12.309 13.586 13.689 13.789 13.775 14.089 12.916 13.472 13.204 14.606 15.765 15.678 14.927 14.288 13.569 13.348 13.908 12.988 13.014 13.167 13.954 14.585 15.734 17.316 16.545 18.478 16.927 18.835 17.838
      Acciones y otras participaciones pasivos 153.399 149.339 147.827 149.595 152.508 157.837 162.851 158.114 161.425 156.313 158.372 160.479 161.312 163.349 173.728 178.674 186.988 189.501 204.713 209.246 214.027 215.668 217.488 212.257 217.232 213.576 217.278 202.575 182.895 192.523
            Acciones pasivos 130.924 126.463 124.648 124.195 126.512 129.769 132.739 125.669 129.169 123.323 123.637 124.393 126.127 126.363 131.000 136.576 140.390 140.662 154.098 161.032 162.243 162.341 162.223 156.872 157.832 149.603 149.021 136.117 118.130 121.272
            Participaciones emitidas por fondos de inversión del mercado monetario pasivos 9.811 10.562 10.755 12.353 10.889 10.500 11.020 13.932 11.082 11.321 11.935 14.315 12.629 12.905 15.025 15.284 16.732 16.765 17.175 15.726 18.117 18.104 17.973 17.522 18.864 19.909 20.322 23.190 26.649 28.909
            Participaciones emitidas por fondos de inversión distintos a los del mercado monetario pasivos 12.664 12.314 12.425 13.047 15.106 17.568 19.093 18.514 21.173 21.669 22.799 21.772 22.556 24.081 27.703 26.813 29.866 32.074 33.441 32.487 33.666 35.224 37.291 37.862 40.536 44.064 47.935 43.267 38.117 42.341
      Fondos de pensiones pasivos 83.024 83.286 85.838 89.203 93.280 98.022 102.798 105.280 109.808 110.747 111.569 114.899 116.009 116.942 122.553 122.712 129.945 132.750 134.880 136.442 137.606 138.957 142.611 142.219 150.450 157.290 166.467 169.459 153.461 173.159
      Reservas técnicas de seguros pasivos 21.473 21.885 22.492 23.112 23.783 24.696 25.348 26.267 26.726 27.745 28.727 29.599 30.293 31.279 32.180 32.901 33.665 34.528 35.086 35.778 36.536 37.336 38.190 39.018 39.730 40.891 41.670 42.286 42.696 42.952
            Reservas técnicas de seguros de vida pasivos 20.642 21.027 21.607 22.206 22.839 23.699 24.325 25.210 25.661 26.634 27.571 28.448 29.172 30.134 31.025 31.715 32.461 33.278 33.826 34.491 35.225 36.008 36.839 37.607 38.288 39.415 40.210 40.707 41.119 41.465
            Reservas para primas y para siniestros pasivos 831 858 886 906 944 997 1.023 1.057 1.065 1.111 1.157 1.152 1.121 1.145 1.155 1.185 1.204 1.250 1.260 1.287 1.311 1.328 1.351 1.411 1.442 1.476 1.461 1.579 1.577 1.487
      Otras cuentas pasivos 12.623 12.575 12.194 10.216 13.651 12.635 15.523 11.900 17.075 16.408 17.257 13.455 16.998 16.529 13.494 14.169 15.633 15.565 15.902 16.567 17.225 17.745 17.829 19.360 20.603 21.376 22.354 25.074 27.749 26.771