| SISTEMA BANCARIO Y FINANCIERAS (CONSOLIDADO) BALANCE GENERAL CONDENSADO (En millones de Córdobas C$) |
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| Al 31 de diciembre de 2005 | |||||||||||
| Descripción | BANPRO | BANCENTRO | BAC | BDF | B.UNO | PROCREDIT | CALEY | FINARCA | FINDESA | BANISTMO | Sistema Bancario y Financieras |
| I. ACTIVO TOTAL | 13,261.73 | 10,481.20 | 8,509.34 | 6,144.63 | 4,086.19 | 1,337.73 | 370.79 | 1,257.12 | 377.12 | 45,825.85 | |
| 1. Disponibilidades | 2,237.36 | 1,592.73 | 2,056.19 | 1,117.62 | 1,172.54 | 171.17 | 55.73 | 202.29 | 38.30 | 8,643.92 | |
| Moneda Nacional | 754.65 | 525.44 | 572.48 | 329.06 | 271.70 | 45.10 | 2.66 | 85.70 | 3.28 | 2,590.07 | |
| Caja | 109.52 | 78.17 | 158.46 | 26.29 | 28.00 | 16.25 | 0.24 | 15.19 | 0.41 | 432.53 | |
| Depósitos en el BCN | 643.94 | 428.54 | 413.63 | 302.76 | 242.89 | 28.10 | 0.02 | 33.03 | 0.96 | 2,093.87 | |
| Documentos al Cobro | 1.20 | 18.74 | 0.38 | 0.01 | 0.03 | 0.06 | 0.00 | 0.27 | 0.00 | 20.69 | |
| Otros | 0.00 | 0.00 | 0.00 | 0.00 | 0.78 | 0.68 | 2.40 | 37.22 | 1.91 | 42.99 | |
| Moneda Extranjera | 1,482.70 | 1,067.29 | 1,483.71 | 788.57 | 900.83 | 126.07 | 53.07 | 116.59 | 35.02 | 6,053.85 | |
| Caja | 115.62 | 73.84 | 111.95 | 25.08 | 43.08 | 15.54 | 0.74 | 25.65 | 1.31 | 412.80 | |
| Depósitos en el BCN | 1,235.64 | 872.59 | 1,134.67 | 572.08 | 389.62 | 84.85 | 19.15 | 47.86 | 11.25 | 4,367.69 | |
| Depositos en Institut. Finan. del Exterior | 131.18 | 113.96 | 237.15 | 191.41 | 465.76 | 18.46 | 2.09 | 3.75 | 19.89 | 1,183.65 | |
| Otros | 0.27 | 6.90 | -0.06 | 0.00 | 2.38 | 7.22 | 31.09 | 39.32 | 2.57 | 89.71 | |
| 2. Inversiones Temporales | 93.23 | 47.64 | 985.11 | 406.16 | 463.68 | 0.00 | 0.00 | 12.03 | 0.00 | 2,007.86 | |
| 3. Inversiones Permanentes | 4,744.55 | 3,319.86 | 23.24 | 1,406.03 | 122.24 | 0.00 | 3.78 | 27.95 | 13.90 | 9,661.55 | |
| 4. Cartera de Créditos Neta | 5,740.69 | 4,666.17 | 5,048.45 | 2,951.86 | 2,104.16 | 1,058.54 | 281.63 | 933.44 | 305.80 | 23,090.75 | |
| Cartera de Crédito Bruta | 5,946.61 | 4,869.82 | 5,271.55 | 3,040.25 | 2,243.74 | 1,105.59 | 288.99 | 951.55 | 308.91 | 24,027.01 | |
| Creditos Corrientes | 5,842.22 | 4,780.63 | 5,160.50 | 2,992.74 | 2,123.25 | 1,094.80 | 281.94 | 942.50 | 308.91 | 23,527.47 | |
| Créditos Vencidos | 104.39 | 89.20 | 111.06 | 47.51 | 120.50 | 10.79 | 7.05 | 9.05 | 0.00 | 499.54 | |
| Provisión para Cartera de Créditos | -205.92 | -203.65 | -223.10 | -88.39 | -139.59 | -47.05 | -7.35 | -18.10 | -3.10 | -936.26 | |
| 5. Intereses y Comisiones p/Cobrar s/Cartera | 105.49 | 112.34 | 33.66 | 53.06 | 17.51 | 28.58 | 2.27 | 34.13 | 1.45 | 388.50 | |
| 6. Otras Cuentas por Cobrar | 38.42 | 130.88 | 25.78 | 14.73 | 44.07 | 11.64 | 1.23 | 4.96 | 0.31 | 272.01 | |
| 7. Bienes de Uso | 199.04 | 417.89 | 289.34 | 118.60 | 129.86 | 48.50 | 10.04 | 19.32 | 6.63 | 1,239.22 | |
| 8. Otros Activos | 102.95 | 193.68 | 47.56 | 76.57 | 32.14 | 19.30 | 16.12 | 22.99 | 10.72 | 522.03 | |
| II. PASIVO TOTAL | 12,222.82 | 9,661.55 | 7,669.30 | 5,621.77 | 3,685.44 | 1,117.03 | 304.23 | 1,121.30 | 231.45 | 41,634.89 | |
| 1. Depósitos | 10,971.05 | 8,227.53 | 6,746.37 | 4,970.70 | 3,409.70 | 408.19 | 117.55 | 346.60 | 40.72 | 35,238.40 | |
