CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2014) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BDB | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES |
ACTIVO | 18,707,589 | 19,540,940 | 21,617,399 | 16,349,686 | 12,081,871 | 7,499,555 | 7,223,308 | 8,852,386 | 176,817 | 463,676 | 8,421,991 | 1,934,414 | 6,928,794 | 6,235,056 | 136,033,482 |
DISPONIBILIDADES | 3,695,633 | 5,262,454 | 3,161,722 | 3,693,563 | 1,400,380 | 1,058,357 | 897,950 | 464,326 | 53,653 | 202,218 | 757,696 | 130,686 | 251,208 | 492,700 | 21,522,545 |
INVERSIONES TEMPORARIAS | 4,185,465 | 4,347,457 | 5,656,336 | 3,750,317 | 2,591,673 | 1,358,267 | 1,338,002 | 939,288 | 16,508 | 54,924 | 571,795 | 239,554 | 1,656,095 | 480,120 | 27,185,801 |
CARTERA | 9,726,701 | 9,196,813 | 11,851,577 | 7,652,763 | 7,887,666 | 4,807,828 | 4,820,726 | 7,134,506 | 102,714 | 187,426 | 6,894,975 | 1,432,854 | 3,912,369 | 5,006,394 | 80,615,313 |
CARTERA VIGENTE TOTAL | 9,769,880 | 9,235,275 | 11,797,035 | 7,713,459 | 7,934,986 | 4,789,751 | 4,850,332 | 7,201,887 | 102,556 | 186,577 | 7,054,186 | 1,424,672 | 3,911,138 | 5,045,759 | 81,017,494 |
CARTERA VIGENTE | 9,714,967 | 9,114,384 | 11,694,459 | 7,590,767 | 7,886,992 | 4,695,610 | 4,764,561 | 7,192,567 | 102,556 | 186,577 | 7,010,749 | 1,407,430 | 3,901,713 | 5,022,167 | 80,285,500 |
CARTERA REPROGRAMADA VIGENTE | 54,913 | 119,556 | 100,486 | 120,438 | 47,971 | 92,354 | 85,770 | 9,205 | 21,020 | 17,242 | 9,032 | 22,180 | 700,167 | ||
CARTERA REESTRUCTURADA VIGENTE | 1,335 | 2,090 | 2,253 | 23 | 1,788 | 116 | 22,416 | 393 | 1,412 | 31,827 | |||||
CARTERA VENCIDA TOTAL | 49,502 | 28,854 | 47,999 | 45,732 | 49,986 | 9,404 | 12,669 | 38,862 | 11 | 52,108 | 11,057 | 4,465 | 30,036 | 380,684 | |
CARTERA VENCIDA | 43,777 | 27,721 | 47,994 | 40,859 | 47,965 | 9,404 | 11,854 | 38,760 | 11 | 50,531 | 10,469 | 4,438 | 29,443 | 363,226 | |
CARTERA REPROGRAMADA VENCIDA | 5,725 | 1,133 | 5 | 4,873 | 2,021 | 814 | 102 | 1,577 | 588 | 27 | 593 | 17,458 | |||
CARTERA REESTRUCTURADA VENCIDA | |||||||||||||||
CARTERA EJECUCIÓN TOTAL | 85,209 | 116,019 | 218,806 | 114,593 | 61,284 | 50,337 | 52,509 | 31,109 | 281 | 41,196 | 24,527 | 4,274 | 37,302 | 837,445 | |
CARTERA EN EJECUCIÓN | 55,779 | 85,811 | 145,822 | 85,277 | 54,718 | 33,237 | 48,407 | 30,801 | 6 | 37,694 | 23,830 | 4,174 | 34,751 | 640,307 | |
CARTERA REPROGRAMADA EJECUCIÓN | 29,430 | 30,208 | 52,419 | 29,316 | 6,566 | 17,100 | 4,102 | 308 | 274 | 3,502 | 696 | 100 | 2,552 | 176,573 | |
CARTERA REESTRUCTURADA EN EJECUCIÓN | 20,565 | 20,565 | |||||||||||||
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 69,394 | 85,458 | 80,001 | 68,474 | 52,659 | 43,692 | 49,779 | 90,314 | 991 | 2,132 | 74,084 | 16,126 | 45,999 | 65,979 | 745,082 |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -247,283 | -268,793 | -292,264 | -289,494 | -211,249 | -85,356 | -144,562 | -227,666 | -1,124 | -1,283 | -326,600 | -43,528 | -53,506 | -172,683 | -2,365,392 |
OTRAS CUENTAS POR COBRAR | 77,069 | 96,169 | 145,060 | 104,134 | 59,528 | 62,365 | 50,202 | 59,703 | 261 | 3,060 | 51,710 | 4,619 | 29,959 | 43,554 | 787,394 |
BIENES REALIZABLES | 669 | 257 | 4,064 | 724 | 17,413 | 107 | 3 | 5 | 773 | 104 | 24,119 | ||||
INVERSIONES PERMANENTES | 665,744 | 297,383 | 442,086 | 806,785 | 22,713 | 10,634 | 5,562 | 94,502 | 274 | 11,122 | 28,086 | 84,576 | 848,756 | 126,213 | 3,444,434 |
BIENES DE USO | 326,161 | 313,345 | 314,445 | 288,364 | 93,170 | 160,334 | 95,026 | 135,913 | 1,978 | 4,238 | 81,326 | 34,441 | 169,654 | 70,613 | 2,089,009 |
OTROS ACTIVOS | 30,148 | 27,063 | 42,109 | 53,036 | 26,741 | 24,357 | 15,733 | 24,145 | 1,428 | 683 | 36,403 | 6,910 | 60,754 | 15,358 | 364,866 |
PASIVO | 17,416,060 | 18,313,188 | 20,091,187 | 14,800,162 | 10,995,305 | 7,052,919 | 6,769,528 | 8,053,980 | 80,260 | 268,410 | 7,736,329 | 1,722,233 | 6,220,367 | 5,711,588 | 125,231,515 |
OBLIGACIONES CON EL PÚBLICO | 16,139,403 | 15,206,837 | 17,247,807 | 12,973,026 | 9,595,714 | 6,260,263 | 5,973,126 | 6,049,801 | 62,342 | 163,424 | 5,725,133 | 1,646,364 | 5,433,483 | 5,024,053 | 107,500,779 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 6,030,709 | 3,921,124 | 4,399,450 | 4,971,037 | 2,837,932 | 2,028,892 | 1,028,010 | 2,479 | 27,398 | 116,738 | 1,792 | 69,455 | 787,360 | 36,772 | 26,259,148 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 4,980,333 | 7,130,167 | 7,089,079 | 3,784,399 | 3,045,496 | 1,775,448 | 1,362,471 | 1,962,594 | 22,635 | 9,578 | 2,360,538 | 342,104 | 1,128,989 | 1,767,914 | 36,761,744 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 334,711 | 80,286 | 303,254 | 134,652 | 88,808 | 1,534,510 | 120,810 | 201,610 | 6,323 | 380 | 124,795 | 159,182 | 463,629 | 121,726 | 3,674,677 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 644,442 | 347,714 | 323,128 | 754,428 | 262,916 | 145,411 | 74,457 | 21,255 | 5,946 | 1,871 | 73,308 | 76,797 | 1,510,793 | 52,481 | 4,294,947 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 3,856,732 | 3,537,325 | 4,900,964 | 3,064,004 | 3,199,110 | 638,854 | 3,208,243 | 3,602,422 | 34,818 | 2,985,025 | 930,194 | 1,325,632 | 2,845,292 | 34,128,616 | |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 292,476 | 190,220 | 231,933 | 264,507 | 161,453 | 137,149 | 179,135 | 259,440 | 40 | 40 | 179,675 | 68,633 | 217,079 | 199,869 | 2,381,648 |
OBLIGACIONES CON INSTITUCIONES FISCALES | 5,157 | 102,758 | 11,529 | 9,046 | 609 | 300 | 2,450 | 2,609 | 10 | 2 | 9,618 | 144,089 | |||
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 30,844 | 1,748,465 | 2,169,385 | 499,125 | 781,292 | 112,009 | 7,285 | 215,735 | 79,702 | 5,643,843 | |||||
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 152,039 | 765,370 | 65,559 | 373,841 | 105,540 | 363,034 | 382,490 | 677,627 | 10,772 | 81,796 | 466,793 | 26,939 | 569,139 | 296,433 | 4,337,371 |
OTRAS CUENTAS POR PAGAR | 319,730 | 336,712 | 294,396 | 475,590 | 269,796 | 115,874 | 159,347 | 260,054 | 3,478 | 16,397 | 281,945 | 31,730 | 93,103 | 138,050 | 2,796,198 |
PREVISIONES | 149,583 | 153,046 | 130,693 | 332,293 | 171,625 | 77,830 | 73,811 | 170,953 | 3,668 | 6,793 | 193,816 | 15,704 | 52,323 | 163,732 | 1,695,871 |
VALORES EN CIRCULACIÓN | 342,699 | 0 | 0 | 0 | 0 | 0 | 678,982 | 675,175 | 1,696,855 | ||||||
OBLIGACIONES SUBORDINADAS | 276,605 | 0 | 171,818 | 137,241 | 70,729 | 123,908 | 173,170 | 214,111 | 175,123 | 1,486 | 72,317 | 1,416,508 | |||
PATRIMONIO | 1,291,529 | 1,227,752 | 1,526,212 | 1,549,524 | 1,086,566 | 446,636 | 453,780 | 798,406 | 96,557 | 195,266 | 685,662 | 212,181 | 708,427 | 523,468 | 10,801,967 |
CAPITAL SOCIAL | 655,373 | 1,023,772 | 731,879 | 1,092,785 | 294,578 | 307,354 | 311,563 | 490,224 | 95,490 | 75,800 | 381,858 | 176,574 | 434,700 | 381,027 | 6,452,977 |
APORTES NO CAPITALIZADOS | 96,085 | 0 | 278,064 | 0 | 0 | 23,927 | 35,990 | 84,501 | 116 | 1,906 | 100,140 | 5,530 | 626,257 | ||
AJUSTES AL PATRIMONIO | |||||||||||||||
RESERVAS | 311,438 | 59,652 | 262,076 | 164,473 | 626,924 | 43,987 | 59,051 | 90,344 | 11,746 | 15,655 | 191,273 | 8,464 | 88,321 | 50,417 | 1,983,823 |
RESULTADOS ACUMULADOS | 228,633 | 144,328 | 254,192 | 292,265 | 165,064 | 71,368 | 83,166 | 181,848 | -10,680 | 19,310 | 112,416 | 25,238 | 85,267 | 86,494 | 1,738,909 |
Utilidades (pérdidas) acumuladas | 285 | 0 | 0 | 0 | 0 | 3,568 | 6 | -12,052 | 1 | 1 | -8,191 | ||||
Utilidades (pérdidas) del periodo o gestión | 228,348 | 144,328 | 254,192 | 292,265 | 165,064 | 67,800 | 83,160 | 181,848 | 1,373 | 19,310 | 112,416 | 25,237 | 85,267 | 86,494 | 1,747,101 |
PASIVO + PATRIMONIO | 18,707,589 | 19,540,940 | 21,617,399 | 16,349,686 | 12,081,871 | 7,499,555 | 7,223,308 | 8,852,386 | 176,817 | 463,676 | 8,421,991 | 1,934,414 | 6,928,794 | 6,235,056 | 136,033,482 |
CUENTAS CONTINGENTES DEUDORAS | 2,838,113 | 1,107,350 | 2,618,818 | 4,563,916 | 1,884,536 | 711,433 | 278,820 | 1,015 | 62,539 | 146,747 | 54,574 | 131,736 | 188,990 | 105,581 | 14,694,168 |
CARTAS DE CRÉDITO | 126,636 | 140,717 | 187,128 | 291,493 | 130,224 | 87,945 | 21,225 | 1,216 | 19,335 | 1,005,919 | |||||
GARANTÍAS OTORGADAS | 2,485,603 | 923,022 | 2,219,096 | 4,087,654 | 1,601,579 | 526,726 | 212,347 | 1,015 | 61,323 | 127,412 | 54,574 | 97,386 | 181,124 | 19,197 | 12,598,057 |
DOCUMENTOS DESCONTADOS | |||||||||||||||
LÍNEAS DE CRÉDITO COMPROMETIDAS | 225,874 | 43,611 | 209,214 | 181,558 | 126,572 | 96,762 | 45,247 | 0 | 0 | 0 | 0 | 34,350 | 594 | 86,384 | 1,050,166 |
OTRAS CONTINGENCIAS | 0 | 0 | 3,381 | 3,211 | 26,161 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 7,272 | 40,025 | |
CUENTAS DE ORDEN DEUDORAS | 25,759,890 | 50,118,724 | 37,016,771 | 25,031,708 | 30,611,953 | 11,928,612 | 12,181,262 | 6,960,665 | 1,003,731 | 685,956 | 16,495,307 | 2,738,907 | 11,368,296 | 13,225,489 | 245,127,270 |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 224,215 | 857,164 | 22,766 | 1,341,017 | 11,365 | 34,844 | 5,495 | 413 | 16,825 | 195,658 | 3,129,234 | 5,838,997 | |||
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 25,516,989 | 33,818 | 0 | 0 | 0 | 28,828 | 571 | 332,323 | 25,912,529 | |||||
VALORES EN COBRANZA | 56,643 | 13,494 | 100,098 | 55,476 | 49,463 | 55,514 | 21,977 | 5,049 | 5,517 | 363,232 | |||||
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 0 | 34,699 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 34,699 |
GARANTÍAS RECIBIDAS | 21,041,763 | 16,652,396 | 31,467,622 | 17,744,963 | 14,151,288 | 9,664,123 | 9,708,864 | 5,421,677 | 373,737 | 477,457 | 15,773,166 | 2,292,474 | 6,522,546 | 11,220,418 | 162,512,495 |
CUENTAS DE REGISTRO | 4,417,937 | 3,496,847 | 5,392,466 | 5,427,953 | 16,009,686 | 2,174,131 | 2,440,582 | 1,538,575 | 579,293 | 202,982 | 722,141 | 250,149 | 1,716,516 | 1,670,030 | 46,039,287 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 19,331 | 217,754 | 462,300 | 386,970 | 4,343 | 55 | 2,717 | 1,093,470 | |||||||
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 3,329,381 | 3,181 | 3,332,562 | ||||||||||||
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 19,331 | 217,754 | 462,300 | 386,970 | 4,343 | 55 | 2,717 | 1,093,470 | |||||||
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 3,329,381 | 3,181 | 3,332,562 | ||||||||||||
(+) INGRESOS FINANCIEROS | 943,419 | 1,054,467 | 1,061,515 | 767,653 | 746,716 | 373,740 | 527,187 | 1,266,934 | 8,627 | 14,899 | 1,091,387 | 224,367 | 736,958 | 728,055 | 9,545,925 |
(-) GASTOS FINANCIEROS | -206,591 | -143,519 | -215,844 | -115,988 | -151,749 | -100,103 | -114,863 | -221,652 | -356 | -946 | -211,007 | -45,372 | -217,606 | -114,304 | -1,859,900 |
(=)RESULTADO FINANCIERO BRUTO | 736,828 | 910,949 | 845,672 | 651,665 | 594,967 | 273,637 | 412,324 | 1,045,283 | 8,270 | 13,953 | 880,380 | 178,995 | 519,352 | 613,751 | 7,686,025 |
(+) OTROS INGRESOS OPERATIVOS | 333,204 | 374,788 | 366,509 | 512,118 | 229,926 | 202,172 | 106,952 | 31,917 | 5,937 | 51,139 | 59,004 | 37,362 | 111,509 | 53,686 | 2,476,224 |
(-) OTROS GASTOS OPERATIVOS | -106,075 | -93,457 | -145,979 | -69,447 | -85,506 | -90,341 | -25,895 | -16,287 | -808 | -5,570 | -16,829 | -5,106 | -29,063 | -10,422 | -700,787 |
(=)RESULTADO DE OPERACIÓN BRUTO | 963,956 | 1,192,280 | 1,066,202 | 1,094,336 | 739,387 | 385,467 | 493,382 | 1,060,912 | 13,399 | 59,523 | 922,555 | 211,252 | 601,797 | 657,015 | 9,461,463 |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 132,744 | 192,469 | 75,446 | 259,570 | 96,960 | 16,904 | 64,528 | 28,050 | 1,472 | 14,490 | 337,224 | 37,336 | 357,112 | 110,047 | 1,724,352 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -186,323 | -297,318 | -121,668 | -340,287 | -148,609 | -42,383 | -114,633 | -135,509 | -629 | -14,579 | -442,347 | -58,105 | -510,613 | -152,907 | -2,565,909 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 910,378 | 1,087,431 | 1,019,980 | 1,013,620 | 687,739 | 359,987 | 443,277 | 953,453 | 14,243 | 59,434 | 817,433 | 190,483 | 448,296 | 614,154 | 8,619,906 |
(-) GASTOS DE ADMINISTRACIÓN | -575,563 | -853,966 | -645,053 | -573,038 | -443,403 | -255,529 | -311,233 | -626,804 | -12,874 | -31,712 | -614,117 | -164,754 | -357,159 | -484,710 | -5,949,914 |
(=)RESULTADO DE OPERACIÓN NETO | 334,814 | 233,465 | 374,926 | 440,582 | 244,336 | 104,458 | 132,045 | 326,649 | 1,369 | 27,722 | 203,316 | 25,729 | 91,136 | 129,445 | 2,669,992 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -7,102 | 69 | 365 | -31,737 | -768 | -16,753 | -3 | 13 | -5 | -253 | 429 | 802 | 3 | 8 | -54,934 |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 8,823 | -1,175 | -916 | 32,160 | -11 | 16,754 | -45 | -71 | -2 | -86 | -169 | -33 | -1 | 55,228 | |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 336,535 | 232,358 | 374,375 | 441,004 | 243,557 | 104,459 | 131,996 | 326,591 | 1,362 | 27,383 | 203,576 | 26,499 | 91,139 | 129,451 | 2,670,286 |
(+/-) Ingresos (gastos) extraordinarios | 907 | 1,441 | 228 | 1,038 | 25 | 5,003 | 41 | 8,682 | |||||||
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 337,443 | 232,358 | 375,816 | 441,232 | 243,557 | 104,459 | 133,034 | 326,591 | 1,362 | 27,408 | 208,579 | 26,499 | 91,139 | 129,492 | 2,678,968 |
(+/-) Ingresos (gastos) de gestiones anteriores | -592 | 4 | 8,509 | 128 | 2,149 | 1,157 | 3,060 | -25,437 | 11 | -635 | -11,592 | -590 | -244 | 593 | -23,479 |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 336,850 | 232,362 | 384,325 | 441,360 | 245,706 | 105,616 | 136,094 | 301,154 | 1,373 | 26,772 | 196,988 | 25,908 | 90,896 | 130,085 | 2,655,489 |
(+/-) Ajuste contable por efecto de la inflación | |||||||||||||||
(=)RESULTADO ANTES DE IMPUESTOS | 336,850 | 232,362 | 384,325 | 441,360 | 245,706 | 105,616 | 136,094 | 301,154 | 1,373 | 26,772 | 196,988 | 25,908 | 90,896 | 130,085 | 2,655,489 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -108,502 | -88,035 | -130,134 | -149,095 | -80,642 | -37,816 | -52,934 | -119,306 | -7,462 | -84,572 | -671 | -5,629 | -43,591 | -908,388 | |
(=)RESULTADO NETO DE LA GESTIÓN | 228,348 | 144,328 | 254,192 | 292,265 | 165,064 | 67,800 | 83,160 | 181,848 | 1,373 | 19,310 | 112,416 | 25,237 | 85,267 | 86,494 | 1,747,101 |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2015) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BDB | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES |
ACTIVO | 20,056,491 | 29,038,528 | 25,399,496 | 16,712,308 | 14,605,967 | 8,890,892 | 7,842,731 | 9,855,702 | 213,155 | 525,291 | 10,017,235 | 2,439,824 | 10,555,019 | 7,115,437 | 163,268,075 |
DISPONIBILIDADES | 3,683,343 | 12,881,110 | 4,880,165 | 2,940,085 | 2,593,489 | 1,359,285 | 975,644 | 274,416 | 69,500 | 265,749 | 929,820 | 351,128 | 607,791 | 466,680 | 32,278,205 |
INVERSIONES TEMPORARIAS | 3,773,823 | 4,728,452 | 5,745,277 | 3,185,892 | 2,484,227 | 1,234,817 | 1,074,834 | 1,221,671 | 26,831 | 37,163 | 856,995 | 232,629 | 1,281,851 | 583,689 | 26,468,152 |
CARTERA | 11,511,902 | 10,494,515 | 13,604,879 | 9,196,653 | 9,250,498 | 6,014,617 | 5,586,924 | 7,891,180 | 113,139 | 208,859 | 7,913,291 | 1,790,074 | 7,356,902 | 5,684,238 | 96,617,672 |
CARTERA VIGENTE TOTAL | 11,522,582 | 10,538,391 | 13,594,968 | 9,250,515 | 9,289,608 | 5,975,001 | 5,617,568 | 7,963,016 | 113,286 | 207,636 | 8,036,753 | 1,774,494 | 7,325,778 | 5,722,119 | 96,931,716 |
CARTERA VIGENTE | 11,453,066 | 10,309,849 | 13,488,393 | 9,093,854 | 9,247,070 | 5,847,484 | 5,443,249 | 7,931,349 | 113,286 | 207,636 | 7,996,401 | 1,738,290 | 7,305,986 | 5,674,769 | 95,850,682 |
CARTERA REPROGRAMADA VIGENTE | 69,517 | 228,153 | 106,575 | 156,661 | 42,525 | 127,517 | 174,319 | 31,667 | 40,352 | 36,205 | 19,398 | 46,448 | 1,079,336 | ||
CARTERA REESTRUCTURADA VIGENTE | 0 | 389 | 12 | 393 | 903 | 1,697 | |||||||||
