Cuadro No. 39 |
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CONTROLADORAS DE FINALIDAD
EXCLUSIVA |
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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 |
INVERSIONES FINANCIERAS BANCO
AGRICOLA, S.A. |
INVERSIONES FINANCIERAS
CUSCATLAN, S.A. |
INVERSIONES FINANCIERAS BANCOSAL,
S.A. |
INVERSIONES FINANCIERAS
PROMERICA, S.A. |
INVERSIONES
FINANCIERAS SCOTIABANK EL SALVADOR, S.A. |
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ACTIVO |
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I. ACTIVOS DEL GIRO
(1+2+3+4+5+6) |
3,142,383 |
3,283,149 |
2,477,198 |
2,455,150 |
1,752,796 |
1,929,757 |
211,347 |
255,312 |
1,532,185 |
1,673,655 |
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1. CAJAS Y BANCOS |
490,445 |
378,449 |
280,779 |
292,851 |
199,053 |
233,620 |
29,633 |
41,240 |
159,123 |
205,125 |
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2. REPORTOS Y OTRAS
OPERACIONES BURSATILES |
0 |
8,232 |
2,889 |
3,272 |
11,757 |
3,267 |
13,720 |
4,100 |
965 |
2,116 |
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3. INVERSIONES FINANCIERAS
NETAS |
621,917 |
639,861 |
608,215 |
388,530 |
313,908 |
275,755 |
28,490 |
33,277 |
237,936 |
237,402 |
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4. CARTERA DE PRESTAMOS NETOS |
2,013,826 |
2,239,001 |
1,585,315 |
1,748,282 |
1,214,828 |
1,404,442 |
139,506 |
176,695 |
1,127,192 |
1,225,918 |
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5. PRIMAS POR COBRAR NETAS |
12,878 |
15,268 |
0 |
22,216 |
6,070 |
5,778 |
0 |
0 |
5,081 |
2,256 |
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6. DEUDORES POR SEGUROS Y
FIANZAS |
3,318 |
2,338 |
0 |
0 |
7,182 |
6,894 |
0 |
0 |
1,888 |
837 |
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II. OTROS ACTIVOS |
81,405 |
51,092 |
135,001 |
114,499 |
37,076 |
29,395 |
11,040 |
10,689 |
21,247 |
17,490 |
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III. ACTIVO FIJO |
80,675 |
80,047 |
77,788 |
87,977 |
65,301 |
64,982 |
3,353 |
3,760 |
56,817 |
54,935 |
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IV. CREDITO MERCANTIL |
12,422 |
7,308 |
0 |
0 |
192 |
1,383 |
0 |
0 |
1,192 |
1,662 |
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V. TOTAL DE ACTIVOS(I + II +
III+IV) |
3,316,886 |
3,421,596 |
2,689,987 |
2,657,626 |
1,855,365 |
2,025,517 |
225,740 |
269,761 |
1,611,440 |
1,747,742 |
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PASIVO |
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I. PASIVOS DEL GIRO
(1+2+3+4+5+6+7+8) |
2,863,351 |
2,933,478 |
2,239,119 |
2,231,432 |
1,626,406 |
1,728,112 |
201,727 |
237,164 |
1,374,864 |
1,489,622 |
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1. DEPOSITOS |
2,003,758 |
2,205,538 |
1,546,184 |
1,606,026 |
1,149,366 |
1,256,914 |
196,080 |
224,020 |
1,039,073 |
1,186,925 |
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2. PRESTAMOS DEL BANCO
MULTISECTORIAL DE INVERSIONES |
36,942 |
24,071 |
18,212 |
19,868 |
34,409 |
19,045 |
3,356 |
8,124 |
11,206 |
7,267 |
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3. PRESTAMOS DE OTROS BANCOS |
579,701 |
467,741 |
463,711 |
348,357 |
343,554 |
289,396 |
1,813 |
4,071 |
207,080 |
155,753 |
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4 REPORTOS Y OTRAS
OBLIGACIONES BURSATILES |
41,844 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
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5. TITULOS DE EMISION PROPIA |
184,099 |
216,137 |
196,884 |
212,835 |
80,387 |
144,700 |
0 |
0 |
105,421 |
127,781 |
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6. SOCIEDADES ACREEDORES DE
SEGUROS Y FIANZAS |
5,432 |
5,377 |
0 |
0 |
5,296 |
4,668 |
0 |
0 |
3,179 |
2,768 |
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7. DEPOSITOS DE PRIMAS |
505 |
736 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
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8. DIVERSOS |
11,071 |
13,879 |
14,128 |
44,345 |
13,394 |
13,389 |
478 |
948 |
8,906 |
9,128 |
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II. OTROS PASIVOS |
63,999 |
58,428 |
154,244 |
90,500 |
26,814 |
34,665 |
2,727 |
4,603 |
31,363 |
31,732 |
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III. RESERVAS TECNICAS Y POR
SINIESTROS |
25,421 |
26,468 |
0 |
0 |
14,022 |
15,047 |
0 |
0 |
11,192 |
9,173 |
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IV. DEUDA SUBORDINADA |
0 |
0 |
25,313 |
24,345 |
15,333 |
35,543 |
0 |
5,000 |
5,120 |
5,120 |
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V. TOTAL PASIVOS(I+II+III+IV) |
2,952,772 |
3,018,373 |
2,418,676 |
2,346,276 |
1,682,575 |
1,813,367 |
204,454 |
246,767 |
1,422,539 |
1,535,647 |
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VI. INTERESES MINORITARIOS EN
SUBSIDIARIAS |
50,068 |
54,301 |
13,197 |
12,917 |
12,341 |
10,696 |
0 |
0 |
23,472 |
