revista-158 - page 54

54
Centro Financiero
BALANCE DE SITUACIÓN AGOSTO 2013
(En millones de Balboas)
CENTRO
BANCARIO
INTERNACIONAL
BANCA
EXTRANJERA
PRIVADA
SISTEMA
BANCARIO
NACIONAL
BANCA
PRIVADA
BANCA
OFICIAL
BANCA
PANAMEÑA
PRIVADA
ACTIVOS LÍQUIDOS
16,494.31
6,005.40
12,971.38
9,488.05
3,483.32
3,482.66
Dep. Loc. en Bancos
3,000.26
1,109.63
2,770.03
2,166.77
603.26
1,057.14
Dep Ext. en Bancos
12,550.07
4,632.12
9,257.85
1,630.22
2,540.39
2,085.34
Otros
943.98
263.64
943.51
603.83
339.68
340.19
PRESTAMOS
61,917.98
28,158.00
51,411.98
46,427.80
4,984.18
18,269.80
Internos
36,344.91
14,582.61
36,344.91
31,298.38
5,046.53
16,715.77
Externos
26,281.81
13,889.58
15,679.60
15,679.64
-
1,790.05
INVERSIONES
15,399.23
5,669.57
12,308.18
10,318.98
1,989.20
4,649.41
Internas
5,352.94
1,476.25
5,258.39
3,469.69
1,788.70
1,993.45
Externas
10,048.58
4,194.50
7,052.07
6,851.57
200.50
2,657.07
OTROS ACTIVOS
3,355.26
1,306.59
2,908.98
2,586.20
322.78
1,279.62
Internos
2,544.78
932.48
2,471.53
2,149.70
321.83
1,217.22
Externos
810.48
374.11
437.46
436.50
0.95
62.40
TOTAL ACTIVOS
97,166.77
41,139.55
79,600.53
68,821.04
10,779.49
27,681.49
DEPÓSITOS
70,230.45
29,162.35
59,739.64
50,212.44
9,527.20
21,681.49
Locales
40,186.20
12,922.34
40,186.20
30,716.65
9,469.56
17,794.31
Oficiales
6,440.20
100.85
6,440.20
105.88
6,334.32
5.03
De Particulares
30,747.95
11,411.67
30,747.95
28,599.40
2,148.55
17,187.73
De Bancos
2,998.06
1,409.82
2,998.06
2,011.37
986.69
601.54
Externos
30,044.25
16,240.01
19,347.30
19,553.44
57.64
3,255.79
De Particulares
21,921.94
10,221.46
12,665.47
12,665.47
57.64
2,386.37
De Bancos
8,053.14
5,949.40
6,818.82
6,818.82
-
869.42
OBLIGACIONES
14,202.85
6,159.37
9,245.85
9,245.85
11.38
3,075.11
Internas
1,462.55
381.78
1,462.55
1,462.55
11.38
1,069.39
Externas
12,740.30
5,777.59
7,783.31
7,783.31
-
2,005.72
OTROS PASIVOS
2,790.57
1,052.94
2,531.96
2,531.96
387.13
1,091.95
Locales
2,245.17
815.71
2,206.64
2,206.64
385.13
1,005.81
Extranjeros
545.40
237.23
325.32
325.32
1.94
86.15
PATRIMONIO
9,942.90
4,764.90
8,083.07
8,083.07
853.85
2,464.33
Capital
5,293.51
2,398.73
4,657.65
4,657.65
769.02
1,489.91
Reserva de Capital
737.77
95.21
96.87
96.87
1.66
-
Otras Reservas
5.87
(35.31)
(24.45)
(24.45)
0.04
10.82
Utilidad de Perio. Ante.
2,995.40
19,18.75
2,705.00
2,705.00
8.81
777.44
Utilidad de Periodo
903.95
400.84
586.61
586.61
50.03
135.74
PASIVO
Y PATRIMONIO
97,286.93
41,139.55
79,600.53
79,600.53
10,779.49
27,681.49
Fuente: Superintendencia de Bancos
1...,44,45,46,47,48,49,50,51,52,53 55,56,57,58,59,60,61,62,63,...64
Powered by FlippingBook