Cuentas Nacionales

Balances financieros de la economía nacional, 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 854.134 859.443 866.614 888.916 920.249 947.648 987.892 1.013.640 1.038.438 1.046.334 1.076.751 1.096.999 1.110.490 1.124.343 1.148.439 1.164.583 1.188.735 1.205.299 1.222.928 1.238.970 1.248.263 1.267.526 1.287.251 1.311.308 1.337.783 1.367.108 1.415.798 1.441.279 1.425.349 1.516.079
      Oro monetario y DEG activos 564 564 575 606 640 640 670 661 650 671 761 755 521 508 505 492 493 506 493 480 482 499 505 530 517 518 542 564 635 538
      Efectivo y depósitos activos 105.732 111.168 112.015 116.014 117.545 114.240 119.193 130.136 127.121 126.759 132.433 141.177 139.598 140.778 138.247 146.924 139.691 138.933 138.361 143.695 140.737 143.718 144.439 154.541 144.781 148.960 153.741 172.047 190.935 190.673
            Efectivo y depósitos vista activos 30.813 32.040 32.296 35.617 35.112 34.220 35.060 41.920 39.906 40.314 41.059 47.151 44.298 44.623 42.593 47.796 45.116 44.727 44.424 48.906 46.909 47.437 47.076 51.601 47.541 50.967 53.186 63.182 72.791 84.366
            Otros depósitos activos 74.920 79.128 79.719 80.397 82.433 80.020 84.133 88.216 87.215 86.445 91.374 94.026 95.300 96.155 95.654 99.128 94.575 94.205 93.938 94.789 93.828 96.281 97.362 102.941 97.241 97.993 100.556 108.865 118.143 106.307
      Títulos activos 99.548 100.248 102.958 105.285 109.461 116.464 120.952 122.419 125.131 130.286 139.848 137.858 144.378 149.030 157.114 155.708 162.296 166.962 161.291 158.888 161.275 167.751 171.058 175.583 184.880 195.451 211.984 201.759 206.434 232.799
            Títulos de deuda a corto plazo activos 4.937 4.401 4.593 3.355 5.047 5.596 5.960 3.288 5.095 5.457 5.693 3.517 5.994 6.430 7.590 6.148 7.605 8.763 7.488 6.928 8.050 8.531 8.848 8.040 10.909 9.955 10.048 10.546 8.039 25.986
            Títulos de deuda a largo plazo activos 94.610 95.847 98.366 101.930 104.414 110.868 114.992 119.131 120.036 124.828 134.155 134.341 138.384 142.600 149.523 149.560 154.692 158.199 153.803 151.961 153.225 159.220 162.211 167.543 173.971 185.495 201.936 191.213 198.396 206.814
      Derivados financieros activos -112 -300 -172 131 92 112 99 252 -199 -164 -1.027 -582 -630 -456 -321 249 251 217 336 584 803 366 690 363 600 886 -122 230 -2.689 -1.284
      Préstamos activos 118.544 123.350 125.656 128.449 131.234 134.481 138.699 142.600 145.437 149.728 163.115 165.685 166.007 168.486 170.915 174.735 175.825 179.735 180.393 183.038 185.812 188.671 192.776 198.830 201.037 204.337 211.378 217.783 228.780 246.997
            Préstamos a corto plazo activos 13.961 16.012 15.881 15.668 15.897 15.877 16.327 16.692 17.092 17.471 18.275 18.222 17.804 17.992 17.764 17.986 17.429 18.730 17.497 17.992 17.985 18.708 19.254 20.326 20.282 20.702 21.662 22.578 24.412 37.189
            Préstamos a largo plazo activos 104.583 107.338 109.775 112.781 115.337 118.604 122.372 125.908 128.345 132.256 144.840 147.464 148.203 150.494 153.151 156.749 158.396 161.004 162.896 165.047 167.827 169.963 173.522 178.504 180.755 183.635 189.716 195.204 204.368 209.808
      Acciones y otras participaciones activos 343.458 336.739 334.655 343.278 354.182 368.025 383.711 389.409 399.177 396.348 393.976 400.579 401.773 405.336 416.467 419.697 434.559 439.357 460.058 467.071 469.229 473.633 479.083 477.013 489.329 490.440 500.489 501.142 462.539 490.104
