CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.7 | ||||||||
BANCOS
MÚLTIPLES - ESTADOS FINANCIEROS (En miles de bolivianos) (2014-2022) |
|||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 |
ACTIVO | 136,033,482 | 163,268,075 | 173,014,680 | 200,119,078 | 214,158,561 | 226,269,995 | 254,730,033 | 271,304,128 | 286,086,124 |
DISPONIBILIDADES | 21,522,545 | 32,278,205 | 23,210,854 | 25,361,860 | 24,110,340 | 22,896,678 | 30,243,952 | 29,594,726 | 30,487,525 |
INVERSIONES TEMPORARIAS | 27,185,801 | 26,468,152 | 27,962,734 | 31,698,507 | 28,911,586 | 25,575,836 | 26,462,235 | 30,419,285 | 29,642,926 |
CARTERA | 80,615,313 | 96,617,672 | 112,970,388 | 132,373,807 | 148,385,510 | 159,469,160 | 171,997,029 | 180,713,268 | 192,141,357 |
CARTERA VIGENTE TOTAL | 81,017,494 | 96,931,716 | 113,162,072 | 132,510,769 | 148,422,098 | 159,266,306 | 166,673,398 | 173,424,784 | 184,905,225 |
CARTERA VIGENTE | 80,285,500 | 95,850,682 | 111,464,064 | 130,122,017 | 144,653,413 | 153,555,215 | 159,540,843 | 135,624,442 | 151,026,737 |
CARTERA REPROGRAMADA VIGENTE | 700,167 | 1,079,336 | 1,696,820 | 2,387,768 | 3,767,958 | 5,710,540 | 5,690,272 | 37,800,343 | 31,066,567 |
CARTERA REESTRUCTURADA VIGENTE | 31,827 | 1,697 | 1,188 | 984 | 727 | 552 | 1,442,283 | 2,811,921 | |
CARTERA VENCIDA TOTAL | 380,684 | 448,753 | 547,044 | 643,208 | 674,226 | 677,106 | 179,948 | 619,732 | 1,217,103 |
CARTERA VENCIDA | 363,226 | 424,352 | 486,631 | 576,556 | 591,804 | 573,843 | 146,340 | 334,268 | 407,771 |
CARTERA REPROGRAMADA VENCIDA | 17,458 | 23,821 | 60,217 | 66,632 | 82,399 | 103,264 | 33,528 | 285,463 | 693,847 |
CARTERA REESTRUCTURADA VENCIDA | 0 | 580 | 196 | 200 | 22 | 0.00 | 80 | 115,485 | |
CARTERA EJECUCIÓN TOTAL | 837,445 | 993,613 | 1,197,544 | 1,568,925 | 1,848,802 | 2,219,458 | 2,282,528 | 2,004,710 | 2,783,430 |
CARTERA EN EJECUCIÓN | 640,307 | 811,531 | 1,003,173 | 1,303,904 | 1,520,492 | 1,676,595 | 1,646,658 | 1,439,639 | 1,367,425 |
CARTERA REPROGRAMADA EJECUCIÓN | 176,573 | 161,229 | 173,629 | 244,255 | 307,530 | 522,083 | 615,069 | 565,071 | 1,249,433 |
CARTERA REESTRUCTURADA EN EJECUCIÓN | 20,565 | 20,854 | 20,742 | 20,766 | 20,780 | 20,780 | 20,801 | 166,572 | |
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 745,082 | 849,463 | 961,396 | 1,152,458 | 1,272,964 | 1,431,732 | 8,121,010 | 9,952,804 | 8,808,792 |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -2,365,392 | -2,605,874 | -2,897,668 | -3,501,553 | -3,832,579 | -4,125,443 | -5,259,854 | -5,288,761 | -5,573,194 |
OTRAS CUENTAS POR COBRAR | 787,394 | 1,033,391 | 1,016,091 | 1,213,649 | 1,054,753 | 1,155,265 | 1,960,731 | 2,102,634 | 2,382,099 |
BIENES REALIZABLES | 24,119 | 20,079 | 44,959 | 68,416 | 150,855 | 112,099 | 89,926 | 136,282 | 155,218 |
INVERSIONES PERMANENTES | 3,444,434 | 4,154,153 | 4,930,158 | 5,713,391 | 7,272,308 | 12,265,598 | 18,822,016 | 23,122,874 | 25,927,236 |
BIENES DE USO | 2,089,009 | 2,279,954 | 2,358,817 | 2,839,094 | 3,352,363 | 4,007,811 | 4,247,780 | 4,256,609 | 4,388,571 |
OTROS ACTIVOS | 364,866 | 416,468 | 520,678 | 755,229 | 825,720 | 787,548 | 906,362 | 958,449 | 961,192 |
