I. Activos Financieros
196.232
199.542
204.152
211.321
220.909
229.827
240.475
248.047
255.312
258.850
264.829
271.585
276.075
279.585
287.418
290.654
300.204
304.001
307.607
313.711
319.036
324.835
332.539
335.419
345.682
355.230
368.156
376.325
363.219
387.221
385.800
391.223
396.654
396.448
402.853
Efectivo y depósitos activos
25.193
25.926
26.166
27.158
27.827
27.608
27.752
29.813
30.259
30.977
32.263
34.725
35.619
36.308
36.045
37.879
37.384
37.712
38.211
40.114
40.615
41.800
41.887
43.533
43.798
44.414
44.029
47.147
49.054
52.698
64.549
69.514
70.111
81.171
84.088
Efectivo y depósitos vista activos
11.554
11.738
11.553
12.899
13.337
13.191
13.267
14.535
14.602
15.020
15.660
16.848
16.709
16.841
16.582
17.863
17.434
17.931
18.089
19.149
19.312
19.738
19.617
20.545
20.639
21.175
21.305
23.762
25.277
28.743
38.776
43.467
43.184
50.985
51.536
Otros depósitos activos
13.638
14.189
14.613
14.259
14.490
14.418
14.485
15.278
15.658
15.957
16.604
17.878
18.910
19.467
19.463
20.017
19.950
19.781
20.122
20.965
21.303
22.062
22.270
22.988
23.159
23.238
22.724
23.385
23.778
23.955
25.773
26.048
26.926
30.186
32.551
Títulos activos
216
211
208
198
206
207
228
237
240
242
268
282
251
250
261
270
268
272
258
255
280
298
294
303
349
344
397
481
534
531
635
611
688
695
801
Títulos de deuda a corto plazo activos
23
7
4
5
3
3
5
11
7
6
5
13
7
12
12
13
12
9
6
8
8
10
7
7
8
5
6
7
2
3
3
3
4
4
2
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
272
287
286
296
341
340
390
474
532
528
632
608
684
691
799
Acciones y otras participaciones activos
66.794
68.743
69.974
72.135
76.382
79.941
84.957
87.012
88.837
89.751
92.442
92.523
94.493
95.525
97.106
97.608
99.782
99.600
100.004
101.886
104.805
107.293
110.355
111.048
112.248
113.253
116.576
117.508
117.822
118.175
116.399
117.413
122.342
122.510
125.722
Acciones activos
57.158
58.835
60.024
61.893
64.590
67.143
71.090
73.356
74.764
75.540
77.743
78.813
80.317
81.023
81.760
82.885
84.228
83.975
84.561
86.002
88.095
90.068
92.203
93.687
93.908
93.813
95.719
97.229
98.176
96.632
94.173
94.761
97.436
97.725
100.346
Participaciones emitidas por fondos de inversión del mercado monetario activos
5.395
5.757
5.693
5.604
6.308
6.011
6.462
6.696
6.196
6.322
6.468
6.408
6.899
6.797
6.724
6.805
7.011
6.930
6.901
7.089
7.641
7.612
8.137
7.915
8.368
8.560
8.693
9.855
11.641
12.233
12.128
11.605
12.698
13.207
13.351
Participaciones emitidas por fondos de inversión distintos a los del mercado monetario activos
4.242
4.150
4.257
4.639
5.484
6.786
7.405
6.960
7.876
7.890
8.231
7.302
7.277
7.705
8.622
7.918
8.544
8.696
8.541
8.795
9.070
9.612
10.015
9.446
9.973
10.880
12.164
10.424
8.005
9.310
10.098
11.047
12.208
11.578
12.024
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
159.874
158.634
158.073
146.587
145.943
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
41.906
42.507
42.890
42.682
43.344
Derechos sobre las reservas 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
41.429
42.005
42.384
42.184
42.814
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
477
501
506
498
529
Otras cuentas activos
876
855
877
964
942
945
1.048
1.139
1.190
1.175
1.383
1.408
1.250
1.146
1.196
1.228
1.185
1.221
1.278
1.378
1.361
1.341
1.440
1.570
1.440
1.494
1.549
2.086
2.136
2.321
2.437
2.544
2.551
2.803
2.956
II. Activos Financieros Netos (I-III)
146.624
148.722
151.988
157.120
165.177
172.266
181.637
186.563
192.798
194.342
198.503
202.386
205.625
207.452
213.967
214.897
223.014
225.008
227.146
230.584
234.446
238.055
243.783
243.472
252.263
259.464
270.046
276.653
262.177
287.077
286.055
289.671
293.613
291.002
294.616
III. Pasivos
49.608
50.820
52.163
54.201
55.732
57.560
58.839
61.484
62.514
64.508
66.326
69.200
70.450
72.133
73.451
75.757
77.190
78.993
80.461
83.127
84.590
86.780
88.756
91.947
93.419
95.766
98.111
99.672
101.042
100.145
99.745
101.551
103.041
105.446
108.237
Préstamos pasivos
46.885
48.085
49.443
51.158
52.722
54.539
55.810
58.164
59.216
61.019
62.848
65.376
66.695
68.293
69.576
71.518
72.925
74.656
76.164
78.407
79.896
81.970
83.881
86.647
87.919
90.165
92.413
93.720
95.097
94.769
94.861
96.632
98.253
100.614
103.084
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
6.752
6.591
5.672
5.288
5.465
5.402
5.229
5.435
Préstamos a largo plazo pasivos
42.665
43.865
45.113
46.512
47.894
49.699
50.810
52.839
53.756
55.611
57.374
59.582
60.813
62.441
63.698
65.351
66.689
68.482
70.033
72.023
73.532
75.626
77.441
79.868
81.190
83.471
85.758
86.968
88.506
89.097
89.573
91.168
92.850
95.385
97.649
Otras cuentas pasivos
2.723
2.735
2.721
3.043
3.010
3.021
3.029
3.320
3.298
3.489
3.478
3.823
3.754
3.841
3.875
4.239
4.265
4.336
4.297
4.720
4.694
4.811
4.874
5.300
5.500
5.601
5.698
5.952
5.945
5.376
4.884
4.919
4.788
4.832
5.153