| | | BANPRO | BANCO LAFISE BANCENTRO | BAC | BDF | BANCO FICOHSA | AVANZ | BANCO PRODUZCAMOS | BANCO ATLÁNTIDA | Financiera FDL, S.A. | Sistema Bancario y Financiero | | Activo | 113,644,134.1 | 97,828,807.6 | 100,001,032.1 | 24,298,075.8 | 32,011,080.2 | 15,014,505.9 | 7,375,887.2 | 2,903,686.9 | 4,237,342.6 | 397,314,552.5 | | Efectivo y Equivalentes de Efectivo | 31,450,395.8 | 24,821,565.5 | 21,844,238.0 | 5,760,416.7 | 8,377,708.2 | 3,742,756.3 | 600,908.9 | 755,424.9 | 624,059.5 | 97,977,473.7 | | Moneda Nacional | 19,218,817.8 | 7,690,218.8 | 7,461,447.2 | 1,791,232.1 | 3,961,261.6 | 1,910,322.6 | 472,978.3 | 201,416.9 | 198,681.0 | 42,906,376.3 | | Caja | 3,442,705.4 | 2,198,598.3 | 3,366,884.1 | 277,743.4 | 610,122.8 | 293,114.1 | 16,081.0 | 30,565.6 | 122,441.4 | 10,358,256.1 | | Banco Central de Nicaragua | 5,845,741.8 | 4,715,862.1 | 3,590,748.8 | 685,869.8 | 637,035.4 | 342,164.2 | 279.2 | 152,826.7 | 40.4 | 15,970,568.5 | | Instituciones Financieras | 647,587.1 | 333,041.3 | 203,739.3 | 102,829.8 | 59,069.4 | 513,369.7 | 21,023.7 | 8,502.8 | 76,199.3 | 1,965,362.4 | | Depósitos Restringidos | 0.0 | 42,617.0 | 0.0 | 0.0 | 2,543.2 | 21,974.6 | 0.0 | 9,521.8 | 0.0 | 76,656.7 | | Equivalentes de Efectivo | 9,282,783.4 | 400,100.0 | 300,075.0 | 724,789.1 | 2,652,490.7 | 739,700.0 | 435,594.4 | 0.0 | 0.0 | 14,535,532.7 | | Moneda Extranjera | 12,231,578.0 | 17,131,346.7 | 14,382,790.7 | 3,969,184.7 | 4,416,446.5 | 1,832,433.7 | 127,930.6 | 554,008.0 | 425,378.5 | 55,071,097.4 | | Caja | 1,789,559.8 | 1,515,599.6 | 2,612,081.4 | 261,553.1 | 565,989.4 | 400,467.5 | 2,498.5 | 44,545.1 | 100,871.1 | 7,293,165.6 | | Banco Central de Nicaragua | 7,315,092.0 | 7,992,743.4 | 8,763,116.2 | 2,496,838.1 | 2,568,220.6 | 1,257,284.0 | 73,861.9 | 93,333.0 | 2,955.6 | 30,563,444.7 | | Instituciones Financieras | 3,092,245.2 | 3,946,470.3 | 3,007,593.2 | 620,974.3 | 891,750.1 | 129,852.4 | 51,570.2 | 93,033.2 | 321,551.8 | 12,155,040.7 | | Depósitos Restringidos | 34,681.0 | 715,379.9 | 0.0 | 40,642.3 | 134,080.6 | 26,481.0 | 0.0 | 103,320.4 | 0.0 | 1,054,585.2 | | Equivalentes de Efectivo | 0.0 | 2,961,153.5 | 0.0 | 549,176.9 | 256,405.7 | 18,348.8 | 0.0 | 219,776.3 | 0.0 | 4,004,861.3 | | Inversiones a Valor Razonable con Cambios en Resultados | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Inversiones a Valor Razonable con Cambios en Otro Resultado Integral | 1,210,005.4 | 1,883,747.9 | 10,380,894.8 | 0.0 | 4,643,729.1 | 6,750.0 | 250.0 | 546,064.4 | 0.0 | 18,671,441.5 | | Cartera a Costo Amortizado | 76,676,672.1 | 65,889,154.9 | 65,383,696.2 | 17,718,834.9 | 16,981,031.3 | 10,527,566.3 | 