Cuadro No.
5.1 |
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BANCOS |
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CIFRAS DEL ESTADO DE
RESULTADOS |
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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 |
AGRICOLA |
CUSCATLAN |
SALVADOREÑO |
HIPOTECARIO |
CITIBANK |
FOMENTO AGROPECUARIO |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
I. INGRESOS DE OPERACIONES DE
INTERMEDIACION |
224,982 |
251,801 |
161,815 |
177,295 |
120,556 |
155,521 |
19,431 |
20,473 |
8,271 |
9,175 |
13,157 |
14,470 |
1. CARTERA DE PRESTAMOS |
178,115 |
210,280 |
116,796 |
137,245 |
102,314 |
131,592 |
15,329 |
16,233 |
2,931 |
2,901 |
10,648 |
10,637 |
A. INTERESES |
155,148 |
185,960 |
108,556 |
129,348 |
90,355 |
114,854 |
12,439 |
14,559 |
2,910 |
2,898 |
10,336 |
10,020 |
B. COMISIONES |
21,642 |
23,799 |
7,469 |
7,500 |
8,326 |
10,908 |
1,615 |
530 |
20 |
3 |
251 |
547 |
C. OTRAS COMIS. Y RECARGOS SOBRE
CRDTOS. |
1,326 |
521 |
771 |
398 |
3,633 |
5,830 |
1,274 |
1,144 |
1 |
0 |
61 |
70 |
2. CARTERA DE INVERSIONES |
38,985 |
27,512 |
39,118 |
29,284 |
13,878 |
16,337 |
3,286 |
3,086 |
4,497 |
4,514 |
2,035 |
3,030 |
3. OPERACIONES DE PACTO DE RETROVENTA |
153 |
209 |
0 |
0 |
78 |
43 |
96 |
22 |
0 |
0 |
92 |
164 |
4. INTERESES SOBRE DEPOSITOS |
7,728 |
13,799 |
5,901 |
10,766 |
4,285 |
7,550 |
720 |
1,133 |
844 |
1,759 |
382 |
638 |
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II. COSTOS DE CAPTACION DE
RECURSOS |
67,200 |
86,767 |
64,511 |
78,552 |
44,049 |
59,310 |
6,616 |
7,549 |
3,818 |
3,110 |
3,325 |
4,257 |
1. COSTOS DE DEPOSITOS |
32,605 |
46,317 |
28,069 |
34,337 |
22,173 |
28,440 |
3,830 |
4,625 |
732 |
845 |
3,117 |
3,729 |
2. COSTOS DE PRESTAMO |
25,570 |
28,002 |
23,660 |
29,985 |
16,992 |
18,963 |
1,552 |
2,139 |
2,427 |
2,087 |
207 |
529 |
3. COSTOS POR EMISION DE TITULOS VALORES |
6,841 |
10,055 |
9,081 |
11,364 |
2,297 |
6,846 |
0 |
0 |
0 |
0 |
1 |
0 |
4. PRIMAS POR GARANTIA DE DEPOSITOS |
1,904 |
2,049 |
1,495 |
1,581 |
1,136 |
1,194 |
293 |
297 |
105 |
112 |
0 |
0 |
5. OTROS COSTOS DE CAPTACION |
281 |
344 |
2,205 |
1,284 |
1,450 |
3,867 |
942 |
489 |
554 |
66 |
0 |
0 |
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III. RESERVAS DE SANEAMIENTO |
33,284 |
27,964 |
19,604 |
9,092 |
12,128 |
14,714 |
1,386 |
1,742 |
730 |
1,129 |
43 |
0 |
IV. CASTIGOS DE ACTIVOS |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
V. UTILIDAD DE INTERMEDIACION
(I - II - III - IV) |
124,498 |
137,070 |
77,700 |
89,651 |
64,379 |
81,496 |
11,429 |
11,182 |
3,724 |
4,936 |
9,789 |
10,212 |
VI. INGRESOS DE OTRAS OPERACIONES |
30,951 |
31,532 |
19,754 |
21,560 |
10,812 |
13,297 |
998 |
1,021 |
4,253 |
3,435 |
1,996 |
2,143 |
VII. COSTOS DE OTRAS
OPERACIONES |
18,604 |
17,852 |
10,166 |
26,019 |
8,200 |
7,958 |
552 |
225 |
93 |
56 |
368 |
495 |
VIII. GTOS. DE OPERACION
