Cuadro No.
3.1 |
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BANCOS |
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CIFRAS
DEL BALANCE |
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SALDOS AL 31 DE DICIEMBRE
DE 2005 - 2006 |
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(EN MILES DE DOLARES) |
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RUBROS DEL BALANCE |
AGRICOLA |
CUSCATLAN |
SALVADOREÑO |
HIPOTECARIO |
CITIBANK |
FOMENTO |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
ACTIVO |
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I. ACTIVOS
DE INTERMEDIACION(1+2+3+4) |
3,070,137 |
3,213,415 |
2,396,703 |
2,360,383 |
1,732,663 |
1,905,848 |
256,712 |
259,973 |
190,587 |
146,013 |
149,413 |
159,770 |
1.
DISPONIBILIDADES |
467,124 |
365,486 |
272,123 |
268,807 |
197,604 |
226,889 |
30,947 |
29,499 |
46,436 |
23,403 |
19,693 |
22,236 |
2.
ADQUISICION TEMPORAL DE DOC. NETOS |
0 |
8,232 |
0 |
3,272 |
9,896 |
0 |
3,500 |
0 |
0 |
0 |
3,533 |
0 |
3.
INVERSIONES FINANCIERAS |
588,916 |
610,278 |
546,833 |
346,658 |
302,220 |
267,188 |
66,116 |
57,905 |
93,978 |
75,011 |
61,442 |
58,273 |
4.
PRESTAMOS NETOS |
2,014,097 |
2,229,419 |
1,577,747 |
1,741,645 |
1,222,942 |
1,411,771 |
156,149 |
172,568 |
50,172 |
47,599 |
64,745 |
79,261 |
II. OTROS
ACTIVOS |
77,508 |
85,826 |
143,170 |
156,581 |
65,001 |
61,081 |
4,096 |
3,810 |
678 |
388 |
4,883 |
4,915 |
III.
ACTIVO FIJO |
78,165 |
78,072 |
64,552 |
66,683 |
50,235 |
49,973 |
11,856 |
11,731 |
823 |
679 |
7,878 |
8,595 |
IV. TOTAL
DE ACTIVOS(I + II + III) |
3,225,810 |
3,377,313 |
2,604,425 |
2,583,648 |
1,847,899 |
2,016,902 |
272,665 |
275,515 |
192,088 |
147,080 |
162,173 |
173,280 |
V.
DERECHOS FUTUROS Y CONTING. NETAS |
176,602 |
167,110 |
155,569 |
146,896 |
101,223 |
98,461 |
16,463 |
16,200 |
13,946 |
5,432 |
7,086 |
6,757 |
VI. TOTAL
ACTIVOS + DER. FUT. Y CONTING.(IV+V) |
3,402,412 |
3,544,423 |
2,759,994 |
2,730,543 |
1,949,122 |
2,115,363 |
289,128 |
291,715 |
206,034 |
152,512 |
169,259 |
180,037 |
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PASIVO |
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I. PASIVOS
DE INTERMEDIACION (1+2+3+4+5+6) |
2,832,224 |
2,944,199 |
2,240,682 |
2,202,758 |
1,602,655 |
1,719,021 |
237,959 |
239,446 |
171,444 |
123,262 |
128,687 |
137,645 |
1.
DEPOSITOS |
2,013,835 |
2,237,902 |
1,549,506 |
1,615,004 |
1,150,887 |
1,258,622 |
201,512 |
190,681 |
107,135 |
93,608 |
122,135 |
122,348 |
2.
PRESTAMOS |
583,712 |
479,190 |
476,911 |
353,202 |
358,293 |
302,566 |
34,758 |
47,430 |
59,558 |
23,940 |
6,386 |
15,074 |
3.
OBLIGACIONES A LA VISTA |
6,681 |
9,123 |
13,355 |
16,967 |
12,238 |
12,283 |
1,680 |
1,335 |
4,752 |
5,714 |
166 |
223 |
4. TITULOS
DE EMISION PROPIA |
186,152 |
217,984 |
200,909 |
217,584 |
81,237 |
145,550 |
8 |
0 |
0 |
0 |
0 |
0 |
5. DOC.
VENDIDOS CON PACTOS DE RETROVENTA |
41,844 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
6. CHEQUES
Y OTROS VALORES POR APLICAR |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
II. OTROS
PASIVOS |
34,257 |
27,346 |
45,447 |
32,119 |
13,873 |
21,120 |
2,859 |
2,848 |
2,170 |
5,570 |
11,948 |
12,456 |
III.