            Acciones activos 296.704 290.510 286.965 289.611 299.046 308.272 318.945 321.718 328.467 323.951 322.815 326.505 330.454 332.501 337.402 342.619 351.139 350.456 366.576 371.539 368.926 371.009 373.308 375.041 377.934 372.469 378.100 375.529 346.438 356.529
            Participaciones emitidas por fondos de inversión del mercado monetario activos 9.899 10.630 11.200 13.100 11.786 11.360 11.963 14.841 12.112 12.265 12.862 15.210 13.570 13.977 16.033 16.323 17.815 17.712 18.092 16.743 18.988 19.108 19.151 18.572 20.415 21.715 22.305 25.186 28.298 30.667
            Participaciones emitidas por fondos de inversión distintos del mercado monetario activos 36.855 35.599 36.490 40.567 43.350 48.393 52.803 52.850 58.597 60.131 58.299 58.865 57.749 58.858 63.032 60.755 65.605 71.188 75.390 78.789 81.314 83.517 86.623 83.400 90.980 96.256 100.083 100.427 87.802 102.908
      Fondos de pensiones activos 83.024 83.286 85.838 89.203 93.280 98.022 102.798 105.280 109.808 110.747 111.569 114.899 116.009 116.942 122.553 122.712 129.945 132.750 134.880 136.442 137.606 138.957 142.611 142.219 150.450 157.290 166.467 169.459 153.461 173.159
      Reservas técnicas de seguros activos 21.473 21.885 22.492 23.112 23.783 24.696 25.348 26.267 26.726 27.745 28.727 29.599 30.293 31.279 32.180 32.901 33.665 34.528 35.086 35.778 36.536 37.336 38.190 39.018 39.730 40.891 41.670 42.286 42.696 42.952
            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 831 858 886 906 944 997 1.023 1.057 1.065 1.111 1.157 1.152 1.121 1.145 1.155 1.185 1.204 1.250 1.260 1.287 1.311 1.328 1.351 1.411 1.442 1.476 1.461 1.579 1.577 1.487
      Otras cuentas activos 81.904 82.503 82.595 82.838 90.032 90.968 96.421 96.617 104.587 104.216 107.348 107.028 112.541 112.440 110.781 111.167 112.010 112.311 112.030 112.993 115.783 116.597 117.899 123.210 126.459 128.336 129.649 136.009 142.559 140.141
II. Activos Financieros Netos (I-III) -17.991 -18.166 -18.167 -15.180 -14.474 -13.525 -14.843 -15.944 -19.647 -19.395 -28.536 -26.021 -27.984 -27.576 -28.056 -27.563 -29.943 -28.743 -33.583 -33.855 -34.173 -36.269 -39.841 -43.645 -41.074 -39.638 -42.231 -29.836 -38.219 -32.244
III. Pasivos 872.125 877.610 884.781 904.096 934.723 961.173 1.002.736 1.029.584 1.058.085 1.065.729 1.105.286 1.123.020 1.138.474 1.151.919 1.176.495 1.192.146 1.218.678 1.234.042 1.256.511 1.272.825 1.282.436 1.303.795 1.327.092 1.354.953 1.378.857 1.406.746 1.458.029 1.471.114 1.463.568 1.548.323
      Efectivo y depósitos pasivos 93.213 97.312 98.222 102.539 102.515 99.734 102.923 111.989 110.150 110.479 114.194 122.218 122.164 122.541 120.735 127.305 122.875 123.412 124.928 130.291 129.237 130.724 132.347 139.742 133.862 137.404 140.519 155.326 169.018 171.197
            Efectivo y depósitos vista pasivos 27.502 28.626 29.149 33.082 31.595 30.999 31.463 36.873 35.427 35.639 35.397 41.095 39.288 38.602 37.361 41.577 40.066 39.586 40.545 44.121 43.224 43.156 43.389 47.970 44.851 46.972 47.926 56.109 63.165 74.164
            Otros depósitos pasivos 65.711 68.686 69.072 69.457 70.920 68.735 71.460 75.117 74.723 74.840 78.797 81.123 82.876 83.939 83.374 85.728 82.809 83.826 84.383 86.170 86.013 87.568 88.958 91.772 89.011 90.433 92.593 99.217 105.854 97.033
      Títulos pasivos 81.891 85.137 87.592 90.299 92.782 100.472 107.208 111.400 116.360 121.283 128.769 127.185 129.735 134.376 143.237 143.228 149.277 155.469 152.319 152.633 154.944 162.897 167.290 172.632 183.361 196.745 213.775 208.533 210.211 244.160
