Cuentas Nacionales

Balance financiero de los hogares e instituciones sin fines de lucro, referencia 2018 (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 III.2020 IV.2020 I.2021 II.2021 III.2021 IV.2021 I.2022 II.2022 III.2022 IV.2022 I.2023 II.2023 III.2023 IV.2023
I. Activos Financieros 201.422 204.871 209.643 217.051 226.549 235.561 246.693 254.353 261.477 265.153 271.584 278.307 283.331 287.050 294.977 298.351 308.303 312.145 315.752 321.689 326.790 332.843 340.644 343.653 353.967 364.256 377.673 386.091 372.695 395.579 393.919 399.495 405.861 405.586 412.044 426.117 417.392 434.112 436.465 445.583 444.608 452.904 459.618 476.017
      Efectivo y depósitos activos 25.131 25.865 26.096 27.084 27.756 27.538 27.674 29.730 30.178 30.890 32.171 34.633 35.531 36.232 35.975 37.729 37.225 37.536 38.018 39.929 40.422 41.617 41.698 43.348 43.642 44.274 43.870 46.977 48.981 52.626 64.258 69.089 69.665 80.147 82.944 84.909 81.468 81.321 80.390 79.912 80.788 82.024 81.880 82.393
            Efectivo y depósitos vista activos 11.498 11.681 11.489 12.831 13.273 13.127 13.197 14.459 14.527 14.940 15.575 16.763 16.622 16.759 16.494 17.775 17.340 17.826 17.972 19.031 19.184 19.624 19.498 20.433 20.521 21.059 21.169 23.656 25.129 28.612 38.638 43.271 42.903 50.577 50.982 50.445 44.857 41.379 38.089 35.781 33.978 32.960 33.178 33.799
            Otros depósitos activos 13.633 14.183 14.607 14.253 14.483 14.411 14.477 15.271 15.651 15.949 16.596 17.870 18.909 19.473 19.481 19.954 19.885 19.710 20.046 20.898 21.238 21.993 22.200 22.916 23.121 23.215 22.700 23.321 23.852 24.013 25.619 25.819 26.762 29.569 31.962 34.464 36.610 39.942 42.301 44.132 46.811 49.064 48.702 48.594
      Títulos activos 216 211 208 198 206 207 228 237 240 242 268 281 250 249 261 270 269 275 261 260 285 308 311 316 359 353 404 475 522 560 665 700 773 788 937 1.113 1.141 1.435 1.706 1.540 1.440 1.481 1.701 1.638
            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 2 1 4 5 6 9 16 31 13
            Títulos de deuda a largo plazo activos 192 204 204 194 204 204 223 226 233 237 263 268 243 237 249 257 257 266 256 252 277 298 304 309 350 349 398 467 520 557 663 698 768 784 935 1.110 1.139 1.431 1.701 1.533 1.431 1.464 1.671 1.625
      Acciones y otras participaciones activos 72.005 74.090 75.489 77.888 82.041 85.692 91.195 93.344 95.024 96.081 99.222 99.270 101.771 103.001 104.672 105.391 107.985 107.863 108.262 109.989 112.677 115.400 118.555 119.376 121.078 122.245 126.006 127.202 127.182 126.363 124.564 125.794 131.768 132.488 135.926 141.037 140.958 147.832 150.216 150.093 147.536 149.059 154.095 155.915
            Acciones activos 62.361 64.158 65.525 67.636 70.238 72.879 77.313 79.672 80.935 81.840 84.488 85.548 87.562 88.458 89.295 90.635 92.386 92.177 92.749 94.041 95.905 98.124 100.352 101.970 102.698 102.761 105.097 106.845 107.480 104.761 102.288 103.082 106.851 107.753 110.808 116.641 118.430 123.661 126.972 127.415 125.746 127.095 130.931 131.683
            Cuotas emitidas por fondos del mercado monetario activos 5.399 5.767 5.700 5.609 6.309 6.023 6.471 6.706 6.209 6.340 6.489 6.409 6.914 6.816 6.738 6.821 7.026 6.935 6.906 7.091 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 13.169 13.353 12.122 11.502 12.882 12.302 11.799 10.934 11.025 11.871 11.727