OBLIGACIONES CONVERTIBLES EN ACCIONES |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
IV. DEUDA
SUBORDINADA |
0 |
0 |
25,313 |
24,345 |
15,333 |
35,543 |
0 |
0 |
0 |
0 |
0 |
0 |
V. TOTAL PASIVOS(I+II+III+IV) |
2,866,481 |
2,971,545 |
2,311,441 |
2,259,222 |
1,631,860 |
1,775,684 |
240,817 |
242,294 |
173,614 |
128,832 |
140,636 |
150,102 |
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PATRIMONIO |
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1. CAPITAL
SOCIAL PAGADO |
138,286 |
200,000 |
135,000 |
135,000 |
90,000 |
90,000 |
14,514 |
14,514 |
13,000 |
13,000 |
14,871 |
14,871 |
2. APORTES
DE CAPITAL PENDIENTES DE FORMALIZAR |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
3.
RESERVAS DE CAPITAL |
87,350 |
52,779 |
32,768 |
42,858 |
51,739 |
65,800 |
1,713 |
3,591 |
1,419 |
1,561 |
298 |
386 |
4.
RESULTADOS DE EJERCICIOS ANTERIORES |
767 |
0 |
11,775 |
11,615 |
10,832 |
9,499 |
0 |
(1) |
2,502 |
1,025 |
(1,707) |
38 |
5.
PATRIMONIO RESTRINGIDO |
74,421 |
79,021 |
72,404 |
95,104 |
47,197 |
50,442 |
9,930 |
9,850 |
1,552 |
2,662 |
4,174 |
4,694 |
6. RESULTADOS DEL PRESENTE
EJERCICIO |
39,215 |
55,376 |
30,591 |
28,113 |
7,400 |
15,621 |
1,703 |
1,105 |
0 |
0 |
1,746 |
790 |
VI. TOTAL
PATRIMONIO(1+2+3+4+5+6) |
340,038 |
387,176 |
282,538 |
312,690 |
207,169 |
231,362 |
27,861 |
29,059 |
18,473 |
18,248 |
19,381 |
20,780 |
VII.
COMPROMISOS FUTUROS Y CONTINGENCIAS |
195,893 |
185,702 |
166,015 |
158,632 |
110,092 |
108,317 |
20,450 |
20,362 |
13,946 |
5,432 |
9,242 |
9,156 |
PASIVO +
PATRIMONIO + COMP. FUT. Y CONT.(V+VI+VII) |
3,402,412 |
3,544,423 |
2,759,994 |
2,730,543 |
1,949,122 |
2,115,363 |
289,128 |
291,715 |
206,034 |
152,512 |
169,259 |
180,037 |
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FUENTE: Cifras
remitidas por cada una de las Entidades Financieras. |
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Cuadro No. 3.2 |
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BANCOS |
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CIFRAS DEL BALANCE |
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SALDOS AL 31 DE DICIEMBRE
DE 2005 - 2006 |
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(EN MILES DE DOLARES) |
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RUBROS DEL BALANCE |
G
& T Continental |
PROMERICA |
SCOTIABANK |
BANCO UNO |
AMERICA
CENTRAL |
FIRST
COMMERCIAL |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
ACTIVO |
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I. ACTIVOS
DE INTERMEDIACION(1+2+3+4) |
45,466 |
61,709 |
211,347 |
255,312 |
1,500,564 |
1,642,170 |
303,555 |
388,534 |
437,737 |
522,556 |
16,774 |
15,585 |
1.
DISPONIBILIDADES |
3,063 |
5,454 |
29,633 |
41,240 |
156,806 |
199,658 |
32,780 |
44,539 |
53,227 |
68,108 |
11,242 |
9,999 |
2.
ADQUISICION TEMPORAL DE DOC. NETOS |
0 |
3,413 |
13,720 |
4,100 |
0 |
1,757 |
3,800 |
0 |
1,628 |
2,255 |
0 |
0 |
3.
INVERSIONES FINANCIERAS |
15,965 |
8,134 |
28,490 |
33,277 |
220,137 |
219,425 |
36,672 |
42,210 |
84,553 |
80,167 |
422 |
250 |
4.
PRESTAMOS NETOS |
26,438 |
44,708 |
139,505 |
176,695 |
1,123,622 |
1,221,330 |
230,303 |
301,785 |
298,329 |
372,027 |
5,110 |
5,336 |
II. OTROS
ACTIVOS |
5,941 |
6,448 |
12,501 |
13,372 |
35,169 |
36,249 |
4,754 |
6,271 |
5,911 |
9,733 |
51 |
57 |
III.
ACTIVO FIJO |
4,862 |
567 |
3,353 |
3,760 |
51,703 |
49,829 |
1,679 |
1,651 |
7,572 |
8,556 |
19 |
11 |
IV. TOTAL
DE ACTIVOS(I + II + III) |
56,269 |
68,724 |
227,201 |
272,444 |
1,587,436 |
1,728,248 |
309,988 |
396,456 |
451,221 |
540,845 |
16,844 |
15,653 |
V.
