Cuadro No. 37 |
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BANCOS |
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CIFRAS DEL
BALANCE CONSOLIDADO CON SUS SUBSIDIARIAS |
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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
AGRICOLA, S.A. |
BANCO CUSCATLAN DE EL SALVADOR, S.A. |
BANCO
SALVADOREÑO, S.A. |
BANCO G & T CONTINENTAL, S.A. |
SCOTIABANK EL SALVADOR, S.A. |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
ACTIVO |
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I. ACTIVOS
DE INTERMEDIACION(1+2+3+4) |
3,069,678
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3,221,181 |
2,408,808 |
2,368,895 |
1,728,614 |
1,903,405 |
45,587 |
61,709 |
1,506,778 |
1,652,157 |
1. CAJA Y
BANCOS |
467,124
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365,486 |
274,609 |
277,139 |
198,579 |
228,306 |
3,066 |
5,454 |
158,747 |
205,061 |
2.
REPORTOS Y OTRAS OPERACIONES BURSATILES NETAS |
0 |
8,232 |
2,889 |
3,272 |
10,662 |
120 |
0 |
3,413 |
965 |
2,116 |
3.
INVERSIONES FINANCIERAS |
588,916
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610,278 |
551,315 |
346,909 |
302,622 |
268,984 |
16,083 |
8,134 |
220,140 |
220,122 |
4.
PRESTAMOS NETOS |
2,013,638
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2,237,185 |
1,579,995 |
1,741,575 |
1,216,751 |
1,405,996 |
26,438 |
44,708 |
1,126,927 |
1,224,858 |
II. OTROS
ACTIVOS |
50,068 |
42,099 |
80,968 |
91,880 |
33,600 |
27,467 |
5,688 |
6,295 |
20,288 |
16,957 |
III.
ACTIVO FIJO |
78,596 |
78,503 |
70,651 |
72,658 |
59,402 |
59,034 |
4,862 |
567 |
54,515 |
52,679 |
IV.
CREDITO MERCANTIL |
0 |
0 |
0 |
0 |
0 |
348 |
0 |
0 |
419 |
1,404 |
V. TOTAL
DE ACTIVOS(I + II + III+IV) |
3,198,342 |
3,341,783 |
2,560,427 |
2,533,433 |
1,821,616 |
1,990,255 |
56,137 |
68,571 |
1,582,000 |
1,723,197 |
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PASIVO |
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I. PASIVOS
DE INTERMEDIACION (1+2+3+4+5) |
2,832,162 |
2,937,337 |
2,240,167 |
2,202,132 |
1,602,572 |
1,718,726 |
39,738 |
39,562 |
1,381,130 |
1,495,700 |
1.
DEPOSITOS DE CLIENTES |
2,013,773 |
2,231,113 |
1,548,285 |
1,613,281 |
1,150,854 |
1,258,377 |
33,116 |
28,115 |
1,048,466 |
1,195,119 |
2.
PRESTAMOS DEL BANCO MULTISECTORIAL |
36,942 |
24,071 |
18,212 |
19,868 |
34,409 |
19,045 |
1,002 |
0 |
11,206 |
7,267 |
3.
PRESTAMOS DE OTROS BANCOS |
544,000 |
452,647 |
458,699 |
333,334 |
323,054 |
282,416 |
5,558 |
10,000 |
207,080 |
155,753 |
4.
REPORTOS Y OTRAS OBLIGACIONES BURSATILES |
41,844 |
0 |
0 |
0 |
0 |
0 |
0 |
1,400 |
0 |
0 |
5. TITULOS
DE EMISION PROPIA |
186,152 |
217,911 |
200,844 |
217,584 |
81,187 |
145,500 |
0 |
0 |
106,831 |
129,185 |
6.
DIVERSOS |
9,450 |
11,595 |
14,128 |
18,065 |
13,067 |
13,389 |
61 |
47 |
7,548 |
8,375 |
II. OTROS
PASIVOS |
53,954 |
48,603 |
43,753 |
48,151 |
23,092 |
32,837 |
1,110 |
3,842 |
23,328 |
27,780 |
III.
OBLIGACIONES CONVERTIBLES EN ACCIONES |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
IV. DEUDA
SUBORDINADA |
0 |
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25,313 |
24,345 |
15,333 |
35,543 |
0 |
0 |
5,120 |
5,120 |
V. TOTAL PASIVOS(I+II+III+IV) |
2,886,116 |
2,985,940 |
2,309,233 |
2,274,627 |
1,640,997 |
1,787,106 |
40,847 |
43,404 |
1,409,579 |
1,528,600 |
VI.
INTERES MINORITARIO EN SUBSIDIARIAS |
7 |
21 |
0 |
0 |
0 |
0 |
0 |
0 |
1,626 |
0 |
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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 |
13,068 |
23,068 |
114,131 |
114,131 |
2.
RESERVAS DE CAPITAL, RESULTADOS ACUMULADOS Y PATRIMONIO NO GANADO |
173,933 |
155,821 |
116,194 |
123,806 |
90,619 |
113,148 |
2,222 |
2,100 |
56,664 |
80,465 |
VII. TOTAL
PATRIMONIO(1+2) |
312,219 |
355,821 |
251,194 |
258,806 |
180,619 |
203,148 |
15,289 |
25,167 |
170,795 |
194,597 |
PASIVO +
PATRIMONIO (VI+VII) |
3,198,342 |
3,341,783 |
2,560,427 |
2,533,433 |
1,821,616 |
1,990,255 |
56,137 |
68,571 |
1,582,000 |
1,723,197 |
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FUENTE: Cifras remitidas
por cada una de las Entidades Financieras. |
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