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ACTIVO |
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I.
ACTIVOS DE INTERMEDIACION(1+2+3+4) |
9,865,356
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10,434,187
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10,815,975
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10,886,082
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11,086,848
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1.
DISPONIBILIDADES |
1,275,400
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1,335,640
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1,308,165
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1,295,878
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1,322,896
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2.
ADQUISICION TEMPORAL DE DOC. NETOS |
44,654
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36,077
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8,403
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19,710
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23,029
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3.
INVERSIONES FINANCIERAS |
2,265,746
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2,052,163
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1,841,793
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1,766,354
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1,808,266
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4.
PRESTAMOS NETOS |
6,279,556
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7,010,306
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7,657,613
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7,804,139
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7,932,658
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II. OTROS
ACTIVOS |
439,654
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361,631
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395,189
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398,959
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388,536
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III.
ACTIVO FIJO |
298,809
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289,273
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284,813
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285,440
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286,993
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IV. TOTAL
DE ACTIVOS(I + II + III) |
10,603,819
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11,085,091
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11,495,977
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11,570,481
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11,762,378
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V.
DERECHOS FUTUROS Y CONTING. NETAS |
556,936
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535,716
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527,721
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524,692
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526,591
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VI. TOTAL
ACTIVOS + DER. FUT. Y CONTING.(IV+V) |
11,160,756
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11,620,807
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12,023,698
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12,095,173
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12,288,969
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PASIVO |
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I.
PASIVOS DE INTERMEDIACION (1+2+3+4+5+6) |
9,286,624
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9,612,060
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9,894,946
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9,922,045
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10,091,845
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1.
DEPOSITOS |
6,873,772
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6,980,612
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7,420,949
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7,505,590
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7,645,023
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2.
PRESTAMOS |
1,889,074
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1,911,230
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1,620,882
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1,573,736
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1,598,366
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3.
OBLIGACIONES A LA VISTA |
59,898
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49,887
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62,727
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58,970
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61,860
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4.
TITULOS DE EMISION PROPIA |
462,936
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628,232
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774,186
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768,844
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777,821
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5. DOC.
VENDIDOS CON PACTOS DE RETROVENTA |
0 |
41,844
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13,707
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13,520
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7,785
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6.
CHEQUES Y OTROS VALORES POR APLICAR |
944 |
254 |
2,497
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1,385
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989 |
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II. OTROS
PASIVOS |
110,908
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143,557
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147,567
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153,842
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151,255
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III.
OBLIGACIONES CONVERTIBLES EN ACCIONES |
0 |
0 |
0 |
0 |
0 |
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IV. DEUDA
SUBORDINADA |
50,677
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50,882
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55,724
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76,182
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80,290
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V. TOTAL
PASIVOS(I+II+III+IV) |
9,448,209
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9,806,499
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10,098,237
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10,152,068
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10,323,390
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PATRIMONIO |
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1.
CAPITAL SOCIAL PAGADO |
556,796
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606,826
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696,611
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696,611
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696,611
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2.
APORTES DE CAPITAL PENDIENTES DE FORMALIZAR |
0 |
0 |
0 |
0 |
0 |
3.
RESERVAS DE CAPITAL |
203,637
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215,115
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194,300
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194,300
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212,403
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4.
RESULTADOS DE EJERCICIOS ANTERIORES |
39,453
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59,033
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40,648
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40,077
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56,086
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5.
PATRIMONIO RESTRINGIDO |
256,825
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253,055
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283,369
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284,826
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291,052
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6.
RESULTADOS DEL PRESENTE EJERCICIO |
74,439
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96,885
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133,878
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153,206
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132,847
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VI. TOTAL
PATRIMONIO(1+2+3+4+5+6) |
1,131,150
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1,230,914
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1,348,806
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1,369,020
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1,388,998
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VII.
COMPROMISOS FUTUROS Y CONTINGENCIAS |
581,397
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583,394
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576,654
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574,084
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576,581
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PASIVO +
PATRIMONIO + COMP. FUT. Y CONT.(V+VI+VII) |
11,160,756
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11,620,807
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12,023,698
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12,095,173
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12,288,969
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