CARTERA VENCIDA TOTAL | 91,848 | 32,932 | 46,122 | 32,171 | 49,878 | 15,934 | 23,989 | 40,732 | 68,226 | 6,651 | 7,005 | 33,265 | 448,753 | ||
CARTERA VENCIDA | 85,335 | 31,370 | 45,428 | 26,994 | 49,261 | 15,706 | 21,233 | 40,218 | 64,755 | 5,392 | 6,938 | 31,722 | 424,352 | ||
CARTERA REPROGRAMADA VENCIDA | 6,513 | 1,430 | 694 | 5,176 | 618 | 228 | 2,756 | 514 | 3,471 | 1,259 | 67 | 1,095 | 23,821 | ||
CARTERA REESTRUCTURADA VENCIDA | 132 | 449 | 580 | ||||||||||||
CARTERA EJECUCIÓN TOTAL | 90,831 | 129,358 | 224,108 | 164,833 | 98,862 | 60,139 | 58,235 | 39,578 | 274 | 51,458 | 33,365 | 8,550 | 34,022 | 993,613 | |
CARTERA EN EJECUCIÓN | 69,866 | 94,485 | 160,380 | 137,823 | 93,425 | 41,966 | 55,100 | 39,008 | 47,601 | 32,285 | 8,550 | 31,042 | 811,531 | ||
CARTERA REPROGRAMADA EJECUCIÓN | 20,965 | 34,585 | 43,163 | 27,010 | 5,437 | 18,173 | 3,135 | 571 | 274 | 3,857 | 1,079 | 2,980 | 161,229 | ||
CARTERA REESTRUCTURADA EN EJECUCIÓN | 288 | 20,565 | 20,854 | ||||||||||||
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 81,356 | 89,147 | 84,636 | 82,006 | 64,232 | 46,592 | 55,156 | 91,977 | 914 | 2,407 | 78,878 | 18,599 | 78,946 | 74,618 | 849,463 |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -274,715 | -295,313 | -344,955 | -332,872 | -252,082 | -83,048 | -168,024 | -244,124 | -1,335 | -1,185 | -322,025 | -43,035 | -63,376 | -179,785 | -2,605,874 |
OTRAS CUENTAS POR COBRAR | 97,946 | 103,747 | 263,079 | 73,771 | 141,761 | 66,134 | 68,218 | 65,927 | 426 | 1,170 | 66,922 | 11,416 | 28,031 | 44,843 | 1,033,391 |
BIENES REALIZABLES | 2,001 | 154 | 10,264 | 2,069 | 309 | 2,890 | 803 | 4 | 0 | 0 | 1,479 | 107 | 20,079 | ||
INVERSIONES PERMANENTES | 618,219 | 451,822 | 507,158 | 929,610 | 22,746 | 12,325 | 6,146 | 247,833 | 274 | 8,276 | 65,271 | 19,046 | 1,006,102 | 259,325 | 4,154,153 |
BIENES DE USO | 341,730 | 359,046 | 332,393 | 330,140 | 85,641 | 176,191 | 109,212 | 135,341 | 1,796 | 3,717 | 98,156 | 29,437 | 215,771 | 61,382 | 2,279,954 |
OTROS ACTIVOS | 27,526 | 19,684 | 56,281 | 54,088 | 27,297 | 24,632 | 20,950 | 19,331 | 1,189 | 355 | 86,779 | 4,615 | 58,571 | 15,171 | 416,468 |
PASIVO | 18,646,624 | 27,675,165 | 23,844,071 | 14,970,128 | 13,476,177 | 8,346,160 | 7,343,811 | 8,895,161 | 115,474 | 332,632 | 9,229,281 | 2,217,190 | 9,606,375 | 6,523,087 | 151,221,336 |
OBLIGACIONES CON EL PÚBLICO | 17,340,819 | 21,998,201 | 21,097,816 | 13,520,335 | 12,240,905 | 7,117,677 | 6,453,671 | 6,829,540 | 79,685 | 225,385 | 7,383,484 | 2,078,498 | 8,774,123 | 5,879,046 | 131,019,186 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 5,205,760 | 6,040,077 | 4,557,831 | 4,841,910 | 3,793,101 | 2,074,004 | 1,315,469 | 3,920 | 48,298 | 213,769 | 1,690 | 277,283 | 1,636,571 | 38,625 | 30,048,309 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 5,570,532 | 11,622,798 | 9,739,656 | 4,147,487 | 3,556,939 | 1,783,557 | 1,585,340 | 2,166,392 | 22,734 | 5,550 | 2,761,612 | 483,978 | 2,393,788 | 1,761,334 | 47,601,698 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 146,768 | 46,520 | 210,758 | 76,871 | 34,785 | 1,318,755 | 46,620 | 37,619 | 2,838 | 381 | 33,603 | 55,201 | 332,927 | 39,997 | 2,383,645 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 922,305 | 656,808 | 354,126 | 597,765 | 520,663 | 129,469 | 88,427 | 19,847 | 5,790 | 5,561 | 80,379 | 116,034 | 805,108 | 46,618 | 4,348,899 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 5,102,521 | 3,377,299 | 5,901,689 | 3,501,373 | 4,102,471 | 1,625,519 | 3,179,102 | 4,254,099 | 124 | 4,271,408 | 1,054,192 | 3,299,814 | 3,703,803 | 43,373,414 | |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 392,934 | 254,698 | 333,756 | 354,928 | 232,945 | 186,373 | 238,711 | 347,663 | 26 | 0 | 234,793 | 91,810 | 305,913 | 288,670 | 3,263,221 |
OBLIGACIONES CON INSTITUCIONES FISCALES | 6,915 | 196,081 | 10,987 | 9,545 | 1,513 | 1,006 | 6 | 3 | 2,779 | 13 | 4 | 6,032 | 234,884 | ||
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 3,728 | 4,043,926 | 1,074,783 | 174,255 | 539,675 | 219,618 | 36,241 | 118,120 | 19,739 | 6,230,085 | |||||
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 233,006 | 896,525 | 618,022 | 275,131 | 32,624 | 639,867 | 411,514 | 741,998 | 28,875 | 93,194 | 519,930 | 42,936 | 590,014 | 299,332 | 5,422,966 |
OTRAS CUENTAS POR PAGAR | 362,076 | 338,194 | 219,235 | 452,361 | 264,106 | 130,012 | 170,453 | 265,480 | 3,315 | 7,603 | 263,029 | 38,835 | 90,622 | 148,446 | 2,753,766 |
PREVISIONES | 170,163 | 202,239 | 136,661 | 260,990 | 184,481 | 90,853 | 80,658 | 178,342 | 3,595 | 6,450 | 202,736 | 20,411 | 95,534 | 170,493 | 1,803,604 |
VALORES EN CIRCULACIÓN | 274,065 | 514,878 | 679,495 | 570,955 | 2,039,392 | ||||||||||
OBLIGACIONES SUBORDINADAS | 255,853 | 171,689 | 277,511 | 212,873 | 148,135 | 190,268 | 200,301 | 168,247 | 36,497 | 56,078 | 1,717,453 | ||||
PATRIMONIO | 1,409,867 | 1,363,362 | 1,555,424 | 1,742,180 | 1,129,790 | 544,732 | 498,920 | 960,541 | 97,681 | 192,658 | 787,954 | 222,635 | 948,644 | 592,350 | 12,046,739 |
CAPITAL SOCIAL | 1,057,261 | 1,145,008 | 731,879 | 1,215,537 | 294,660 | 393,588 | 348,993 | 626,134 | 95,490 | 151,816 | 423,929 | 195,124 | 808,144 | 428,774 | 7,916,337 |
APORTES NO CAPITALIZADOS | 20,717 | 385,462 | 8 | 16,400 | 1,690 | 8,485 | 116 | 1,906 | 140 | 5,530 | 440,452 | ||||
AJUSTES AL PATRIMONIO | |||||||||||||||
RESERVAS | 110,521 | 74,085 | 287,496 | 193,700 | 695,524 | 50,768 | 67,367 | 108,529 | 11,883 | 33,923 | 235,986 | 10,987 | 20,272 | 59,067 | 1,960,109 |
RESULTADOS ACUMULADOS | 221,367 | 144,270 | 150,587 | 332,943 | 139,598 | 83,976 | 82,560 | 224,189 | -9,692 | -1,565 | 127,923 | 14,618 | 120,088 | 98,979 | 1,729,841 |
Utilidades (pérdidas) acumuladas | 285 | 10,569 | 1 | -10,817 | 1 | 1 | 39 | ||||||||
Utilidades (pérdidas) del periodo o gestión | 221,082 | 144,270 | 150,587 | 332,943 | 139,598 | 73,407 | 82,559 | 224,189 | 1,125 | -1,565 | 127,923 | 14,618 | 120,088 | 98,978 | 1,729,802 |
PASIVO + PATRIMONIO | 20,056,491 | 29,038,528 | 25,399,496 | 16,712,308 | 14,605,967 | 8,890,892 | 7,842,731 | 9,855,702 | 213,155 | 525,291 | 10,017,235 | 2,439,824 | 10,555,019 | 7,115,437 | 163,268,075 |
CUENTAS CONTINGENTES DEUDORAS | 3,603,510 | 1,507,793 | 3,462,977 | 5,873,857 | 2,430,208 | 576,714 | 248,436 | 528 | 89,886 | 195,585 | 51,511 | 220,666 | 290,851 | 119,828 | 18,672,350 |
CARTAS DE CRÉDITO | 269,311 | 130,612 | 150,768 | 296,322 | 92,550 | 46,337 | 15,423 | 8,483 | 1,003 | 1,010,809 | |||||
GARANTÍAS OTORGADAS | 3,105,004 | 1,333,914 | 3,094,341 | 5,334,435 | 2,154,079 | 430,654 | 154,850 | 528 | 89,886 | 186,416 | 51,511 | 213,293 | 275,391 | 13,735 | 16,438,037 |
DOCUMENTOS DESCONTADOS | |||||||||||||||
LÍNEAS DE CRÉDITO COMPROMETIDAS | 229,196 | 43,266 | 210,945 | 240,757 | 137,372 | 99,723 | 78,163 | 686 | 7,373 | 12,507 | 106,093 | 1,166,082 | |||
OTRAS CONTINGENCIAS | 6,923 | 2,343 | 46,207 | 1,949 | 57,422 | ||||||||||
CUENTAS DE ORDEN DEUDORAS | 30,140,023 | 52,118,674 | 41,631,777 | 29,176,464 | 31,497,002 | 15,486,910 | 14,649,197 | 9,373,573 | 984,294 | 744,441 | 17,752,806 | 3,750,903 | 20,996,604 | 13,080,051 | 281,382,719 |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 414,828 | 642,283 | 22,751 | 956,515 | 13,565 | 39,972 | 5,234 | 421 | 16,825 | 206,084 | 6,994,412 | 9,312,890 | |||
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 22,599,906 | 22,283 | 28,334 | 522 | 294,281 | 22,945,325 | ||||||||
VALORES EN COBRANZA | 61,757 | 12,434 | 78,602 | 42,595 | 55,966 | 66,265 | 117,888 | 949 | 29,424 | 465,880 | |||||
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 19,462 | 19,462 | |||||||||||||
GARANTÍAS RECIBIDAS | 24,343,657 | 20,108,113 | 35,726,287 | 21,543,926 | 15,121,473 | 11,352,950 | 11,523,072 | 7,708,331 | 350,048 | 561,282 | 16,668,699 | 3,223,114 | 12,266,956 | 10,977,909 | 191,475,816 |
CUENTAS DE REGISTRO | 5,262,863 | 4,073,589 | 5,628,053 | 6,051,620 | 15,996,318 | 4,008,991 | 2,964,075 | 1,652,893 | 588,139 | 152,692 | 1,077,310 | 319,492 | 1,728,132 | 1,798,099 | 51,302,265 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 56,917 | 243,800 | 153,802 | 581,809 | 306,498 | 18,733 | 38,928 | 11,928 | 1,043 | 6,797 | 1,691 | 7,104 | 9,762 | 1,438,811 | |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 4,419,088 | 0 | 3,181 | 4,422,269 | |||||||||||
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 56,917 | 243,800 | 153,802 | 581,809 | 306,498 | 18,733 | 38,928 | 11,928 | 1,043 | 6,797 | 1,691 | 7,104 | 9,762 | 1,438,811 | |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 4,419,088 | 3,181 | 4,422,269 | ||||||||||||
(+) INGRESOS FINANCIEROS | 1,054,181 | 1,170,763 | 1,133,289 | 869,270 | 812,398 | 427,671 | 572,713 | 1,323,142 | 9,135 | 16,916 | 1,123,932 | 227,246 | 718,766 | 807,293 | 10,266,714 |
(-) GASTOS FINANCIEROS | -264,436 | -194,034 | -303,565 | -140,306 | -190,845 | -129,167 | -139,642 | -268,545 | -535 | -1,368 | -246,867 | -51,413 | -226,574 | -161,524 | -2,318,820 |
(=)RESULTADO FINANCIERO BRUTO | 789,745 | 976,730 | 829,724 | 728,964 | 621,553 | 298,504 | 433,071 | 1,054,597 | 8,600 | 15,547 | 877,065 | 175,834 | 492,191 | 645,769 | 7,947,894 |
(+) OTROS INGRESOS OPERATIVOS | 370,527 | 446,760 | 406,408 | 517,410 | 230,285 | 208,918 | 117,681 | 37,220 | 5,618 | 13,344 | 59,173 | 24,783 | 169,001 | 56,810 | 2,663,937 |
(-) OTROS GASTOS OPERATIVOS | -149,660 | -96,241 | -222,912 | -164,144 | -117,678 | -111,551 | -36,860 | -21,115 | -826 | -6,222 | -23,892 | -7,734 | -35,814 | -5,554 | -1,000,202 |
(=)RESULTADO DE OPERACIÓN BRUTO | 1,010,611 | 1,327,248 | 1,013,220 | 1,082,230 | 734,160 | 395,871 | 513,892 | 1,070,702 | 13,393 | 22,669 | 912,346 | 192,883 | 625,378 | 697,025 | 9,611,629 |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 153,005 | 211,066 | 111,358 | 347,393 | 137,786 | 15,683 | 62,100 | 32,797 | 1,605 | 8,447 | 368,426 | 21,041 | 255,595 | 45,882 | 1,772,184 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -209,915 | -298,711 | -228,212 | -376,359 | -206,405 | -29,749 | -105,300 | -91,456 | -1,534 | -8,064 | -401,934 | -38,945 | -335,136 | -87,169 | -2,418,888 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 953,701 | 1,239,604 | 896,366 | 1,053,264 | 665,541 | 381,805 | 470,693 | 1,012,043 | 13,464 | 23,052 | 878,837 | 174,978 | 545,837 | 655,739 | 8,964,925 |
(-) GASTOS DE ADMINISTRACIÓN | -646,383 | -1,010,115 | -715,016 | -625,098 | -470,338 | -268,027 | -343,702 | -679,213 | -13,582 | -24,217 | -684,466 | -160,128 | -424,100 | -508,522 | -6,572,908 |
(=)RESULTADO DE OPERACIÓN NETO | 307,318 | 229,489 | 181,350 | 428,166 | 195,203 | 113,778 | 126,991 | 332,830 | -118 | -1,165 | 194,371 | 14,851 | 121,737 | 147,216 | 2,392,017 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -7,211 | 64 | -183 | -36,218 | -965 | -19,880 | -61 | 7 | 7 | -85 | 306 | 223 | 7 | 6 | -63,983 |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 6,457 | -1,193 | -850 | 36,692 | 52 | 20,368 | -29 | -41 | -17 | 35 | -167 | -20 | 0 | -1 | 61,286 |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 306,565 | 228,360 | 180,317 | 428,639 | 194,291 | 114,266 | 126,901 | 332,796 | -128 | -1,215 | 194,511 | 15,053 | 121,744 | 147,221 | 2,389,320 |
(+/-) Ingresos (gastos) extraordinarios | 2,151 | 1,806 | 87 | 1,121 | 576 | 7,484 | 1 | 4,504 | 227 | 17,958 | |||||
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 308,716 | 228,360 | 182,123 | 428,727 | 195,412 | 114,266 | 127,476 | 340,280 | -128 | -1,214 | 199,015 | 15,053 | 121,744 | 147,448 | 2,407,279 |
(+/-) Ingresos (gastos) de gestiones anteriores | 215 | 1,287 | 7,964 | 1,904 | 2,385 | 1,901 | -61 | 1,253 | -351 | -9,367 | 448 | 522 | 1,098 | 9,197 | |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 308,930 | 229,647 | 190,087 | 430,631 | 197,797 | 114,266 | 129,377 | 340,220 | 1,125 | -1,565 | 189,648 | 15,502 | 122,266 | 148,547 | 2,416,476 |
(+/-) Ajuste contable por efecto de la inflación | |||||||||||||||
(=)RESULTADO ANTES DE IMPUESTOS | 308,930 | 229,647 | 190,087 | 430,631 | 197,797 | 114,266 | 129,377 | 340,220 | 1,125 | -1,565 | 189,648 | 15,502 | 122,266 | 148,547 | 2,416,476 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -87,848 | -85,377 | -39,500 | -97,687 | -58,199 | -40,859 | -46,819 | -116,031 | -61,725 | -884 | -2,178 | -49,568 | -686,674 | ||
(=)RESULTADO NETO DE LA GESTIÓN | 221,082 | 144,270 | 150,587 | 332,943 | 139,598 | 73,407 | 82,559 | 224,189 | 1,125 | -1,565 | 127,923 | 14,618 | 120,088 | 98,978 | 1,729,802 |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2016) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BDB | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES |
ACTIVO | 20,002,316 | 27,365,450 | 22,931,130 | 16,423,462 | 14,471,060 | 8,785,488 | 7,782,029 | 9,975,215 | 205,953 | 420,309 | 9,896,620 | 2,509,768 | 10,684,493 | 7,078,518 | 158,531,813 |
DISPONIBILIDADES | 3,740,255 | 11,139,401 | 2,563,972 | 3,178,197 | 2,192,684 | 1,308,838 | 964,373 | 312,753 | 73,134 | 145,240 | 897,816 | 332,219 | 611,507 | 475,427 | 27,935,817 |
INVERSIONES TEMPORARIAS | 3,606,636 | 4,686,951 | 5,479,544 | 2,855,625 | 2,665,343 | 1,183,935 | 994,077 | 1,253,407 | 26,088 | 20,747 | 792,918 | 323,031 | 1,230,154 | 618,655 | 25,737,111 |
CARTERA | 11,607,637 | 10,467,015 | 13,761,485 | 8,987,427 | 9,336,295 | 6,014,274 | 5,583,282 | 7,932,674 | 103,144 | 220,364 | 7,912,756 | 1,782,625 | 7,526,509 | 5,671,260 | 96,906,747 |
CARTERA VIGENTE TOTAL | 11,603,012 | 10,483,873 | 13,746,866 | 9,017,361 | 9,370,859 | 5,964,712 | 5,610,867 | 8,007,778 | 102,890 | 218,986 | 8,030,151 | 1,766,564 | 7,490,911 | 5,711,778 | 97,126,609 |
CARTERA VIGENTE | 11,539,056 | 10,264,762 | 13,652,492 | 8,874,177 | 9,329,893 | 5,846,982 | 5,441,909 | 7,974,559 | 102,890 | 218,986 | 7,989,696 | 1,729,526 | 7,471,183 | 5,664,500 | 96,100,613 |
CARTERA REPROGRAMADA VIGENTE | 63,957 | 218,733 | 94,373 | 143,184 | 40,954 | 117,729 | 168,957 | 33,219 | 40,455 | 37,037 | 19,336 | 46,384 | 1,024,318 | ||
CARTERA REESTRUCTURADA VIGENTE | 378 | 11 | 393 | 895 | 1,678 | ||||||||||
CARTERA VENCIDA TOTAL | 116,058 | 57,639 | 48,708 | 53,678 | 54,372 | 31,214 | 25,800 | 40,340 | 76,253 | 7,729 | 9,642 | 33,315 | 554,748 | ||
CARTERA VENCIDA | 100,217 | 54,162 | 46,752 | 44,011 | 53,141 | 25,444 | 22,012 | 39,795 | 72,749 | 6,170 | 9,588 | 31,458 | 505,498 | ||
CARTERA REPROGRAMADA VENCIDA | 15,841 | 3,429 | 1,957 | 9,667 | 1,231 | 5,770 | 3,787 | 544 | 3,504 | 1,559 | 54 | 1,408 | 48,752 | ||
CARTERA REESTRUCTURADA VENCIDA | 49 | 449 | 498 | ||||||||||||
CARTERA EJECUCIÓN TOTAL | 89,014 | 123,659 | 228,299 | 171,493 | 98,295 | 61,605 | 64,689 | 40,712 | 274 | 54,107 | 35,433 | 10,039 | 36,033 | 1,013,652 | |
CARTERA EN EJECUCIÓN | 70,519 | 89,083 | 166,133 | 140,973 | 92,858 | 44,060 | 59,326 | 40,143 | 50,132 | 33,482 | 10,039 | 33,124 | 829,872 | ||
CARTERA REPROGRAMADA EJECUCIÓN | 18,495 | 34,201 | 41,600 | 30,520 | 5,437 | 17,546 | 5,362 | 569 | 274 | 3,975 | 1,951 | 2,909 | 162,840 | ||
CARTERA REESTRUCTURADA EN EJECUCIÓN | 375 | 20,565 | 20,940 | ||||||||||||
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 78,952 | 93,806 | 87,370 | 87,472 | 72,816 | 50,237 | 52,625 | 89,644 | 1,179 | 2,520 | 79,562 | 17,927 | 81,298 | 73,066 | 868,474 |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -279,400 | -291,962 | -349,758 | -342,576 | -260,047 | -93,494 | -170,697 | -245,801 | -1,199 | -1,143 | -327,318 | -45,027 | -65,381 | -182,933 | -2,656,736 |
OTRAS CUENTAS POR COBRAR | 101,785 | 101,802 | 270,659 | 99,571 | 143,216 | 62,913 | 87,162 | 66,520 | 383 | 1,105 | 63,910 | 8,820 | 30,926 | 39,381 | 1,078,155 |
