I. Activos Financieros
33.683
35.721
36.615
36.396
39.272
40.292
42.908
39.628
40.185
42.788
47.513
46.609
48.105
49.301
49.471
46.584
48.235
52.803
49.851
46.637
46.793
50.115
52.615
53.551
54.835
58.113
61.387
59.840
71.888
72.457
68.816
62.610
65.853
67.164
74.351
71.964
70.464
87.884
87.089
78.102
76.267
78.656
83.341
82.053
89.096
90.777
93.016
96.832
Efectivo y depósitos activos
6.980
7.914
7.915
8.008
7.287
7.945
7.926
8.877
7.888
8.314
8.205
9.300
8.916
9.904
9.683
9.676
9.501
11.191
10.322
10.239
9.645
10.467
11.545
10.924
11.018
12.721
11.976
11.746
13.583
12.740
13.130
11.070
10.024
10.872
12.922
10.146
10.255
13.925
13.005
14.688
14.537
16.120
15.209
14.177
15.581
15.962
16.077
15.625
Efectivo y depósitos vista activos
5.201
5.255
5.243
5.695
4.856
5.364
4.877
5.028
5.028
5.214
5.204
5.872
5.637
6.275
5.971
6.540
6.539
6.383
6.465
6.615
6.719
6.657
7.065
7.175
7.104
7.185
7.595
8.146
7.901
7.891
7.657
7.290
7.352
8.000
9.632
8.941
8.837
9.660
10.899
12.597
12.881
13.644
13.743
12.589
13.773
14.007
13.785
13.885
Otros depósitos activos
1.780
2.659
2.671
2.313
2.430
2.582
3.049
3.849
2.860
3.100
3.001
3.428
3.279
3.628
3.712
3.136
2.962
4.808
3.856
3.624
2.927
3.810
4.480
3.749
3.914
5.536
4.381
3.600
5.682
4.849
5.474
3.781
2.672
2.871
3.289
1.205
1.418
4.265
2.106
2.091
1.656
2.476
1.466
1.588
1.808
1.955
2.291
1.740
Títulos de deuda activos
12.740
12.321
12.870
12.148
13.663
13.953
14.506
13.731
14.090
15.482
17.691
15.038
16.900
17.461
17.625
14.838
15.482
17.086
16.048
14.185
13.866
13.769
13.718
14.277
13.658
13.479
14.483
13.195
18.528
18.837
13.418
11.646
12.228
9.608
9.739
10.049
13.332
19.317
18.640
13.757
11.809
11.398
11.907
11.599
11.887
11.212
12.193
10.776
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
4.535
3.065
3.759
3.668
4.780
9.567
8.769
4.331
2.958
3.206
2.417
546
619
449
1.586
252
Títulos de deuda a largo plazo activos
9.633
10.059
9.579
9.868
10.592
10.892
11.378
11.631
11.464
12.263
13.661
12.546
13.444
13.469
13.614
12.803
12.475
13.417
12.858
12.117
11.996
12.391
11.990
12.754
12.003
11.747
12.903
11.909
16.102
15.295
11.651
8.586
7.692
6.543
5.980
6.380
8.552
9.750
9.871
9.426
8.851
8.192
9.490
11.054
11.268
10.763
10.608
10.524
Préstamos activos
2.696
2.987
2.887
2.740
3.079
3.000
2.938
3.018
3.301
3.594
3.486
3.774
4.129
4.048
3.928
4.256
4.388
4.702
4.670
4.672
4.940
5.482
5.486
5.897
6.154
6.509
6.806
6.183
6.816
6.459
7.214
7.360
7.782
9.093
8.885
8.927
9.137
9.755
8.812
8.767
8.763
9.044
9.506
10.292
11.072
11.181
11.263
11.388
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
835
791
1.455
568
584
187
541
900
987
1.046
1.163
1.152
974
Préstamos a largo plazo activos
2.464
2.430
2.345
2.496
2.713
2.670
2.561
2.824
3.031
2.952
3.032
3.370
3.602
3.534
3.487
3.786
4.003
3.993
4.085
4.545
4.810
4.883
5.023
5.385
5.736
5.753
5.883
5.746
6.083
6.058
6.721
6.999
7.309
7.936
8.087