FIDEICOMISOS CONSTITUIDOS | 0 | 0 | 0 | 95,126 | 95,126 | 0 | 0 | 0 | 0 |
PASIVO | 125,231,515 | 151,221,336 | 159,397,681 | 185,861,744 | 198,933,507 | 209,609,322 | 238,077,068 | 253,227,562 | 266,679,784 |
OBLIGACIONES CON EL PÚBLICO | 107,500,779 | 131,019,186 | 135,426,274 | 154,147,230 | 161,638,464 | 157,409,599 | 173,595,870 | 186,048,624 | 197,828,105 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 26,259,148 | 30,048,309 | 29,802,707 | 29,805,454 | 28,527,247 | 25,221,909 | 28,919,097 | 31,258,325 | 31,953,908 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 36,761,744 | 47,601,698 | 43,891,533 | 47,920,359 | 51,336,022 | 47,708,282 | 52,480,729 | 57,233,905 | 61,184,297 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 3,674,677 | 2,383,645 | 802,007 | 608,029 | 486,584 | 285,971 | 290,575 | 422,704 | 116,645 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 4,294,947 | 4,348,899 | 4,373,255 | 5,070,420 | 3,715,943 | 3,952,117 | 3,144,797 | 4,109,528 | 3,792,560 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 34,128,616 | 43,373,414 | 52,421,843 | 65,219,490 | 70,755,431 | 72,297,337 | 79,380,373 | 82,631,530 | 89,188,545 |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 2,381,648 | 3,263,221 | 4,134,928 | 5,523,478 | 6,817,238 | 7,943,982 | 9,380,300 | 10,392,632 | 11,592,151 |
OBLIGACIONES CON INSTITUCIONES FISCALES | 144,089 | 234,884 | 151,549 | 101,807 | 144,321 | 129,607 | 362,479 | 240,474 | 228,905 |
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 5,643,843 | 6,230,085 | 5,883,537 | 7,481,096 | 9,663,397 | 14,892,021 | 17,431,730 | 18,238,411 | 18,633,571 |
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 4,337,371 | 5,422,966 | 7,624,676 | 12,867,562 | 16,467,510 | 25,291,022 | 33,449,203 | 34,962,422 | 35,677,153 |
OTRAS CUENTAS POR PAGAR | 2,796,198 | 2,753,766 | 3,358,739 | 3,778,661 | 3,610,626 | 4,097,111 | 4,414,429 | 5,065,166 | 5,692,080 |
PREVISIONES | 1,695,871 | 1,803,604 | 1,839,391 | 2,037,669 | 2,154,853 | 2,409,830 | 2,441,944 | 2,719,643 | 2,887,271 |
VALORES EN CIRCULACIÓN | 1,696,855 | 2,039,392 | 2,648,312 | 2,830,457 | 2,705,068 | 2,633,663 | 3,576,780 | 3,328,937 | 3,202,006 |
OBLIGACIONES SUBORDINADAS | 1,416,508 | 1,717,453 | 2,465,203 | 2,617,261 | 2,549,268 | 2,746,469 | 2,804,633 | 2,623,885 | 2,530,693 |
PATRIMONIO | 10,801,967 | 12,046,739 | 13,616,999 | 14,257,335 | 15,225,053 | 16,660,673 | 16,652,965 | 18,076,565 | 19,406,340 |
CAPITAL SOCIAL | 6,452,977 | 7,916,337 | 9,431,318 | 10,046,164 | 11,030,323 | 11,884,303 | 12,747,374 | 13,455,646 | 14,440,394 |
APORTES NO CAPITALIZADOS | 626,257 | 440,452 | 521,728 | 142,454 | 122,786 | 135,135 | 236,108 | 298,883 | 170,968 |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
RESERVAS | 1,983,823 | 1,960,109 | 1,687,373 | 2,015,543 | 2,236,919 | 2,500,624 | 2,817,848 | 2,899,878 | 3,052,739 |
RESULTADOS ACUMULADOS | 1,738,909 | 1,729,841 | 1,976,581 | 2,053,174 | 1,835,026 | 2,140,612 | 851,635 | 1,422,159 | 1,742,238 |
Utilidades (pérdidas) acumuladas | -8,191 | 39 | 10,681 | 32,468 | 58,722 | 70,985 | 56,811 | 2,971 | -19,043 |