BIENES REALIZABLES | 1,896 | 48 | 9,867 | 1,993 | 287 | 2,793 | 774 | 4 | 1,359 | 70 | 107 | 19,197 | |||
INVERSIONES PERMANENTES | 576,106 | 596,208 | 458,098 | 908,540 | 23,087 | 12,342 | 6,146 | 257,547 | 274 | 28,885 | 65,392 | 27,454 | 996,422 | 197,398 | 4,153,899 |
BIENES DE USO | 341,631 | 356,285 | 329,029 | 332,002 | 84,159 | 178,782 | 108,634 | 133,193 | 1,772 | 3,640 | 97,327 | 28,936 | 214,711 | 60,465 | 2,270,565 |
OTROS ACTIVOS | 26,371 | 17,740 | 58,476 | 60,108 | 25,989 | 21,610 | 37,580 | 19,117 | 1,158 | 328 | 66,500 | 5,323 | 74,194 | 15,826 | 430,321 |
PASIVO | 18,683,977 | 25,996,410 | 21,365,405 | 14,786,075 | 13,329,779 | 8,253,439 | 7,304,610 | 9,001,303 | 108,385 | 228,219 | 9,099,374 | 2,285,554 | 9,732,735 | 6,476,751 | 146,652,015 |
OBLIGACIONES CON EL PÚBLICO | 17,224,854 | 20,933,546 | 18,420,418 | 13,259,130 | 11,930,710 | 6,953,668 | 6,396,293 | 6,915,488 | 63,358 | 124,214 | 7,403,365 | 2,157,663 | 8,781,168 | 5,807,235 | 126,371,110 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 5,378,286 | 4,203,111 | 4,501,773 | 4,766,143 | 3,803,222 | 1,825,423 | 1,313,136 | 9,459 | 31,364 | 109,919 | 1,704 | 353,849 | 1,515,631 | 40,072 | 27,853,092 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 5,413,097 | 12,531,108 | 6,964,140 | 3,962,831 | 3,178,267 | 1,796,327 | 1,540,785 | 2,188,342 | 22,950 | 8,075 | 2,795,173 | 480,917 | 2,656,200 | 1,731,392 | 45,269,606 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 138,127 | 46,070 | 208,449 | 76,045 | 35,386 | 1,270,461 | 38,139 | 35,640 | 2,882 | 381 | 28,042 | 53,233 | 330,101 | 38,674 | 2,301,631 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 881,872 | 529,372 | 316,969 | 609,068 | 588,523 | 125,485 | 87,918 | 19,925 | 6,132 | 5,715 | 67,208 | 115,107 | 835,882 | 46,859 | 4,236,035 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 5,012,031 | 3,364,479 | 6,089,236 | 3,479,870 | 4,083,296 | 1,744,878 | 3,171,503 | 4,304,860 | 124 | 4,270,560 | 1,059,586 | 3,133,334 | 3,657,860 | 43,371,618 | |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 401,440 | 259,406 | 339,851 | 365,171 | 242,015 | 191,094 | 244,812 | 357,261 | 31 | 240,679 | 94,971 | 310,020 | 292,378 | 3,339,129 | |
OBLIGACIONES CON INSTITUCIONES FISCALES | 11,781 | 168,330 | 16,629 | 20,073 | 589 | 784 | 3,752 | 4,429 | 6 | 3 | 5,735 | 232,111 | |||
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 8,818 | 3,495,304 | 918,018 | 165,679 | 609,523 | 197,171 | 37,590 | 90,211 | 24,599 | 5,546,911 | |||||
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 248,300 | 869,661 | 892,289 | 290,624 | 106,061 | 689,999 | 420,724 | 739,257 | 38,364 | 90,894 | 379,540 | 42,638 | 687,094 | 308,346 | 5,803,792 |
OTRAS CUENTAS POR PAGAR | 486,501 | 340,111 | 293,624 | 514,687 | 279,304 | 172,479 | 177,512 | 280,157 | 3,070 | 6,299 | 277,379 | 28,740 | 112,440 | 160,519 | 3,132,821 |
PREVISIONES | 171,985 | 189,458 | 136,983 | 257,083 | 189,756 | 91,212 | 80,410 | 178,653 | 3,593 | 6,811 | 202,252 | 19,794 | 95,596 | 170,318 | 1,793,906 |
VALORES EN CIRCULACIÓN | 274,726 | 514,777 | 682,672 | 573,167 | 2,045,342 | ||||||||||
OBLIGACIONES SUBORDINADAS | 257,012 | 172,668 | 278,799 | 213,836 | 148,909 | 191,296 | 201,324 | 169,031 | 36,713 | 56,434 | 1,726,021 | ||||
PATRIMONIO | 1,318,340 | 1,369,041 | 1,565,725 | 1,637,387 | 1,141,281 | 532,049 | 477,419 | 973,912 | 97,569 | 192,091 | 797,246 | 224,213 | 951,758 | 601,767 | 11,879,798 |
CAPITAL SOCIAL | 1,057,261 | 1,145,008 | 731,879 | 1,215,537 | 294,660 | 393,588 | 348,993 | 626,134 | 95,490 | 151,816 | 423,929 | 195,124 | 808,144 | 428,774 | 7,916,337 |
APORTES NO CAPITALIZADOS | 20,717 | 385,462 | 8 | 51,280 | 17,660 | 1,690 | 8,485 | 116 | 1,906 | 140 | 5,530 | 492,992 | |||
AJUSTES AL PATRIMONIO | |||||||||||||||
RESERVAS | 200,482 | 74,085 | 287,496 | 380,771 | 695,524 | 58,109 | 75,623 | 108,529 | 11,996 | 33,923 | 235,986 | 10,987 | 125,011 | 59,067 | 2,357,590 |
RESULTADOS ACUMULADOS | 39,879 | 149,948 | 160,887 | 41,079 | 151,088 | 29,072 | 35,143 | 237,560 | -9,917 | -2,133 | 137,215 | 16,197 | 18,464 | 108,397 | 1,112,880 |
Utilidades (pérdidas) acumuladas | 20,865 | 144,270 | 150,586 | 28,933 | 139,598 | 24,599 | 27,680 | 224,189 | -9,805 | -1,565 | 127,923 | 14,618 | 15,349 | 98,979 | 1,006,220 |
Utilidades (pérdidas) del periodo o gestión | 19,014 | 5,678 | 10,301 | 12,146 | 11,490 | 4,474 | 7,462 | 13,371 | -112 | -568 | 9,292 | 1,579 | 3,115 | 9,418 | 106,659 |
PASIVO + PATRIMONIO | 20,002,316 | 27,365,450 | 22,931,130 | 16,423,462 | 14,471,060 | 8,785,488 | 7,782,029 | 9,975,215 | 205,953 | 420,309 | 9,896,620 | 2,509,768 | 10,684,493 | 7,078,518 | 158,531,813 |
CUENTAS CONTINGENTES DEUDORAS | 3,731,940 | 1,369,442 | 3,301,282 | 5,668,496 | 2,616,676 | 592,673 | 230,350 | 847 | 89,966 | 224,362 | 47,504 | 215,937 | 266,357 | 122,698 | 18,478,530 |
CARTAS DE CRÉDITO | 261,239 | 86,855 | 138,346 | 289,298 | 86,374 | 48,371 | 4,211 | 7,736 | 1,003 | 923,433 | |||||
GARANTÍAS OTORGADAS | 3,245,273 | 1,239,135 | 2,956,185 | 5,159,924 | 2,338,020 | 443,266 | 144,439 | 847 | 89,966 | 215,940 | 47,504 | 208,339 | 245,209 | 13,438 | 16,347,488 |
DOCUMENTOS DESCONTADOS | |||||||||||||||
LÍNEAS DE CRÉDITO COMPROMETIDAS | 225,428 | 43,451 | 197,324 | 216,930 | 146,074 | 101,035 | 81,700 | 686 | 7,598 | 12,906 | 109,260 | 1,142,392 | |||
OTRAS CONTINGENCIAS | 9,428 | 2,343 | 46,207 | 7,239 | 65,217 | ||||||||||
CUENTAS DE ORDEN DEUDORAS | 30,537,859 | 52,436,464 | 41,756,809 | 28,527,334 | 31,667,158 | 15,962,093 | 14,927,530 | 9,408,255 | 1,001,331 | 776,788 | 17,807,261 | 3,839,205 | 21,895,161 | 12,937,210 | 283,480,459 |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 397,895 | 1,626,913 | 22,752 | 577 | 17,071 | 39,746 | 5,234 | 422 | 16,825 | 206,084 | 7,332,773 | 9,666,292 | |||
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 22,615,041 | 21,625 | 28,334 | 524 | 290,194 | 22,955,717 | |||||||||
VALORES EN COBRANZA | 48,257 | 7,351 | 76,529 | 43,807 | 42,932 | 57,801 | 116,610 | 2,324 | 22,473 | 1,008 | 419,092 | ||||
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 19,482 | 19,482 | |||||||||||||
GARANTÍAS RECIBIDAS | 24,666,370 | 20,012,531 | 35,812,009 | 21,573,919 | 15,444,819 | 11,584,652 | 11,678,648 | 7,732,645 | 348,570 | 600,224 | 16,710,167 | 3,278,377 | 12,709,191 | 10,810,686 | 192,962,808 |
CUENTAS DE REGISTRO | 5,370,293 | 4,170,573 | 5,656,001 | 6,670,800 | 15,853,237 | 4,259,184 | 3,086,330 | 1,663,181 | 605,278 | 153,049 | 1,090,310 | 352,537 | 1,842,554 | 1,826,704 | 52,600,031 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 55,043 | 239,648 | 167,894 | 238,231 | 306,028 | 20,710 | 40,707 | 12,008 | 1,043 | 6,785 | 1,682 | 9,634 | 9,626 | 1,109,040 | |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 3,744,925 | 3,072 | 3,747,997 | ||||||||||||
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 55,043 | 239,648 | 167,894 | 238,231 | 306,028 | 20,710 | 40,707 | 12,008 | 1,043 | 6,785 | 1,682 | 9,634 | 9,626 | 1,109,040 | |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 3,744,925 | 3,072 | 3,747,997 | ||||||||||||
(+) INGRESOS FINANCIEROS | 90,934 | 100,060 | 98,452 | 78,396 | 72,933 | 39,821 | 49,516 | 112,281 | 598 | 1,284 | 97,929 | 19,750 | 54,552 | 70,030 | 886,537 |
(-) GASTOS FINANCIEROS | -22,127 | -17,739 | -27,574 | -13,319 | -16,091 | -11,770 | -11,403 | -23,468 | -48 | -111 | -23,300 | -5,088 | -19,291 | -14,208 | -205,535 |
(=)RESULTADO FINANCIERO BRUTO | 68,807 | 82,321 | 70,878 | 65,077 | 56,842 | 28,051 | 38,113 | 88,814 | 551 | 1,174 | 74,629 | 14,663 | 35,261 | 55,822 | 681,003 |
(+) OTROS INGRESOS OPERATIVOS | 34,020 | 31,846 | 34,035 | 42,760 | 18,607 | 22,541 | 10,677 | 2,404 | 420 | 794 | 4,367 | 1,711 | 13,464 | 4,714 | 222,360 |
(-) OTROS GASTOS OPERATIVOS | -16,810 | -11,449 | -19,973 | -23,660 | -13,565 | -14,792 | -4,701 | -2,838 | -61 | -305 | -1,521 | -941 | -6,761 | -571 | -117,948 |
(=)RESULTADO DE OPERACIÓN BRUTO | 86,017 | 102,718 | 84,940 | 84,178 | 61,884 | 35,800 | 44,089 | 88,380 | 909 | 1,662 | 77,475 | 15,433 | 41,965 | 59,965 | 785,414 |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 12,283 | 15,354 | 2,839 | 18,170 | 8,637 | 1,201 | 3,798 | 2,539 | 141 | 302 | 21,196 | 1,020 | 20,893 | 4,103 | 112,474 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -18,698 | -19,553 | -7,723 | -27,824 | -19,035 | -12,895 | -6,937 | -5,567 | 0 | -620 | -25,994 | -2,587 | -21,618 | -6,358 | -175,409 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 79,602 | 98,519 | 80,057 | 74,523 | 51,486 | 24,106 | 40,950 | 85,352 | 1,050 | 1,343 | 72,677 | 13,866 | 41,240 | 57,711 | 722,479 |
(-) GASTOS DE ADMINISTRACIÓN | -54,503 | -90,958 | -65,544 | -50,037 | -39,858 | -22,068 | -28,880 | -62,324 | -1,170 | -2,010 | -59,515 | -12,310 | -38,125 | -45,878 | -573,181 |
(=)RESULTADO DE OPERACIÓN NETO | 25,098 | 7,561 | 14,513 | 24,486 | 11,627 | 2,038 | 12,070 | 23,027 | -120 | -667 | 13,162 | 1,555 | 3,114 | 11,833 | 149,298 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 325 | 10 | 60 | -13,704 | 3 | -1,237 | 17 | -44 | 20 | 16 | -14,534 | ||||
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -220 | -109 | -61 | 13,850 | -3 | 766 | -2 | -2 | 30 | -9 | -1 | 14,238 | |||
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 25,203 | 7,462 | 14,512 | 24,632 | 11,628 | 1,567 | 12,085 | 23,026 | -121 | -681 | 13,173 | 1,570 | 3,115 | 11,833 | 149,002 |
(+/-) Ingresos (gastos) extraordinarios | 165 | 135 | 80 | 6,864 | 4 | 636 | 7,885 | ||||||||
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 25,368 | 7,462 | 14,647 | 24,712 | 18,492 | 1,567 | 12,089 | 23,661 | -121 | -681 | 13,173 | 1,570 | 3,115 | 11,833 | 156,887 |
(+/-) Ingresos (gastos) de gestiones anteriores | 1,758 | 1,723 | -23 | 3,504 | 674 | 8 | 114 | 26 | 9 | -15 | 7,779 | ||||
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 25,368 | 7,462 | 16,406 | 26,434 | 18,469 | 5,071 | 12,764 | 23,661 | -112 | -568 | 13,199 | 1,579 | 3,115 | 11,818 | 164,666 |
(+/-) Ajuste contable por efecto de la inflación | |||||||||||||||
(=)RESULTADO ANTES DE IMPUESTOS | 25,368 | 7,462 | 16,406 | 26,434 | 18,469 | 5,071 | 12,764 | 23,661 | -112 | -568 | 13,199 | 1,579 | 3,115 | 11,818 | 164,666 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -6,355 | -1,784 | -6,105 | -14,288 | -6,979 | -597 | -5,302 | -10,290 | -3,907 | -2,400 | -58,006 | ||||
(=)RESULTADO NETO DE LA GESTIÓN | 19,014 | 5,678 | 10,301 | 12,146 | 11,490 | 4,474 | 7,462 | 13,371 | -112 | -568 | 9,292 | 1,579 | 3,115 | 9,418 | 106,659 |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2017) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BDB | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES |
ACTIVO | 25,325,902 | 26,257,175 | 34,377,292 | 20,691,942 | 19,387,326 | 11,248,468 | 10,253,532 | 12,155,655 | 226,472 | 451,601 | 12,339,902 | 3,459,595 | 15,400,481 | 8,543,735 | 200,119,078 |
DISPONIBILIDADES | 3,992,230 | 6,190,915 | 4,264,145 | 3,173,156 | 2,712,280 | 1,294,486 | 1,091,391 | 444,061 | 53,508 | 34,227 | 613,487 | 329,779 | 714,230 | 453,965 | 25,361,860 |
INVERSIONES TEMPORARIAS | 5,512,011 | 4,063,930 | 6,411,402 | 3,503,512 | 3,070,303 | 1,626,791 | 1,682,070 | 1,386,056 | 31,585 | 59,135 | 1,448,030 | 223,828 | 2,038,567 | 641,288 | 31,698,507 |
CARTERA | 14,640,417 | 14,538,916 | 21,857,899 | 12,730,297 | 13,020,363 | 7,784,432 | 7,084,656 | 9,828,344 | 133,898 | 331,294 | 9,701,377 | 2,559,177 | 11,077,411 | 7,085,326 | 132,373,807 |
CARTERA VIGENTE TOTAL | 14,665,411 | 14,566,568 | 21,757,661 | 12,826,371 | 13,005,963 | 7,730,949 | 7,114,553 | 9,915,961 | 133,496 | 329,890 | 9,810,352 | 2,536,751 | 11,003,274 | 7,113,570 | 132,510,769 |
CARTERA VIGENTE | 14,414,583 | 14,126,477 | 21,401,876 | 12,362,143 | 12,957,599 | 7,613,478 | 6,923,968 | 9,835,165 | 133,233 | 329,890 | 9,681,795 | 2,445,388 | 10,951,236 | 6,945,186 | 130,122,017 |
CARTERA REPROGRAMADA VIGENTE | 250,828 | 439,928 | 355,785 | 464,228 | 48,364 | 117,471 | 190,585 | 80,796 | 263 | 0 | 128,557 | 91,363 | 51,649 | 167,951 | 2,387,768 |
CARTERA REESTRUCTURADA VIGENTE | 0 | 163 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 389 | 432 | 984 |
CARTERA VENCIDA TOTAL | 69,919 | 35,673 | 94,091 | 72,306 | 123,501 | 18,116 | 31,372 | 32,143 | 30 | 0 | 103,083 | 8,926 | 24,080 | 29,968 | 643,208 |
CARTERA VENCIDA | 67,333 | 31,579 | 89,195 | 56,333 | 109,224 | 17,986 | 24,516 | 30,541 | 30 | 0 | 94,642 | 7,293 | 21,342 | 26,540 | 576,556 |
CARTERA REPROGRAMADA VENCIDA | 2,586 | 4,085 | 4,896 | 15,973 | 14,277 | 129 | 6,855 | 1,602 | 0 | 0 | 8,441 | 1,632 | 2,737 | 3,417 | 66,632 |
CARTERA REESTRUCTURADA VENCIDA | 0 | 8 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 12 | 20 |
CARTERA EJECUCIÓN TOTAL | 206,499 | 164,203 | 402,729 | 214,908 | 126,953 | 96,418 | 83,349 | 43,023 | 294 | 0 | 84,579 | 40,334 | 56,397 | 49,241 | 1,568,925 |
CARTERA EN EJECUCIÓN | 172,859 | 131,365 | 317,750 | 171,444 | 122,748 | 77,622 | 63,990 | 41,028 | 19 | 0 | 75,170 | 33,727 | 52,464 | 43,718 | 1,303,904 |
CARTERA REPROGRAMADA EJECUCIÓN | 33,640 | 32,637 | 64,414 | 43,464 | 4,205 | 18,797 | 19,359 | 1,995 | 274 | 0 | 9,409 | 6,607 | 3,932 | 5,522 | 244,255 |
CARTERA REESTRUCTURADA EN EJECUCIÓN | 0 | 201 | 20,565 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 20,766 |
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 99,967 | 120,663 | 135,002 | 110,525 | 96,575 | 68,546 | 66,984 | 107,901 | 906 | 1,816 | 98,148 | 26,782 | 123,395 | 95,249 | 1,152,458 |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -401,378 | -348,190 | -531,583 | -493,812 | -332,630 | -129,597 | -211,601 | -270,684 | -828 | -413 | -394,785 | -53,616 | -129,734 | -202,702 | -3,501,553 |
OTRAS CUENTAS POR COBRAR | 107,814 | 107,841 | 286,720 | 105,466 | 86,843 | 74,805 | 96,586 | 78,619 | 722 | 588 | 97,638 | 14,999 | 90,472 | 64,537 | 1,213,649 |
BIENES REALIZABLES | 4,583 | 890 | 31,121 | 8,565 | 5,859 | 10,778 | 217 | 41 | 0 | 0 | 1,209 | 2,583 | 244 | 2,324 | 68,416 |
INVERSIONES PERMANENTES | 684,155 | 877,249 | 897,531 | 770,175 | 340,138 | 204,046 | 109,453 | 250,146 | 4,106 | 24,736 | 221,174 | 278,468 | 824,294 | 227,720 | 5,713,391 |
BIENES DE USO | 353,255 | 443,660 | 387,497 | 231,604 | 119,114 | 222,388 | 125,444 | 156,195 | 1,506 | 927 | 150,942 | 26,653 | 563,354 | 56,552 | 2,839,094 |
OTROS ACTIVOS | 31,438 | 33,774 | 240,978 | 74,041 | 32,426 | 30,742 | 63,714 | 12,191 | 1,146 | 694 | 106,045 | 24,108 | 91,908 | 12,024 | 755,229 |
PASIVO | 23,675,920 | 24,409,818 | 32,387,853 | 19,199,155 | 18,071,763 | 10,555,024 | 9,627,167 | 10,828,082 | 128,169 | 258,012 | 11,391,071 | 3,204,220 | 14,328,041 | 7,797,449 | 185,861,744 |
OBLIGACIONES CON EL PÚBLICO | 21,067,665 | 16,649,221 | 28,383,505 | 16,906,855 | 15,669,678 | 8,695,001 | 8,203,039 | 7,788,149 | 67,803 | 95,300 | 8,571,110 | 2,752,464 | 12,439,630 | 6,857,811 | 154,147,230 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 5,601,128 | 4,022,128 | 5,553,267 | 4,887,719 | 3,652,193 | 2,189,833 | 1,285,123 | 11,797 | 39,721 | 17,933 | 180,879 | 532,731 | 1,786,716 | 44,285 | 29,805,454 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 7,249,649 | 7,786,295 | 9,695,196 | 4,449,820 | 3,827,891 | 2,098,191 | 1,763,928 | 2,610,831 | 19,797 | 4,113 | 3,607,047 | 477,599 | 2,333,224 | 1,996,777 | 47,920,359 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 43,643 | 33,832 | 87,029 | 40,098 | 18,361 | 4,747 | 22,136 | 5,847 | 3,949 | 56 | 8,854 | 4,944 | 320,013 | 14,518 | 608,029 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 783,692 | 616,274 | 442,726 | 1,004,436 | 396,811 | 299,706 | 127,668 | 27,500 | 4,325 | 1,872 | 55,183 | 255,558 | 995,234 | 59,434 | 5,070,420 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 6,802,126 | 3,808,636 | 11,943,666 | 5,930,757 | 7,315,303 | 3,751,479 | 4,597,529 | 4,612,656 | 0 | 70,580 | 4,374,183 | 1,328,458 | 6,401,939 | 4,282,178 | 65,219,490 |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 587,426 | 382,057 | 661,622 | 594,023 | 459,119 | 351,045 | 406,654 | 519,518 | 11 | 746 | 344,964 | 153,173 | 602,503 | 460,619 | 5,523,478 |