| Moneda Nacional | 3,957.40 | 2,767.77 | 1,683.64 | 1,637.33 | 997.99 | 58.52 | 0.00 | 139.71 | 3.92 | 11,246.29 | |
| Depósitos en Cuentas Corrientes | 971.43 | 728.28 | 479.46 | 184.16 | 97.44 | 6.46 | 0.00 | 0.00 | 3.42 | 2,470.65 | |
| Depósitos de Ahorro | 955.35 | 1,050.76 | 232.10 | 570.55 | 304.35 | 24.71 | 0.00 | 30.25 | 0.34 | 3,168.40 | |
| Depósitos a Plazo | 1,461.78 | 896.25 | 288.16 | 880.58 | 533.31 | 27.20 | 0.00 | 109.46 | 0.16 | 4,196.89 | |
| Otros Depósitos | 568.83 | 92.48 | 683.93 | 2.05 | 62.89 | 0.15 | 0.00 | 0.00 | 0.01 | 1,410.34 | |
| Moneda Extranjera | 7,013.65 | 5,459.76 | 5,062.72 | 3,333.37 | 2,411.71 | 349.66 | 117.55 | 206.89 | 36.80 | 23,992.11 | |
| Depósitos en Cuentas Corrientes | 819.22 | 864.80 | 937.38 | 367.19 | 247.88 | 11.63 | 0.00 | 0.00 | 23.25 | 3,271.36 | |
| Depósitos de Ahorro | 2,555.25 | 2,556.49 | 1,523.87 | 1,778.00 | 1,251.91 | 119.54 | 23.72 | 73.28 | 3.36 | 9,885.41 | |
| Depósitos a Plazo | 2,997.05 | 1,875.29 | 1,436.02 | 1,187.14 | 797.84 | 218.49 | 93.83 | 133.61 | 10.19 | 8,749.47 | |
| Otros Depósitos | 642.13 | 163.18 | 1,165.45 | 1.04 | 114.08 | 0.00 | 0.00 | 0.00 | 0.00 | 2,085.88 | |
| 2. Otras Obligaciones con el Público | 192.99 | 88.52 | 73.33 | 61.93 | 29.32 | 4.54 | 0.48 | 2.95 | 0.10 | 454.16 | |
| 3. Otras Oblig. Con Inst. Finan. Y otros Financiam. | 952.68 | 1,035.89 | 640.83 | 567.51 | 163.65 | 661.61 | 183.07 | 743.46 | 172.88 | 5,121.57 | |
| Préstamos de la FNI | 325.19 | 304.03 | 342.42 | 167.04 | 108.18 | 170.07 | 19.37 | 129.60 | 0.00 | 1,565.89 | |
| Préstamos de Inst. Financieras del Ext. | 44.41 | 277.56 | 0.00 | 85.73 | 4.86 | 107.98 | 161.37 | 51.44 | 112.30 | 845.64 | |
| Otros | 583.08 | 454.30 | 298.41 | 314.74 | 50.61 | 383.56 | 2.33 | 562.42 | 60.58 | 2,710.04 | |
| 4. Obligaciones con el BCN | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 13.45 | 13.45 | |
| 5. Otras Cuentas por Pagar y Provisiones | 95.37 | 157.06 | 189.73 | 20.82 | 70.96 | 41.83 | 3.08 | 20.83 | 4.29 | 603.96 | |
| 6. Otros Pasivos | 10.73 | 87.45 | 19.05 | 0.80 | 11.82 | 0.85 | 0.05 | 1.05 | 0.01 | 131.81 | |
| 7. Oblig. Subordinadas y/o Convertibles en Capital | 0.00 | 65.10 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 6.43 | 0.00 | 71.53 | |
| III. PATRIMONIO | 1,038.91 | 819.65 | 840.04 | 522.86 | 400.75 | 220.70 | 66.56 | 135.81 | 145.68 | 4,190.96 | |
| 1. Capital Social | 250.00 | 200.00 | 225.00 | 260.00 | 161.00 | 169.19 | 50.00 | 90.00 | 161.00 | 1,566.19 | |
| 2. Aportes Patrimoniales no capitalizados | 0.00 | 0.00 | 0.00 | 27.47 | 0.00 | 0.00 | 0.00 | 1.89 | 0.62 | 29.98 | |
| 3. Ajustes Patrimoniales | 0.00 | 21.07 | 0.80 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 21.87 | |
| 4. Reservas Patrimoniales | 127.88 | 103.60 | 157.11 | 45.86 | 78.31 | 10.10 | 3.20 | 7.53 | 0.00 | 533.60 | |
| 5. Resultados Acum de Ejerciciones anteriores | 345.08 | 261.55 | 225.65 | 49.39 | 39.21 | 0.00 | 2.22 | 0.00 | 0.00 | 923.09 | |
| 6. Resultados del periodo | 315.94 | 233.44 | 231.48 | 140.14 | 122.23 | 41.41 | 11.15 | 36.40 | -15.94 | 1,116.23 | |
| IV. CUENTAS CONTINGENTES | 1,736.33 | 993.63 | 629.88 | 103.04 | 1,612.51 | 0.00 | 5.06 | 2.95 | 0.60 | 5,083.99 | |
| V. CUENTAS DE ORDEN | 9,158.45 | 20,141.19 | 12,307.81 | 4,841.50 | 1,907.98 | 2,835.80 | 538.24 | 2,277.90 | 623.95 | 54,632.82 | |