Utilidades (pérdidas) del periodo o gestión | 1,747,101 | 1,729,802 | 1,965,900 | 2,020,706 | 1,776,304 | 2,069,627 | 794,824 | 1,419,188 | 1,761,281 |
PASIVO + PATRIMONIO | 136,033,482 | 163,268,075 | 173,014,680 | 200,119,078 | 214,158,561 | 226,269,995 | 254,730,033 | 271,304,128 | 286,086,124 |
CUENTAS CONTINGENTES DEUDORAS | 14,694,168 | 18,672,350 | 22,558,358 | 21,343,440 | 20,933,808 | 20,177,208 | 16,247,720 | 15,670,703 | 16,904,787 |
CARTAS DE CRÉDITO | 1,005,919 | 1,010,809 | 945,846 | 982,548 | 1,831,450 | 1,684,051 | 915,483 | 1,695,221 | 2,393,925 |
GARANTÍAS OTORGADAS | 12,598,057 | 16,438,037 | 20,217,031 | 18,789,386 | 17,445,336 | 16,591,273 | 13,408,309 | 11,920,799 | 12,272,347 |
DOCUMENTOS DESCONTADOS | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
LÍNEAS DE CRÉDITO COMPROMETIDAS | 1,050,166 | 1,166,082 | 1,332,505 | 1,451,527 | 1,594,848 | 1,867,083 | 1,896,342 | 2,000,491 | 2,180,380 |
OTRAS CONTINGENCIAS | 40,025 | 57,422 | 62,975 | 119,979 | 62,173 | 34,801 | 27,586 | 54,191 | 58,135 |
CUENTAS DE ORDEN DEUDORAS | 245,127,270 | 281,382,719 | 326,833,231 | 382,401,462 | 409,888,884 | 404,644,877 | 425,891,847 | 427,306,734 | 499,337,935 |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 5,838,997 | 9,312,890 | 13,115,336 | 15,411,372 | 16,703,757 | 20,673,205 | 22,996,119 | 0 | 27,904,671 |
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 25,912,529 | 22,945,325 | 20,020,139 | 19,658,396 | 21,039,211 | 19,312,766 | 18,348,354 | 0 | 19,940,971 |
VALORES EN COBRANZA | 363,232 | 465,880 | 423,738 | 318,309 | 398,067 | 297,113 | 249,887 | 0 | 139,907 |
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 34,699 | 19,462 | 0 | 0 | 0 | 12,417 | 11,285 | 0 | 5,248 |
GARANTÍAS RECIBIDAS | 162,512,495 | 191,475,816 | 223,249,109 | 275,703,394 | 298,700,841 | 287,479,621 | 290,553,954 | 0 | 358,184,826 |
CUENTAS DE REGISTRO | 46,039,287 | 51,302,265 | 63,181,618 | 63,558,294 | 64,837,632 | 68,020,389 | 84,254,338 | 0 | 79,581,909 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS CON RECURSOS PRIVADOS | 1,093,470 | 1,438,811 | 2,027,087 | 2,640,837 | 3,169,924 | 3,778,178 | 4,556,088 | 0 | 3,453,378 |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 3,332,562 | 4,422,269 | 4,816,202 | 5,110,860 | 5,039,451 | 5,071,188 | 4,921,823 | 0 | 10,127,025 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 1,093,470 | 1,438,811 | 2,027,087 | 2,640,837 | 3,169,924 | 3,778,178 | 4,556,088 | 0 | 0 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 3,332,562 | 4,422,269 | 4,816,202 | 5,110,860 | 5,039,451 | 5,071,188 | 4,921,823 | 0 | 0 |
(+) INGRESOS FINANCIEROS | 9,545,925 | 10,266,714 | 11,297,950 | 12,951,823 | 14,341,241 | 15,499,130 | 15,530,832 | 15,537,278 | 16,832,339 |
(-) GASTOS FINANCIEROS | -1,859,900 | -2,318,820 | -2,565,932 | -3,264,258 | -4,259,887 | -4,891,234 | -5,660,614 | -6,338,717 | -6,795,657 |
(=)RESULTADO FINANCIERO BRUTO | 7,686,025 | 7,947,894 | 8,732,018 | 9,687,565 | 10,081,354 | 10,607,896 | 9,870,217 | 9,198,560 | 10,036,681 |