            Títulos a corto plazo pasivos 2.414 2.670 2.607 1.085 2.259 3.292 3.596 1.187 2.675 2.616 2.715 1.026 2.950 3.557 5.125 4.464 5.526 6.520 5.348 5.286 6.419 7.601 7.850 6.859 9.884 8.765 8.899 9.469 5.777 23.154
            Títulos a largo plazo pasivos 79.477 82.467 84.985 89.214 90.523 97.180 103.611 110.213 113.685 118.666 126.054 126.159 126.785 130.818 138.112 138.764 143.750 148.949 146.971 147.346 148.525 155.296 159.440 165.773 173.477 187.980 204.876 199.064 204.434 221.006
      Préstamos pasivos 147.189 153.627 157.632 163.885 169.293 172.370 179.030 185.890 189.478 193.912 210.213 215.295 213.903 215.702 217.163 222.079 220.964 224.949 224.711 226.991 229.478 235.322 241.461 252.776 253.279 258.677 269.074 277.542 297.311 314.696
            Préstamos a corto plazo pasivos 16.555 18.024 17.674 17.576 17.959 17.645 18.263 18.787 18.120 18.602 19.215 19.643 19.118 19.204 18.927 19.748 18.574 20.255 18.924 21.238 20.365 20.973 21.673 23.312 22.477 24.048 25.380 27.435 30.303 42.685
            Préstamos a largo plazo pasivos 130.634 135.602 139.958 146.309 151.334 154.726 160.767 167.103 171.357 175.310 190.997 195.652 194.785 196.498 198.235 202.331 202.390 204.695 205.787 205.752 209.112 214.350 219.787 229.464 230.802 234.629 243.694 250.107 267.008 272.011
      Acciones y otras participaciones pasivos 363.024 354.439 350.164 352.652 364.287 376.143 389.705 393.048 402.464 398.789 405.175 407.897 415.114 419.909 430.888 433.871 450.825 451.981 474.078 478.666 480.380 482.856 487.737 486.175 492.791 488.484 497.814 484.871 452.316 466.487
            Acciones pasivos 340.549 331.563 326.985 327.252 338.292 348.076 359.592 360.603 370.208 365.799 370.440 371.811 379.930 382.923 388.160 391.774 404.227 403.142 423.462 430.452 428.597 429.528 432.472 430.791 433.391 424.511 429.557 418.413 387.551 395.237
            Participaciones emitidas por fondos de inversión del mercado monetario pasivos 9.811 10.562 10.755 12.353 10.889 10.500 11.020 13.932 11.082 11.321 11.935 14.315 12.629 12.905 15.025 15.284 16.732 16.765 17.175 15.726 18.117 18.104 17.973 17.522 18.864 19.909 20.322 23.190 26.649 28.909
            Participaciones emitidas por fondos de inversión distintos del mercado monetario pasivos 12.664 12.314 12.425 13.047 15.106 17.568 19.093 18.514 21.173 21.669 22.799 21.772 22.556 24.081 27.703 26.813 29.866 32.074 33.441 32.487 33.666 35.224 37.291 37.862 40.536 44.064 47.935 43.267 38.117 42.341
      Fondos de pensiones pasivos 83.024 83.286 85.838 89.203 93.280 98.022 102.798 105.280 109.808 110.747 111.569 114.899 116.009 116.942 122.553 122.712 129.945 132.750 134.880 136.442 137.606 138.957 142.611 142.219 150.450 157.290 166.467 169.459 153.461 173.159
      Reservas técnicas de seguros pasivos 21.473 21.885 22.492 23.112 23.783 24.696 25.348 26.267 26.726 27.745 28.727 29.599 30.293 31.279 32.180 32.901 33.665 34.528 35.086 35.778 36.536 37.336 38.190 39.018 39.730 40.891 41.670 42.286 42.696 42.952
            Reservas técnicas de seguros de vida pasivos 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 pasivos 831 858 886 906 944 997 1.023 1.057 1.065 1.111 1.157 1.152 1.121 1.145 1.155 1.185 1.204 1.250 1.260 1.287 1.311 1.328 1.351 1.411 1.442 1.476 1.461 1.579 1.577 1.487
      Otras cuentas pasivos 82.312 81.924 82.839 82.406 88.783 89.735 95.725 95.710 103.099 102.776 106.640 105.927 111.256 111.170 109.740 110.051 111.128 110.951 110.510 112.025 114.255 115.705 117.455 122.389 125.384 127.255 128.710 133.097 138.555 135.671