Académique Documents
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Culture Documents
Exchange Rates
MARKET RATE, END OF PERIOD Market Rate 8.2
Fund Position
QUOTA Quota 171.5
SDR HOLDINGS SDR Holdings 27.28
RESERVE POSITION IN THE FUND Reserve Position in the Fund 8.88
LENDING TO THE FUND of which: Outstg.Fund Borrowing n.a.
UFC & USE OF FUND ADM.RESOURCES Total Fund Cred.&Loans Outstg. 187.55
ALLOCATIONS OF SDRS TO DATE SDR Allocations 26.7
International Liquidity
TOTAL RESERVES MINUS GOLD Total Reserves minus Gold 910.78
HOLDINGS OF SDRS SDR Holdings 36.74
RESERVE POSITION IN THE FUND Reserve Position in the Fund 11.95
FOREIGN EXCHANGE Foreign Exchange 862.09
GOLD IN MILLION OUNCES Gold (Million Fine Troy Ounces) 0.94
GOLD AC.TO NATIONAL VALUATION Gold (National Valuation) 234.88
CENTRAL BANK: OTHER ASSETS Central Bank: Other Assets n.a.
CENTRAL BANK: OTHER LIABS Central Bank: Other Liabs. n.a.
OTHER DEPOSITORY CORPS: ASSETS Other Depository Corps.: Assets n.a.
OTHER DEPOSITORY CORPS: LIABS Other Depository Corps.: Liabs. n.a.
OTHER FINANCIAL CORPS: ASSETS Other Financial Corps.: Assets n.a.
OTHER FINANCIAL CORPS: LIABS Other Financial Corps.: Liabs. n.a.
Central Bank
NET FOREIGN ASSETS Net Foreign Assets n.a.
CLAIMS ON NONRESIDENTS Claims on Nonresidents n.a.
LIABILITIES TO NONRESIDENTS Liabilities to Nonresidents n.a.
CLAIMS ON OTHER DEPOSITORY CORPORATI Claims on Other Depository Corps. n.a.
NET CLAIMS ON CENTRAL GOVERNMENT Net Claims on Central Government n.a.
CLAIMS ON CENTRAL GOVERNMENT Claims on Central Government n.a.
LIABILITIES TO CENTRAL GOVERNMENT Liabilities to Central Government n.a.
CLAIMS ON OTHER SECTORS Claims on Other Sectors n.a.
CLAIMS ON OTHER FINANCIAL CORPORATIO Claims on Other Financial Corps. n.a.
CLAIMS ON STATE AND LOCAL GOVERNMENTClaims on State & Local Govts. n.a.
CLAIMS ON PUBLIC NONFINANCIAL CORPORClaims on Public Nonfin. Corps. n.a.
CLAIMS ON PRIVATE SECTOR Claims on Private Sector n.a.
MONETARY BASE Monetary Base n.a.
CURRENCY IN CIRCULATION Currency in Circulation n.a.
LIABILITIES TO OTHER DEPOSITORY CORPOR Liabs. to Other Depository Corps. n.a.
LIABILITIES TO OTHER SECTORS Liabilities to Other Sectors n.a.
OTHER LIABILITIES TO OTHER DEPOSITORY Other Liabs. to Other Dep. Corps. n.a.
DEPOSITS AND SECURITIES OTHER THAN SH Dep. & Sec. Excl. f/Monetary Base n.a.
DEPOSITS INCLUDED IN BROAD MONEY Deposits Included in Broad Money n.a.
SECURITIES OTHER THAN SHARES INCLUDEDSec.Ot.th.Shares Incl.in Brd. Money n.a.
DEPOSITS EXCLUDED FROM BROAD MONEY Deposits Excl. from Broad Money n.a.
SECURITIES OTHER THAN SHARES EXCLUDE Sec.Ot.th.Shares Excl.f/Brd.Money n.a.
LOANS Loans n.a.
FINANCIAL DERIVATIVES Financial Derivatives n.a.