6,510,945.4 | 1,540,805.7 | 3,390,744.8 | 264,619,451.6 | | Inversiones a Costo Amortizado, Neto | 6,471,905.5 | 20,815,851.6 | 0.0 | 2,137,138.7 | 0.0 | 387,955.3 | 3,307,618.3 | 0.0 | 110,448.0 | 33,230,917.3 | | Cartera de Créditos, Neta | 70,204,766.7 | 45,073,303.3 | 65,383,696.2 | 15,581,696.2 | 16,981,031.3 | 10,139,611.0 | 3,203,327.2 | 1,540,805.7 | 3,280,296.8 | 231,388,534.3 | | Vigentes | 68,292,256.2 | 44,740,135.8 | 66,685,451.4 | 15,164,319.7 | 16,786,295.8 | 10,125,795.0 | 3,096,070.3 | 1,504,139.4 | 3,222,733.1 | 229,617,196.6 | | Prorrogados | 32,598.5 | 93,739.2 | 149,964.6 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 276,302.3 | | Reestructurados | 2,816,744.5 | 727,188.0 | 2,315,227.6 | 553,608.0 | 339,644.4 | 152,055.3 | 2,582.9 | 56,365.7 | 6,837.4 | 6,970,253.8 | | Vencidos | 559,081.0 | 410,516.9 | 318,659.0 | 150,715.1 | 159,963.8 | 54,172.9 | 6,450.7 | 14,649.7 | 60,956.2 | 1,735,165.4 | | Cobro Judicial | 308,707.5 | 151,336.7 | 247,449.3 | 35,607.7 | 63,367.4 | 9,154.8 | 212,524.7 | 0.0 | 0.0 | 1,028,148.0 | | Diferimiento de comisiones y otros | -136,318.0 | -176,464.7 | -331,181.6 | -59,747.0 | -44,169.5 | -24,564.9 | -2,788.6 | -4,328.9 | -23,043.3 | -802,606.5 | | Intereses y Comisiones por Cobrar sobre Cartera de Créditos | 935,272.3 | 578,917.6 | 705,188.6 | 190,837.4 | 214,481.2 | 158,420.7 | 35,556.0 | 16,949.9 | 134,788.2 | 2,970,412.0 | | (-) Provisión de Cartera de Créditos | -2,603,575.5 | -1,452,066.0 | -4,707,062.6 | -453,644.7 | -538,551.8 | -335,422.8 | -147,068.9 | -46,970.2 | -121,974.9 | -10,406,337.4 | | Cuentas por Cobrar, Neto | 551,778.2 | 978,121.4 | 917,880.2 | 99,873.6 | 218,971.4 | 119,015.5 | 6,531.0 | 4,851.9 | 21,022.4 | 2,918,045.5 | | Activos no Corrientes Mantenidos para la Venta | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Activos Recibidos en Recuperación de Créditos | 192,260.1 | 206,448.8 | 0.0 | 39,431.7 | 1,403.1 | 526.9 | 2,482.6 | 0.0 | 3,002.8 | 445,556.1 | | Participaciones | 401,040.9 | 2,453,786.8 | 135,373.3 | 52,679.2 | 842,216.5 | 0.0 | 0.0 | 0.0 | 0.0 | 3,885,096.7 | | Activo Material | 2,140,232.5 | 1,048,912.1 | 1,231,450.9 | 251,295.7 | 514,699.2 | 342,849.2 | 141,773.9 | 15,000.9 | 85,092.7 | 5,771,307.2 | | Activos Intangibles | 494,271.9 | 172,849.7 | 22,909.4 | 116,310.8 | 162,782.0 | 42,696.8 | 68,747.5 | 35,619.6 | 7,783.1 | 1,123,970.9 | | Activos Fiscales | 21,581.3 | 39,454.2 | 0.0 | 75,664.9 | 32,189.3 | 5,629.2 | 22,605.5 | 49.3 | 54,365.9 | 251,539.7 | | Otros Activos | 505,895.8 | 334,766.4 | 84,589.4 | 183,568.2 | 236,350.1 | 226,715.7 | 21,642.3 | 5,870.2 | 51,271.4 | 1,650,669.6 | | Pasivo | 96,825,317.2 | 81,707,531.3 | 81,674,470.9 | 21,843,805.7 | 28,122,969.4 | 13,115,941.9 | 1,300,894.7 | 1,862,061.9 | 3,233,293.9 | 329,686,287.0 | | Pasivos Financieros a Costo Amortizado | 94,859,582.3 | 80,410,507.6 | 79,645,147.3 | 21,089,857.0 | 27,049,056.5 | 12,763,594.0 | 1,182,414.8 | 1,833,523.7 | 3,037,384.2 | 321,871,067.5 | | Obligaciones con el Público | 82,982,660.5 | 76,837,676.1 | 73,791,362.0 | 18,007,938.5 | 20,396,746.4 | 10,384,700.4 | 0.0 | 794,639.0 | 0.0 | 283,195,722.9 | | Moneda Nacional | 38,014,190.7 | 27,636,607.0 | 23,162,365.2 | 3,817,790.6 | 3,687,079.3 | 1,604,802.9 | 0.0 | 72,056.9 | 0.0 | 97,994,892.5 | | Depósitos a la Vista | 23,956,311.2 | 14,994,613.2 | 14,237,809.6 | 1,643,408.3 | 2,617,804.2 | 897,578.4 | 0.0 | 57,224.2 | 0.0 | 58,404,749.1 | | Depósitos de Ahorro | 13,051,648.0 | 11,825,949.8 | 8,295,046.4 | 2,083,599.2 | 623,949.8 | 547,945.8 | 0.0 | 9,479.2 | 0.0 | 36,437,618.3 | | Depósitos a Plazo | 1,006,231.5 | 816,044.0 | 629,509.1 | 90,783.1 | 445,325.3 | 159,278.6 | 0.0 | 5,353.5 | 0.0 | 3,152,525.1 | | Otros Depósitos del Público | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Moneda Extranjera | 44,731,975.2 | 48,960,603.5 | 50,438,746.4 | 13,968,981.9 | 16,533,325.3 | 8,717,931.4 | 0.0 | 720,370.6 | 0.0 | 184,071,934.2 | | Depósitos a la Vista | 11,526,112.6 | 10,671,799.5 | 16,220,224.0 | 1,683,093.4 | 3,985,466.5 | 2,062,068.6 | 0.0 | 165,092.2 | 0.0 | 46,313,856.7 | | Depósitos de Ahorro | 22,823,750.6 | 29,584,266.4 | 25,166,573.0 | 5,180,712.2 | 4,102,481.4 | 3,059,980.8 | 0.0 | 86,047.4 | 0.0 | 90,003,811.8 | | Depósitos a Plazo | 10,382,112.0 | 8,704,537.6 | 9,051,949.4 | 7,105,176.2 | 8,445,377.5 | 3,595,882.0 | 0.0 | 469,231.0 | 0.0 | 47,754,265.7 | | Otros Depósitos del Público | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Intereses sobre Obligaciones con el Público por Depósitos | 236,494.6 | 240,465.5 | 190,250.5 | 221,166.0 | 176,341.9 | 61,966.2 | 0.0 | 2,211.5 | 0.0 | 1,128,896.2 | | Otras Obligaciones Diversas con el Público | 1,845,567.3 | 632,209.0 | 305,979.3 | 89,384.1 | 78,470.7 | 103,781.4 | 3,001.5 | 2.7 | 8,199.9 | 3,066,595.9 | | Obligaciones por Depósitos de Instituciones Financieras y de Organismos Internacionales | 1,731,065.1 | 1,928,706.7 | 1,695,091.2 | 1,268,942.6 | 3,570,977.9 | 1,725,071.3 | 0.0 | 1,008,252.5 | 0.0 | 12,928,107.4 | | Obligaciones por Emisión de Deuda | 0.0 | 0.0 | 0.0 | 15,939.2 | 0.0 | 0.0 | 0.0 | 0.0 | 18,365.6 | 34,304.8 | | Pasivos por Operaciones de Reporto | 0.0 | 0.0 | 0.0 | 0.0 | 918,437.2 | 0.0 | 0.0 | 0.0 | 0.0 | 918,437.2 | | Obligaciones con Instituciones Financieras