OBLIGACIONES CON INSTITUCIONES FISCALES | 5,829 | 58,968 | 9,125 | 2,616 | 2,187 | 0 | 789 | 10,797 | 0 | 0 | 6,575 | 20 | 17 | 4,884 | 101,807 |
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 4,283 | 4,948,378 | 1,282,656 | 230,181 | 464,295 | 192,053 | 37,445 | 30,813 | 0 | 0 | 65,380 | 0 | 191,352 | 34,259 | 7,481,096 |
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 961,837 | 2,088,035 | 727,491 | 895,201 | 1,166,487 | 1,123,557 | 877,957 | 1,620,085 | 53,783 | 149,152 | 1,261,502 | 244,281 | 1,234,216 | 463,977 | 12,867,562 |
OTRAS CUENTAS POR PAGAR | 392,496 | 425,531 | 479,349 | 452,940 | 353,120 | 230,683 | 215,294 | 341,285 | 3,121 | 4,716 | 304,375 | 58,644 | 273,405 | 243,704 | 3,778,661 |
PREVISIONES | 218,332 | 239,685 | 192,394 | 290,106 | 205,411 | 100,884 | 86,152 | 163,705 | 3,461 | 8,844 | 189,557 | 31,710 | 114,614 | 192,813 | 2,037,669 |
VALORES EN CIRCULACIÓN | 515,857 | 0 | 860,026 | 0 | 0 | 0 | 0 | 680,622 | 0 | 0 | 738,700 | 35,251 | 0 | 0 | 2,830,457 |
OBLIGACIONES SUBORDINADAS | 509,621 | 0 | 453,306 | 421,256 | 210,585 | 212,846 | 206,491 | 192,624 | 0 | 0 | 253,873 | 81,850 | 74,808 | 0 | 2,617,261 |
PATRIMONIO | 1,649,983 | 1,847,356 | 1,989,439 | 1,492,787 | 1,315,563 | 693,444 | 626,364 | 1,327,573 | 98,303 | 193,589 | 948,831 | 255,375 | 1,072,440 | 746,286 | 14,257,335 |
CAPITAL SOCIAL | 1,057,261 | 1,565,114 | 1,315,406 | 857,807 | 902,280 | 489,467 | 452,173 | 900,718 | 95,490 | 151,816 | 511,751 | 202,361 | 970,068 | 545,512 | 10,017,223 |
APORTES NO CAPITALIZADOS | 97,085 | 0 | 28,588 | 28,946 | 8 | 1 | 0 | 1,690 | 0 | 8,485 | 116 | 807 | 140 | 5,530 | 171,395 |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
RESERVAS | 257,961 | 107,526 | 329,728 | 261,206 | 245,380 | 68,073 | 73,271 | 153,431 | 12,012 | 34,134 | 335,885 | 14,766 | 43,597 | 78,572 | 2,015,543 |
RESULTADOS ACUMULADOS | 237,675 | 174,717 | 315,717 | 344,828 | 167,895 | 135,904 | 100,920 | 271,735 | -9,199 | -845 | 101,079 | 37,440 | 58,635 | 116,673 | 2,053,174 |
Utilidades (pérdidas) acumuladas | 290 | 0 | 0 | 0 | 0 | 32,094 | 9 | 0 | -9,660 | 0 | 0 | 9,734 | 0 | 2 | 32,468 |
Utilidades (pérdidas) del periodo o gestión | 237,386 | 174,717 | 315,717 | 344,828 | 167,895 | 103,810 | 100,911 | 271,735 | 461 | -845 | 101,079 | 27,706 | 58,635 | 116,671 | 2,020,706 |
PASIVO + PATRIMONIO | 25,325,902 | 26,257,175 | 34,377,292 | 20,691,942 | 19,387,326 | 11,248,468 | 10,253,532 | 12,155,655 | 226,472 | 451,601 | 12,339,902 | 3,459,595 | 15,400,481 | 8,543,735 | 200,119,078 |
CUENTAS CONTINGENTES DEUDORAS | 4,487,317 | 1,456,490 | 3,184,105 | 6,938,425 | 3,060,669 | 447,788 | 385,106 | 900 | 52,791 | 306,385 | 42,297 | 480,287 | 361,984 | 138,897 | 21,343,440 |
CARTAS DE CRÉDITO | 227,931 | 82,621 | 137,529 | 228,968 | 256,408 | 37,388 | 11,028 | 0 | 351 | 0 | 0 | 0 | 325 | 0 | 982,548 |
GARANTÍAS OTORGADAS | 3,987,731 | 1,320,815 | 2,769,538 | 6,422,221 | 2,593,868 | 293,873 | 231,227 | 900 | 52,440 | 305,356 | 42,297 | 457,942 | 285,749 | 25,430 | 18,789,386 |
DOCUMENTOS DESCONTADOS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
LÍNEAS DE CRÉDITO COMPROMETIDAS | 271,655 | 53,054 | 200,215 | 285,030 | 184,523 | 116,528 | 138,392 | 0 | 0 | 1,029 | 0 | 22,345 | 65,289 | 113,467 | 1,451,527 |
OTRAS CONTINGENCIAS | 0 | 0 | 76,823 | 2,206 | 25,870 | 0 | 4,459 | 0 | 0 | 0 | 0 | 0 | 10,621 | 0 | 119,979 |
CUENTAS DE ORDEN DEUDORAS | 36,851,602 | 57,048,944 | 80,234,914 | 35,425,114 | 42,271,545 | 18,927,260 | 17,340,328 | 10,005,483 | 1,003,905 | 1,299,657 | 27,538,396 | 5,309,299 | 36,432,518 | 12,712,497 | 382,401,462 |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 259,260 | 867,310 | 29,489 | 38 | 18,867 | 9,347 | 1 | 58 | 16,825 | 0 | 0 | 0 | 14,210,177 | 0 | 15,411,372 |
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 19,327,393 | 5,751 | 0 | 147 | 0 | 0 | 0 | 23,754 | 0 | 0 | 470 | 0 | 300,880 | 19,658,396 |
VALORES EN COBRANZA | 34,617 | 2,305 | 83,178 | 37,148 | 56,097 | 35,551 | 58,695 | 0 | 541 | 6,582 | 0 | 390 | 3,204 | 0 | 318,309 |
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
GARANTÍAS RECIBIDAS | 29,928,493 | 26,700,378 | 71,059,575 | 27,431,370 | 21,577,726 | 14,160,978 | 13,962,411 | 8,083,070 | 346,976 | 879,904 | 26,235,989 | 4,775,289 | 20,059,845 | 10,501,391 | 275,703,394 |
CUENTAS DE REGISTRO | 6,157,091 | 4,732,428 | 8,768,090 | 7,360,181 | 20,180,148 | 4,646,226 | 3,228,453 | 1,811,304 | 615,809 | 406,360 | 1,165,956 | 504,754 | 2,099,934 | 1,881,560 | 63,558,294 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 472,140 | 310,347 | 288,830 | 596,378 | 436,482 | 75,158 | 90,768 | 111,051 | 0 | 6,811 | 136,452 | 28,397 | 59,357 | 28,667 | 2,640,837 |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 5,108,782 | 0 | 0 | 2,078 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 5,110,860 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 472,140 | 310,347 | 288,830 | 596,378 | 436,482 | 75,158 | 90,768 | 111,051 | 0 | 6,811 | 136,452 | 28,397 | 59,357 | 28,667 | 2,640,837 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 5,108,782 | 0 | 0 | 2,078 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 5,110,860 |
(+) INGRESOS FINANCIEROS | 1,252,890 | 1,381,571 | 1,851,867 | 1,100,959 | 1,137,249 | 560,166 | 670,356 | 1,480,559 | 8,960 | 22,739 | 1,254,272 | 286,398 | 974,554 | 969,283 | 12,951,823 |
(-) GASTOS FINANCIEROS | -351,834 | -224,475 | -516,324 | -225,209 | -318,649 | -195,428 | -182,282 | -294,511 | -557 | -3,943 | -288,987 | -70,803 | -401,733 | -189,522 | -3,264,258 |
(=)RESULTADO FINANCIERO BRUTO | 901,056 | 1,157,095 | 1,335,543 | 875,750 | 818,601 | 364,737 | 488,074 | 1,186,048 | 8,403 | 18,795 | 965,285 | 215,594 | 572,822 | 779,761 | 9,687,565 |
(+) OTROS INGRESOS OPERATIVOS | 498,340 | 567,499 | 571,119 | 898,734 | 481,137 | 422,846 | 155,747 | 50,723 | 7,474 | 9,682 | 84,661 | 26,380 | 199,488 | 71,282 | 4,045,111 |
(-) OTROS GASTOS OPERATIVOS | -302,050 | -211,993 | -400,036 | -469,642 | -356,803 | -285,745 | -86,557 | -16,549 | -3,254 | -6,190 | -40,360 | -18,208 | -72,190 | -12,931 | -2,282,509 |
(=)RESULTADO DE OPERACIÓN BRUTO | 1,097,346 | 1,512,601 | 1,506,625 | 1,304,842 | 942,935 | 501,838 | 557,265 | 1,220,223 | 12,622 | 22,287 | 1,009,585 | 223,767 | 700,120 | 838,112 | 11,450,167 |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 306,012 | 248,689 | 365,964 | 277,893 | 110,745 | 18,687 | 72,623 | 75,079 | 2,128 | 10,416 | 295,032 | 26,109 | 416,213 | 52,429 | 2,278,021 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -439,500 | -414,955 | -485,709 | -444,595 | -294,400 | -63,074 | -110,835 | -123,554 | -1,714 | -11,265 | -412,620 | -48,417 | -511,912 | -104,005 | -3,466,555 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 963,857 | 1,346,335 | 1,386,881 | 1,138,141 | 759,280 | 457,451 | 519,053 | 1,171,748 | 13,036 | 21,438 | 891,998 | 201,459 | 604,421 | 786,536 | 10,261,634 |
(-) GASTOS DE ADMINISTRACIÓN | -624,937 | -1,050,697 | -907,203 | -673,969 | -518,732 | -272,453 | -344,519 | -705,530 | -12,628 | -22,188 | -714,572 | -153,363 | -544,186 | -562,227 | -7,107,205 |
(=)RESULTADO DE OPERACIÓN NETO | 338,921 | 295,638 | 479,678 | 464,172 | 240,548 | 184,998 | 174,535 | 466,218 | 408 | -750 | 177,425 | 48,095 | 60,235 | 224,309 | 3,154,428 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 6,963 | 37 | 1,944 | 141,391 | -218 | 81,176 | 694 | 3 | 28 | 1 | 301 | 8 | 1 | 0 | 232,328 |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -7,549 | -192 | -2,392 | -141,220 | -78 | -81,145 | -16 | -14 | 0 | 5 | -97 | -7 | 0 | 0 | -232,706 |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 338,335 | 295,484 | 479,231 | 464,342 | 240,252 | 185,029 | 175,212 | 466,206 | 436 | -744 | 177,630 | 48,096 | 60,235 | 224,309 | 3,154,051 |
(+/-) Ingresos (gastos) extraordinarios | 4,442 | 0 | 14,342 | 1,205 | 5,481 | 2 | 1,411 | 5,671 | 0 | 3 | 5,649 | 0 | 0 | 42 | 38,247 |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 342,776 | 295,484 | 493,573 | 465,547 | 245,732 | 185,031 | 176,623 | 471,877 | 436 | -741 | 183,278 | 48,096 | 60,235 | 224,350 | 3,192,298 |
(+/-) Ingresos (gastos) de gestiones anteriores | -990 | 10,827 | 6,211 | 2,379 | 1,787 | 0 | 1,277 | -218 | 25 | -104 | -2,516 | -713 | -1,600 | -6,157 | 10,209 |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 341,787 | 306,311 | 499,784 | 467,926 | 247,520 | 185,031 | 177,899 | 471,659 | 461 | -845 | 180,763 | 47,382 | 58,635 | 218,194 | 3,202,506 |
(+/-) Ajuste contable por efecto de la inflación | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
(=)RESULTADO ANTES DE IMPUESTOS | 341,787 | 306,311 | 499,784 | 467,926 | 247,520 | 185,031 | 177,899 | 471,659 | 461 | -845 | 180,763 | 47,382 | 58,635 | 218,194 | 3,202,506 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -104,401 | -131,594 | -184,066 | -123,099 | -79,625 | -81,221 | -76,989 | -199,924 | 0 | 0 | -79,684 | -19,676 | 0 | -101,522 | -1,181,801 |
(=)RESULTADO NETO DE LA GESTIÓN | 237,386 | 174,717 | 315,717 | 344,828 | 167,895 | 103,810 | 100,911 | 271,735 | 461 | -845 | 101,079 | 27,706 | 58,635 | 116,671 | 2,020,706 |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2018) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BDB | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES |
ACTIVO | 264,297,907 | 302,013,817 | 357,535,378 | 213,734,155 | 203,774,896 | 122,600,639 | 105,382,994 | 135,488,942 | 2,119,700 | 5,398,511 | 142,063,811 | 36,480,363 | 157,830,169 | 92,864,323 | 2,141,585,607 |
DISPONIBILIDADES | 29,584,339 | 75,957,172 | 34,352,149 | 23,238,654 | 25,686,803 | 9,912,709 | 10,840,399 | 6,223,370 | 471,859 | 456,186 | 9,333,317 | 3,049,546 | 7,361,166 | 4,635,727 | 241,103,395 |
INVERSIONES TEMPORARIAS | 45,825,048 | 45,418,896 | 59,028,957 | 31,083,893 | 28,656,978 | 13,645,769 | 12,205,962 | 15,388,496 | 305,924 | 329,928 | 15,164,965 | 2,567,814 | 14,576,955 | 4,916,277 | 289,115,864 |
CARTERA | 173,464,546 | 165,852,312 | 236,448,057 | 147,011,095 | 143,863,802 | 88,644,428 | 77,702,329 | 109,554,665 | 1,265,633 | 4,268,559 | 111,399,247 | 28,037,341 | 116,826,789 | 79,516,300 | 1,483,855,102 |
CARTERA VIGENTE | 169,599,286 | 160,856,700 | 231,337,805 | 136,904,213 | 143,152,873 | 84,975,501 | 75,614,484 | 109,562,276 | 1,252,986 | 4,253,209 | 110,336,013 | 26,772,031 | 114,381,371 | 77,535,384 | 1,446,534,130 |
CARTERA REPROGRAMADA VIGENTE | 3,362,868 | 5,263,015 | 4,258,588 | 10,804,878 | 503,831 | 2,843,000 | 2,285,911 | 1,001,045 | 4,080 | 0 | 2,209,783 | 1,107,970 | 1,699,525 | 2,342,352 | 37,686,846 |
CARTERA REESTRUCTURADA VIGENTE | 129,876 | 149,103 | 48,780 | 21,744 | 76,073 | 50,914 | 66,170 | 20,442 | 0 | 0 | 174,173 | 8,264 | 17,785 | 60,894 | 824,219 |
CARTERA VENCIDA | 928,386 | 396,366 | 1,043,005 | 433,242 | 1,147,074 | 282,564 | 245,903 | 268,880 | 290 | 0 | 706,239 | 39,724 | 171,438 | 254,926 | 5,918,037 |
CARTERA EN EJECUCIÓN | 2,128,643 | 1,638,973 | 3,949,187 | 1,939,051 | 1,522,903 | 893,861 | 647,214 | 386,616 | 775 | 0 | 790,257 | 301,347 | 610,974 | 395,120 | 15,204,922 |
CARTERA REESTRUCTURADA EN EJECUCIÓN | 405,989 | 468,361 | 890,578 | 706,870 | 39,506 | 115,152 | 300,484 | 26,879 | 2,744 | 0 | 94,418 | 45,728 | 93,204 | 93,183 | 3,283,096 |
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 1,065,666 | 1,375,359 | 1,416,464 | 1,315,520 | 1,018,641 | 813,451 | 729,819 | 1,188,697 | 9,112 | 23,531 | 1,107,522 | 257,419 | 1,326,361 | 1,082,075 | 12,729,639 |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -4,156,167 | -4,295,566 | -6,496,349 | -5,114,424 | -3,597,099 | -1,330,016 | -2,187,656 | -2,900,170 | -4,354 | -8,181 | -4,019,158 | -495,142 | -1,473,869 | -2,247,634 | -38,325,786 |
OTRAS CUENTAS POR COBRAR | 1,194,122 | 1,079,789 | 1,362,783 | 1,054,796 | 950,751 | 609,790 | 1,174,907 | 856,099 | 5,095 | 799 | 806,957 | 179,070 | 639,900 | 632,670 | 10,547,526 |
BIENES REALIZABLES | 87,379 | 9,315 | 778,952 | 187,788 | 93,332 | 122,408 | 147,029 | 0 | 0 | 0 | 575 | 37,074 | 24,128 | 20,569 | 1,508,549 |
INVERSIONES PERMANENTES | 10,393,277 | 8,894,611 | 18,583,848 | 7,456,225 | 2,113,454 | 6,274,106 | 1,458,153 | 1,496,588 | 46,322 | 330,972 | 2,554,448 | 2,181,099 | 8,417,563 | 2,522,418 | 72,723,084 |
BIENES DE USO | 3,514,412 | 4,301,328 | 3,576,642 | 2,081,463 | 2,004,696 | 2,987,162 | 1,363,574 | 1,843,860 | 13,960 | 6,964 | 1,959,735 | 389,366 | 8,959,822 | 520,643 | 33,523,627 |
OTROS ACTIVOS | 234,784 | 500,394 | 3,403,989 | 668,984 | 405,080 | 404,268 | 490,641 | 125,864 | 10,907 | 5,104 | 844,568 | 39,053 | 1,023,846 | 99,718 | 8,257,200 |
PASIVO | 246,770,102 | 281,619,419 | 337,764,962 | 197,829,162 | 189,762,266 | 115,065,041 | 98,617,192 | 120,612,035 | 1,133,266 | 3,417,012 | 131,596,051 | 33,803,722 | 146,717,398 | 84,627,445 | 1,989,335,073 |
OBLIGACIONES CON EL PÚBLICO | 202,641,203 | 206,139,600 | 280,449,168 | 173,854,974 | 161,519,233 | 88,974,571 | 82,811,476 | 89,494,746 | 641,102 | 963,566 | 96,243,765 | 27,910,748 | 129,084,960 | 75,655,524 | 1,616,384,638 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 46,164,925 | 43,072,124 | 52,616,601 | 43,223,821 | 32,552,225 | 18,452,344 | 13,753,497 | 37,547 | 348,510 | 204,241 | 5,090,446 | 4,751,955 | 24,471,898 | 532,335 | 285,272,468 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 67,953,490 | 98,288,276 | 101,473,945 | 43,702,013 | 44,583,611 | 21,785,165 | 17,656,705 | 30,911,937 | 176,640 | 24,926 | 39,191,488 | 4,597,724 | 20,438,221 | 22,576,078 | 513,360,220 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 356,596 | 65,615 | 567,003 | 209,485 | 68,266 | 28,219 | 160,212 | 40,094 | 69,960 | 559 | 38,201 | 38,621 | 3,134,004 | 89,000 | 4,865,836 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 6,134,602 | 4,620,744 | 5,249,764 | 5,381,664 | 4,331,426 | 4,259,905 | 1,459,085 | 973,042 | 45,835 | 19,097 | 696,089 | 1,599,346 | 1,768,222 | 620,606 | 37,159,428 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 74,983,054 | 55,305,404 | 113,647,527 | 73,258,462 | 73,350,014 | 39,855,955 | 44,829,221 | 51,569,441 | 0 | 705,800 | 47,575,540 | 15,092,267 | 70,798,393 | 46,583,227 | 707,554,305 |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 7,048,537 | 4,787,438 | 6,894,328 | 8,079,528 | 6,633,690 | 4,592,983 | 4,952,756 | 5,962,686 | 157 | 8,943 | 3,652,001 | 1,830,834 | 8,474,221 | 5,254,277 | 68,172,380 |
OBLIGACIONES CON INSTITUCIONES FISCALES | 100,509 | 892,784 | 140,415 | 193,085 | 14,954 | 0 | 4,727 | 1,571 | 0 | 0 | 43,782 | 721 | 277 | 50,389 | 1,443,213 |
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 12,847,970 | 19,230,547 | 25,793,712 | 9,708,328 | 11,960,525 | 16,551,548 | 10,203,812 | 18,330,529 | 442,255 | 2,291,617 | 18,177,541 | 3,277,547 | 11,263,860 | 4,595,313 | 164,675,102 |
OTRAS CUENTAS POR PAGAR | 4,214,313 | 4,534,723 | 3,578,640 | 3,952,996 | 3,131,204 | 2,150,551 | 2,334,245 | 3,582,957 | 26,267 | 60,865 | 2,849,878 | 646,467 | 2,809,551 | 2,233,599 | 36,106,257 |
PREVISIONES | 2,357,542 | 2,812,903 | 1,988,711 | 3,203,411 | 1,799,191 | 1,099,005 | 905,976 | 1,491,509 | 23,641 | 100,964 | 2,094,049 | 356,302 | 1,275,743 | 2,039,587 | 21,548,535 |