SHARES AND OTHER EQUITY Shares and Other Equity n.a.
OTHER ITEMS (NET) Other Items (Net) n.a.
Memo Item:
TOTAL ASSETS Total Assets n.a.
Memo Item:
TOTAL ASSETS Total Assets n.a.
Depository Corporations
NET FOREIGN ASSETS Net Foreign Assets n.a.
CLAIMS ON NONRESIDENTS Claims on Nonresidents n.a.
LIABILITIES TO NONRESIDENTS Liabilities to Nonresidents n.a.
DOMESTIC CLAIMS Domestic Claims n.a.
NET CLAIMS ON CENTRAL GOVERNMENT Net Claims on Central Government n.a.
CLAIMS ON CENTRAL GOVERNMENT Claims on Central Government n.a.
LIABILITIES TO CENTRAL GOVERNMENT Liabilities to Central Government n.a.
CLAIMS ON OTHER SECTORS Claims on Other Sectors n.a.
CLAIMS ON OTHER FINANCIAL CORPORATIO Claims on Other Financial Corps. n.a.
CLAIMS ON STATE AND LOCAL GOVERNMENTClaims on State & Local Govts. n.a.
CLAIMS ON PUBLIC NONFINANCIAL CORPORClaims on Public Nonfin. Corps. n.a.
CLAIMS ON PRIVATE SECTOR Claims on Private Sector n.a.
BROAD MONEY LIABILITIES Broad Money Liabilities n.a.
CURRENCY OUTSIDE DEPOSITORY CORPORATCurrency Outside Depository Corps. n.a.
TRANSFERABLE DEPOSITS Transferable Deposits n.a.
OTHER DEPOSITS Other Deposits n.a.
SECURITIES OTHER THAN SHARES Securities Other than Shares n.a.
DEPOSITS EXCLUDED FROM BROAD MONEY Deposits Excl. from Broad Money n.a.
SECURITIES OTHER THAN SHARES EXCLUDE Sec.Ot.th.Shares Excl.f/Brd.Money n.a.
LOANS Loans n.a.
FINANCIAL DERIVATIVES Financial Derivatives n.a.
INSURANCE TECHNICAL RESERVES Insurance Technical Reserves n.a.
SHARES AND OTHER EQUITY Shares and Other Equity n.a.
OTHER ITEMS (NET) Other Items (Net) n.a.
BROAD MONEY LIABS., SEASONALLY ADJUST Broad Money Liabs., Seasonally Adj. n.a.
Memo Item:
TOTAL ASSETS Total Assets n.a.
Financial Corporations
NET FOREIGN ASSETS Net Foreign Assets n.a.
CLAIMS ON NONRESIDENTS Claims on Nonresidents n.a.
LIABILITIES TO NONRESIDENTS Liabilities to Nonresidents n.a.
DOMESTIC CLAIMS Domestic Claims n.a.
NET CLAIMS ON CENTRAL GOVERNMENT Net Claims on Central Government n.a.
CLAIMS ON CENTRAL GOVERNMENT Claims on Central Government n.a.
LIABILITIES TO CENTRAL GOVERNMENT Liabilities to Central Government n.a.
CLAIMS ON OTHER SECTORS Claims on Other Sectors n.a.
CLAIMS ON STATE AND LOCAL GOVERNMENTClaims on State & Local Govts. n.a.
CLAIMS ON PUBLIC NONFINANCIAL CORPORClaims on Pub. Nonfin. Corps. n.a.
CLAIMS ON PRIVATE SECTOR Claims on Private Sector n.a.
CURRENCY OUTSIDE FINANCIAL CORPORATI Currency Outside Fin. Corporations n.a.
DEPOSITS Deposits n.a.
SECURITIES OTHER THAN SHARES Securities Other than Shares n.a.
LOANS Loans n.a.
FINANCIAL DERIVATIVES Financial Derivatives n.a.
INSURANCE TECHNICAL RESERVES Insurance Technical Reserves n.a.