23,261 |
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PATRIMONIO |
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1. CAPITAL SOCIAL PAGADO |
166,857 |
200,000 |
175,663 |
202,662 |
131,995 |
152,000 |
17,245 |
17,245 |
106,297 |
106,297 |
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2. RESERVAS DE CAPITAL,
RESULTADOS ACUMULADOS Y PATRIMONIO NO GANADO |
147,189 |
148,921 |
82,452 |
95,770 |
28,454 |
49,454 |
4,041 |
5,749 |
59,132 |
82,536 |
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VII. TOTAL PATRIMONIO(1+2) |
314,046 |
348,921 |
258,115 |
298,433 |
160,449 |
201,454 |
21,286 |
22,994 |
165,429 |
188,834 |
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PASIVO + PATRIMONIO (V+VI+VII) |
3,316,886 |
3,421,596 |
2,689,987 |
2,657,626 |
1,855,365 |
2,025,517 |
225,740 |
269,761 |
1,611,440 |
1,747,742 |
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FUENTE: Cifras remitidas por
cada una de las Entidades Financieras. |
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RUBROS DEL BALANCE |
INVERSIONES FINANCIERAS UNO,
S.A. |
INVERSIONES FINANCIERAS BANCO DE
AMERICA CENTRAL, S.A. |
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ACTIVO |
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I. ACTIVOS DEL GIRO
(1+2+3+4+5+6) |
303,476 |
388,425 |
435,850 |
526,648 |
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1. CAJAS Y BANCOS |
38,618 |
49,971 |
53,875 |
68,831 |
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2. REPORTOS Y OTRAS
OPERACIONES BURSATILES |
3,800 |
500 |
4,041 |
4,107 |
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3. INVERSIONES FINANCIERAS
NETAS |
36,896 |
42,210 |
85,608 |
81,096 |
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4. CARTERA DE PRESTAMOS NETOS |
224,162 |
295,744 |
292,326 |
372,614 |
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5. PRIMAS POR COBRAR NETAS |
0 |
0 |
0 |
0 |
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6. DEUDORES POR SEGUROS Y
FIANZAS |
0 |
0 |
0 |
0 |
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II. OTROS ACTIVOS |
14,141 |
13,685 |
15,206 |
19,376 |
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III. ACTIVO FIJO |
7,053 |
8,880 |
15,689 |
16,648 |
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IV. CREDITO MERCANTIL |
0 |
0 |
0 |
0 |
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V. TOTAL DE ACTIVOS(I + II +
III+IV) |
324,670 |
410,991 |
466,745 |
562,671 |
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PASIVO |
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I. PASIVOS DEL GIRO
(1+2+3+4+5+6+7+8) |
268,856 |
341,967 |
396,090 |
478,848 |
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1. DEPOSITOS |
211,397 |
246,671 |
273,560 |
333,256 |
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2. PRESTAMOS DEL BANCO
MULTISECTORIAL DE INVERSIONES |
0 |
0 |
11,354 |
1,957 |
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3. PRESTAMOS DE OTROS BANCOS |
39,415 |
71,355 |
67,616 |
88,889 |
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4 REPORTOS Y OTRAS
OBLIGACIONES BURSATILES |
0 |
0 |
0 |
3,512 |
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5. TITULOS DE EMISION PROPIA |
18,044 |
23,942 |
35,051 |
43,577 |
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6. SOCIEDADES ACREEDORES DE
SEGUROS Y FIANZAS |
0 |
0 |
0 |
0 |
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7. DEPOSITOS DE PRIMAS |
0 |
0 |
0 |
0 |
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8. DIVERSOS |
0 |
0 |
8,508 |
7,658 |
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II. OTROS PASIVOS |
13,700 |
25,023 |
10,457 |
16,693 |
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III. RESERVAS TECNICAS Y POR
SINIESTROS |
0 |
0 |
0 |
0 |
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IV. DEUDA SUBORDINADA |
0 |
5,154 |
0 |
0 |
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V. TOTAL PASIVOS(I+II+III+IV) |
282,556 |
372,144 |
406,547 |
495,541 |
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VI. INTERESES MINORITARIOS EN
SUBSIDIARIAS |
20,617 |
6,194 |
0 |
0 |
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PATRIMONIO |
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1. CAPITAL SOCIAL PAGADO |
9,454 |
10,730 |
42,949 |
42,949 |
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2. RESERVAS DE CAPITAL,
RESULTADOS ACUMULADOS Y PATRIMONIO NO GANADO |
12,042 |
21,923 |
17,250 |
24,182 |
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VII. TOTAL PATRIMONIO(1+2) |
21,497 |
32,652 |
60,198 |
67,131 |
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PASIVO + PATRIMONIO (V+VI+VII) |
324,670 |
410,991 |
466,745 |
562,671 |
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FUENTE: Cifras remitidas por
cada una de las Entidades Financieras. |
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