DERECHOS FUTUROS Y CONTING. NETAS |
5,380 |
5,522 |
2,459 |
2,062 |
36,272 |
50,317 |
743 |
384 |
19,803 |
25,701 |
0 |
0 |
VI. TOTAL
ACTIVOS + DER. FUT. Y CONTING.(IV+V) |
61,649 |
74,246 |
229,660 |
274,506 |
1,623,709 |
1,778,565 |
310,731 |
396,840 |
471,023 |
566,546 |
16,844 |
15,653 |
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PASIVO |
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I. PASIVOS
DE INTERMEDIACION (1+2+3+4+5+6) |
39,874 |
39,722 |
201,782 |
237,177 |
1,382,454 |
1,495,373 |
268,641 |
344,373 |
396,488 |
469,579 |
4,138 |
2,445 |
1.
DEPOSITOS |
33,252 |
28,275 |
196,135 |
224,034 |
1,050,645 |
1,196,772 |
212,731 |
248,270 |
273,958 |
333,992 |
4,136 |
2,431 |
2.
PRESTAMOS |
6,560 |
10,000 |
5,169 |
12,195 |
218,286 |
163,020 |
37,686 |
68,921 |
84,006 |
80,841 |
0 |
0 |
3.
OBLIGACIONES A LA VISTA |
61 |
47 |
478 |
948 |
6,692 |
6,396 |
180 |
367 |
3,473 |
7,658 |
2 |
13 |
4. TITULOS
DE EMISION PROPIA |
0 |
0 |
0 |
0 |
106,831 |
129,185 |
18,043 |
23,942 |
35,051 |
43,577 |
0 |
0 |
5. DOC.
VENDIDOS CON PACTOS DE RETROVENTA |
0 |
1,400 |
0 |
0 |
0 |
0 |
0 |
2,873 |
0 |
3,512 |
0 |
0 |
6.-
CHEQUES Y OTROS VALORES POR APLICAR |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
II. OTROS
PASIVOS |
355 |
2,960 |
2,591 |
4,447 |
16,961 |
20,689 |
4,692 |
4,167 |
5,492 |
12,037 |
20 |
80 |
III.
OBLIGACIONES CONVERTIBLES EN ACCIONES |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
IV. DEUDA
SUBORDINADA |
0 |
0 |
0 |
5,000 |
5,120 |
5,120 |
0 |
5,154 |
0 |
0 |
0 |
0 |
V. TOTAL PASIVOS(I+II+III+IV) |
40,228 |
42,682 |
204,373 |
246,624 |
1,404,535 |
1,521,182 |
273,333 |
353,693 |
401,980 |
481,617 |
4,158 |
2,525 |
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PATRIMONIO |
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1. CAPITAL
SOCIAL PAGADO |
13,068 |
23,068 |
15,143 |
15,143 |
114,131 |
114,131 |
13,271 |
20,771 |
19,429 |
30,000 |
13,000 |
13,000 |
2. APORTES
DE CAPITAL PENDIENTES DE FORMALIZAR |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
3.
RESERVAS DE CAPITAL |
20 |
51 |
609 |
965 |
30,815 |
33,826 |
3,318 |
4,022 |
3,725 |
4,878 |
4 |
25 |
4.
RESULTADOS DE EJERCICIOS ANTERIORES |
0 |
0 |
1,646 |
2,886 |
7,493 |
11,406 |
11,748 |
9,630 |
13,978 |
10,024 |
0 |
(39) |
5.
PATRIMONIO RESTRINGIDO |
2,202 |
1,796 |
4,062 |
4,862 |
23,728 |
25,923 |
5,643 |
7,712 |
5,466 |
6,183 |
0 |
0 |
6. RESULTADOS DEL PRESENTE
EJERCICIO |
0 |
273 |
1,349 |
1,941 |
4,591 |
19,426 |
2,676 |
628 |
6,629 |
8,129 |
(318) |
141 |
VI. TOTAL
PATRIMONIO(1+2+3+4+5+6) |
15,289 |
25,187 |
22,808 |
25,797 |
180,757 |
204,713 |
36,656 |
42,763 |
49,227 |
59,215 |
12,686 |
13,128 |
VII.
COMPROMISOS FUTUROS Y CONTINGENCIAS |
6,131 |
6,377 |
2,479 |
2,085 |
38,417 |
52,670 |
743 |
384 |
19,816 |
25,715 |
0 |
0 |
PASIVO +
PATRIMONIO + COMP. FUT. Y CONT.(V+VI+VII) |
61,649 |
74,246 |
229,660 |
274,506 |
1,623,709 |
1,778,565 |
310,731 |
396,840 |
471,023 |
566,546 |
16,844 |
15,653 |
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FUENTE: Cifras
remitidas por cada una de las Entidades Financieras. |
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Cuadro No. 3.3 |
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BANCOS |
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CIFRAS DEL BALANCE |
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SALDOS AL 31 DE DICIEMBRE
DE 2005 - 2006 |
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(EN MILES DE DOLARES) |
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RUBROS DEL BALANCE |
BANCO
PROCREDIT |
TOTAL
SISTEMA |
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2005 |
2006 |
2005 |
2006 |
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ACTIVO |
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I. ACTIVOS
DE INTERMEDIACION(1+2+3+4) |
122,529 |
155,579 |
10,434,187 |
11,086,848 |
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1.
