CAPÍTULO VI Sector Financiero | CUADRO No. 6.2.8 | |||||||
ENTIDADES FINANCIERAS DE VIVIENDA* - ESTADOS
FINANCIEROS (En bolivianos) (2015-2022) |
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ESTADO DE SITUACIÓN PATRIMONIAL | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 |
ACTIVO | 4,584,646,936 | 3,673,119,399 | 3,847,091,323 | 3,951,563,753 | 3,905,410,750 | 3,847,177,587 | 3,882,617,961 | 3,991,291,978 |
DISPONIBILIDADES | 330,731,388 | 242,893,251 | 244,156,979 | 257,465,644 | 227,802,745 | 261,638,511 | 226,810,023 | 204,214,619 |
INVERSIONES TEMPORARIAS | 778,902,588 | 791,363,910 | 745,357,543 | 476,030,530 | 313,226,301 | 381,413,999 | 551,756,834 | 591,794,502 |
CARTERA | 3,238,773,447 | 2,503,520,884 | 2,620,440,489 | 2,768,797,235 | 2,831,384,564 | 2,817,400,303 | 2,714,432,418 | 2,717,144,493 |
CARTERA VIGENTE TOTAL | 3,330,318,197 | 2,573,300,625 | 2,671,987,387 | 2,788,730,014 | 2,891,116,506 | 2,788,953,811 | 2,631,629,378 | 2,617,464,940 |
CARTERA VENCIDA TOTAL | 9,499,685 | 10,971,774 | 21,538,604 | 17,705,563 | 14,294,773 | 0 | 652,650 | 6,914,476 |
CARTERA EJECUCIÓN TOTAL | 53,402,046 | 25,159,763 | 41,541,633 | 46,154,892 | 52,478,472 | 56,650,233 | 44,694,216 | 35,562,078 |
OTRAS CUENTAS POR COBRAR | 11,858,054 | 4,918,526 | 5,812,000 | 7,564,643 | 6,784,885 | 9,532,167 | 16,060,651 | 14,270,837 |
BIENES REALIZABLES | 577,746 | 1,100,360 | 872,510 | 1,063,142 | 1,454,679 | 919,558 | 1,971,661 | 3,075,503 |
INVERSIONES PERMANENTES | 160,911,068 | 79,795,435 | 181,488,909 | 392,308,546 | 475,059,988 | 327,149,832 | 320,640,511 | 378,001,397 |
BIENES DE USO | 59,447,906 | 47,150,889 | 45,898,478 | 44,651,987 | 45,489,170 | 45,148,487 | 46,766,151 | 77,681,335 |
OTROS ACTIVOS | 3,444,739 | 2,376,143 | 3,064,415 | 3,682,025 | 4,208,419 | 3,974,730 | 4,179,712 | 5,109,293 |
PASIVO | 3,598,285,286 | 2,793,644,691 | 2,948,026,860 | 3,038,957,471 | 2,972,449,906 | 2,867,607,228 | 2,891,002,879 | 2,973,916,871 |
OBLIGACIONES CON EL PÚBLICO | 3,336,038,741 | 2,611,839,488 | 2,726,255,657 | 2,739,078,873 | 2,542,863,831 | 2,432,865,855 | 2,431,133,345 | 2,508,782,371 |
OBLIGACIONES CON EL PÚBLICO A LA VISTA | 850,943 | 139,461 | 139,461 | 171,224 | 144,374 | 317,726 | 247,444 | 262,444 |
OBLIGACIONES CON EL PÚBLICO POR CUENTAS DE AHORROS | 2,412,947,000 | 2,024,622,268 | 2,122,651,160 | 2,129,163,876 | 1,975,741,094 | 1,875,383,794 | 1,883,922,981 | 1,932,111,081 |
OBLIGACIONES CON EL PÚBLICO A PLAZO | 875,552,303 | 553,320,807 | 572,213,087 | 576,870,818 | 521,009,690 | 511,920,769 | 500,622,732 | 533,437,944 |
OBLIGACIONES CON EL PÚBLICO RESTRINGIDAS | 34,669,984 | 26,640,583 | 23,437,671 | 24,489,300 | 38,068,932 | 38,062,033 | 38,227,838 | 32,857,487 |
OBLIGACIONES CON EL PÚBLICO A PLAZO FIJO CON ANOTACIÓN EN CUENTA | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
CARGOS DEVENGADOS POR PAGAR OBLIGACIONES CON EL PÚBLICO | 12,018,510 | 7,116,370 | 7,814,279 | 8,383,657 | 7,899,741 | 7,181,534 | 8,112,350 | 10,113,414 |