SHARES AND OTHER EQUITY Shares and Other Equity n.a.
OTHER ITEMS (NET) Other Items (Net) n.a.
Monetary Aggregates
BROAD MONEY Broad Money n.a.
CURRENCY ISSUED BY CENTRAL GOVERNME o/w:Currency Issued by Cent.Govt. n.a.
DEPOSITS IN NONFINANCIAL CORPORATIONSo/w: Dep.in Nonfin. Corporations n.a.
SECURITIES ISSUED BY CENTRAL GOVERNMEo/w:Secs. Issued by Central Govt. n.a.
Interest Rates
DISCOUNT RATE (END OF PERIOD) Discount Rate (End of Period) 10
DISCOUNT RATE (FOREIGN CURRENCY) Discount Rate (Fgn.Cur.)(End per) 6.88
MONEY MARKET RATE Money Market Rate 6.36
MONEY MARKET RATE (FOREIGN CURRENCY)Money Market Rate (Fgn. Cur.) 5.23
TREASURY BILL RATE Treasury Bill Rate 9.24
TREASURY BILL RATE (FOREIGN CURR.) Treasury Bill Rate (Fgn.Currency) 6.38
SAVINGS RATE Savings Rate 10.19
SAVINGS RATE (FOREIGN CURRENCY) Savings Rate (Fgn. Currency) 5.37
DEPOSIT RATE Deposit Rate 11.04
DEPOSIT RATE (FOREIGN CURRENCY) Deposit Rate (Fgn. Currency) 8.42
LENDING RATE Lending Rate 36.56
LENDING RATE (FOREIGN CURRENCY) Lending Rate (Fgn. Currency) 16.13
EXPORT UNIT VALUES / EXPORT PRICES Unit Value of Exports/Export Prices 31.57
TIN Tin 22.71
ZINC Zinc 95.78
Balance of Payments
A. CURRENT ACCOUNT* A. Current Account* -187.49
GOODS, CREDIT (EXPORTS) Goods, credit (exports) 245.95
GOODS, DEBIT (IMPORTS) Goods, debit (imports) 404.43
BALANCE ON GOODS Balance on goods -158.48
SERVICES, CREDIT (EXPORTS) Services, credit (exports) 76.49
SERVICES, DEBIT (IMPORTS) Services, debit (imports) 115.3
BALANCE ON GOODS AND SERVICES Balance on Goods & Services -197.29
PRIMARY INCOME: CREDIT Primary income: credit 29.82
PRIMARY INCOME: DEBIT Primary income: debit 97.57
BALANCE ON GOODS, SERVICES, AND PRIMABalance on gds, serv. & prim. inc. -265.04
SECONDARY INCOME: CREDIT Secondary income: credit 85.25
SECONDARY INCOME: DEBIT Secondary income: debit 7.7
B. CAPITAL ACCOUNT* B. Capital Account* 0
CAPITAL ACCOUNT: CREDIT Capital account: credit 0
CAPITAL ACCOUNT: DEBIT Capital account: debit 0
BALANCE ON CURRENT AND CAPITAL ACCOUNTBalance on current & capital acct. -187.49
C. FINANCIAL ACCOUNT* C. Financial Account* -109.89
DIRECT INVESTMENT: ASSETS Direct investment: assets 0.7
EQUITY AND INVESTMENT FUND SHARES Equity & investment fund shares 0.7
DEBT INSTRUMENTS Debt instruments 0
DIRECT INVESTMENT: LIABILITIES Direct investment: liabilities 185.71
EQUITY AND INVESTMENT FUND SHARES Equity & investment fund shares 96.21
DEBT INSTRUMENTS Debt instruments 89.5
PORTFOLIO INVESTMENT: ASSETS Portfolio investment: assets -22.6
EQUITY AND INVESTMENT FUND SHARES Equity & investment fund shares 0
DEBT SECURITIES Debt securities -22.6
PORTFOLIO INVESTMENT: LIABILITIES Portfolio investment: liabilities 0
EQUITY AND INVESTMENT FUND SHARES Equity & investment fund shares 0
DEBT SECURITIES Debt securities 0
FINANCIAL DERIVATIVES AND EMPLOYEE STOFin. der.& empl.stk.ops.(ESOs): net 0
FINANCIAL DERIVATIVES AND EMPLOYEE STOFin. der. & ESOs.: assets n.a.
