I. Activos Financieros
33.468
35.602
36.529
36.404
39.072
40.134
42.803
39.567
39.963
42.652
47.417
46.577
47.730
49.009
49.241
46.473
47.884
52.605
49.714
46.551
46.452
49.897
52.505
53.540
54.559
57.947
61.234
59.682
71.532
72.135
68.604
61.705
65.655
66.946
73.037
Efectivo y depósitos activos
6.927
7.950
7.961
8.047
7.278
7.942
7.933
8.887
7.881
8.329
8.238
9.327
8.925
9.948
9.748
9.738
9.508
11.244
10.395
10.294
9.668
10.545
11.643
11.027
11.067
12.800
12.072
11.780
13.648
12.758
13.157
9.641
9.552
10.356
12.449
Efectivo y depósitos vista activos
5.206
5.345
5.335
5.778
4.901
5.414
4.934
5.065
5.035
5.228
5.219
5.908
5.677
6.301
6.018
6.586
6.562
6.448
6.542
6.672
6.752
6.740
7.150
7.251
7.171
7.270
7.687
8.201
7.925
7.944
7.721
7.353
7.424
8.068
9.720
Otros depósitos activos
1.721
2.606
2.625
2.270
2.376
2.528
2.998
3.822
2.846
3.101
3.019
3.419
3.248
3.648
3.729
3.152
2.946
4.796
3.853
3.622
2.916
3.805
4.493
3.777
3.897
5.530
4.385
3.578
5.723
4.814
5.436
2.288
2.128
2.288
2.729
Títulos activos
12.681
12.322
12.870
12.147
13.680
13.967
14.501
13.735
14.088
15.483
17.694
15.041
16.901
17.460
17.625
14.840
15.483
17.090
16.050
14.186
13.854
13.757
13.703
14.262
13.619
13.439
14.443
13.154
18.487
18.796
13.378
11.605
12.200
9.582
9.707
Títulos de deuda a corto plazo activos
3.106
2.261
3.292
2.279
3.071
3.061
3.127
2.101
2.626
3.219
4.030
2.492
3.456
3.992
4.011
2.035
3.007
3.668
3.190
2.068
1.870
1.378
1.728
1.523
1.655
1.732
1.580
1.287
2.426
3.542
1.767
3.059
3.656
564
1.708
Títulos de deuda a largo plazo activos
9.575
10.061
9.578
9.868
10.609
10.905
11.374
11.634
11.462
12.264
13.664
12.549
13.445
13.468
13.614
12.805
12.476
13.422
12.860
12.118
11.983
12.380
11.975
12.739
11.965
11.707
12.863
11.868
16.061
15.254
11.611
8.545
8.544
9.018
7.999
Préstamos activos
2.551
2.883
2.810
2.750
2.921
2.892
2.869
2.999
3.100
3.470
3.416
3.783
3.931
3.908
3.836
4.273
4.190
4.604
4.614
4.686
4.738
5.341
5.398
5.908
5.908
6.356
6.663
6.178
6.576
6.311
7.144
7.370
7.541
8.916
8.795
Préstamos a corto plazo activos
232
557
542
244
366
331
378
194
271
642
454
404
527
514
441
470
385
709
584
128
129
598
463
512
418
755
922
437
733
401
493
361
473
1.157
798
Préstamos a largo plazo activos
2.319
2.327
2.268
2.506
2.555
2.561
2.491
2.805
2.829
2.827
2.962
3.380
3.405
3.394
3.395
3.803
3.805
3.896
4.030
4.558
4.608
4.742
4.935
5.396
5.490
5.601
5.741
5.741
5.843
5.911
6.651
7.009
7.068
7.759
7.998
Acciones y otras participaciones activos
5.541
6.513
6.832
7.689
8.947
8.831
10.645
7.183
7.098
7.327
9.977
9.907
8.836
8.507
8.449
8.304
8.589
9.190
8.189
7.080
6.818
8.496
9.458
10.882
11.486
12.409
14.670
15.198
17.951
18.004
15.987
16.081
17.086
16.791
20.856
Acciones activos
4.472
5.341
5.300
6.174
7.197
7.193
8.799
5.471
5.358
5.472
7.997
8.194
7.062
6.254
6.096
6.353
6.407
6.841
5.951
5.301
4.996
6.263
6.884
8.865
8.758
9.020
11.218
11.969
14.593
14.491
13.739
13.550
14.605
14.478
18.386
Participaciones emitidas por fondos de inversión del mercado monetario activos
1.070
1.172
1.532
1.514
1.750
1.638
1.845
1.712
1.740
1.854
1.981
1.713
1.774
2.254
2.352
1.951
2.182
2.349
2.237
1.779
1.822
2.232
2.574
2.017
2.728
3.389
3.452
3.229
3.358
3.512
2.247
2.531
2.481
2.313
2.470
Participaciones emitidas por fondos de inversión distintos a los del mercado monetario activos
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Reservas técnicas de seguros activos
17
17
18
18
19
20
20
21
21
22
23
23
22
23
23
24
24
25
25
26
26
27
27
28
29
30
29
32
32
30
29
30
31
30
32
Reservas para primas y para siniestros activos
17
17
18
18
19
20
20
21
21
22
23
23
22
23
23
24
24
25
25
26
26
27
27
28
29
30
29
32
32
30
29
30
31
30
32