(GTOS. DE ADMON) |
76,959 |
76,552 |
56,018 |
60,714 |
45,293 |
50,201 |
10,060 |
10,359 |
6,842 |
7,860 |
14,457 |
10,895 |
IX. UTILIDAD DE OPERACION (V +
VI - VII - VIII ) |
59,886 |
74,198 |
31,270 |
24,478 |
21,699 |
36,634 |
1,815 |
1,619 |
1,042 |
455 |
(3,041) |
965 |
X. OTROS INGRESOS Y GASTOS NO
OPERACIONALES |
(11,113) |
(218) |
6,224 |
10,550 |
1,549 |
1,409 |
973 |
125 |
1,060 |
961 |
6,017 |
(87) |
INGRESOS |
17,676 |
18,517 |
35,247 |
36,476 |
23,604 |
19,018 |
1,443 |
549 |
1,130 |
1,029 |
7,524 |
1,110 |
GASTOS |
28,790 |
18,735 |
29,023 |
25,926 |
22,055 |
17,609 |
471 |
424 |
70 |
68 |
1,507 |
1,197 |
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XI. IMPUESTOS SOBRE LA RENTA |
9,441 |
12,228 |
3,504 |
3,791 |
4,679 |
7,876 |
558 |
431 |
419 |
95 |
932 |
0 |
XII. UTILIDAD O ( PERDIDA )
ANTES DE RESERVA LEGAL (IX + X - XI) |
39,332 |
61,752 |
33,990 |
31,237 |
18,569 |
30,168 |
2,230 |
1,313 |
1,683 |
1,321 |
2,044 |
878 |
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FUENTE:
Cifras remitidas por cada una de las Entidades Financieras. |
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Cuadro No. 5.2 |
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BANCOS |
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CIFRAS DEL ESTADO DE
RESULTADOS |
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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 |
G & T
CONTINENTAL |
PROMERICA |
SCOTIABANK |
BANCO UNO |
AMERICA CENTRAL |
FIRST COMMERCIAL BANK |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
2005 |
2006 |
I. INGRESOS DE OPERACIONES DE
INTERMEDIACION |
4,975 |
2,176 |
20,433 |
25,086 |
113,811 |
127,067 |
48,324 |
74,117 |
42,269 |
49,743 |
584 |
856 |
1. CARTERA DE PRESTAMOS |
3,314 |
1,581 |
18,587 |
21,943 |
99,719 |
108,202 |
45,637 |
70,334 |
36,639 |
44,506 |
312 |
411 |
A. INTERESES |
3,106 |
1,444 |
15,877 |
18,505 |
86,770 |
95,416 |
45,629 |
70,325 |
34,016 |
41,114 |
296 |
404 |
B. COMISIONES |
185 |
107 |
2,691 |
3,413 |
10,683 |
11,937 |
8 |
9 |
1,244 |
2,025 |
16 |
6 |
C. OTRAS COMIS. Y RECARGOS SOBRE
CRDTOS. |
23 |
29 |
19 |
26 |
2,266 |
849 |
0 |
0 |
1,379 |
1,366 |
0 |
0 |
2. CARTERA DE INVERSIONES |
1,487 |
445 |
1,036 |
1,700 |
10,104 |
11,976 |
1,547 |
2,013 |
4,670 |
3,651 |
11 |
18 |
3. OPERACIONES DE PACTO DE RETROVENTA |
1 |
8 |
103 |
129 |
0 |
3 |
62 |
2 |
2 |
1 |
0 |
0 |
4. INTERESES SOBRE DEPOSITOS |
173 |
141 |
707 |
1,314 |
3,988 |
6,885 |
1,077 |
1,768 |
958 |
1,584 |
261 |
427 |
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II. COSTOS DE CAPTACION DE
RECURSOS |
2,845 |
2,606 |
7,588 |
10,211 |
41,423 |
48,377 |
10,351 |
15,726 |
11,216 |
16,212 |
20 |
14 |
1. COSTOS DE DEPOSITOS |
1,769 |
792 |
5,619 |
7,622 |
23,408 |
28,340 |
7,570 |
9,849 |
6,158 |
7,819 |
16 |
10 |
2. COSTOS DE PRESTAMO |
439 |
220 |
202 |
425 |
8,715 |
9,621 |
1,166 |
4,241 |