OTRAS CUENTAS POR PAGAR | 60,640,192 | 39,879,435 | 43,696,183 | 53,217,761 | 68,390,528 | 75,227,528 | 87,898,532 | 98,481,040 |
PREVISIONES | 81,945,158 | 76,739,988 | 72,494,317 | 74,213,945 | 74,450,496 | 74,276,247 | 74,075,135 | 74,784,590 |
VALORES EN CIRCULACIÓN | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
OBLIGACIONES SUBORDINADAS | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
PATRIMONIO | 986,361,650 | 879,474,708 | 899,064,463 | 912,606,283 | 932,960,845 | 979,570,360 | 991,615,082 | 1,017,375,107 |
CAPITAL SOCIAL | 637,355,001 | 555,912,401 | 553,359,000 | 553,432,500 | 553,432,500 | 553,432,500 | 553,432,500 | 553,432,500 |
APORTES NO CAPITALIZADOS | 4,739 | 4,739 | 4,739 | 4,739 | 4,739 | 4,739 | 4,739 | 4,739 |
AJUSTES AL PATRIMONIO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
RESERVAS | 305,230,694 | 290,863,347 | 317,688,371 | 330,254,116 | 346,793,903 | 358,989,093 | 411,031,672 | 427,078,290 |
RESULTADOS ACUMULADOS | 43,771,216 | 32,694,220 | 28,012,353 | 28,914,928 | 32,729,702 | 67,144,028 | 27,146,171 | 36,859,578 |
Utilidades (pérdidas) acumuladas | 901,047 | -161,318 | -592,661 | 0 | 0 | 20,534,513 | 0 | 0 |
Utilidades (pérdidas) del periodo o gestión | 42,870,169 | 32,855,539 | 28,605,015 | 28,914,928 | 32,729,702 | 46,609,515 | 27,146,171 | 36,859,578 |
PASIVO + PATRIMONIO | 4,584,646,936 | 3,673,119,399 | 3,847,091,323 | 3,951,563,754 | 3,905,410,751 | 3,847,177,588 | 3,882,617,961 | 3,991,291,978 |
CUENTAS CONTINGENTES DEUDORAS | 10,001,871 | 7,182,790 | 4,149,442 | 3,406,194 | 2,259,953 | 2,328,820 | 3,460,227 | 32,996,347 |
CUENTAS DE ORDEN DEUDORAS | 7,821,015,550 | 6,431,193,347 | 6,875,041,867 | 8,446,337,139 | 8,499,016,684 | 8,284,045,144 | 7,857,535,646 | 7,885,890,653 |
CUENTAS DEUDORAS DE LOS FIDEICOMISOS | 87,986 | 87,986 | 87,986 | 87,986 | 87,986 | 87,986 | 0.00 | 0.00 |
CUENTAS DEUDORAS DE FIDEICOMISOS CON RECURSOS DEL ESTADO | 78,327,130 | 75,726,554 | 72,321,560 | 69,863,301 | 61,227,430 | 60,505,190 | 0.00 | 0.00 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS | 87,986 | 87,986 | 87,986 | 87,986 | 87,986 | 87,986 | 0.00 | 0.00 |
CUENTAS ACREEDORAS DE LOS FIDEICOMISOS CON RECURSOS DEL ESTADO | 78,327,130 | 75,726,554 | 72,321,560 | 69,863,301 | 61,227,430 | 60,505,190 | 0.00 | 0.00 |
(+) INGRESOS FINANCIEROS | 280,500,530 | 227,662,129 | 234,827,820 | 219,823,993 | 244,973,102 | 238,467,093 | 221,615,322 | 226,058,519 |
(-) GASTOS FINANCIEROS | -77,189,053 | -67,080,391 | -74,970,936 | 60,930,344 | -66,952,572 | -60,703,231 | -62,682,430 | -68,481,701 |
(=)RESULTADO FINANCIERO BRUTO | 203,311,477 | 160,581,738 | 159,856,884 | 158,893,649 | 178,020,530 | 177,763,861 | 158,932,892 | 157,576,818 |
(+) OTROS INGRESOS OPERATIVOS | 42,542,613 | 18,619,524 | 10,907,563 | 12,894,351 | 11,408,337 | 8,703,723 | 7,782,670 | 23,182,142 |