VALORES EN CIRCULACIÓN | 4,133,042 | 0 | 7,336,682 | 0 | 0 | 1,705,716 | 0 | 5,073,333 | 0 | 0 | 8,625,598 | 176,306 | 0 | 0 | 27,050,676 |
OBLIGACIONES SUBORDINADAS | 4,389,094 | 0 | 4,248,990 | 4,165,503 | 2,107,454 | 2,058,906 | 2,243,469 | 2,637,389 | 0 | 0 | 2,328,515 | 819,309 | 494,052 | 0 | 25,492,682 |
PATRIMONIO | 17,527,806 | 20,394,397 | 19,770,416 | 15,904,994 | 14,012,631 | 7,535,598 | 6,765,803 | 14,876,907 | 986,434 | 1,981,499 | 10,467,760 | 2,676,640 | 11,112,772 | 8,236,878 | 152,250,534 |
CAPITAL SOCIAL | 12,570,236 | 17,118,758 | 14,424,952 | 10,315,637 | 9,022,800 | 5,275,970 | 5,060,630 | 10,365,851 | 954,900 | 1,518,157 | 5,480,806 | 2,023,612 | 10,029,540 | 6,141,377 | 110,303,226 |
APORTES NO CAPITALIZADOS | 704,152 | 0 | 285,833 | 90 | 80 | 70,005 | 25 | 16,895 | 0 | 84,855 | 1,160 | 8,074 | 1,396 | 55,295 | 1,227,861 |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
RESERVAS | 2,035,614 | 1,249,976 | 3,613,002 | 2,956,967 | 3,293,282 | 784,638 | 833,625 | 1,806,045 | 120,581 | 332,884 | 3,770,210 | 175,370 | 494,606 | 902,388 | 22,369,189 |
RESULTADOS ACUMULADOS | 2,217,804 | 2,025,663 | 1,446,628 | 2,632,300 | 1,696,469 | 1,404,984 | 871,523 | 2,688,116 | -89,047 | 45,604 | 1,215,584 | 469,585 | 587,230 | 1,137,817 | 18,350,259 |
Utilidades (pérdidas) acumuladas | 2,898 | 0 | 0 | 0 | 0 | 462,938 | 118 | 0 | 0 | 0 | 0 | 213,701 | 0 | 15 | 679,671 |
Utilidades (pérdidas) del periodo o gestión | 2,214,906 | 2,025,663 | 1,446,628 | 2,632,300 | 1,696,469 | 942,046 | 871,404 | 2,688,116 | 3,403 | 45,604 | 1,215,584 | 255,884 | 587,230 | 1,137,801 | 17,763,038 |
PASIVO + PATRIMONIO | 264,297,907 | 302,013,817 | 357,535,378 | 213,734,155 | 203,774,896 | 122,600,639 | 105,382,994 | 135,488,942 | 2,119,700 | 5,398,511 | 142,063,811 | 36,480,363 | 157,830,169 | 92,864,323 | 2,141,585,607 |
CUENTAS CONTINGENTES DEUDORAS | 40,125,969 | 11,774,996 | 26,004,122 | 66,841,086 | 41,605,887 | 4,883,920 | 3,564,679 | 5,077 | 376,566 | 3,242,251 | 414,617 | 4,905,620 | 4,098,593 | 1,494,700 | 209,338,084 |
CARTAS DE CRÉDITO | 1,656,963 | 354,531 | 986,851 | 3,670,287 | 10,586,952 | 504,101 | 310,929 | 0 | 0 | 243,889 | 0 | 0 | 0 | 0 | 18,314,503 |
GARANTÍAS OTORGADAS | 35,682,263 | 10,866,132 | 22,272,391 | 60,328,966 | 28,657,454 | 3,166,398 | 1,654,845 | 5,077 | 376,566 | 2,998,362 | 411,154 | 4,625,242 | 3,175,565 | 232,947 | 174,453,363 |
DOCUMENTOS DESCONTADOS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
LÍNEAS DE CRÉDITO COMPROMETIDAS | 2,786,743 | 554,333 | 2,266,503 | 2,813,530 | 2,352,405 | 1,213,421 | 1,598,905 | 0 | 0 | 0 | 3,462 | 280,378 | 817,048 | 1,261,753 | 15,948,483 |
OTRAS CONTINGENCIAS | 0 | 0 | 478,376 | 28,302 | 9,077 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 105,980 | 0 | 621,735 |
CUENTAS DE ORDEN DEUDORAS | 408,948,957 | 605,443,133 | 847,323,257 | 383,009,754 | 430,939,352 | 209,307,706 | 188,872,545 | 111,779,692 | 10,932,971 | 14,761,216 | 292,156,906 | 63,709,456 | 394,496,664 | 137,207,230 | 4,098,888,838 |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 7,053,193 | 5,539,747 | 294,492 | 441 | 360,180 | 56,079 | 13 | 611 | 1 | 0 | 0 | 0 | 153,732,813 | 0 | 167,037,570 |
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 207,164,501 | 18,789 | 0 | 69,349 | 0 | 0 | 0 | 275,920 | 0 | 0 | 4,971 | 0 | 2,858,584 | 210,392,114 |
VALORES EN COBRANZA | 659,141 | 55,209 | 935,515 | 499,519 | 706,723 | 555,000 | 447,184 | 0 | 4,566 | 67,161 | 0 | 27,244 | 23,410 | 0 | 3,980,672 |
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
GARANTÍAS RECIBIDAS | 331,013,631 | 294,057,085 | 745,250,467 | 297,587,788 | 235,425,988 | 163,536,000 | 155,063,478 | 86,963,177 | 3,514,069 | 11,039,395 | 275,186,501 | 54,925,431 | 219,638,417 | 113,806,985 | 2,987,008,411 |
CUENTAS DE REGISTRO | 65,660,739 | 45,344,105 | 96,773,726 | 77,381,406 | 191,178,089 | 44,270,790 | 32,200,812 | 21,699,271 | 7,138,416 | 3,599,089 | 15,623,307 | 7,217,676 | 20,515,005 | 19,773,889 | 648,376,321 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 4,562,254 | 2,907,674 | 4,050,267 | 7,540,600 | 3,179,327 | 889,836 | 1,161,058 | 3,116,634 | 0 | 55,571 | 1,347,097 | 1,534,135 | 587,019 | 767,771 | 31,699,244 |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 50,374,811 | 0 | 0 | 19,694 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 50,394,505 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 4,562,254 | 2,907,674 | 4,050,267 | 7,540,600 | 3,179,327 | 889,836 | 1,161,058 | 3,116,634 | 0 | 55,571 | 1,347,097 | 1,534,135 | 587,019 | 767,771 | 31,699,244 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 50,374,811 | 0 | 0 | 19,694 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 50,394,505 |
(+) INGRESOS FINANCIEROS | 13,721,378 | 15,522,374 | 20,086,633 | 12,958,080 | 12,806,417 | 6,475,660 | 7,163,241 | 16,204,739 | 80,856 | 290,915 | 13,401,985 | 2,986,734 | 11,300,819 | 10,412,576 | 143,412,409 |
(-) GASTOS FINANCIEROS | 4,841,983 | 3,279,921 | 6,755,130 | 3,123,593 | 4,549,324 | 2,640,512 | 2,288,300 | 3,443,532 | 11,571 | 81,732 | 3,614,615 | 880,642 | 4,913,124 | 2,174,893 | 42,598,872 |
(=)RESULTADO FINANCIERO BRUTO | 8,879,395 | 12,242,453 | 13,331,502 | 9,834,487 | 8,257,094 | 3,835,148 | 4,874,941 | 12,761,207 | 69,285 | 209,183 | 9,787,370 | 2,106,092 | 6,387,695 | 8,237,684 | 100,813,536 |
(+) OTROS INGRESOS OPERATIVOS | 5,566,288 | 5,345,656 | 5,822,872 | 6,095,058 | 4,764,688 | 4,536,229 | 2,186,014 | 567,239 | 93,637 | 63,317 | 1,204,329 | 409,904 | 1,459,414 | 796,557 | 38,911,204 |
(-) OTROS GASTOS OPERATIVOS | 3,777,197 | 2,006,726 | 4,890,436 | 3,585,508 | 3,908,101 | 3,411,982 | 1,406,539 | 205,071 | 42,705 | 22,795 | 661,826 | 243,280 | 576,997 | 162,576 | 24,901,740 |
(=)RESULTADO DE OPERACIÓN BRUTO | 10,668,486 | 15,581,384 | 14,263,939 | 12,344,037 | 9,113,681 | 4,959,395 | 5,654,416 | 13,123,375 | 120,217 | 249,705 | 10,329,873 | 2,272,717 | 7,270,112 | 8,871,665 | 114,823,000 |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 2,414,597 | 3,067,886 | 1,663,170 | 3,067,259 | 1,356,203 | 157,618 | 729,399 | 629,418 | 26,357 | 151,566 | 2,628,101 | 328,259 | 5,251,271 | 728,854 | 22,199,957 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | 3,251,034 | 4,493,273 | 3,809,488 | 4,406,184 | 2,898,229 | 437,331 | 1,170,585 | 1,213,299 | 9,391 | 173,778 | 3,619,520 | 523,388 | 5,899,643 | 1,362,263 | 33,267,405 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 9,832,049 | 14,155,996 | 12,117,621 | 11,005,111 | 7,571,655 | 4,679,682 | 5,213,231 | 12,539,495 | 137,183 | 227,493 | 9,338,454 | 2,077,588 | 6,621,740 | 8,238,255 | 103,755,553 |
(-) GASTOS DE ADMINISTRACIÓN | 6,389,252 | 11,236,123 | 10,026,746 | 7,103,004 | 5,620,813 | 3,055,027 | 3,697,674 | 7,762,848 | 133,719 | 182,784 | 7,093,944 | 1,639,626 | 6,021,734 | 6,105,360 | 76,068,655 |
(=)RESULTADO DE OPERACIÓN NETO | 3,442,796 | 2,919,873 | 2,090,875 | 3,902,107 | 1,950,842 | 1,624,655 | 1,515,557 | 4,776,646 | 3,464 | 44,709 | 2,244,511 | 437,962 | 600,006 | 2,132,895 | 27,686,898 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -4,348 | 973 | -12,509 | -174,521 | -3,329 | 51,990 | 1,682 | 26 | -148 | -14 | 3,301 | 48 | 6 | -12,250 | -149,094 |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -14,489 | 1,575 | 6,634 | -170,315 | 579 | 51,282 | 3,823 | 93 | -8 | 115 | 526 | 53 | 0 | 3 | -120,128 |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 3,452,937 | 2,919,271 | 2,071,731 | 3,897,901 | 1,946,934 | 1,625,363 | 1,513,416 | 4,776,579 | 3,324 | 44,581 | 2,247,286 | 437,956 | 600,012 | 2,120,642 | 27,657,932 |
(+/-) Ingresos (gastos) extraordinarios | 44,879 | 0 | 67,371 | 11,358 | 379,544 | 29 | 14,573 | 42,712 | 0 | 0 | 54,395 | 0 | 9,590 | 3,859 | 628,309 |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 3,497,816 | 2,919,271 | 2,139,102 | 3,909,259 | 2,324,660 | 1,625,391 | 1,527,934 | 4,819,292 | 3,324 | 44,581 | 2,301,681 | 437,956 | 609,602 | 2,124,501 | 28,284,369 |
(+/-) Ingresos (gastos) de gestiones anteriores | 0 | 92,956 | 213,322 | 246,935 | 39,663 | 0 | 893 | 0 | 79 | 1,398 | 6,091 | 1,640 | 4,133 | 9,538 | 616,649 |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 3,494,407 | 3,011,924 | 2,240,156 | 4,087,359 | 2,355,804 | 1,625,391 | 1,515,096 | 4,819,292 | 3,403 | 45,604 | 2,297,617 | 437,405 | 609,360 | 2,133,094 | 28,675,911 |
(+/-) Ajuste contable por efecto de la inflación | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
(=)RESULTADO ANTES DE IMPUESTOS | 3,494,407 | 3,011,924 | 2,240,156 | 4,087,359 | 2,355,804 | 1,625,391 | 1,515,096 | 4,819,292 | 3,403 | 45,604 | 2,297,617 | 437,405 | 609,360 | 2,133,094 | 28,675,911 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | 1,279,502 | 986,261 | 793,528 | 1,455,059 | 659,336 | 683,345 | 643,691 | 2,131,176 | 0 | 0 | 1,082,032 | 181,522 | 22,130 | 995,292 | 10,912,873 |
(=)RESULTADO NETO DE LA GESTIÓN | 2,214,906 | 2,025,663 | 1,446,628 | 2,632,300 | 1,696,469 | 942,046 | 871,404 | 2,688,116 | 3,403 | 45,604 | 1,215,584 | 255,884 | 587,230 | 1,137,801 | 17,763,038 |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2019) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BDB | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES |
ACTIVO | 28,067,116 | 29,405,491 | 37,217,702 | 23,671,675 | 21,743,543 | 13,446,211 | 11,107,876 | 14,417,612 | 194,803 | 277,305 | 15,302,837 | 3,912,357 | 18,455,684 | 9,049,784 | 226,269,995 |
DISPONIBILIDADES | 3,472,627 | 4,886,714 | 3,447,335 | 2,990,815 | 2,573,122 | 973,783 | 1,169,392 | 535,147 | 57,130 | 169,389 | 913,463 | 276,079 | 723,489 | 708,192 | 22,896,678 |
INVERSIONES TEMPORARIAS | 3,817,180 | 3,601,044 | 5,032,597 | 2,890,882 | 2,616,735 | 1,290,835 | 987,566 | 1,841,478 | 8,286 | 20,460 | 1,674,429 | 310,001 | 1,483,072 | 1,269 | 25,575,836 |
CARTERA | 18,700,889 | 18,052,213 | 24,862,895 | 15,587,462 | 15,422,137 | 9,733,880 | 8,316,735 | 11,583,158 | 118,199 | 81,555 | 12,034,450 | 3,031,630 | 13,760,530 | 8,183,426 | 159,469,160 |
CARTERA VIGENTE TOTAL | 18,628,239 | 18,000,191 | 24,760,705 | 15,607,742 | 15,366,387 | 9,635,314 | 8,318,955 | 11,682,864 | 116,670 | 71,350 | 12,134,001 | 3,025,965 | 13,694,949 | 8,222,974 | 159,266,306 |
CARTERA VENCIDA TOTAL | 105,224 | 79,301 | 95,120 | 37,304 | 125,326 | 26,476 | 35,032 | 41,129 | 880 | 9,428 | 80,705 | 4,430 | 13,890 | 22,863 | 677,106 |
CARTERA EN EJECUCIÓN TOTAL | 251,270 | 309,328 | 601,727 | 375,960 | 150,438 | 145,483 | 100,683 | 43,760 | 464 | 0 | 95,269 | 37,752 | 46,563 | 22,863 | 2,219,458 |
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 121,742 | 159,961 | 149,044 | 138,201 | 131,083 | 89,342 | 89,913 | 121,528 | 1,043 | 863 | 126,989 | 28,423 | 156,564 | 117,035 | 1,431,732 |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -405,586 | -496,568 | -743,700 | -571,744 | -351,097 | -162,736 | -227,848 | -306,122 | -858 | -86 | -402,514 | -64,940 | -151,436 | -240,207 | -4,125,443 |
OTRAS CUENTAS POR COBRAR | 131,664 | 117,918 | 139,936 | 120,112 | 89,454 | 77,189 | 100,539 | 103,239 | 591 | 40 | 81,125 | 12,570 | 116,719 | 64,169 | 1,155,265 |
BIENES REALIZABLES | 10,058 | 1,481 | 47,871 | 16,697 | 12,902 | 11,270 | 4,378 | 0 | 0 | 0 | 2,654 | 2,134 | 40 | 2,613 | 112,099 |
INVERSIONES PERMANENTES | 1,561,763 | 2,279,969 | 3,123,174 | 1,461,843 | 856,713 | 969,606 | 291,744 | 140,697 | 8,526 | 5,057 | 320,647 | 236,650 | 977,560 | 31,648 | 12,265,598 |
BIENES DE USO | 344,823 | 427,935 | 331,438 | 520,084 | 138,822 | 317,043 | 183,328 | 206,386 | 1,167 | 477 | 211,900 | 38,973 | 1,237,358 | 48,078 | 4,007,811 |
OTROS ACTIVOS | 28,112 | 38,216 | 232,456 | 83,778 | 33,658 | 72,604 | 54,195 | 7,506 | 903 | 326 | 64,170 | 4,320 | 156,915 | 10,389 | 787,548 |
PASIVO | 26,171,786 | 27,112,889 | 35,088,328 | 21,970,986 | 20,233,465 | 12,628,618 | 10,371,930 | 12,700,367 | 98,445 | 72,774 | 14,117,952 | 3,614,999 | 17,322,120 | 8,104,661 | 209,609,322 |
OBLIGACIONES CON EL PÚBLICO | 20,007,768 | 18,313,557 | 26,341,693 | 18,327,042 | 15,265,523 | 9,315,133 | 8,364,578 | 8,390,565 | 71,570 | 62,165 | 9,200,398 | 3,001,108 | 14,127,394 | 6,621,167 | 157,409,599 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 4,241,397 | 2,949,791 | 4,719,963 | 4,216,961 | 3,003,586 | 1,579,214 | 1,060,864 | 7,899 | 38,972 | 5,668 | 455,434 | 321,734 | 2,599,330 | 21,095 | 25,221,909 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 6,724,824 | 8,125,321 | 9,086,440 | 4,409,240 | 4,346,949 | 2,101,124 | 1,552,489 | 2,993,118 | 19,878 | 1,191 | 3,781,579 | 398,345 | 2,288,815 | 1,878,970 | 47,708,282 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 34,500 | 5,078 | 32,492 | 11,113 | 4,638 | 2,496 | 5,100 | 3,244 | 8,028 | 0 | 2,134 | 2,691 | 171,432 | 3,027 | 285,971 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 567,190 | 1,066,154 | 544,114 | 432,706 | 478,013 | 173,037 | 125,666 | 60,888 | 4,574 | 4,557 | 64,412 | 57,369 | 316,052 | 57,386 | 3,952,117 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 7,607,767 | 5,576,185 | 11,166,024 | 8,234,782 | 6,670,244 | 4,909,975 | 4,989,532 | 4,687,869 | 0 | 50,000 | 4,541,825 | 2,015,601 | 7,760,237 | 4,087,296 | 72,297,337 |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 832,090 | 591,028 | 792,661 | 1,022,240 | 762,094 | 549,286 | 630,927 | 637,547 | 118 | 750 | 355,014 | 205,331 | 991,503 | 573,394 | 7,943,982 |
OBLIGACIONES CON INSTITUCIONES FISCALES | 5,786 | 85,629 | 14,705 | 7,819 | 1,662 | 0 | 482 | 8,155 | 0 | 0 | 4,458 | 38 | 25 | 848 | 129,607 |
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 2,624,836 | 4,006,046 | 2,663,967 | 495,210 | 1,918,963 | 346,205 | 5,926 | 619,250 | 0 | 0 | 1,017,286 | 48,561 | 767,413 | 378,357 | 14,892,021 |
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 1,920,418 | 3,895,736 | 4,233,002 | 2,061,393 | 2,286,904 | 2,180,011 | 1,499,939 | 2,233,019 | 22,099 | 0 | 2,290,926 | 396,388 | 1,693,190 | 577,997 | 25,291,022 |
OTRAS CUENTAS POR PAGAR | 416,199 | 515,844 | 435,081 | 393,596 | 347,688 | 233,695 | 215,107 | 450,251 | 2,332 | 8,435 | 346,375 | 48,647 | 373,303 | 310,557 | 4,097,111 |
PREVISIONES | 251,718 | 296,077 | 190,372 | 331,625 | 201,819 | 112,971 | 99,541 | 156,591 | 2,445 | 2,174 | 228,061 | 38,299 | 282,405 | 215,734 | 2,409,830 |
VALORES EN CIRCULACIÓN | 413,501 | 0 | 813,090 | 0 | 0 | 170,661 | 0 | 507,649 | 0 | 0 | 728,763 | 0 | 0 | 0 | 2,633,663 |
OBLIGACIONES SUBORDINADAS | 531,561 | 0 | 396,418 | 354,301 | 210,906 | 269,941 | 186,357 | 334,887 | 0 | 0 | 301,686 | 81,997 | 78,415 | 0 | 2,746,469 |
PATRIMONIO | 1,895,330 | 2,292,601 | 2,129,374 | 1,700,689 | 1,510,078 | 817,593 | 735,945 | 1,717,245 | 96,358 | 204,531 | 1,184,885 | 297,358 | 1,133,563 | 945,123 | 16,660,673 |
CAPITAL SOCIAL | 1,366,039 | 1,882,032 | 1,503,427 | 1,142,109 | 902,280 | 565,283 | 551,823 | 1,173,207 | 95,490 | 151,816 | 582,276 | 230,710 | 1,057,681 | 680,130 | 11,884,303 |
APORTES NO CAPITALIZADOS | 74,535 | 0 | 28,583 | 15 | 8 | 7,001 | 0 | 1,690 | 0 | 8,485 | 8,691 | 458 | 140 | 5,530 | 135,135 |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
RESERVAS | 201,171 | 145,254 | 375,767 | 322,025 | 414,152 | 87,885 | 92,077 | 207,486 | 12,092 | 37,575 | 428,093 | 20,096 | 55,333 | 101,617 | 2,500,624 |
RESULTADOS ACUMULADOS | 253,585 | 265,316 | 221,597 | 236,540 | 193,638 | 157,424 | 92,046 | 334,863 | -11,224 | 6,655 | 165,825 | 46,093 | 20,410 | 157,846 | 2,140,612 |
Utilidades (pérdidas) acumuladas | 290 | 0 | 0 | 0 | 0 | 46,294 | 12 | 0 | -8,939 | 0 | 0 | 33,327 | 0 | 1 | 70,985 |