FINANCIAL DERIVATIVES AND EMPLOYEE STOC
Fin. der. & ESOs.: liabilities n.a.
OTHER INVESTMENT: ASSETS Other investment: assets 3.24
Other equity
DEBT INSTRUMENTS Debt instruments 3.24
OTHER INVESTMENT: LIABILITIES Other investment: liabilities -94.48
Other equity
DEBT INSTRUMENTS Debt instruments -94.48
BALANCE ON CURRENT, CAPITAL, AND FINANC
Curr.+ cap. finan. acct. balance -77.6
D. NET ERRORS AND OMISSIONS D. Net Errors and Omissions -4.13
E. RESERVES AND RELATED ITEMS E. Reserves and Related Items -81.73
RESERVE ASSETS Reserve assets -64.18
CREDIT AND LOANS FROM THE IMF Credit and loans from the IMF 10.14
EXCEPTIONAL FINANCING Exceptional financing 7.4
Government Finance
General Government
CASH RECEIPTS FROM OPERATING ACTIVITIECash Receipts:Operating Activities 3003.23
TAXES Taxes n.a.
SOCIAL CONTRIBUTIONS Social Contributions n.a.
GRANTS Grants n.a.
OTHER RECEIPTS Other Receipts n.a.
CASH PAYMENTS FOR OPERATING ACTIVITIESCash Payments:Operating Activities 3145.98
COMPENSATION OF EMPLOYEES Compensation of Employees n.a.
PURCHASES OF GOODS & SERVICES Purchases of Goods & Services n.a.
INTEREST Interest n.a.
SUBSIDIES Subsidies n.a.
GRANTS Grants n.a.
SOCIAL BENEFITS Social Benefits n.a.
OTHER PAYMENTS Other Payments n.a.
NET CASH INFLOW FROM OPERATING ACTIVITINet Cash Inflow:Operating Act.[1-2] n.a.
NET CASH OUTFLOW: INVESTMENTS IN NONFNet Cash Outflow:Invest. in NFA n.a.
PURCHASES OF NONFINANCIAL ASSETS Purchases of Nonfinancial Assets n.a.
SALES OF NONFINANCIAL ASSETS Sales of Nonfinancial Assets n.a.
CASH SURPLUS / DEFICIT [1-2-31 = 1-2M] Cash Surplus/Deficit [1-2-31=1-2M] -142.74
NET ACQUISITION OF FINANCIAL ASSETS OT Net Acq. Fin. Assets, excl. Cash n.a.
DOMESTIC Domestic n.a.
FOREIGN Foreign n.a.
NET INCURRENCE OF LIABILITIES Net Incurrence of Liabilities 142.74
DOMESTIC Domestic 102.74
FOREIGN Foreign 40
NET CASH INFLOW FROM FINANCING ACTIVITINet Cash Inflow, Fin.Act.[-32x+33] n.a.
NET CHANGE IN THE STOCK OF CASH [=3202Net Change in Stock of Cash n.a.
STATISTICAL DISCREPANCY [32X-33+NCB-CSD]Stat. Discrep. [32X-33+NCB-CSD] n.a.
TOTAL CASH EXPENDITURE [2+31] Memo Item:Cash Expenditure[2+31] n.a.
LIABILITIES Memo Item: Gross Debt n.a.
