Cuentas Nacionales

Balance financiero de los hogares e instituciones sin fines de lucro, 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 195.345 198.246 202.785 211.172 219.803 228.761 238.196 247.841 254.083 257.863 264.291 271.519 274.160 278.372 287.531 290.823 299.657 304.118 308.051 313.106 318.006 323.387 330.761 334.074 344.480 354.132 366.963 375.182 363.310 387.499
      Efectivo y depósitos activos 25.332 26.021 26.244 27.202 27.854 27.602 27.687 29.744 30.226 30.961 32.257 34.740 35.695 36.433 36.224 38.083 37.592 37.880 38.332 40.249 40.784 42.018 42.595 44.324 44.562 45.176 44.801 47.999 49.832 53.002
            Efectivo y depósitos vista activos 8.981 9.214 9.169 9.847 9.676 10.099 9.897 10.871 11.022 11.479 11.705 12.559 12.384 12.634 12.703 13.694 13.506 13.718 13.588 14.365 14.444 14.686 14.620 15.439 15.233 15.673 15.887 18.085 19.294 21.748
            Otros depósitos activos 16.351 16.806 17.075 17.355 18.179 17.504 17.790 18.873 19.205 19.482 20.553 22.181 23.310 23.799 23.521 24.388 24.086 24.163 24.744 25.884 26.340 27.332 27.975 28.885 29.329 29.503 28.914 29.915 30.538 31.254
      Títulos activos 197 212 208 199 209 209 230 243 246 245 270 284 251 252 261 270 273 275 259 257 263 283 273 284 309 323 358 463 586 605
            Títulos de deuda a corto plazo activos 5 7 4 5 5 4 7 17 13 9 8 15 6 14 11 14 17 12 6 10 14 15 13 20 8 6 15 13 29 36
            Títulos de deuda a largo plazo activos 192 204 204 194 204 204 223 226 233 236 262 269 244 238 250 257 256 263 252 246 249 267 261 264 301 317 343 450 557 569
      Acciones y otras participaciones activos 66.080 67.631 68.863 72.315 75.579 79.215 83.146 87.338 88.045 89.162 92.370 92.931 92.935 94.547 97.465 98.022 99.387 99.924 100.731 101.615 104.048 106.067 108.389 109.457 110.766 111.858 115.175 116.083 117.495 118.559
            Acciones activos 57.355 58.606 59.652 61.979 64.776 67.315 70.380 73.546 75.132 76.118 78.710 79.061 79.870 80.934 82.009 83.123 83.682 83.963 84.699 85.362 87.156 88.794 90.232 91.717 92.062 92.059 93.954 95.410 96.797 96.065
            Participaciones emitidas por fondos de inversión del mercado monetario activos 4.490 4.834 4.922 5.653 5.308 5.118 5.372 6.791 5.035 5.144 5.423 6.504 5.717 5.842 6.802 6.920 7.066 6.959 6.945 7.133 7.690 7.619 8.139 8.074 8.517 8.703 8.832 9.992 12.137 12.588
            Participaciones emitidas por fondos de inversión distintos a los del mercado monetario activos 4.235 4.191 4.289 4.683 5.495 6.781 7.394 7.000 7.878 7.900 8.238 7.366 7.347 7.771 8.654 7.980 8.639 9.003 9.087 9.120 9.203 9.654 10.019 9.667 10.187 11.096 12.388 10.681 8.561 9.906
      Fondos de pensiones activos 82.237 82.498 85.027 88.361 92.400 97.098 101.829 104.288 108.774 109.704 110.521 113.819 114.920 115.845 121.404 121.562 128.726 131.506 133.616 135.163 136.317 137.658 141.278 140.893 149.083 155.823 164.914 167.875 152.033 171.540
      Reservas técnicas de seguros activos 20.916 21.310 21.899 22.505 23.151 24.028 24.662 25.559 26.013 27.001 27.952 28.828 29.542 30.512 31.406 32.106 32.858 33.691 34.241 34.916 35.658 36.446 37.285 38.073 38.764 39.902 40.692 41.228 41.639 41.956
            Reservas técnicas de seguros de vida activos 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 activos 274 283 292 299 311 329 338 349 351 367 382 380 370 378 381 391 397 413 416 425 433 438 446 466 476 487 482 521 521 491
      Otras cuentas activos 583 576 544 591 610 610 642 669 778 790 921 916 819 783 772 780 820 843 873 906 936 915 940 1.043 996 1.051 1.024 1.533 1.724 1.837
II. Activos Financieros Netos (I-III) 145.549 147.271 150.427 156.760 163.860 170.964 179.130 186.156 191.422 193.163 197.683 202.085 203.481 205.986 213.846 214.834 222.233 224.872 227.316 229.732 233.141 236.308 241.720 241.849 250.880 258.171 268.627 275.431 262.123 287.185
III. Pasivos 49.796 50.975 52.359 54.412 55.944 57.797 59.066 61.685 62.661 64.699 66.608 69.434 70.679 72.385 73.685 75.989 77.425 79.247 80.735 83.374 84.866 87.079 89.041 92.225 93.600 95.961 98.336 99.751 101.187 100.315
      Préstamos pasivos 47.042 48.251 49.618 51.343 52.912 54.735 56.011 58.371 59.415 61.210 63.031 65.552 66.887 68.509 69.775 71.714 73.125 74.878 76.388 78.632 80.123 82.219 84.118 86.878 88.147 90.413 92.650 93.944 95.342 95.020
            Préstamos a corto plazo pasivos 4.220 4.220 4.329 4.646 4.828 4.840 5.000 5.325 5.460 5.408 5.474 5.794 5.882 5.852 5.878 6.167 6.236 6.174 6.131 6.384 6.364 6.344 6.440 6.779 6.729 6.694 6.655 6.753 6.591 5.672
            Préstamos a largo plazo pasivos 42.822 44.031 45.289 46.697 48.084 49.895 51.012 53.046 53.955 55.802 57.557 59.757 61.005 62.657 63.897 65.546 66.889 68.704 70.256 72.248 73.759 75.875 77.677 80.099 81.418 83.719 85.995 87.191 88.751 89.348
      Otras cuentas pasivos 2.754 2.724 2.741 3.069 3.032 3.062 3.054 3.314 3.246 3.489 3.577 3.882 3.792 3.877 3.910 4.276 4.299 4.369 4.348 4.742 4.743 4.860 4.924 5.347 5.453 5.548 5.686 5.807 5.845 5.294