Utilidades (pérdidas) del periodo o gestión | 253,295 | 265,316 | 221,597 | 236,540 | 193,638 | 111,130 | 92,033 | 334,863 | -2,285 | 6,655 | 165,825 | 12,767 | 20,410 | 157,845 | 2,069,627 |
PASIVO + PATRIMONIO | 28,067,116 | 29,405,491 | 37,217,702 | 23,671,675 | 21,743,543 | 13,446,211 | 11,107,876 | 14,417,612 | 194,803 | 277,305 | 15,302,837 | 3,912,357 | 18,455,684 | 9,049,784 | 226,269,995 |
CUENTAS CONTINGENTES DEUDORAS | 3,576,077 | 1,100,235 | 2,637,177 | 6,548,528 | 4,237,002 | 307,907 | 495,943 | 841 | 23,947 | 2,839 | 86,448 | 524,620 | 424,260 | 211,383 | 20,177,208 |
CARTAS DE CRÉDITO | 153,949 | 53,515 | 122,615 | 229,718 | 1,067,199 | 34,168 | 14,044 | 0 | 0 | 0 | 0 | 0 | 8,842 | 0 | 1,684,051 |
GARANTÍAS OTORGADAS | 3,055,756 | 989,866 | 2,245,984 | 6,004,643 | 2,904,521 | 152,947 | 289,784 | 841 | 23,947 | 2,839 | 83,581 | 495,935 | 307,149 | 33,479 | 16,591,273 |
DOCUMENTOS DESCONTADOS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
LÍNEAS DE CRÉDITO COMPROMETIDAS | 366,372 | 56,853 | 257,816 | 311,670 | 264,284 | 120,793 | 182,168 | 0 | 0 | 0 | 2,866 | 28,685 | 97,671 | 177,904 | 1,867,083 |
OTRAS CONTINGENCIAS | 0 | 0 | 10,761 | 2,497 | 998 | 0 | 9,947 | 0 | 0 | 0 | 0 | 0 | 10,598 | 0 | 34,801 |
CUENTAS DE ORDEN DEUDORAS | 44,363,916 | 61,874,415 | 66,867,687 | 39,776,295 | 46,138,220 | 21,723,924 | 18,533,608 | 12,128,424 | 991,201 | 222,019 | 23,489,326 | 9,002,542 | 45,292,051 | 14,241,249 | 404,644,877 |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 1,715,421 | 1,076,462 | 29,451 | 49 | 36,019 | 5,118 | 1 | 65 | 0 | 0 | 0 | 0 | 17,810,618 | 0 | 20,673,205 |
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 19,053,149 | 594 | 0 | 18,464 | 0 | 0 | 0 | 13,205 | 0 | 0 | 524 | 0 | 226,830 | 19,312,766 |
VALORES EN COBRANZA | 45,923 | 6,945 | 105,352 | 15,446 | 38,446 | 36,783 | 44,382 | 0 | 568 | 0 | 0 | 589 | 2,679 | 0 | 297,113 |
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 0 | 12,417 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 12,417 |
GARANTÍAS RECIBIDAS | 34,295,689 | 31,386,011 | 55,670,596 | 30,661,229 | 24,947,608 | 17,478,397 | 16,558,122 | 9,328,392 | 309,026 | 159,493 | 21,999,328 | 7,870,804 | 24,798,572 | 12,016,353 | 287,479,621 |
CUENTAS DE REGISTRO | 7,916,328 | 4,918,487 | 10,559,906 | 8,155,126 | 20,591,514 | 4,085,915 | 1,821,348 | 2,434,279 | 668,402 | 58,174 | 1,353,044 | 910,098 | 2,621,972 | 1,925,795 | 68,020,389 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 390,556 | 351,725 | 501,788 | 944,444 | 504,199 | 117,711 | 109,754 | 365,688 | 0 | 4,352 | 136,955 | 220,526 | 58,210 | 72,270 | 3,778,178 |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 5,069,219 | 0 | 0 | 1,969 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 5,071,188 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 390,556 | 351,725 | 501,788 | 944,444 | 504,199 | 117,711 | 109,754 | 365,688 | 0 | 4,352 | 136,955 | 220,526 | 58,210 | 72,270 | 3,778,178 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 5,069,219 | 0 | 0 | 1,969 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 5,071,188 |
(+) INGRESOS FINANCIEROS | 1,510,876 | 1,749,006 | 2,125,560 | 1,397,373 | 1,369,212 | 731,469 | 756,549 | 1,770,304 | 7,577 | 26,059 | 1,454,631 | 314,100 | 1,156,223 | 1,130,191 | 15,499,130 |
(-) GASTOS FINANCIEROS | -524,282 | -376,060 | -763,965 | -391,337 | -506,736 | -303,245 | -264,720 | -396,196 | -597 | -7,644 | -440,756 | -111,125 | -566,007 | -238,563 | -4,891,234 |
(=)RESULTADO FINANCIERO BRUTO | 986,594 | 1,372,946 | 1,361,595 | 1,006,036 | 862,476 | 428,225 | 491,828 | 1,374,108 | 6,980 | 18,415 | 1,013,875 | 202,975 | 590,216 | 891,627 | 10,607,896 |
(+) OTROS INGRESOS OPERATIVOS | 568,641 | 672,863 | 708,235 | 645,684 | 541,443 | 495,109 | 168,890 | 77,551 | 8,135 | 4,744 | 164,743 | 53,647 | 188,546 | 82,202 | 4,380,432 |
(-) OTROS GASTOS OPERATIVOS | -436,409 | -321,430 | -591,270 | -382,966 | -485,567 | -364,179 | -93,681 | -20,725 | -3,278 | -1,879 | -94,926 | -28,756 | -89,680 | -12,993 | -2,927,739 |
(=)RESULTADO DE OPERACIÓN BRUTO | 1,118,826 | 1,724,379 | 1,478,560 | 1,268,754 | 918,352 | 559,155 | 567,037 | 1,430,934 | 11,837 | 21,279 | 1,083,692 | 227,866 | 689,082 | 960,836 | 12,060,589 |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 201,435 | 299,873 | 93,792 | 257,712 | 178,466 | 31,681 | 67,736 | 34,203 | 1,649 | 16,757 | 227,027 | 27,947 | 723,171 | 46,047 | 2,207,495 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -281,047 | -421,162 | -258,930 | -440,795 | -290,252 | -85,223 | -123,658 | -103,189 | -2,156 | -7,931 | -296,325 | -63,760 | -803,044 | -97,706 | -3,275,178 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 1,039,214 | 1,603,090 | 1,313,422 | 1,085,671 | 806,566 | 505,613 | 511,115 | 1,361,948 | 11,330 | 30,105 | 1,014,395 | 192,052 | 609,209 | 909,177 | 10,992,907 |
(-) GASTOS DE ADMINISTRACIÓN | -623,433 | -1,151,259 | -912,931 | -698,058 | -536,325 | -302,949 | -359,968 | -720,455 | -13,608 | -21,506 | -700,478 | -174,437 | -587,993 | -601,995 | -7,405,396 |
(=)RESULTADO DE OPERACIÓN NETO | 415,781 | 451,831 | 400,491 | 387,613 | 270,241 | 202,663 | 151,147 | 641,492 | -2,278 | 8,600 | 313,917 | 17,615 | 21,215 | 307,182 | 3,587,510 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 443 | 38 | 434 | -72,428 | 46 | -5,105 | 265 | 1 | 0 | -20 | 120 | 3 | 0 | -712 | -76,913 |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 533 | -65 | -397 | 72,354 | -3 | 5,155 | -260 | -2 | -1 | 1 | -22 | -3 | 0 | 0 | 77,291 |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 416,758 | 451,804 | 400,528 | 387,539 | 270,284 | 202,714 | 151,152 | 641,492 | -2,279 | 8,580 | 314,016 | 17,615 | 21,216 | 306,469 | 3,587,889 |
(+/-) Ingresos (gastos) extraordinarios | 3,717 | 0 | 6,153 | 1,016 | 3,418 | 0 | 3,212 | 2,549 | 0 | 0 | 4,456 | 0 | 0 | -3,927 | 20,595 |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 420,475 | 451,804 | 406,680 | 388,555 | 273,703 | 202,714 | 154,365 | 644,041 | -2,279 | 8,581 | 318,472 | 17,615 | 21,216 | 302,542 | 3,608,483 |
(+/-) Ingresos (gastos) de gestiones anteriores | -1 | -1,803 | -26,948 | 1,885 | 3,951 | 0 | 3,496 | 0 | -7 | -43 | 3,599 | -66 | 1,629 | 2,057 | -12,251 |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 420,474 | 450,001 | 379,732 | 390,439 | 277,654 | 202,714 | 157,860 | 644,041 | -2,285 | 8,538 | 322,071 | 17,549 | 22,845 | 304,600 | 3,596,232 |
(+/-) Ajuste contable por efecto de la inflación | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
(=)RESULTADO ANTES DE IMPUESTOS | 420,474 | 450,001 | 379,732 | 390,439 | 277,654 | 202,714 | 157,860 | 644,041 | -2,285 | 8,538 | 322,071 | 17,549 | 22,845 | 304,600 | 3,596,232 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -167,180 | -184,685 | -158,135 | -153,899 | -84,016 | -91,583 | -65,827 | -309,178 | 0 | -1,883 | -156,246 | -4,782 | -2,435 | -146,755 | -1,526,605 |
(=)RESULTADO NETO DE LA GESTIÓN | 253,295 | 265,316 | 221,597 | 236,540 | 193,638 | 111,130 | 92,033 | 334,863 | -2,285 | 6,655 | 165,825 | 12,767 | 20,410 | 157,845 | 2,069,627 |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2020) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES | |
ACTIVO | 30,536,611 | 37,405,808 | 39,505,831 | 26,744,741 | 23,647,838 | 14,278,045 | 11,882,423 | 15,928,324 | 222,794 | 17,472,143 | 4,263,274 | 23,823,975 | 9,121,125 | 254,832,933 | |
DISPONIBILIDADES | 4,156,242 | 9,343,322 | 4,218,452 | 2,885,460 | 3,222,806 | 1,121,870 | 1,528,196 | 973,595 | 104,861 | 1,033,740 | 315,548 | 629,520 | 710,339 | 30,243,952 | |
INVERSIONES TEMPORARIAS | 4,114,008 | 4,242,469 | 4,338,126 | 3,604,560 | 2,773,933 | 1,118,150 | 921,772 | 1,384,804 | 20,635 | 1,942,239 | 232,365 | 1,768,812 | 362 | 26,462,235 | |
CARTERA | 19,647,517 | 20,413,527 | 25,865,829 | 16,155,267 | 16,123,497 | 10,300,366 | 8,590,880 | 12,930,438 | 82,031 | 13,229,361 | 3,317,434 | 17,244,076 | 8,199,708 | 172,099,929 | |
CARTERA VIGENTE TOTAL | 19,212,321 | 19,716,434 | 25,146,741 | 15,885,323 | 15,805,138 | 9,984,092 | 8,329,562 | 12,153,022 | 81,550 | 12,766,282 | 3,171,924 | 16,716,198 | 7,704,811 | 166,673,398 | |
CARTERA VENCIDA TOTAL | 15,330 | 15,649 | 8,006 | 18,885 | 12,835 | 0 | 12,952 | 26,314 | 0 | 42,165 | 563 | 15,064 | 12,184 | 179,948 | |
CARTERA EN EJECUCIÓN TOTAL | 285,649 | 379,355 | 526,755 | 441,209 | 155,116 | 124,454 | 99,997 | 39,272 | 492 | 96,560 | 43,045 | 44,064 | 46,561 | 2,282,528 | |
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 692,136 | 922,100 | 1,038,337 | 563,771 | 615,803 | 369,112 | 385,226 | 1,126,535 | 591 | 878,872 | 182,976 | 639,982 | 705,571 | 8,121,010 | |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -557,918 | -620,010 | -854,010 | -753,922 | -465,395 | -177,292 | -236,857 | -414,705 | -602 | -554,518 | -81,074 | -171,231 | -269,420 | -5,156,954 | |
OTRAS CUENTAS POR COBRAR | 176,971 | 186,798 | 201,776 | 141,115 | 166,216 | 91,996 | 152,802 | 172,386 | 705 | 159,260 | 27,706 | 356,370 | 126,631 | 1,960,731 | |
BIENES REALIZABLES | 4,381 | 1,900 | 19,344 | 29,264 | 14,065 | 6,476 | 2,250 | 34 | 0 | 5,226 | 3,117 | 1,359 | 2,509 | 89,926 | |
INVERSIONES PERMANENTES | 2,070,529 | 2,731,237 | 4,280,379 | 3,327,269 | 1,168,024 | 1,196,480 | 451,175 | 220,336 | 12,828 | 828,347 | 313,609 | 2,187,649 | 34,152 | 18,822,016 | |
BIENES DE USO | 336,325 | 412,636 | 328,007 | 506,685 | 139,274 | 344,904 | 189,127 | 230,309 | 991 | 206,898 | 39,247 | 1,474,369 | 39,008 | 4,247,780 | |
OTROS ACTIVOS | 30,637 | 73,918 | 253,918 | 95,120 | 40,023 | 97,803 | 46,222 | 16,422 | 743 | 67,073 | 14,249 | 161,818 | 8,417 | 906,362 | |
PASIVO | 28,693,138 | 35,000,351 | 37,461,652 | 25,080,314 | 22,200,074 | 13,420,426 | 11,130,605 | 14,252,654 | 129,757 | 16,265,232 | 3,958,686 | 22,436,876 | 8,150,202 | 238,179,968 | |
OBLIGACIONES CON EL PÚBLICO | 22,062,727 | 21,763,385 | 27,891,944 | 19,216,136 | 16,877,761 | 10,137,005 | 8,812,392 | 9,735,030 | 70,175 | 10,564,591 | 3,098,648 | 16,602,840 | 6,763,236 | 173,595,870 | |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 4,463,727 | 3,943,471 | 5,082,221 | 4,270,255 | 3,529,917 | 1,916,652 | 1,251,796 | 9,770 | 32,025 | 876,781 | 262,159 | 3,272,024 | 8,299 | 28,919,097 | |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 7,034,341 | 9,883,347 | 9,639,086 | 4,587,028 | 4,696,370 | 2,267,288 | 1,565,335 | 3,356,322 | 19,540 | 3,852,639 | 330,391 | 3,400,596 | 1,848,447 | 52,480,729 | |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 49,922 | 1,146 | 26,708 | 8,166 | 2,845 | 2,028 | 4,611 | 7,566 | 10,334 | 1,488 | 1,633 | 171,837 | 2,292 | 290,575 | |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 441,475 | 696,583 | 451,491 | 364,014 | 202,567 | 134,503 | 111,386 | 69,225 | 8,198 | 66,657 | 75,350 | 468,610 | 54,737 | 3,144,797 | |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 9,062,520 | 6,550,402 | 11,837,657 | 8,734,941 | 7,507,774 | 5,104,372 | 5,115,904 | 5,596,699 | 0 | 5,387,336 | 2,229,756 | 8,068,530 | 4,184,480 | 79,380,373 | |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 1,010,741 | 688,435 | 854,781 | 1,251,733 | 938,287 | 712,163 | 763,361 | 695,448 | 78 | 379,690 | 199,359 | 1,221,243 | 664,981 | 9,380,300 | |
OBLIGACIONES CON INSTITUCIONES FISCALES | 10,271 | 134,350 | 42,844 | 6,910 | 952 | 26,414 | 110,822 | 8,331 | 0 | 4,159 | 16,863 | 14 | 549 | 362,479 | |
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 2,572,755 | 7,680,070 | 2,035,349 | 540,999 | 1,588,062 | 456,949 | 148,279 | 398,904 | 0 | 552,644 | 126,410 | 968,393 | 362,917 | 17,431,730 | |
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 2,329,849 | 4,486,631 | 5,484,247 | 4,312,573 | 2,820,614 | 1,671,170 | 1,463,555 | 2,564,034 | 55,064 | 3,561,660 | 533,553 | 3,722,048 | 444,205 | 33,449,203 | |
OTRAS CUENTAS POR PAGAR | 428,518 | 621,595 | 397,334 | 366,738 | 379,453 | 285,027 | 216,644 | 499,957 | 2,557 | 340,889 | 48,485 | 475,485 | 351,747 | 4,414,429 | |
PREVISIONES | 271,790 | 314,320 | 187,825 | 344,930 | 220,800 | 113,035 | 104,395 | 264,638 | 1,961 | 234,558 | 52,651 | 206,394 | 227,548 | 2,544,844 | |
VALORES EN CIRCULACIÓN | 563,689 | 0 | 1,092,884 | 0 | 0 | 544,783 | 129,104 | 508,122 | 0 | 738,197 | 0 | 0 | 0 | 3,576,780 | |
OBLIGACIONES SUBORDINADAS | 453,538 | 0 | 329,225 | 292,029 | 312,433 | 186,042 | 145,413 | 273,638 | 0 | 268,535 | 82,076 | 461,703 | 0 | 2,804,633 | |
PATRIMONIO | 1,843,473 | 2,405,456 | 2,044,180 | 1,664,426 | 1,447,764 | 857,619 | 751,819 | 1,675,670 | 93,037 | 1,206,911 | 304,589 | 1,387,099 | 970,923 | 16,652,965 | |
CAPITAL SOCIAL | 1,517,993 | 2,104,897 | 1,599,380 | 1,222,540 | 902,280 | 579,143 | 598,253 | 1,344,732 | 95,490 | 627,468 | 230,710 | 1,181,221 | 743,268 | 12,747,374 | |
APORTES NO CAPITALIZADOS | 0 | 0 | 1 | 15 | 8 | 82,601 | 3 | 1,690 | 0 | 8,691 | 458 | 137,113 | 5,530 | 236,108 | |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
RESERVAS | 231,567 | 177,092 | 402,358 | 350,403 | 495,480 | 101,221 | 103,121 | 247,669 | 12,092 | 496,876 | 21,628 | 57,783 | 120,558 | 2,817,848 | |
RESULTADOS ACUMULADOS | 93,913 | 123,468 | 42,440 | 91,469 | 49,996 | 94,654 | 50,442 | 81,579 | -14,545 | 73,877 | 51,792 | 10,983 | 101,567 | 851,635 | |
Utilidades (pérdidas) acumuladas | 290 | 0 | 0 | 0 | 13,719 | 12,144 | 18 | 0 | -11,224 | 3,430 | 38,433 | 0 | 2 | 56,811 | |
Utilidades (pérdidas) del periodo o gestión | 93,623 | 123,468 | 42,440 | 91,469 | 36,277 | 82,511 | 50,425 | 81,579 | -3,321 | 70,447 | 13,359 | 10,983 | 101,566 | 794,824 | |
PASIVO + PATRIMONIO | 30,536,611 | 37,405,808 | 39,505,831 | 26,744,741 | 23,647,838 | 14,278,045 | 11,882,423 | 15,928,324 | 222,794 | 17,472,143 | 4,263,274 | 23,823,975 | 9,121,125 | 254,832,933 | |
CUENTAS CONTINGENTES DEUDORAS | 2,955,995 | 824,850 | 2,018,812 | 5,624,757 | 2,832,813 | 269,632 | 534,954 | 401 | 28,633 | 136,082 | 427,926 | 373,107 | 219,758 | 16,247,720 | |
CARTAS DE CRÉDITO | 96,337 | 52,972 | 124,619 | 252,738 | 342,863 | 8,918 | 37,035 | 0 | 0 | 0 | 0 | 0 | 0 | 915,483 | |
GARANTÍAS OTORGADAS | 2,486,567 | 715,748 | 1,648,572 | 5,089,651 | 2,231,035 | 135,761 | 289,181 | 401 | 28,633 | 133,701 | 403,863 | 220,063 | 25,133 | 13,408,309 | |
DOCUMENTOS DESCONTADOS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
LÍNEAS DE CRÉDITO COMPROMETIDAS | 373,092 | 56,130 | 244,258 | 279,871 | 257,793 | 124,952 | 196,732 | 0 | 0 | 2,381 | 24,063 | 142,445 | 194,625 | 1,896,342 | |
OTRAS CONTINGENCIAS | 0 | 0 | 1,364 | 2,497 | 1,122 | 0 | 12,005 | 0 | 0 | 0 | 0 | 10,598 | 0 | 27,586 | |
CUENTAS DE ORDEN DEUDORAS | 46,014,571 | 62,514,761 | 65,697,463 | 40,263,706 | 58,547,776 | 21,675,071 | 18,635,102 | 12,565,710 | 774,001 | 23,684,534 | 9,984,298 | 51,711,440 | 13,823,415 | 425,891,847 | |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 1,744,903 | 725,221 | 29,453 | 52 | 33,961 | 2,749 | 1 | 67 | 0 | 0 | 0 | 20,459,711 | 0 | 22,996,119 | |
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 18,115,714 | 309 | 0 | 26,734 | 0 | 0 | 0 | 13,205 | 0 | 552 | 0 | 191,840 | 18,348,354 | |
VALORES EN COBRANZA | 24,261 | 2,096 | 137,224 | 8,776 | 27,153 | 29,058 | 19,872 | 0 | 188 | 0 | 274 | 984 | 0 | 249,887 | |
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 0 | 11,285 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 11,285 | |
GARANTÍAS RECIBIDAS | 34,079,053 | 32,567,936 | 54,798,513 | 30,193,652 | 24,202,298 | 17,760,187 | 16,489,506 | 9,621,320 | 205,213 | 22,199,317 | 8,557,007 | 28,439,806 | 11,440,145 | 290,553,954 | |