8.092
8.346
8.299
8.244
8.182
8.576
8.504
8.606
9.304
10.027
10.017
10.111
10.414
Acciones y otras participaciones activos
5.488
6.575
6.891
7.767
9.034
8.912
10.706
7.242
7.147
7.372
10.013
9.935
8.879
8.548
8.490
8.346
8.623
9.234
8.232
7.128
6.868
8.553
9.515
10.931
11.524
12.448
14.704
15.241
17.989
18.058
16.033
16.129
17.160
16.866
20.969
22.909
18.037
24.049
23.914
18.442
15.643
15.852
19.208
18.065
20.530
19.572
19.624
22.288
Acciones activos
4.482
5.351
5.310
6.183
7.207
7.203
8.810
5.480
5.365
5.479
8.003
8.201
7.071
6.262
6.103
6.360
6.419
6.855
5.965
5.316
5.005
6.273
6.895
8.877
8.762
9.025
11.222
11.973
14.595
14.494
13.742
13.535
14.592
14.464
18.387
20.421
15.791
21.514
20.979
16.628
13.706
13.415
16.597
15.558
17.340
16.505
16.181
19.108
Cuotas emitidas por fondos del mercado monetario activos
1.006
1.224
1.581
1.584
1.827
1.709
1.896
1.762
1.782
1.893
2.010
1.734
1.809
2.286
2.387
1.986
2.204
2.379
2.268
1.812
1.863
2.280
2.620
2.054
2.762
3.423
3.482
3.268
3.395
3.565
2.291
2.594
2.568
2.402
2.582
2.488
2.246
2.535
2.935
1.813
1.937
2.437
2.611
2.506
3.190
3.067
3.443
3.180
Cuotas emitidas por fondos del mercado no 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
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
29
29
32
32
30
29
30
31
30
32
35
37
39
42
43
43
42
44
44
45
44
45
46
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
29
29
32
32
30
29
30
31
30
32
35
37
39
42
43
43
42
44
44
45
44
45
46
Otras cuentas activos
5.763
5.908
6.034
5.715
6.190
6.461
6.812
6.738
7.738
8.004
8.095
8.539
9.258
9.317
9.722
9.445
10.218
10.565
10.554
10.388
11.448
11.818
12.325
11.493
12.452
12.927
13.389
13.442
14.940
16.332
18.991
16.375
18.628
20.695
21.803
19.898
19.666
20.799
22.677
22.405
25.473
26.199
27.468
27.876
29.981
32.806
33.815
36.708
II. Activos Financieros Netos (I-III)
10.290
11.262
11.126
10.263
12.432
11.688
13.327
6.523
7.325
7.569
10.484
8.075
6.846
4.925
1.632
-1.328
43
718
-1.916
-6.017
-6.828
-4.471
-5.240
-7.457
-9.669
-12.468
-14.511
-15.964
-6.344
-15.656
-21.366
-26.406
-22.184
-22.627
-23.474
-29.232
-28.218
-16.823
-15.222
-30.373
-31.519
-33.255
-28.933
-39.569
-39.737
-39.442
-50.241
-45.995
III. Pasivos
23.392
24.459
25.489
26.132
26.840
28.604
29.580
33.105
32.860
35.219
37.028
38.534
41.259
44.376
47.839
47.912
48.192
52.085
51.767
52.654
53.621
54.586
57.855
61.008
64.503
70.581
75.899
75.804
78.232
88.113
90.181
89.016
88.036
89.791
97.825
101.195
98.682
104.707
102.311
108.474
107.786
111.911
112.274
121.622
128.833
130.220
143.257
142.827
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
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
0
0
0
0
0
0
0
0
0
0
0
0
0
Títulos de deuda pasivos
16.880
18.032
18.954
19.507
19.910
21.807
22.638
25.828
25.006
27.614
29.314
30.456
32.528
35.171
38.030
38.623
39.463
43.889
43.214
44.166
44.362
46.238
48.413
51.223
53.676
59.944
64.997