3,597 |
5,208 |
0 |
0 |
3. COSTOS POR EMISION DE TITULOS VALORES |
0 |
19 |
0 |
0 |
4,617 |
6,964 |
1,244 |
1,091 |
1,150 |
2,385 |
0 |
0 |
4. PRIMAS POR GARANTIA DE DEPOSITOS |
81 |
32 |
252 |
287 |
1,106 |
1,103 |
196 |
218 |
0 |
0 |
3 |
3 |
5. OTROS COSTOS DE CAPTACION |
555 |
1,542 |
1,514 |
1,876 |
3,577 |
2,349 |
175 |
326 |
311 |
800 |
1 |
2 |
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III. RESERVAS DE SANEAMIENTO |
187 |
1,960 |
1,688 |
2,364 |
16,840 |
6,804 |
18,688 |
33,524 |
9,812 |
1,431 |
384 |
280 |
IV. CASTIGOS DE ACTIVOS |
4 |
13 |
0 |
0 |
385 |
16 |
0 |
33 |
0 |
0 |
0 |
0 |
V. UTILIDAD DE INTERMEDIACION
(I - II - III - IV) |
1,939 |
(2,403) |
11,157 |
12,511 |
55,163 |
71,870 |
19,284 |
24,834 |
21,241 |
32,099 |
180 |
562 |
VI. INGRESOS DE OTRAS OPERACIONES |
248 |
89 |
2,569 |
3,358 |
10,097 |
10,943 |
291 |
587 |
1,883 |
2,533 |
27 |
35 |
VII. COSTOS DE OTRAS
OPERACIONES |
32 |
10 |
295 |
430 |
1,974 |
1,681 |
312 |
378 |
24 |
9,043 |
6 |
7 |
VIII. GTOS. DE OPERACION
(GTOS. DE ADMON) |
3,260 |
2,762 |
10,435 |
11,596 |
56,379 |
50,769 |
13,340 |
20,598 |
15,393 |
17,791 |
520 |
478 |
IX. UTILIDAD DE OPERACION (V +
VI - VII - VIII ) |
(1,106) |
(5,085) |
2,996 |
3,844 |
6,906 |
30,363 |
5,924 |
4,445 |
7,706 |
7,798 |
(319) |
112 |
X. OTROS INGRESOS Y GASTOS NO
OPERACIONALES |
1,309 |
5,389 |
(691) |
(283) |
708 |
(248) |
1,864 |
2,601 |
1,573 |
3,634 |
1 |
97 |
INGRESOS |
2,221 |
6,704 |
1,311 |
1,464 |
8,110 |
8,853 |
2,990 |
3,093 |
2,952 |
5,025 |
1 |
97 |
GASTOS |
912 |
1,314 |
2,002 |
1,747 |
7,402 |
9,100 |
1,126 |
491 |
1,380 |
1,391 |
0 |
0 |
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XI. IMPUESTOS SOBRE LA RENTA |
0 |
0 |
503 |
750 |
2,262 |
7,071 |
1,565 |
1,465 |
1,722 |
1,918 |
0 |
0 |
XII. UTILIDAD O ( PERDIDA )
ANTES DE RESERVA LEGAL (IX + X - XI) |
203 |
304 |
1,802 |
2,810 |
5,352 |
23,044 |
6,223 |
5,581 |
7,557 |
9,514 |
(318) |
209 |
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FUENTE:
Cifras remitidas por cada una de las Entidades Financieras. |
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Cuadro No. 5.3 |
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BANCOS |
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CIFRAS DEL ESTADO DE
RESULTADOS |
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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 |
PROCREDIT |
TOTAL SISTEMA |
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2005 |
2006 |
2005 |
2006 |
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I. INGRESOS DE OPERACIONES DE
INTERMEDIACION |
20,365 |
25,091 |
798,974 |
932,869 |
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1. CARTERA DE PRESTAMOS |
19,849 |
24,171 |
650,191 |
780,036 |
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A. INTERESES |
17,981 |
21,799 |
583,420 |
706,648 |