CUENTAS DE REGISTRO | 9,781,913 | 5,792,461 | 10,250,012 | 8,745,702 | 33,725,699 | 3,766,104 | 2,023,273 | 2,521,708 | 555,396 | 1,336,320 | 923,181 | 2,713,582 | 2,118,987 | 84,254,338 | |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 384,440 | 380,194 | 481,953 | 1,315,524 | 529,961 | 116,973 | 102,449 | 422,614 | 0 | 148,896 | 503,283 | 97,357 | 72,443 | 4,556,088 | |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 4,919,854 | 0 | 0 | 1,969 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 4,921,823 | |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 384,440 | 380,194 | 481,953 | 1,315,524 | 529,961 | 116,973 | 102,449 | 422,614 | 0 | 148,896 | 503,283 | 97,357 | 72,443 | 4,556,088 | |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 0 | 4,919,854 | 0 | 0 | 1,969 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 4,921,823 | |
(+) INGRESOS FINANCIEROS | 1,521,652 | 1,720,907 | 2,112,204 | 1,349,359 | 1,382,881 | 753,770 | 730,414 | 1,756,552 | 6,381 | 1,473,746 | 330,470 | 1,347,359 | 1,045,137 | 15,530,832 | |
(-) GASTOS FINANCIEROS | -611,283 | -464,440 | -857,934 | -451,159 | -579,345 | -356,753 | -296,654 | -446,379 | -1,010 | -512,290 | -126,722 | -711,307 | -245,338 | -5,660,614 | |
(=)RESULTADO FINANCIERO BRUTO | 910,368 | 1,256,468 | 1,254,270 | 898,200 | 803,536 | 397,017 | 433,760 | 1,310,174 | 5,371 | 961,457 | 203,748 | 636,051 | 799,799 | 9,870,217 | |
(+) OTROS INGRESOS OPERATIVOS | 460,964 | 604,466 | 529,272 | 521,992 | 423,541 | 414,362 | 157,000 | 73,540 | 5,993 | 159,494 | 43,493 | 229,111 | 65,919 | 3,689,146 | |
(-) OTROS GASTOS OPERATIVOS | -337,744 | -291,884 | -469,385 | -347,353 | -354,873 | -286,090 | -93,191 | -21,663 | -3,827 | -90,959 | -25,786 | -122,474 | -6,033 | -2,451,262 | |
(=)RESULTADO DE OPERACIÓN BRUTO | 1,033,588 | 1,569,049 | 1,314,157 | 1,072,839 | 872,203 | 525,289 | 497,569 | 1,362,050 | 7,538 | 1,029,991 | 221,455 | 742,689 | 859,685 | 11,108,101 | |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 204,657 | 226,104 | 236,049 | 183,096 | 153,055 | 74,908 | 67,927 | 81,754 | 1,513 | 223,826 | 26,991 | 627,732 | 119,787 | 2,227,399 | |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -427,356 | -419,987 | -543,482 | -414,875 | -385,865 | -115,340 | -113,801 | -368,298 | -751 | -420,644 | -68,149 | -710,582 | -186,175 | -4,175,304 | |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 810,890 | 1,375,166 | 1,006,724 | 841,059 | 639,393 | 484,857 | 451,695 | 1,075,507 | 8,300 | 833,173 | 180,297 | 659,839 | 793,297 | 9,160,195 | |
(-) GASTOS DE ADMINISTRACIÓN | -575,826 | -1,133,326 | -868,863 | -702,023 | -488,677 | -320,669 | -360,225 | -684,528 | -11,597 | -670,011 | -162,166 | -645,420 | -551,039 | -7,174,368 | |
(=)RESULTADO DE OPERACIÓN NETO | 235,064 | 241,840 | 137,861 | 139,036 | 150,716 | 164,188 | 91,470 | 390,979 | -3,297 | 163,162 | 18,132 | 14,419 | 242,258 | 1,985,827 | |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 1,614 | 7 | 152 | 50,228 | 276 | 61,983 | 814 | 1 | 3 | 456 | 7 | 0 | -394 | 115,146 | |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -2,348 | -40 | -250 | -50,396 | -18 | -62,171 | -165 | 0 | -2 | -15 | -52 | 0 | 0 | -115,458 | |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 234,330 | 241,807 | 137,764 | 138,868 | 150,973 | 164,000 | 92,118 | 390,979 | -3,296 | 163,602 | 18,086 | 14,419 | 241,864 | 1,985,515 | |
(+/-) Ingresos (gastos) extraordinarios | 2,990 | 7,821 | 5,861 | 836 | -446 | 0 | 2,962 | 2,876 | 0 | 8,732 | 0 | 418 | -2,167 | 29,883 | |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 237,320 | 249,628 | 143,624 | 139,703 | 150,528 | 164,000 | 95,080 | 393,856 | -3,296 | 172,334 | 18,086 | 14,838 | 239,697 | 2,015,398 | |
(+/-) Ingresos (gastos) de gestiones anteriores | 0 | 13,615 | 8,874 | -2,116 | 1,320 | 0 | 1,668 | -295 | -26 | 3,134 | -159 | 710 | 5,042 | 31,765 | |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 237,320 | 263,243 | 152,498 | 137,587 | 151,848 | 164,000 | 96,748 | 393,560 | -3,321 | 175,468 | 17,927 | 15,548 | 244,739 | 2,047,164 | |
(+/-) Ajuste contable por efecto de la inflación | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
(=)RESULTADO ANTES DE IMPUESTOS | 237,320 | 263,243 | 152,498 | 137,587 | 151,848 | 164,000 | 96,748 | 393,560 | -3,321 | 175,468 | 17,927 | 15,548 | 244,739 | 2,047,164 | |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -143,697 | -139,775 | -110,058 | -46,119 | -115,570 | -81,489 | -46,323 | -311,981 | 0 | -105,021 | -4,568 | -4,565 | -143,173 | -1,252,339 | |
(=)RESULTADO NETO DE LA GESTIÓN | 93,623 | 123,468 | 42,440 | 91,469 | 36,277 | 82,511 | 50,425 | 81,579 | -3,321 | 70,447 | 13,359 | 10,983 | 101,566 | 794,824 | |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2021) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES | |
ACTIVO | 31,592,654 | 41,194,090 | 39,900,324 | 27,553,746 | 23,781,719 | 16,311,151 | 12,358,506 | 17,344,063 | 207,237 | 19,101,938 | 4,522,238 | 27,410,439 | 10,026,022 | 271,304,128 | |
DISPONIBILIDADES | 3,750,409 | 8,597,789 | 4,399,493 | 2,782,240 | 2,598,412 | 1,744,743 | 1,280,264 | 765,823 | 70,542 | 1,198,442 | 367,300 | 1,398,501 | 640,767 | 29,594,726 | |
INVERSIONES TEMPORARIAS | 4,540,265 | 4,635,655 | 4,682,158 | 4,848,192 | 2,963,274 | 1,226,410 | 1,022,776 | 2,145,206 | 5,792 | 2,097,576 | 311,173 | 1,873,085 | 67,724 | 30,419,285 | |
CARTERA | 19,936,037 | 22,540,122 | 25,798,483 | 16,043,332 | 16,265,512 | 10,908,689 | 9,023,485 | 13,821,198 | 107,850 | 14,420,494 | 3,562,328 | 19,206,936 | 9,078,803 | 180,713,268 | |
CARTERA VIGENTE TOTAL | 19,283,153 | 21,615,176 | 24,797,465 | 15,676,539 | 15,663,694 | 10,478,787 | 8,622,400 | 13,067,570 | 107,023 | 13,729,994 | 3,378,197 | 18,514,243 | 8,490,543 | 173,424,784 | |
CARTERA VENCIDA TOTAL | 105,060 | 85,651 | 110,376 | 38,406 | 52,212 | 14,598 | 58,199 | 42,428 | 85 | 70,506 | 2,180 | 6,081 | 33,949 | 619,732 | |
CARTERA EN EJECUCIÓN TOTAL | 210,078 | 425,000 | 412,581 | 374,991 | 101,481 | 108,238 | 103,518 | 47,635 | 458 | 76,198 | 63,668 | 47,294 | 33,570 | 2,004,710 | |
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 846,569 | 1,107,871 | 1,398,210 | 708,648 | 822,165 | 488,888 | 502,399 | 1,174,161 | 891 | 1,098,721 | 219,029 | 811,254 | 773,999 | 9,952,804 | |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -508,823 | -693,576 | -920,149 | -755,252 | -374,040 | -181,822 | -263,031 | -510,596 | -608 | -554,925 | -100,746 | -171,936 | -253,259 | -5,288,761 | |
OTRAS CUENTAS POR COBRAR | 201,237 | 192,556 | 258,866 | 148,686 | 162,823 | 119,262 | 161,169 | 120,767 | 1,770 | 143,824 | 31,717 | 434,764 | 125,192 | 2,102,634 | |
BIENES REALIZABLES | 21,317 | 2,510 | 39,999 | 34,693 | 19,268 | 5,354 | 3,022 | 51 | 0 | 4,349 | 1,049 | 2,883 | 1,785 | 136,282 | |
INVERSIONES PERMANENTES | 2,766,205 | 4,734,342 | 4,206,870 | 3,130,710 | 1,571,652 | 1,785,030 | 627,790 | 215,668 | 19,688 | 976,588 | 207,306 | 2,810,496 | 70,531 | 23,122,874 | |
BIENES DE USO | 344,731 | 406,781 | 292,060 | 507,965 | 150,590 | 373,369 | 197,109 | 268,280 | 962 | 207,245 | 35,375 | 1,437,899 | 34,244 | 4,256,609 | |
OTROS ACTIVOS | 32,452 | 84,334 | 222,396 | 57,928 | 50,188 | 148,294 | 42,891 | 7,070 | 633 | 53,420 | 5,991 | 245,876 | 6,975 | 958,449 | |
PASIVO | 29,529,545 | 38,637,640 | 37,783,076 | 25,719,548 | 22,206,741 | 15,338,199 | 11,531,489 | 15,419,727 | 119,068 | 17,800,232 | 4,196,554 | 25,964,970 | 8,980,775 | 253,227,562 | |
OBLIGACIONES CON EL PÚBLICO | 22,117,705 | 24,480,084 | 28,098,954 | 20,020,201 | 17,156,419 | 10,979,437 | 8,974,598 | 10,568,101 | 69,826 | 12,465,905 | 3,348,269 | 20,256,001 | 7,513,125 | 186,048,624 | |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 4,730,763 | 4,502,998 | 5,148,311 | 5,619,713 | 3,469,878 | 2,132,945 | 1,294,792 | 8,025 | 34,955 | 837,406 | 255,222 | 3,206,198 | 17,120 | 31,258,325 | |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 7,216,369 | 10,925,139 | 10,103,637 | 4,823,410 | 5,119,433 | 2,673,462 | 1,620,179 | 3,810,979 | 21,652 | 4,347,120 | 478,543 | 4,074,579 | 2,019,404 | 57,233,905 | |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 163,332 | 349 | 121,971 | 2,888 | 2,477 | 960 | 3,524 | 2,902 | 8,042 | 640 | 860 | 113,144 | 1,614 | 422,704 | |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 370,532 | 800,859 | 402,478 | 315,908 | 192,491 | 176,747 | 154,738 | 77,086 | 5,121 | 84,885 | 107,059 | 1,333,797 | 87,829 | 4,109,528 | |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 8,556,763 | 7,581,732 | 11,448,302 | 7,851,184 | 7,278,847 | 5,235,874 | 5,024,885 | 5,914,147 | 0 | 6,743,612 | 2,293,888 | 10,035,841 | 4,666,455 | 82,631,530 | |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 1,079,946 | 669,007 | 874,253 | 1,407,098 | 1,093,293 | 759,449 | 876,481 | 754,963 | 56 | 452,242 | 212,698 | 1,492,442 | 720,703 | 10,392,632 | |
OBLIGACIONES CON INSTITUCIONES FISCALES | 10,836 | 99,598 | 27,665 | 6,162 | 3,263 | 13,206 | 57,233 | 6,738 | 0 | 4,247 | 8,448 | 36 | 3,043 | 240,474 | |
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 3,127,066 | 8,632,705 | 2,650,172 | 538,041 | 951,218 | 132,126 | 46,827 | 859,430 | 0 | 339,811 | 22,152 | 513,820 | 425,045 | 18,238,411 | |
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 2,485,608 | 4,239,486 | 5,029,368 | 4,103,743 | 3,097,277 | 2,954,356 | 1,838,591 | 3,075,678 | 43,721 | 3,237,624 | 671,976 | 3,549,131 | 635,862 | 34,962,422 | |
OTRAS CUENTAS POR PAGAR | 588,751 | 862,515 | 334,235 | 468,778 | 408,304 | 382,094 | 223,583 | 352,595 | 2,405 | 385,612 | 45,622 | 848,859 | 161,813 | 5,065,166 | |
PREVISIONES | 264,684 | 323,251 | 187,937 | 364,820 | 277,583 | 124,321 | 108,268 | 173,089 | 3,115 | 249,056 | 53,177 | 348,455 | 241,887 | 2,719,643 | |
VALORES EN CIRCULACIÓN | 564,024 | 0 | 1,135,453 | 0 | 0 | 545,122 | 129,191 | 171,275 | 0 | 783,871 | 0 | 0 | 0 | 3,328,937 | |
OBLIGACIONES SUBORDINADAS | 370,872 | 0 | 319,292 | 217,804 | 312,677 | 207,538 | 153,198 | 212,820 | 0 | 334,106 | 46,910 | 448,669 | 0 | 2,623,885 | |
PATRIMONIO | 2,063,110 | 2,556,451 | 2,117,248 | 1,834,198 | 1,574,979 | 972,952 | 827,017 | 1,924,336 | 88,169 | 1,301,706 | 325,684 | 1,445,470 | 1,045,247 | 18,076,565 | |
CAPITAL SOCIAL | 1,517,993 | 2,216,017 | 1,627,574 | 1,292,282 | 934,980 | 700,473 | 643,653 | 1,409,165 | 95,490 | 696,684 | 282,995 | 1,214,978 | 823,362 | 13,455,646 | |
APORTES NO CAPITALIZADOS | 82,057 | 0 | 10,003 | 12,592 | 8 | 47,601 | 3 | 1,690 | 0 | 116 | 2,172 | 137,114 | 5,530 | 298,883 | |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
RESERVAS | 243,130 | 189,439 | 406,603 | 359,552 | 499,108 | 109,477 | 108,163 | 255,833 | 12,092 | 503,920 | 22,964 | 58,882 | 130,715 | 2,899,878 | |
RESULTADOS ACUMULADOS | 219,930 | 150,994 | 73,068 | 169,772 | 140,883 | 115,402 | 75,199 | 257,649 | -19,413 | 100,986 | 17,553 | 34,496 | 85,641 | 1,422,159 | |
Utilidades (pérdidas) acumuladas | 293 | 0 | 0 | 0 | 13,719 | 69 | 0 | 0 | -14,545 | 0 | 3,433 | 0 | 2 | 2,971 | |
Utilidades (pérdidas) del periodo o gestión | 219,636 | 150,994 | 73,068 | 169,772 | 127,164 | 115,333 | 75,199 | 257,649 | -4,868 | 100,986 | 14,120 | 34,496 | 85,639 | 1,419,188 | |
PASIVO + PATRIMONIO | 31,592,654 | 41,194,090 | 39,900,324 | 27,553,746 | 23,781,719 | 16,311,151 | 12,358,506 | 17,344,063 | 207,237 | 19,101,938 | 4,522,238 | 27,410,439 | 10,026,022 | 271,304,128 | |
CUENTAS CONTINGENTES DEUDORAS | 2,294,985 | 808,696 | 1,778,459 | 5,409,836 | 3,100,261 | 335,409 | 592,496 | 304 | 44,568 | 212,208 | 384,957 | 423,511 | 285,014 | 15,670,703 | |
CARTAS DE CRÉDITO | 80,062 | 53,973 | 378,988 | 410,274 | 741,418 | 19,597 | 10,909 | 0 | 0 | 0 | 0 | 0 | 0 | 1,695,221 | |
GARANTÍAS OTORGADAS | 1,859,268 | 696,289 | 1,130,271 | 4,734,885 | 2,125,335 | 147,147 | 345,067 | 304 | 44,568 | 209,820 | 358,984 | 230,630 | 38,229 | 11,920,799 | |
DOCUMENTOS DESCONTADOS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
LÍNEAS DE CRÉDITO COMPROMETIDAS | 355,655 | 58,433 | 240,940 | 262,179 | 232,523 | 168,665 | 224,515 | 0 | 0 | 2,388 | 25,973 | 182,437 | 246,785 | 2,000,491 | |
OTRAS CONTINGENCIAS | 0 | 0 | 28,260 | 2,497 | 984 | 0 | 12,005 | 0 | 0 | 0 | 0 | 10,444 | 0 | 54,191 | |
CUENTAS DE ORDEN DEUDORAS | 44,090,922 | 68,376,657 | 65,431,984 | 39,167,412 | 55,104,851 | 22,994,470 | 18,645,465 | 13,677,919 | 733,782 | 22,588,407 | 7,708,060 | 55,981,462 | 12,805,344 | 427,306,734 | |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 1,859,723 | 1,080,111 | 29,453 | 56 | 20,241 | 2,569 | 1 | 75 | 0 | 0 | 0 | 22,287,271 | 0 | 25,279,500 | |
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 18,972,706 | 66 | 0 | 36,342 | 0 | 0 | 0 | 13,205 | 0 | 579 | 0 | 122,236 | 19,145,134 | |
VALORES EN COBRANZA | 26,407 | 2,096 | 176,843 | 12,967 | 47,316 | 18,333 | 160 | 0 | 210 | 0 | 0 | 325 | 0 | 284,657 | |
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 0 | 1,612 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 1,612 | |
GARANTÍAS RECIBIDAS | 33,674,933 | 36,052,408 | 54,050,558 | 29,675,552 | 24,483,740 | 18,682,582 | 16,538,792 | 10,384,987 | 226,295 | 21,013,216 | 6,127,573 | 30,613,473 | 10,758,773 | 292,282,882 | |
CUENTAS DE REGISTRO | 8,182,515 | 5,517,963 | 10,701,519 | 8,671,626 | 29,956,593 | 4,173,257 | 2,023,153 | 2,906,640 | 494,071 | 1,418,899 | 885,058 | 2,961,035 | 1,848,989 | 79,741,318 | |
CUENTAS DEUDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS PRIVADOS | 347,345 | 335,373 | 473,544 | 807,211 | 558,649 | 117,729 | 83,359 | 386,217 | 0 | 156,291 | 694,849 | 119,359 | 75,345 | 4,155,273 | |
CUENTAS DEUDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS DEL ESTADO | 0 | 6,414,389 | 0 | 0 | 1,969 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 6,416,358 | |
CUENTAS ACREEDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS PRIVADOS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
CUENTAS ACREEDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS DEL ESTADO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
(+) INGRESOS FINANCIEROS | 1,471,927 | 1,922,358 | 2,025,940 | 1,346,804 | 1,313,201 | 786,683 | 715,153 | 1,682,464 | 6,040 | 1,460,538 | 333,656 | 1,535,262 | 937,252 | 15,537,278 | |
(-) GASTOS FINANCIEROS | -651,514 | -634,616 | -916,182 | -441,461 | -607,943 | -352,470 | -306,998 | -528,386 | -1,313 | -607,824 | -147,314 | -856,258 | -286,439 | -6,338,717 | |
(=)RESULTADO FINANCIERO BRUTO | 820,413 | 1,287,741 | 1,109,758 | 905,343 | 705,258 | 434,213 | 408,155 | 1,154,078 | 4,727 | 852,715 | 186,342 | 679,004 | 650,813 | 9,198,560 | |
(+) OTROS INGRESOS OPERATIVOS | 458,804 | 566,523 | 456,872 | 508,192 | 479,721 | 425,744 | 181,750 | 101,832 | 8,937 | 165,258 | 49,986 | 824,303 | 72,464 | 4,300,385 | |
(-) OTROS GASTOS OPERATIVOS | -253,089 | -229,854 | -286,273 | -224,530 | -410,316 | -229,010 | -79,006 | -30,233 | -4,600 | -66,522 | -22,728 | -421,226 | -16,167 | -2,273,552 | |
(=)RESULTADO DE OPERACIÓN BRUTO | 1,026,128 | 1,624,411 | 1,280,357 | 1,189,006 | 774,663 | 630,948 | 510,899 | 1,225,677 | 9,063 | 951,451 | 213,600 | 1,082,081 | 707,110 | 11,225,393 | |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 207,587 | 279,258 | 431,450 | 307,185 | 204,788 | 84,322 | 74,366 | 175,028 | 1,083 | 721,816 | 36,062 | 751,178 | 85,039 | 3,359,161 | |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -242,426 | -471,033 | -714,818 | -529,786 | -225,150 | -117,009 | -132,563 | -243,908 | -2,240 | -763,045 | -71,853 | -926,303 | -130,826 | -4,570,960 | |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 991,289 | 1,432,635 | 996,990 | 966,405 | 754,300 | 598,261 | 452,702 | 1,156,797 | 7,906 | 910,222 | 177,809 | 906,956 | 661,322 | 10,013,595 | |