63.658
65.235
74.870
74.680
75.656
73.421
73.501
80.222
84.532
83.999
89.301
86.112
91.988
90.792
94.224
93.902
102.809
108.639
107.740
121.360
118.053
Títulos de deuda 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
2.703
2.120
2.517
1.949
1.979
4.972
4.100
1.666
1.698
4.115
4.184
3.378
0
Títulos de deuda a largo plazo pasivos
16.880
18.032
18.954
19.507
19.910
21.807
22.638
25.828
25.006
27.614
29.314
30.456
32.528
35.171
38.030
38.623
39.463
43.889
43.214
44.166
44.362
46.238
48.413
51.223
53.676
59.944
64.997
63.658
65.235
72.425
70.686
72.782
70.512
69.798
76.920
81.829
81.879
86.785
84.163
90.010
85.819
90.124
92.236
101.111
104.524
103.555
117.983
118.053
Préstamos pasivos
874
897
900
923
933
955
987
1.004
992
997
1.061
1.049
1.095
1.154
1.243
1.285
1.262
1.250
1.324
1.307
1.355
1.375
1.400
1.461
1.416
1.464
1.575
1.641
1.750
1.696
1.638
1.863
1.880
1.910
2.030
2.687
2.567
2.875
3.000
2.938
2.735
3.055
3.384
3.315
3.575
3.499
3.382
3.836
Préstamos a corto plazo pasivos
4
4
4
5
5
5
4
3
2
2
1
1
1
1
1
1
1
1
1
1
1
1
1
1
4
5
6
5
5
5
5
7
6
6
6
6
6
9
6
6
7
7
17
17
11
11
8
8
Préstamos a largo plazo pasivos
870
893
897
918
928
950
983
1.002
990
995
1.060
1.048
1.095
1.153
1.242
1.284
1.261
1.249
1.323
1.306
1.353
1.374
1.398
1.459
1.412
1.459
1.568
1.636
1.745
1.691
1.633
1.857
1.874
1.904
2.024
2.681
2.561
2.866
2.994
2.931
2.728
3.047
3.368
3.298
3.564
3.488
3.374
3.829
Otras cuentas pasivos
5.639
5.530
5.634
5.703
5.997
5.842
5.956
6.272
6.861
6.608
6.653
7.029
7.635
8.051
8.566
8.004
7.467
6.945
7.229
7.182
7.905
6.973
8.043
8.324
9.412
9.173
9.326
10.505
11.247
11.547
13.863
11.497
12.736
14.380
15.573
13.976
12.116
12.531
13.199
13.548
14.259
14.632
14.988
15.499
16.619
18.981
18.515
20.938
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
8.443
11.970
13.248
13.054
12.024
11.419
11.577
12.638
12.976
13.671
12.962
12.977
12.894
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
9.275
9.836
9.770
9.647
10.278
9.109
10.439
8.629
7.638
6.369
6.261
3.625
1.994
2.089
6.414
7.002
6.933
6.459
6.078
4.762
5.205
5.334
5.053
4.298
4.268
3.590
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
6.354
5.557
6.246
6.121
5.566
5.341
6.815
7.432
7.642
8.617
8.664
8.709
9.304
Memorando: Saldo operaciones financieras de fondos soberanos
37
1.002
48
50
53
57
52
53
55
62
59
60
66
63
59
55
57
398
-143
56
57
59
-133
-85
76
-314
73
-1.433
76
-1.574
-790
-1.923
38
-4.763
-1.855
33
4.888
489
50
-189
54
61
70
-185
-668
-191
92
-878
Fondo de estabilización económica y social, FEES
20
314
23
26
27
-248
25
25
26
-257
26
27
30
-284
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
3
4.858
9
13
19
21
-1.289
24
34
-720
-533
32
-937
Fondo de reserva de pensiones, FRP
17
688
25
24
25
305
27
28
29
319
33
33
36
347
33
30
34
371
-168
32
32
33
197
-113
45
40
44
48
50
51
46
-1.174
27
-2.089
28
31
30
480
37
-209
34
1.350
46
-219
51
342
60
59