            Cuotas emitidas por fondos del mercado no monetario activos 4.245 4.164 4.264 4.643 5.494 6.790 7.411 6.966 7.880 7.900 8.245 7.313 7.295 7.727 8.639 7.936 8.573 8.751 8.607 8.857 9.131 9.664 10.066 9.491 10.012 10.924 12.216 10.502 8.061 9.369 10.149 11.107 12.219 11.567 11.765 12.273 11.026 11.289 10.943 10.878 10.856 10.939 11.293 12.506
      Fondos de pensiones activos 82.237 82.498 85.027 88.361 92.400 97.098 101.829 104.288 108.774 109.704 110.521 113.819 114.920 115.845 121.404 121.562 128.726 131.506 133.616 135.163 136.317 137.658 141.278 140.893 148.589 155.891 165.054 168.020 152.151 171.660 159.995 158.765 158.201 146.713 146.045 151.311 145.137 152.511 150.979 159.355 159.042 162.556 163.350 175.901
      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 38.071 38.771 39.910 40.699 41.236 41.654 41.971 41.921 42.522 42.911 42.690 43.361 44.847 45.733 48.034 50.078 51.567 52.692 54.087 54.853 56.371
            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 37.606 38.296 39.423 40.218 40.716 41.134 41.481 41.445 42.021 42.406 42.192 42.832 44.267 45.121 47.387 49.391 50.855 51.987 53.388 54.134 55.645
            Reservas para primas y para siniestros activos 274 283 292 299 311 329 338 349 351 367 382 380 370 378 381 391 397 413 416 425 433 438 446 465 475 486 481 521 520 490 477 501 505 497 529 579 612 647 688 712 706 699 719 726
      Otras cuentas activos 917 898 924 1.015 995 998 1.105 1.196 1.249 1.236 1.450 1.476 1.316 1.212 1.260 1.291 1.239 1.275 1.354 1.433 1.431 1.415 1.517 1.649 1.528 1.582 1.641 2.180 2.205 2.399 2.515 2.623 2.544 2.761 2.831 2.900 2.956 2.979 3.095 3.117 3.110 3.697 3.737 3.799
II. Activos Financieros Netos (I-III) 151.660 153.910 157.361 162.811 170.606 177.836 187.722 192.779 198.684 200.438 205.102 209.023 212.583 214.671 221.324 222.494 230.791 232.924 235.095 238.431 241.842 245.753 251.615 251.511 260.077 268.053 279.106 286.044 271.019 294.862 293.626 297.434 302.023 299.348 303.053 312.667 300.703 312.396 311.187 316.265 312.948 319.346 324.867 338.491
III. Pasivos 49.761 50.960 52.282 54.239 55.944 57.725 58.972 61.574 62.793 64.715 66.482 69.283 70.748 72.380 73.654 75.857 77.512 79.221 80.657 83.258 84.948 87.091 89.029 92.142 93.890 96.203 98.567 100.047 101.676 100.717 100.293 102.061 103.838 106.238 108.991 113.450 116.690 121.716 125.278 129.318 131.661 133.558 134.751 137.526
      Préstamos pasivos 47.032 48.219 49.555 51.189 52.927 54.697 55.934 58.245 59.485 61.217 62.995 65.450 66.984 68.529 69.769 71.607 73.241 74.880 76.358 78.538 80.255 82.281 84.156 86.830 88.391 90.604 92.870 94.094 95.745 95.354 95.404 97.147 99.066 101.410 103.842 107.608 110.465 114.908 118.394 122.116 124.707 126.710 128.091 130.631
            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 6.021 6.350 6.774 6.857 7.622 7.886 8.045 7.927 8.423
            Préstamos a largo plazo pasivos 42.812 44.000 45.226 46.543 48.099 49.857 50.935 52.920 54.025 55.809 57.521 59.656 61.102 62.677 63.891 65.440 67.005 68.706 70.227 72.154 73.891 75.938 77.716 80.050 81.662 83.910 86.215 87.342 89.153 89.682 90.117 91.682 93.663 96.181 98.407 101.587 104.115 108.133 111.537 114.494 116.821 118.665 120.164 122.207
      Otras cuentas pasivos 2.730 2.741 2.727 3.051 3.017 3.028 3.038 3.329 3.307 3.498 3.487 3.833 3.764 3.851 3.885 4.250 4.271 4.341 4.299 4.720 4.693 4.809 4.873 5.312 5.499 5.599 5.697 5.953 5.932 5.364 4.889 4.915 4.772 4.828 5.149 5.842 6.225 6.809 6.884 7.203 6.954 6.848 6.660 6.896