(+) OTROS INGRESOS OPERATIVOS | 2,476,224 | 2,663,937 | 3,587,822 | 4,045,111 | 3,891,120 | 4,380,432 | 3,689,146 | 4,300,385 | 4,390,421 |
(-) OTROS GASTOS OPERATIVOS | -700,787 | -1,000,202 | -1,799,123 | -2,282,509 | -2,490,174 | -2,927,739 | -2,451,262 | -2,273,552 | -1,992,911 |
(=)RESULTADO DE OPERACIÓN BRUTO | 9,461,463 | 9,611,629 | 10,520,718 | 11,450,167 | 11,482,300 | 12,060,589 | 11,108,101 | 11,225,393 | 12,434,191 |
(+) RECUPERACION DE ACTIVOS FINANCIEROS | 1,724,352 | 1,772,184 | 1,966,593 | 2,278,021 | 2,219,996 | 2,207,495 | 2,227,399 | 3,359,161 | 3,496,298 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -2,565,909 | -2,418,888 | -2,812,558 | -3,466,555 | -3,326,740 | -3,275,178 | -4,175,304 | -4,570,960 | -5,010,197 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 8,619,906 | 8,964,925 | 9,674,752 | 10,261,634 | 10,375,555 | 10,992,907 | 9,160,195 | 10,013,595 | 10,920,292 |
(-) GASTOS DE ADMINISTRACIÓN | -5,949,914 | -6,572,908 | -6,691,105 | -7,117,957 | -7,606,865 | -7,405,396 | -7,174,368 | -7,403,417 | -7,886,019 |
(=)RESULTADO DE OPERACIÓN NETO | 2,669,992 | 2,392,017 | 2,983,648 | 3,143,677 | 2,768,690 | 3,587,510 | 1,985,827 | 2,610,177 | 3,034,273 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -54,934 | -63,983 | 5,299 | 232,328 | -14,909 | -76,913 | 115,146 | -231,850 | 39,067 |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 55,228 | 61,286 | -8,107 | -232,706 | 12,013 | 77,291 | -115,458 | 230,401 | -40,286 |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 2,670,286 | 2,389,320 | 2,980,840 | 3,143,299 | 2,765,793 | 3,587,889 | 1,985,515 | 2,608,729 | 3,033,053 |
(+/-) Ingresos (gastos) extraordinarios | 8,682 | 17,958 | 32,875 | 38,247 | 62,644 | 20,595 | 29,883 | 16,681 | 15,367 |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 2,678,968 | 2,407,279 | 3,013,714 | 3,181,546 | 2,828,437 | 3,608,483 | 2,015,398 | 2,625,410 | 3,048,420 |
(+/-) Ingresos (gastos) de gestiones anteriores | -23,479 | 9,197 | 1,251 | 10,209 | 39,154 | -12,251 | 31,765 | 31,110 | 3,122 |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 2,655,489 | 2,416,476 | 3,014,966 | 3,191,755 | 2,867,591 | 3,596,232 | 2,047,164 | 2,656,520 | 3,051,542 |
(+/-) Ajuste contable por efecto de la inflación | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
(=)RESULTADO ANTES DE IMPUESTOS | 2,655,489 | 2,416,476 | 3,014,966 | 3,191,755 | 2,867,591 | 3,596,232 | 2,047,164 | 2,656,520 | 3,051,542 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -908,388 | -686,674 | -1,049,066 | -1,171,049 | -1,091,287 | -1,526,605 | -1,252,339 | -1,237,332 | -1,290,261 |
(=)RESULTADO NETO DE LA GESTIÓN | 1,747,101 | 1,729,802 | 1,965,900 | 2,020,706 | 1,776,304 | 2,069,627 | 794,824 | 1,419,188 | 1,761,281 |
Fuente: Autoridad de Supervisión del Sistema Financiero (ASFI) | |||||||||
Nota: La denominación Bancos Múltiples se comenzó a utilizar
desde julio de 2014, en concordancia con el Artículo 151 de la Ley N° 393 de
Servicios Financieros de 21.08.2013, que define los tipos en entidades
financieras. Los datos corresponden al 31 de diciembre de cada año. |
|||||||||