Otras cuentas activos
5.751
5.916
6.039
5.753
6.227
6.483
6.836
6.742
7.775
8.022
8.068
8.495
9.114
9.162
9.560
9.294
10.091
10.451
10.442
10.278
11.349
11.732
12.276
11.432
12.450
12.914
13.358
13.340
14.839
16.236
18.909
16.978
19.245
21.270
21.198
II. Activos Financieros Netos (I-III)
10.150
11.218
11.096
10.332
12.390
11.472
13.182
6.231
6.862
7.242
10.164
7.709
6.520
4.845
1.562
-1.167
306
783
-1.570
-5.696
-6.296
-5.119
-5.099
-7.167
-9.173
-12.471
-14.272
-14.502
-4.420
-14.248
-20.112
-26.162
-21.024
-20.821
-22.644
III. Pasivos
23.318
24.384
25.434
26.072
26.682
28.662
29.621
33.336
33.100
35.410
37.253
38.869
41.210
44.164
47.679
47.640
47.579
51.822
51.284
52.247
52.748
55.016
57.605
60.706
63.732
70.418
75.507
74.184
75.953
86.382
88.716
87.866
86.679
87.767
95.681
Efectivo y depósitos pasivos
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Otros depósitos pasivos
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Títulos pasivos
16.558
17.564
18.476
18.994
19.385
21.114
21.952
25.554
24.995
27.132
28.822
30.211
32.231
34.997
37.996
38.346
39.182
43.434
42.761
43.585
43.717
45.796
47.930
50.764
53.319
59.457
64.441
63.376
64.733
74.240
74.309
75.223
73.074
72.772
79.325
Títulos a corto plazo pasivos
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2.444
3.994
2.874
2.909
3.703
3.302
Títulos a largo plazo pasivos
16.558
17.564
18.476
18.994
19.385
21.114
21.952
25.554
24.995
27.132
28.822
30.211
32.231
34.997
37.996
38.346
39.182
43.434
42.761
43.585
43.717
45.796
47.930
50.764
53.319
59.457
64.441
63.376
64.733
71.795
70.315
72.349
70.164
69.069
76.022
Préstamos pasivos
858
869
860
874
884
876
900
900
947
951
988
1.003
954
1.024
1.100
1.137
1.146
1.137
1.202
1.229
1.276
1.313
1.361
1.405
1.399
1.434
1.495
1.514
1.617
1.555
1.520
1.423
1.421
1.404
1.480
Préstamos a corto plazo pasivos
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Préstamos a largo plazo pasivos
858
869
860
874
884
876
900
900
947
951
988
1.003
954
1.024
1.100
1.137
1.146
1.137
1.202
1.229
1.276
1.313
1.361
1.405
1.399
1.434
1.495
1.514
1.617
1.555
1.520
1.423
1.421
1.404
1.480
Otras cuentas pasivos
5.902
5.952
6.097
6.204
6.413
6.672
6.769
6.883
7.159
7.327
7.443
7.655
8.025
8.142
8.583
8.157
7.251
7.250
7.321
7.433
7.755
7.907
8.315
8.537
9.014
9.528
9.571
9.295
9.603
10.588
12.887
11.220
12.184
13.591
14.877
Memorando: Valor de mercado de fondos soberanos
9.734
11.193
11.484
11.918
12.790
13.077
13.796
13.747
14.001
14.108
15.670
15.617
15.681
15.755
15.900
15.104
15.352
16.096
15.549
15.227
15.169
15.880
15.958
16.562
16.653
16.742
17.897
17.160
18.836
17.434
16.454
13.593
13.641
9.056
7.886
Fondo de estabilización económica y social, FEES
6.972
7.663
7.826
8.076
8.657
8.542
8.987
8.922
9.082
8.883
9.932
9.879
9.922
9.660
9.702
9.190
9.324
9.551
9.308
9.068
9.041
9.484
9.274
9.836
9.770
9.647
10.278
9.109
10.439
8.629
7.638
6.369
6.261
3.625
1.994
Fondo de reserva de pensiones, FRP
2.762
3.530
3.658
3.842
4.133
4.535
4.809
4.825
4.919
5.225
5.738
5.738
5.758
6.095
6.198
5.914
6.028
6.545
6.241
6.159
6.128
6.396
6.684
6.725
6.883
7.095
7.618
8.051
8.397
8.806
8.817
7.224
7.380
5.431
5.891
Memorando: Saldo operaciones financieras de fondos soberanos
37
831
47
50
51
57
51
52
54
61
57
59
65
62
59
55
57
398
-143
56
57
59
-133
-84
76
-314
73
-1.433
76
-1.574
-790
-1.923
38
-4.763
-1.855
Fondo de estabilización económica y social, FEES
20
268
23
25
27
-247
25
25
26
-257
25
26
30
29
26
24
23
27
25
24
25
26
-330
28
31
-355
29
-1.481
26
-1.625
-836
-749
10
-2.674
-1.884
Fondo de reserva de pensiones, FRP
17
563
24
25
24
304
26
27
28
318
32
32
35
34
33
30
34
371
-168
32
32
33
197
-113
45
40
44
48
50
51
46
-1.174
27
-2.089
28