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B. COMISIONES |
1,800 |
2,372 |
55,950 |
63,155 |
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C. OTRAS COMIS. Y RECARGOS SOBRE
CRDTOS. |
67 |
0 |
10,821 |
10,233 |
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2. CARTERA DE INVERSIONES |
205 |
371 |
120,860 |
103,938 |
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3. OPERACIONES DE PACTO DE RETROVENTA |
25 |
0 |
612 |
581 |
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4. INTERESES SOBRE DEPOSITOS |
287 |
549 |
27,311 |
48,314 |
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II. COSTOS DE CAPTACION DE
RECURSOS |
4,655 |
6,232 |
267,617 |
338,924 |
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1. COSTOS DE DEPOSITOS |
2,496 |
3,298 |
137,559 |
176,023 |
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2. COSTOS DE PRESTAMO |
2,070 |
2,833 |
86,598 |
104,253 |
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3. COSTOS POR EMISION DE TITULOS VALORES |
0 |
0 |
25,232 |
38,724 |
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4. PRIMAS POR GARANTIA DE DEPOSITOS |
63 |
71 |
6,635 |
6,946 |
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5. OTROS COSTOS DE CAPTACION |
26 |
30 |
11,593 |
12,977 |
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III. RESERVAS DE SANEAMIENTO |
2,363 |
2,905 |
117,138 |
103,911 |
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IV. CASTIGOS DE ACTIVOS |
94 |
0 |
483 |
62 |
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V. UTILIDAD DE INTERMEDIACION
(I - II - III - IV) |
13,253 |
15,953 |
413,736 |
489,972 |
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VI. INGRESOS DE OTRAS OPERACIONES |
208 |
336 |
84,086 |
90,868 |
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VII. COSTOS DE OTRAS
OPERACIONES |
18 |
82 |
40,646 |
64,236 |
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VIII. GTOS. DE OPERACION
(GTOS. DE ADMON) |
12,117 |
15,109 |
321,072 |
335,683 |
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IX. UTILIDAD DE OPERACION (V +
VI - VII - VIII ) |
1,326 |
1,098 |
136,104 |
180,922 |
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X. OTROS INGRESOS Y GASTOS NO
OPERACIONALES |
1,286 |
1,738 |
10,759 |
25,669 |
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INGRESOS |
1,720 |
2,042 |
105,930 |
103,978 |
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GASTOS |
434 |
305 |
95,171 |
78,309 |
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XI. IMPUESTOS SOBRE LA RENTA |
762 |
828 |
26,346 |
36,454 |
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XII. UTILIDAD O ( PERDIDA )
ANTES DE RESERVA LEGAL (IX + X - XI) |
1,851 |
2,007 |
120,517 |
170,137 |
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FUENTE:
Cifras remitidas por cada una de las Entidades Financieras. |
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