y por otros Financiamientos | 7,843,060.3 | 1,011,679.1 | 3,447,460.9 | 1,551,028.0 | 1,830,073.7 | 284,767.6 | 1,179,413.2 | 30,629.4 | 3,010,818.8 | 20,188,931.1 | | Obligaciones con el Banco Central de Nicaragua | 457,229.1 | 236.8 | 405,253.9 | 156,624.6 | 254,350.6 | 265,273.3 | 0.0 | 0.0 | 0.0 | 1,538,968.2 | | Arrendamiento Financiero | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Pasivos Financieros a Valor Razonable con Cambios en Resultados | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Pasivos Fiscales | 170,849.5 | 242,439.0 | 243,630.5 | 26,537.7 | 98,467.9 | 65,113.1 | 24,017.3 | 4,100.2 | 80,836.6 | 955,991.9 | | Obligaciones Subordinadas y/o Convertibles en Capital | 0.0 | 0.0 | 0.0 | 379,466.0 | 563,465.7 | 0.0 | 0.0 | 0.0 | 0.0 | 942,931.7 | | Otros Pasivos y Provisiones | 1,794,885.4 | 1,054,584.7 | 1,785,693.1 | 347,945.0 | 411,979.3 | 287,234.8 | 94,462.7 | 24,438.0 | 115,073.0 | 5,916,295.9 | | PATRIMONIO | 16,818,816.9 | 16,121,276.3 | 18,326,561.2 | 2,454,270.1 | 3,888,110.8 | 1,898,563.9 | 6,074,992.5 | 1,041,625.0 | 1,004,048.7 | 67,628,265.5 | | Fondos Propios | 16,729,154.0 | 15,685,194.6 | 17,975,676.0 | 2,444,196.3 | 3,664,552.1 | 1,843,763.7 | 5,989,916.9 | 1,039,854.6 | 972,778.0 | 66,345,086.3 | | Capital Social Pagado | 3,928,500.0 | 5,008,872.0 | 4,683,332.0 | 982,108.4 | 2,585,931.5 | 838,390.9 | 5,094,448.2 | 1,474,501.0 | 700,710.0 | 25,296,794.0 | | Aportes a Capitalizar | 4,321,823.0 | 0.6 | 1,464,972.0 | 695,861.7 | 0.0 | 0.3 | 0.0 | 0.0 | 70,702.4 | 6,553,360.0 | | Obligaciones Convertibles en Capital | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Capital Donado | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 258,418.0 | 0.0 | 0.0 | 258,418.0 | | Reservas Patrimoniales | 3,043,488.7 | 3,220,073.7 | 3,562,487.5 | 563,788.0 | 652,987.1 | 215,760.8 | 625,825.0 | 0.0 | 72,361.7 | 11,956,772.4 | | Resultados Acumulados | 5,288,774.1 | 7,176,424.5 | 7,979,160.0 | 185,496.4 | 397,655.3 | 769,186.1 | 0.0 | -455,405.4 | 117,312.3 | 21,458,603.3 | | Resultado del Ejercicio | 146,568.2 | 279,823.9 | 285,724.5 | 16,941.9 | 27,978.2 | 20,425.6 | 11,225.7 | 20,759.0 | 11,691.5 | 821,138.6 | | Otro Resultado Integral Neto | -33,460.2 | -38,422.2 | -2,386.5 | -991.6 | 14,385.8 | 1,686.0 | 16,200.1 | 1,770.4 | 4,215.1 | -37,003.0 | | Ajustes de Transición | 123,123.1 | 474,503.9 | 353,271.8 | 11,065.4 | 209,172.9 | 53,114.3 | 68,875.5 | 0.0 | 27,055.6 | 1,320,182.2 | | CUENTAS CONTINGENTES | 30,500,479.7 | 16,727,965.3 | 23,919,897.5 | 1,581,727.6 | 12,921,979.2 | 3,573,951.3 | 0.0 | 0.0 | 0.0 | 89,226,000.7 | | CUENTAS DE ORDEN | 198,378,735.6 | 111,240,420.5 | 573,545,565.9 | 51,242,565.8 | 37,244,815.1 | 25,765,406.9 | 15,331,525.4 | 2,597,700.2 | 5,620,267.0 | 1,020,967,002.4 |
