Académique Documents
Professionnel Documents
Culture Documents
AO
2005
2006
2007
2008
2009
2010
2011
2012 (pr)
2013 (pr)
INGRESOS
GASTOS 1/
INTERESES
DEFICIT (-) O
SUPERAVIT (+)
DEFICIT (-) O
SUPERAVIT (+) DE
LAS EPNF*
FINANCIAMIENTO
INTERNO
FINANCIAMIENTO
EXTERNO
98,989.7
115,799.0
132,285.1
130,689.5
138,998.9
146,913.1
171,229.7
193,798.4
206,821.2
99,724.3
119,000.1
136,607.6
130,502.3
151,124.0
163,847.1
182,548.1
190,809.2
213,512.2
11,350.5
14,841.7
16,610.5
15,237.6
15,970.3
15,640.0
17,711.0
17,307.7
17,370.6
(734.6)
(3,201.1)
(4,322.4)
187.3
(12,125.0)
(16,934.0)
(11,318.3)
2,989.2
(6,690.9)
3,213.9
3,281.7
2,381.6
1,737.9
651.3
(1,934.0)
(982.5)
5,528.8
1,130.5
5,610.4
(675.0)
2,411.3
(3,085.6)
5,459.1
9,724.9
7,368.6
(3,805.6)
2,879.3
(4,875.8)
3,876.1
1,911.1
2,898.4
6,665.9
7,209.1
3,949.7
816.4
3,811.7
2005 Marzo
Junio
Septiembre
Diciembre
23,192.9
25,623.3
24,061.9
26,111.6
25,720.5
22,383.9
25,154.8
26,465.1
3,487.7
2,636.2
4,098.8
1,127.8
(2,527.6)
3,239.4
(1,092.8)
(353.6)
1,785.1
755.1
717.0
(43.2)
4,867.5
(2,441.0)
1,295.0
1,888.9
(2,340.0)
(798.3)
(202.2)
(1,535.3)
2006 Marzo
Junio
Septiembre
Diciembre
27,471.8
30,872.4
29,754.7
27,700.1
28,778.5
28,502.2
27,696.0
34,023.4
3,898.7
3,173.4
5,201.0
2,568.6
(1,306.7)
2,370.2
2,058.7
(6,323.3)
2,314.7
1,076.1
(114.6)
5.6
1,605.9
(2,195.0)
(4,359.9)
4,274.0
(299.2)
(175.3)
2,301.2
2,049.3
2007 Marzo
Junio
Septiembre
Diciembre
30,243.1
35,496.0
33,798.2
32,747.9
31,617.3
32,981.0
33,069.5
38,939.7
4,563.7
3,689.8
5,329.0
3,027.9
(1,374.3)
2,515.0
728.7
(6,191.9)
2,036.4
364.4
768.2
(787.4)
(122.0)
(1,321.3)
(1,395.3)
5,249.9
1,496.2
(1,193.7)
666.6
942.0
2008 Marzo
Junio
Septiembre
Diciembre
31,839.2
34,366.4
32,904.8
31,579.1
27,506.1
30,948.7
30,477.4
41,570.1
3,216.4
3,590.3
4,921.7
3,509.2
4,333.1
3,417.7
2,427.5
(9,990.9)
795.5
509.9
472.1
(39.6)
(5,637.2)
(3,468.6)
(3,251.9)
9,272.1
1,304.1
51.0
824.5
718.9
2009 Marzo
Junio
Septiembre
Diciembre
31,783.0
38,326.6
36,277.2
32,612.1
31,378.0
35,783.4
36,471.3
47,491.3
3,267.2
3,752.6
5,309.7
3,640.8
405.0
2,543.2
(194.0)
(14,879.2)
391.5
(172.5)
467.0
(34.6)
(2,272.2)
(4,677.0)
(1,632.3)
14,040.6
1,867.2
2,133.7
1,826.4
838.6
2010 Marzo
Junio
Septiembre
Diciembre
34,967.4
35,039.2
22,140.2
54,766.2
33,655.7
35,292.9
23,157.4
71,741.0
2,808.1
4,384.7
5,153.7
3,293.4
1,311.7
(253.7)
(1,017.2)
(16,974.8)
(1,036.2)
(848.6)
222.7
(271.8)
(2,863.0)
(1,913.9)
(1,426.9)
15,928.7
1,551.3
2,167.6
2,444.1
1,046.2
2011 Marzo
Junio
Septiembre
Diciembre
39,042.6
49,107.3
42,867.4
40,212.5
32,253.3
39,914.1
42,794.9
67,585.8
2,888.6
5,441.9
5,345.4
4,035.0
6,789.3
9,193.2
72.5
(27,373.3)
(404.6)
(15.8)
(241.3)
(320.8)
(8,220.2)
(9,527.2)
(1,034.3)
26,150.3
1,430.8
334.0
961.8
1,223.0
2012 Marzo
Junio
Septiembre
Diciembre
42,994.4
61,205.0
46,698.6
42,900.4
33,044.7
42,522.4
44,806.0
70,436.2
3,274.7
4,440.9
5,620.3
3,971.8
9,949.7
18,682.7
1,892.7
(27,535.8)
932.4
1,235.7
1,324.1
2,036.7
(10,344.9)
(18,411.5)
(2,122.9)
27,073.8
395.2
(271.1)
230.3
462.0
50,360.3
56,185.6
48,487.0
51,788.4
40,096.2
49,065.9
49,920.7
74,429.4
3,137.9
4,763.6
5,098.6
4,370.5
10,264.1
7,119.6
(1,433.6)
(22,641.0)
597.3
(1,214.2)
1,260.3
487.1
(10,536.7)
(8,084.6)
419.7
21,080.8
272.6
965.0
1,013.9
1,560.2
53,449.4
58,244.9
54,142.1
50,136.2
52,427.4
58,523.4
2,948.4
4,453.2
6,210.4
3,313.2
5,817.5
(4,381.3)
923.4
736.3
2,056.7
(4,341.7)
(5,923.2)
1,499.0
1,028.4
105.7
2,882.3
n.d. No disponible.
(pr) Preliminar.
* Empresas Pblicas No Financieras.
1/ Incluye intereses, variacin de las cuentas por pagar y otros rubros de causacin.
Fuente: Direccin General de Poltica Macroeconmica, Ministerio de Hacienda y Crdito Pblico.