| Descripción | BANPRO | BANCO LAFISE BANCENTRO | BAC | BDF | BANCO FICOHSA | AVANZ | BANCORP | FINANCIERA FAMA | FINANCIERA FINCA NICARAGUA | FINANCIERA FUNDESER | Financiera FDL, S.A. | Sistema Bancario y Financiero | | Ingresos financieros | 2,453,672.3 | 1,985,991.5 | 1,984,747.1 | 941,631.7 | 805,110.1 | 293,385.6 | 96,320.4 | 293,751.8 | 196,560.5 | 217,809.2 | 432,790.8 | 9,701,771.1 | | Ingresos financieros por disponibilidades | 10,901.1 | 3,935.3 | 9,988.9 | 3,408.1 | 1,661.3 | 156.4 | 2,441.8 | 993.8 | 731.7 | 694.5 | 1,464.7 | 36,377.5 | | Ingresos por inversiones en valores | 181,983.9 | 183,608.6 | 21,603.1 | 39,354.7 | 64,744.1 | 0.0 | 20,572.1 | 648.0 | 0.0 | 0.0 | 24.6 | 512,539.2 | | Ingresos financieros por cartera de creditos | 2,230,043.4 | 1,726,869.0 | 1,948,173.4 | 894,250.8 | 733,495.1 | 293,114.8 | 63,929.4 | 288,827.4 | 195,822.9 | 217,114.7 | 428,895.1 | 9,020,536.0 | | Ingresos financieros por operaciones de Reportos y valores derivados | 1,925.0 | 231.9 | 30.8 | 536.2 | 3,861.9 | 114.4 | 7,511.2 | 120.6 | 0.0 | 0.0 | 237.8 | 14,569.7 | | Otros ingresos financieros | 28,818.8 | 71,346.7 | 4,951.0 | 4,081.9 | 1,347.7 | 0.0 | 1,866.0 | 3,162.1 | 5.9 | 0.0 | 2,168.7 | 117,748.7 | | | | | | | | | | | | | | | | Gastos financieros | 617,499.7 | 485,234.5 | 453,449.7 | 337,096.2 | 212,019.8 | 72,003.9 | 14,044.2 | 73,942.2 | 48,396.7 | 61,630.1 | 108,965.2 | 2,484,282.2 | | Gastos financieros por obligaciones con el público | 386,655.5 | 277,334.8 | 280,986.8 | 163,032.7 | 128,604.2 | 49,408.7 | 13,681.0 | 3,337.4 | 1,200.8 | 4,545.4 | 0.0 | 1,308,787.2 | | Gastos financieros por obligaciones con instituciones financieras y por otros financiamientos | 183,193.1 | 173,770.8 | 158,299.1 | 154,054.2 | 60,816.6 | 22,342.2 | 341.3 | 66,083.6 | 40,929.1 | 48,969.1 | 96,494.1 | 1,005,292.9 | | Gastos financieros por otras cuentas por pagar | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Gastos financieros con oficina central y sucursales | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | | Gastos financieros por obligaciones subordinadas y obligaciones convertibles en capital | 41,339.6 | 32,657.9 | 0.0 | 16,785.3 | 12,388.9 | 0.0 | 0.0 | 0.0 | 4,181.1 | 4,577.6 | 9,133.1 | 121,063.4 | | Gastos financieros por operaciones de valores y derivados | 157.3 | 1,468.5 | 2,767.2 | 0.0 | 9,272.4 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 13,665.4 | | Otros gastos financieros | 6,154.2 | 2.5 | 11,396.6 | 3,224.0 | 937.7 | 253.1 | 22.0 | 4,521.2 | 2,085.7 | 3,538.1 | 3,338.1 | 35,473.3 | | Margen financiero antes de ajuste monetario | 1,836,172.6 | 1,500,757.0 | 1,531,297.4 | 604,535.5 | 593,090.3 | 221,381.7 | 82,276.2 | 219,809.6 | 148,163.8 | 156,179.1 | 323,825.6 | 7,217,488.9 | | Ingresos (Gastos) netos por ajustes monetarios 1\ | 192,809.4 | 160,444.7 | 198,146.5 | 51,570.4 | 34,290.3 | 11,375.0 | 28,062.5 | 7,756.7 | 8,160.9 | 