| | Información contable reportada por las instituciones financieras supervisadas. | | La información de este Estado Financiero no ha sido auditada. Para mayor información le recomendamos visitar el sitio web de la institución, el cual contiene los Estados Financieros auditados más recientes. | | A partir de enero 2019 Banco Produzcamos Consolida en el Sistema Bancario y en el Sistema Financiero Nacional. | | La comparación de estados financieros es obligatoria a partir del año 2020. | | TIPO DE CAMBIO OFICIAL AL 31 DE ENERO DE 2026 C$ 36.6243 X US$ 1.00 | | TIPO DE CAMBIO OFICIAL AL 31 DE ENERO DE 2025 C$ 36.6243 X US$ 1.00 | | El Consejo Directivo de la SIBOIF mediante Resolución No. CD-SIBOIF-1218-1-DIC1-2020 de fecha 01 de diciembre del 2020, autorizó a FINANCIERA FINCA NICARAGUA, SOCIEDAD ANÓNIMA su solicitud de revocación de Licencia para operar como Financiera bajo la supervisión y regulación de la SIBOIF. Por lo anterior, a partir de enero de 2021, la SIBOIF no publica información relativa a esta entidad. | | El Consejo Directivo de la SIBOIF mediante Resolución No. CD-SIBOIF-1222-1-DIC17-2020 de fecha 17 de diciembre del 2020, autorizó a FINANCIERA FUNDESER, SOCIEDAD ANÓNIMA su solicitud de revocación de Licencia para operar como Financiera bajo la supervisión y regulación de la SIBOIF. Por lo anterior, a partir de enero de 2021, la SIBOIF no publica información relativa a esta entidad. | | El Banco Corporativo, S.A (BANCORP) solicitó la autorización a la Superintendencia de Bancos, para proceder a la disolución voluntaria anticipada; por consiguiente, de conformidad al artículo 15 de la ley No. 561 “Ley General de Bancos, Instituciones Financieras no Bancarias y Grupos Financieros”, a partir de julio del 2019 se suspendió la publicación en la página Web de la SIBOIF, de la información correspondiente a la entidad en mención. | | El Consejo Directivo Monetario y Financiero, mediante Resolución No. CDMF-V-4-25 de fecha 19 de febrero de 2025, autorizó la revocación de la licencia de FINANCIERA FAMA, SOCIEDAD ANÓNIMA, para operar como Financiera bajo la supervisión y regulación de la SIBOIF. Dicha revocación fue inscrita en el Registro Público de la Propiedad Inmueble y Mercantil de Managua en fecha 21 de marzo de 2025 y publicada en La Gaceta, Diario Oficial No. 62 del 1 de abril de 2025. Por lo anterior, a partir del mes de marzo de 2025, la SIBOIF no publica información relativa a esta entidad. |
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