(-) OTROS GASTOS OPERATIVOS | -9,762,530 | -5,702,587 | -4,847,869 | 7,294,713 | -7,709,022 | -6,094,325 | -6,039,346 | -8,879,026 |
(=)RESULTADO DE OPERACIÓN BRUTO | 236,091,560 | 173,498,676 | 165,916,578 | 164,493,287 | 181,719,845 | 180,373,258 | 160,676,216 | 171,879,933 |
(+) RECUPERACION DE ACTIVOS FINANCIEROS | 32,213,432 | 25,198,775 | 30,045,310 | 27,213,680 | 22,927,204 | 13,435,206 | 14,629,050 | 30,161,009 |
(-) CARGOS POR INCOBRABILIDAD Y DESVALORIZACIÓN DE ACTIVOS FINANCIEROS | -40,808,951 | -32,698,248 | -38,559,072 | 39,229,632 | -37,891,479 | -21,845,534 | -15,382,654 | -33,054,007 |
(=)RESULTADO DE OPERACIÓN DESPUÉS DE INCOBRABLES | 227,496,041 | 165,999,203 | 157,402,816 | 152,477,336 | 166,755,570 | 171,962,930 | 159,922,611 | 168,986,935 |
(-) GASTOS DE ADMINISTRACIÓN | -185,061,747 | -134,296,594 | -130,814,612 | 122,215,488 | -131,724,921 | -119,146,170 | -124,957,243 | -127,703,790 |
(=)RESULTADO DE OPERACIÓN NETO | 42,434,293 | 31,702,610 | 26,588,203 | 87,986 | 35,030,649 | 52,816,760 | 34,965,368 | 41,283,145 |
(+) ABONOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | 1,345,972 | 1,001,258 | 865,445 | 506,573 | 135 | 0.00 | 1,385 | 1,147 |
(-) CARGOS POR DIFERENCIA DE CAMBIO Y MANTENIMIENTO DE VALOR | -1,140 | -115 | 0.08 | 0.00 | 0.00 | 0.06 | 0.00 | 0.00 |
Cargos por diferencia de cambio | 262 | -115 | 0.08 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
Cargos por mantenimiento de valor | -1,402 | -0.01 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
(=)RESULTADO DESPUÉS DE AJUSTE POR DIF. DE CAMBIO Y MANTENIM. DE VALOR | 43,779,126 | 32,703,753 | 27,453,648 | 30,768,422 | 35,030,784 | 52,816,821 | 34,966,754 | 41,284,292 |
(+/-) Ingresos (gastos) extraordinarios | 275,950 | -16,048 | 802,377 | 55,495 | 343,455 | 161,820 | 102,107 | 181,942 |
(=)RESULTADO NETO DEL EJERCICIO ANTES DE AJUSTES DE GESTIONES ANTERIORES | 44,055,075 | 32,687,705 | 28,256,025 | 30,823,916 | 35,374,239 | 52,978,641 | 35,068,860 | 41,466,235 |
(+/-) Ingresos (gastos) de gestiones anteriores | 323,634 | 1,699,629 | 570,310 | 286,748 | -716,434 | -176,283 | -25,687 | 131,362 |
(=)RESULTADO ANTES DE IMPTOS. Y AJUSTE CONTABLE POR EFECTO DE INFLACIÓN | 44,378,709 | 34,387,335 | 28,826,335 | 30,192,394 | 34,657,805 | 52,802,358 | 35,043,173 | 41,597,597 |
(=)RESULTADO ANTES DE IMPUESTOS | 44,378,709 | 34,387,335 | 28,826,335 | 30,192,394 | 34,657,805 | 52,802,358 | 35,043,173 | 41,597,597 |
(-) IMPUESTO SOBRE LAS UTILIDADES DE LAS EMPRESAS | -1,508,540 | -1,531,796 | -221,320 | 1,277,466 | -1,928,103 | -6,192,843 | -7,897,002 | -4,738,019 |
(=)RESULTADO NETO DE LA GESTIÓN | 42,870,169 | 32,855,539 | 28,605,015 | 28,914,928 | 32,729,702 | 46,609,515 | 27,146,171 | 36,859,578 |
Fuente: Autoridad de Supervisión del Sistema Financiero (ASFI). | ||||||||
(*) A partir del 23.11.2015 se transformaron de Mutuales de Ahorro y Préstamo a Entidades Financieras de | ||||||||
Nota: La información corresponde al 31 de diciembre de cada año | ||||||||