DISPONIBILIDADES |
14,962 |
17,577 |
1,335,640 |
1,322,896 |
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2.
ADQUISICION TEMPORAL DE DOC. NETOS |
0 |
0 |
36,077 |
23,029 |
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3.
INVERSIONES FINANCIERAS |
6,421 |
9,490 |
2,052,163 |
1,808,266 |
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4.
PRESTAMOS NETOS |
101,146 |
128,512 |
7,010,306 |
7,932,658 |
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II. OTROS
ACTIVOS |
1,968 |
3,805 |
361,631 |
388,536 |
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III.
ACTIVO FIJO |
6,575 |
6,885 |
289,273 |
286,993 |
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IV. TOTAL
DE ACTIVOS(I + II + III) |
131,072 |
166,269 |
11,085,091 |
11,762,378 |
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V.
DERECHOS FUTUROS Y CONTING. NETAS |
171 |
1,749 |
535,716 |
526,591 |
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VI. TOTAL
ACTIVOS + DER. FUT. Y CONTING.(IV+V) |
131,243 |
168,018 |
11,620,807 |
12,288,969 |
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PASIVO |
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I. PASIVOS
DE INTERMEDIACION (1+2+3+4+5+6) |
105,033 |
136,843 |
9,612,060 |
10,091,845 |
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1.
DEPOSITOS |
64,744 |
93,083 |
6,980,612 |
7,645,023 |
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2.
PRESTAMOS |
39,905 |
41,986 |
1,911,230 |
1,598,366 |
|
|
|
|
|
|
|
3.
OBLIGACIONES A LA VISTA |
130 |
785 |
49,887 |
61,860 |
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|
|
|
|
|
4. TITULOS
DE EMISION PROPIA |
0 |
0 |
628,232 |
777,821 |
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|
|
|
|
|
5. DOC.
VENDIDOS CON PACTOS DE RETROVENTA |
0 |
0 |
41,844 |
7,785 |
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|
|
|
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6. CHEQUES
Y OTROS VALORES POR APLICAR |
254 |
989 |
254 |
989 |
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|
|
|
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|
|
II. OTROS
PASIVOS |
2,893 |
5,417 |
143,557 |
151,255 |
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III.
OBLIGACIONES CONVERTIBLES EN ACCIONES |
0 |
0 |
0 |
0 |
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|
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IV. DEUDA
SUBORDINADA |
5,116 |
5,128 |
50,882 |
80,290 |
|
|
|
|
|
|
|
V. TOTAL PASIVOS(I+II+III+IV) |
113,042 |
147,388 |
9,806,499 |
10,323,390 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
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|
PATRIMONIO |
|
|
|
|
|
|
|
|
|
|
|
1. CAPITAL
SOCIAL PAGADO |
13,114 |
13,114 |
606,826 |
696,611 |
|
|
|
|
|
|
|
2. APORTES
DE CAPITAL PENDIENTES DE FORMALIZAR |
0 |
0 |
0 |
0 |
|
|
|
|
|
|
|
3.
RESERVAS DE CAPITAL |
1,335 |
1,660 |
215,115 |
212,403 |
|
|
|
|
|
|
|
4.
RESULTADOS DE EJERCICIOS ANTERIORES |
0 |
0 |
59,033 |
56,086 |
|
|
|
|
|
|
|
5.
PATRIMONIO RESTRINGIDO |
2,277 |
2,804 |
253,055 |
291,052 |
|
|
|
|
|
|
|
6. RESULTADOS DEL PRESENTE
EJERCICIO |
1,304 |
1,302 |
96,885 |
132,847 |
|
|
|
|
|
|
|
VI. TOTAL
PATRIMONIO(1+2+3+4+5+6) |
18,030 |
18,881 |
1,230,914 |
1,388,998 |
|
|
|
|
|
|
|
VII.
COMPROMISOS FUTUROS Y CONTINGENCIAS |
171 |
1,749 |
583,394 |
576,581 |
|
|
|
|
|
|
|
PASIVO +
PATRIMONIO + COMP. FUT. Y CONT.(V+VI+VII) |
131,243 |
168,018 |
11,620,807 |
12,288,969 |
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FUENTE: Cifras
remitidas por cada una de las Entidades Financieras. |
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