4,941.0 | 8,083.4 | 705,640.6 | | Margen financiero bruto | 2,028,981.9 | 1,661,201.7 | 1,729,443.9 | 656,105.9 | 627,380.6 | 232,756.7 | 110,338.7 | 227,566.3 | 156,324.7 | 161,120.1 | 331,909.0 | 7,923,129.5 | | Ingresos (Gastos) netos por estimacion preventiva para riesgos crediticios | -324,144.5 | -269,148.4 | -189,949.2 | -106,948.6 | -219,952.2 | -34,632.8 | -7,546.1 | -29,391.1 | -39,572.0 | -77,798.9 | -96,771.1 | -1,395,854.9 | | Margen financiero, neto | 1,704,837.4 | 1,392,053.3 | 1,539,494.7 | 549,157.3 | 407,428.4 | 198,123.9 | 102,792.7 | 198,175.3 | 116,752.7 | 83,321.2 | 235,137.8 | 6,527,274.6 | | Ingresos (Gastos) operativos diversos, neto 1\ | 605,701.6 | 386,242.3 | 565,553.9 | 95,646.1 | 130,740.8 | 36,625.5 | 19,015.2 | 7,174.3 | 1,098.7 | -8,251.0 | 19,779.5 | 1,859,326.9 | | Ingresos operativos diversos | 697,628.4 | 649,456.1 | 603,040.9 | 166,143.7 | 172,247.8 | 50,688.9 | 30,014.8 | 14,224.0 | 1,741.2 | 5,616.2 | 22,427.8 | 2,413,229.7 | | Gastos operativos diversos | 91,926.8 | 263,213.7 | 37,486.9 | 70,497.6 | 41,507.0 | 14,063.3 | 10,999.7 | 7,049.8 | 642.5 | 13,867.2 | 2,648.2 | 553,902.8 | | Resultado operativo bruto | 2,310,539.0 | 1,778,295.6 | 2,105,048.7 | 644,803.3 | 538,169.2 | 234,749.4 | 121,807.8 | 205,349.5 | 117,851.4 | 75,070.2 | 254,917.4 | 8,386,601.5 | | Participacion en resultado de subsidiarias y asociadas | 0.0 | 149,339.8 | 997.5 | 1,391.7 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 151,729.0 | | Gastos de administración | 1,426,388.1 | 1,010,707.2 | 1,054,204.5 | 418,239.2 | 464,790.3 | 186,643.3 | 93,602.1 | 165,205.2 | 122,596.9 | 134,295.3 | 247,925.0 | 5,324,597.1 | | Resultado antes del impuesto sobre la renta y contribuciones por leyes especiales | 884,150.9 | 916,928.2 | 1,051,841.7 | 227,955.8 | 73,378.9 | 48,106.1 | 28,205.7 | 40,144.3 | -4,745.5 | -59,225.1 | 6,992.4 | 3,213,733.5 | | Contribuciones por leyes especiales (564 y 563) | 80,181.1 | 60,368.7 | 58,361.6 | 23,087.0 | 13,576.9 | 6,198.1 | 11,593.9 | 759.6 | 570.5 | 721.2 | 806.0 | 256,224.5 | | Gasto por Impuesto sobre la renta (Ley 453) | 238,024.8 | 195,690.6 | 306,378.5 | 61,727.2 | 20,320.3 | 12,572.4 | 4,983.5 | 12,334.5 | 3,476.7 | 3,345.8 | 9,533.2 | 868,387.6 | | Resultados del período | 565,945.0 | 660,868.9 | 687,101.6 | 143,141.7 | 39,481.7 | 29,335.6 | 11,628.3 | 27,050.3 | -8,792.8 | -63,292.0 | -3,346.9 | 2,089,121.4 |
| | La informacion de este Estado Financiero no ha sido auditada | | TIPO DE CAMBIO OFICIAL AL 31 DE MAYO DE 2017 C$ 29.9226 X US$ 1.00 | | TIPO DE CAMBIO OFICIAL AL 31 DE MAYO DE 2018 C$ 31.4187 X US$ 1.00 | | 1\ Se incorporaron los ingresos y gastos por operaciones de cambio y arbitraje en las cuentas correspondientes de Ingresos (gastos) operativos diversos, los que estaban incluidos en la cuenta de ingresos (gastos) netos por ajustes monetarios. | | |
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