(-) GASTOS DE ADMINISTRACIÓN | -565,139 | -1,164,668 | -891,027 | -663,134 | -518,025 | -366,940 | -340,314 | -700,709 | -12,783 | -687,467 | -158,595 | -820,031 | -514,586 | -7,403,417 | |
(=)RESULTADO DE OPERACIÓN NETO | 426,150 | 267,967 | 105,963 | 303,272 | 236,276 | 231,321 | 112,387 | 456,088 | -4,877 | 222,754 | 19,214 | 86,924 | 146,736 | 2,610,177 | |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -1,510 | 7 | -517 | -165,934 | -128 | -63,793 | 258 | 1 | 6 | -106 | 0 | 0 | -134 | -231,850 | |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 1,790 | -19 | -95 | 165,902 | 16 | 63,653 | -750 | 0 | -7 | -7 | -81 | 0 | 0 | 230,401 | |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 426,430 | 267,955 | 105,350 | 303,240 | 236,164 | 231,181 | 111,896 | 456,089 | -4,878 | 222,641 | 19,134 | 86,925 | 146,602 | 2,608,729 | |
(+/-) Ingresos (gastos) extraordinarios | 2,304 | 45 | 6,178 | 1,516 | -1,368 | 0 | 5,326 | 1,063 | 0 | 2,856 | 0 | 0 | -1,238 | 16,681 | |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 428,734 | 267,999 | 111,529 | 304,755 | 234,795 | 231,181 | 117,222 | 457,152 | -4,878 | 225,497 | 19,134 | 86,925 | 145,364 | 2,625,410 | |
(+/-) Ingresos (gastos) de gestiones anteriores | 0 | 13,364 | 10,691 | -7,140 | -6,680 | 2,634 | 14,671 | 631 | 10 | 1,950 | 32 | -463 | 1,408 | 31,110 | |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 428,734 | 281,363 | 122,220 | 297,615 | 228,116 | 233,816 | 131,893 | 457,784 | -4,868 | 227,447 | 19,166 | 86,462 | 146,772 | 2,656,520 | |
(+/-) Ajuste contable por efecto de la inflación | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
(=)RESULTADO ANTES DE IMPUESTOS | 428,734 | 281,363 | 122,220 | 297,615 | 228,116 | 233,816 | 131,893 | 457,784 | -4,868 | 227,447 | 19,166 | 86,462 | 146,772 | 2,656,520 | |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -209,098 | -130,369 | -49,152 | -127,844 | -100,952 | -118,483 | -56,695 | -200,135 | 0 | -126,461 | -5,046 | -51,966 | -61,133 | -1,237,332 | |
(=)RESULTADO NETO DE LA GESTIÓN | 219,636 | 150,994 | 73,068 | 169,772 | 127,164 | 115,333 | 75,199 | 257,649 | -4,868 | 100,986 | 14,120 | 34,496 | 85,639 | 1,419,188 | |
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. |
|||||||||||||||
CAPÍTULO VI Sector Financiero | CUADRO No. 6.1.9 | ||||||||||||||
BANCOS MÚLTIPLES - ESTADOS FINANCIEROS POR BANCO | |||||||||||||||
(En miles de bolivianos) (2022) | |||||||||||||||
ESTADO DE SITUACIÓN PATRIMONIAL | BNB | BUN | BME | BIS | BCR | BGA | BEC | BSO | BNA | BIE | BFO | BFS | BPR | TOTAL BANCOS MÚLTIPLES | |
ACTIVO | 32,325,819 | 45,859,769 | 40,668,910 | 27,712,320 | 23,008,563 | 17,313,528 | 12,981,952 | 18,667,282 | 202,341 | 20,581,858 | 5,051,812 | 31,438,503 | 10,273,466 | 286,086,124 | |
DISPONIBILIDADES | 3,131,533 | 10,005,217 | 4,602,541 | 2,309,580 | 2,262,930 | 1,739,524 | 1,557,702 | 877,531 | 60,729 | 1,176,084 | 327,218 | 1,896,459 | 540,476 | 30,487,525 | |
INVERSIONES TEMPORARIAS | 4,268,423 | 4,975,068 | 4,389,363 | 4,368,588 | 2,701,003 | 1,557,551 | 698,388 | 2,320,480 | 2,999 | 2,242,046 | 379,442 | 1,679,606 | 59,967 | 29,642,926 | |
CARTERA | 20,559,956 | 24,885,871 | 26,359,764 | 17,191,062 | 16,384,499 | 11,627,351 | 9,736,894 | 14,709,903 | 113,069 | 15,551,805 | 4,038,524 | 21,599,995 | 9,382,664 | 192,141,357 | |
CARTERA VIGENTE TOTAL | 19,893,168 | 23,981,084 | 25,270,050 | 16,713,816 | 15,642,301 | 11,179,275 | 9,329,007 | 14,219,104 | 112,213 | 14,931,584 | 3,840,479 | 20,871,708 | 8,921,435 | 184,905,225 | |
CARTERA VENCIDA TOTAL | 140,573 | 106,048 | 191,173 | 118,821 | 256,863 | 39,634 | 71,654 | 60,326 | 85 | 149,902 | 11,517 | 47,116 | 23,391 | 1,217,103 | |
CARTERA EN EJECUCIÓN TOTAL | 305,303 | 610,698 | 527,414 | 522,824 | 158,649 | 178,145 | 134,221 | 46,234 | 417 | 89,342 | 95,654 | 65,612 | 48,918 | 2,783,430 | |
PRODUCTOS DEVENGADOS POR COBRAR CARTERA | 753,832 | 971,910 | 1,252,015 | 601,256 | 728,516 | 457,156 | 469,631 | 908,763 | 966 | 971,898 | 215,418 | 826,038 | 651,394 | 8,808,792 | |
(PREVISIÓN PARA INCOBRABILIDAD DE CARTERA) | -532,920 | -783,869 | -880,888 | -765,655 | -401,829 | -226,859 | -267,619 | -524,524 | -612 | -590,921 | -124,544 | -210,479 | -262,475 | -5,573,194 | |
OTRAS CUENTAS POR COBRAR | 150,158 | 168,870 | 262,900 | 247,016 | 121,206 | 166,023 | 198,796 | 141,825 | 1,921 | 179,602 | 36,496 | 558,996 | 148,290 | 2,382,099 | |
BIENES REALIZABLES | 28,177 | 9,632 | 40,296 | 26,476 | 26,755 | 3,999 | 4,837 | 27 | 0 | 3,804 | 7,541 | 2,320 | 1,355 | 155,218 | |
INVERSIONES PERMANENTES | 3,820,625 | 5,266,665 | 4,434,587 | 3,060,236 | 1,307,589 | 1,629,426 | 544,596 | 285,452 | 21,702 | 1,149,222 | 220,603 | 4,091,647 | 94,885 | 25,927,236 | |
BIENES DE USO | 333,218 | 457,741 | 370,112 | 461,038 | 150,052 | 417,650 | 190,998 | 317,549 | 1,352 | 212,317 | 36,084 | 1,401,792 | 38,669 | 4,388,571 | |
OTROS ACTIVOS | 33,728 | 90,705 | 209,346 | 48,324 | 54,529 | 172,004 | 49,740 | 14,516 | 569 | 66,978 | 5,905 | 207,688 | 7,161 | 961,192 | |
PASIVO | 30,168,897 | 43,138,279 | 38,328,576 | 25,759,375 | 21,346,188 | 16,289,720 | 12,083,510 | 16,523,855 | 115,501 | 19,142,616 | 4,712,304 | 29,940,940 | 9,130,022 | 266,679,784 | |
OBLIGACIONES CON EL PÚBLICO | 23,641,310 | 25,745,883 | 28,688,829 | 20,663,154 | 17,640,203 | 12,175,538 | 9,492,345 | 11,739,402 | 72,257 | 13,984,633 | 3,549,589 | 22,888,450 | 7,546,510 | 197,828,105 | |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 4,615,391 | 5,061,376 | 4,857,960 | 5,502,011 | 3,287,254 | 1,950,985 | 1,108,133 | 9,752 | 38,518 | 1,221,483 | 385,971 | 3,889,525 | 25,547 | 31,953,908 | |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 7,318,360 | 12,458,700 | 10,381,348 | 4,809,543 | 5,260,778 | 3,413,887 | 1,737,457 | 4,155,394 | 21,572 | 4,559,771 | 556,905 | 4,619,670 | 1,890,913 | 61,184,297 | |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 1,059 | 196 | 6,097 | 2,595 | 1,182 | 432 | 3,516 | 1,913 | 8,055 | 402 | 614 | 90,092 | 491 | 116,645 | |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 324,407 | 425,316 | 446,902 | 335,056 | 232,701 | 147,574 | 132,298 | 75,704 | 4,065 | 95,693 | 84,143 | 1,377,489 | 111,212 | 3,792,560 | |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 10,192,444 | 7,096,264 | 12,051,647 | 8,397,892 | 7,615,472 | 5,802,960 | 5,539,190 | 6,646,917 | 0 | 7,615,939 | 2,287,671 | 11,142,767 | 4,799,383 | 89,188,545 | |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 1,189,650 | 704,030 | 944,875 | 1,616,057 | 1,242,815 | 859,699 | 971,751 | 849,723 | 48 | 491,345 | 234,286 | 1,768,907 | 718,964 | 11,592,151 | |
OBLIGACIONES CON INSTITUCIONES FISCALES | 19,789 | 133,454 | 18,857 | 18,622 | 6,268 | 0 | 1,715 | 19,579 | 0 | 6,869 | 28 | 74 | 3,650 | 228,905 | |
OBLIGACIONES CON EMPRESAS CON PARTICIPACIÓN ESTATAL | 1,191,531 | 11,468,117 | 2,699,786 | 534,513 | 629,977 | 326,988 | 25,352 | 696,339 | 0 | 273,077 | 6,229 | 373,628 | 408,033 | 18,633,571 | |
OBLIGACIONES CON BANCOS Y ENTIDADES DE FINANCIAMIENTO | 3,619,284 | 4,007,054 | 5,179,127 | 3,614,699 | 2,372,693 | 2,513,360 | 1,907,623 | 2,815,393 | 37,862 | 2,866,566 | 948,076 | 5,135,102 | 660,315 | 35,677,153 | |
OTRAS CUENTAS POR PAGAR | 656,819 | 1,088,926 | 386,378 | 397,685 | 273,602 | 552,946 | 282,366 | 542,382 | 3,051 | 483,401 | 66,578 | 695,718 | 262,225 | 5,692,080 | |
PREVISIONES | 278,346 | 351,932 | 194,407 | 375,742 | 250,705 | 136,278 | 121,597 | 186,727 | 2,330 | 269,067 | 58,515 | 412,336 | 249,289 | 2,887,271 | |
VALORES EN CIRCULACIÓN | 461,427 | 171,251 | 903,337 | 0 | 0 | 401,560 | 129,278 | 171,417 | 0 | 963,735 | 0 | 0 | 0 | 3,202,006 | |
OBLIGACIONES SUBORDINADAS | 300,390 | 171,662 | 257,856 | 154,960 | 172,740 | 183,050 | 123,233 | 352,615 | 0 | 295,268 | 83,288 | 435,631 | 0 | 2,530,693 | |
PATRIMONIO | 2,156,922 | 2,721,490 | 2,340,334 | 1,952,945 | 1,662,375 | 1,023,808 | 898,442 | 2,143,427 | 86,840 | 1,439,242 | 339,508 | 1,497,563 | 1,143,444 | 19,406,340 | |
CAPITAL SOCIAL | 1,701,087 | 2,342,853 | 1,698,954 | 1,376,350 | 1,072,180 | 776,063 | 686,233 | 1,537,990 | 95,490 | 739,184 | 297,994 | 1,249,836 | 866,182 | 14,440,394 | |
APORTES NO CAPITALIZADOS | 0 | 0 | 0 | 14 | 68 | 24,263 | 3 | 1,690 | 0 | 116 | 2,172 | 137,114 | 5,530 | 170,968 | |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
RESERVAS | 262,893 | 204,538 | 413,909 | 376,532 | 511,824 | 121,028 | 115,683 | 281,598 | 12,092 | 526,657 | 24,376 | 62,330 | 139,279 | 3,052,739 | |
RESULTADOS ACUMULADOS | 192,942 | 174,099 | 227,470 | 200,049 | 78,303 | 102,455 | 96,523 | 322,151 | -20,742 | 173,284 | 14,967 | 48,283 | 132,454 | 1,742,238 | |
Utilidades (pérdidas) acumuladas | 293 | 0 | 0 | 0 | 0 | 69 | 7 | 0 | -19,413 | 0 | 0 | 0 | 1 | -19,043 | |
Utilidades (pérdidas) del periodo o gestión | 192,649 | 174,099 | 227,470 | 200,049 | 78,303 | 102,386 | 96,517 | 322,151 | -1,329 | 173,284 | 14,967 | 48,283 | 132,452 | 1,761,281 | |
PASIVO + PATRIMONIO | 32,325,819 | 45,859,769 | 40,668,910 | 27,712,320 | 23,008,563 | 17,313,528 | 12,981,952 | 18,667,282 | 202,341 | 20,581,858 | 5,051,812 | 31,438,503 | 10,273,466 | 286,086,124 | |
CUENTAS CONTINGENTES DEUDORAS | 2,420,344 | 892,158 | 2,062,949 | 6,135,911 | 2,786,937 | 346,682 | 805,561 | 28 | 16,157 | 322,471 | 372,816 | 463,817 | 278,957 | 16,904,787 | |
CARTAS DE CRÉDITO | 96,642 | 40,820 | 389,940 | 855,643 | 946,137 | 31,286 | 33,458 | 0 | 0 | 0 | 0 | 0 | 0 | 2,393,925 | |
GARANTÍAS OTORGADAS | 1,901,394 | 790,154 | 1,372,353 | 5,011,100 | 1,615,223 | 118,193 | 513,416 | 28 | 16,157 | 319,078 | 343,954 | 212,190 | 59,107 | 12,272,347 | |
DOCUMENTOS DESCONTADOS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
LÍNEAS DE CRÉDITO COMPROMETIDAS | 422,308 | 61,184 | 272,396 | 266,670 | 223,022 | 197,204 | 243,320 | 0 | 0 | 3,393 | 28,862 | 242,171 | 219,851 | 2,180,380 | |
OTRAS CONTINGENCIAS | 0 | 0 | 28,260 | 2,497 | 2,556 | 0 | 15,366 | 0 | 0 | 0 | 0 | 9,456 | 0 | 58,135 | |
CUENTAS DE ORDEN DEUDORAS | 45,881,736 | 76,850,417 | 65,929,327 | 40,471,583 | 102,448,843 | 25,346,893 | 20,823,592 | 14,823,284 | 761,594 | 23,301,813 | 8,367,274 | 62,776,685 | 11,554,893 | 499,337,935 | |
VALORES Y BIENES RECIBIDOS EN CUSTODIA | 1,670,146 | 890,463 | 29,455 | 57 | 154,567 | 2,557 | 1 | 80 | 0 | 0 | 0 | 25,157,345 | 0 | 27,904,671 | |
VALORES Y BIENES RECIBIDOS EN ADMINISTRACIÓN | 0 | 19,787,353 | 0 | 0 | 59,990 | 0 | 0 | 0 | 13,205 | 0 | 606 | 0 | 79,818 | 19,940,971 | |
VALORES EN COBRANZA | 26,830 | 2,308 | 24,050 | 14,889 | 48,006 | 22,011 | 926 | 0 | 188 | 0 | 0 | 700 | 0 | 139,907 | |
VALORES Y BIENES RECIBIDOS EN CONSIGNACIÓN | 0 | 5,248 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 5,248 | |
GARANTÍAS RECIBIDAS | 34,939,037 | 40,455,423 | 54,083,936 | 31,355,497 | 75,464,992 | 20,473,060 | 17,683,187 | 11,686,670 | 229,769 | 21,441,326 | 6,783,406 | 34,266,907 | 9,321,616 | 358,184,826 | |
CUENTAS DE REGISTRO | 8,820,220 | 5,916,396 | 11,308,914 | 8,640,141 | 26,201,146 | 4,731,536 | 3,039,001 | 2,682,389 | 518,432 | 1,665,027 | 865,911 | 3,136,966 | 2,055,830 | 79,581,909 | |
CUENTAS DEUDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS PRIVADOS | 425,503 | 374,389 | 482,971 | 460,999 | 518,174 | 117,729 | 100,477 | 454,145 | 0 | 195,460 | 11,133 | 214,766 | 97,630 | 3,453,378 | |
CUENTAS DEUDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS DEL ESTADO | 0 | 9,418,839 | 0 | 0 | 1,969 | 0 | 0 | 0 | 0 | 0 | 706,217 | 0 | 0 | 10,127,025 | |
CUENTAS ACREEDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS PRIVADOS | |||||||||||||||
CUENTAS ACREEDORAS DE LOS PATRIMONIOS AUTÓNOMOS CONSTITUIDOS CON RECURSOS DEL ESTADO | |||||||||||||||
(+) INGRESOS FINANCIEROS | 1,501,859 | 2,061,897 | 2,008,322 | 1,338,568 | 1,253,272 | 850,860 | 780,193 | 2,058,436 | 6,641 | 1,674,977 | 384,551 | 1,781,213 | 1,131,550 | 16,832,339 | |
(-) GASTOS FINANCIEROS | -677,328 | -737,020 | -920,571 | -432,266 | -574,297 | -382,154 | -325,077 | -578,977 | -1,030 | -664,571 | -162,295 | -1,010,015 | -330,057 | -6,795,657 | |
(=)RESULTADO FINANCIERO BRUTO | 824,531 | 1,324,877 | 1,087,751 | 906,302 | 678,975 | 468,706 | 455,116 | 1,479,460 | 5,610 | 1,010,406 | 222,256 | 771,198 | 801,493 | 10,036,681 | |
(+) OTROS INGRESOS OPERATIVOS | 456,551 | 621,432 | 498,709 | 555,568 | 446,204 | 482,613 | 187,309 | 159,155 | 7,961 | 229,094 | 44,638 | 624,694 | 76,491 | 4,390,421 | |
(-) OTROS GASTOS OPERATIVOS | -222,625 | -223,367 | -330,534 | -228,792 | -243,473 | -281,271 | -76,765 | -22,878 | -2,604 | -71,948 | -20,593 | -261,542 | -6,521 | -1,992,911 | |
(=)RESULTADO DE OPERACIÓN BRUTO | 1,058,458 | 1,722,942 | 1,255,926 | 1,233,078 | 881,707 | 670,048 | 565,660 | 1,615,737 | 10,968 | 1,167,553 | 246,301 | 1,134,351 | 871,463 | 12,434,191 | |
(+) RECUPERACIÓN DE ACTIVOS FINANCIEROS | 213,278 | 456,326 | 831,477 | 333,595 | 171,583 | 25,112 | 75,557 | 70,487 | 3,284 | 375,485 | 40,042 | 823,089 | 76,983 | 3,496,298 | |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -341,368 | -684,332 | -896,416 | -571,928 | -408,755 | -107,323 | -129,039 | -181,742 | -2,609 | -482,324 | -94,453 | -982,122 | -127,786 | -5,010,197 | |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 930,368 | 1,494,935 | 1,190,987 | 994,745 | 644,535 | 587,838 | 512,179 | 1,504,482 | 11,642 | 1,060,714 | 191,890 | 975,317 | 820,660 | 10,920,292 | |
(-) GASTOS DE ADMINISTRACIÓN | -599,666 | -1,233,776 | -863,500 | -674,071 | -564,935 | -401,224 | -360,434 | -834,389 | -12,881 | -722,994 | -171,441 | -894,824 | -551,883 | -7,886,019 | |
(=)RESULTADO DE OPERACIÓN NETO | 330,702 | 261,159 | 327,487 | 320,675 | 79,600 | 186,613 | 151,744 | 670,093 | -1,239 | 337,720 | 20,449 | 80,493 | 268,777 | 3,034,273 | |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -851 | 14 | -907 | 78,386 | 186 | -38,294 | 622 | 1 | 0 | 38 | 15 | 0 | -143 | 39,067 | |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 1,166 | -47 | -383 | -78,277 | -12 | 38,335 | -890 | 0 | 0 | -19 | -160 | 0 | -1 | -40,286 | |
(=)RESULTADO DESPUES DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 331,017 | 261,126 | 326,197 | 320,784 | 79,774 | 186,653 | 151,476 | 670,094 | -1,238 | 337,739 | 20,305 | 80,493 | 268,633 | 3,033,053 | |
(+/-) Ingresos (gastos) extraordinarios | 1,873 | 1,079 | 5,758 | 1,027 | -2,255 | 0 | 5,587 | 696 | 0 | 2,380 | 0 | 0 | -779 | 15,367 | |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 332,890 | 262,204 | 331,955 | 321,811 | 77,519 | 186,653 | 157,064 | 670,790 | -1,238 | 340,119 | 20,305 | 80,493 | 267,854 | 3,048,420 | |
(+/-) Ingresos (gastos) de gestiones anteriores | -7,907 | 2,428 | 9,774 | 4,242 | 784 | 1,047 | 5,971 | -14,992 | -91 | 1,893 | -279 | -38 | 290 | 3,122 | |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 324,983 | 264,632 | 341,729 | 326,053 | 78,303 | 187,700 | 163,035 | 655,798 | -1,329 | 342,012 | 20,025 | 80,455 | 268,144 | 3,051,542 | |
(+/-) Ajuste contable por efecto de la inflación | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
(=)RESULTADO ANTES DE IMPUESTOS | 324,983 | 264,632 | 341,729 | 326,053 | 78,303 | 187,700 | 163,035 | 655,798 | -1,329 | 342,012 | 20,025 | 80,455 | 268,144 | 3,051,542 | |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -132,334 | -90,533 | -114,259 | -126,005 | 0 | -85,314 | -66,518 | -333,647 | 0 | -168,728 | -5,058 | -32,172 | -135,691 | -1,290,261 | |
(=)RESULTADO NETO DE LA GESTIÓN | 192,649 | 174,099 | 227,470 | 200,049 | 78,303 | 102,386 | 96,517 | 322,151 | -1,329 | 173,284 | 14,967 | 48,283 | 132,452 | 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. |
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