National Accounts
HOUSEH.CONS.EXPEND.,INCL.NPISHS Househ.Cons.Expend.,incl.NPISHs 9711.38
GOVERNMENT CONSUMPTION EXPEND. Government Consumption Expend. 1574.87
GROSS FIXED CAPITAL FORMATION Gross Fixed Capital Formation 2248.64
CHANGES IN INVENTORIES Changes in Inventories 501.82
EXPORTS OF GOODS AND SERVICES Exports of Goods and Services 2230.22
IMPORTS OF GOODS AND SERVICES Imports of Goods and Services (-) 3519.62
GROSS DOMESTIC PRODUCT (GDP) Gross Domestic Product (GDP) 12747.3
NET PRIMARY INCOME FROM ABROAD Net Primary Income from Abroad n.a.
GROSS NATIONAL INCOME (GNI) Gross National Income (GNI) n.a.
Gross National Product = GNP
GDP VOL AT 1970 PRICES GDP Volume 1970 prices n.a.
GDP VOL AT 1990 PRICES GDP Volume 1990 Prices 5249.52
GDP VOL. (2010=100) GDP Volume (2010=100) 64.44
GDP DEFLATOR (2010=100) GDP Deflator (2010=100) 57.39
8 10 13 12 8 3 3 3
7.92 8.75 8.75 8.75 8.75 8.75 8.75 8.75
6.73 7.88 11.29 7.57 4.21 1.64 0.78 0.45
6.61 7.68 5.33 2.87 1.26 1.56 0.83 0.97
7.97 8.76 9.02 7.81 3.55 0.06 0 0
4.92 5.24 4.89 1.68 0.48 0.36 0.08 0.07
2.77 2.63 2.77 2.69 1.67 1.13 0.48 0.28
2.55 2.65 3.65 2.26 1.63 1.02 0.56 0.26
4.56 4.4 5.13 6.3 4.04 1.64 1.78 0.92
3.03 4.06 4.58 3.44 2.46 1.07 0.57 0.51
13.51 13.06 13.38 14.43 13.35 11.24 10.42 9.36
10.14 11.75 13.27 12.96 11.67 11.07 9.25 8.73
3 3 3 3 4.5 5 4 4
8.75 8.75 8.75 8.75 8.75 8.75 8.75 8.75
1.15 0.93 1.07 0.96 2.97 2.25 1.31 0.73
1.06 1.02 1.12 0.97 1.02 1.27 1.28 0.78
0.08 0.07 0.13 0.17 0.43 0.64 0.61 0.68
0.06 0.07 0.1 0.18 0.18 0.12 0 0
0.33 0.69 0.6 0.61 0.68 1.08 0.77 0.76
0.2 0.19 0.16 0.13 0.13 0.12 0.13 0.12
1.04 1.2 1.03 1 1.35 1.69 1.58 2.15
0.44 0.28 0.22 0.22 0.31 0.3 0.52 0.33
9.64 10.15 10.48 10.69 10.43 11.23 11.31 11.75
8.29 8.58 7.55 8.23 7.44 8.73 8.25 8.19
4 4 4 4 4 4 4.5 5
5.58 4 4 4 4 4 4 4
0.48 0.72 0.76 0.83 1.05 1.25 3.24 2.61
0.59 0.72 1.31 0.79 1.17 1 1.44 1.38
0.58 0.45 0.38 0.47 0.97 1.06 1.87 2.13
0 0 0 0 n.a. n.a. n.a. n.a.
0.87 0.79 0.89 0.9 0.99 1.02 1.05 0.97
0.1 0.08 0.09 0.08 0.08 0.07 0.05 0.07
1.69 1.43 1.24 1.3 1.47 1.84 2.34 1.98
0.25 0.21 0.17 0.19 0.16 0.14 0.24 0.17
10.66 11.23 10.9 11.47 10.38 11.26 11.1 11.33
7.66 8.1 7.8 7.86 7.7 7.73 7.7 7.87
TABLE MID-HEADER
12747.3 57.39
12441.9 49.81
13223.2 57.44
13516.1 55.44
13350.5 60.11
13076.7 51.88
13599.2 57.58
13764 54.72
13694.3 60.82
13925.6 53.19
14537.1 59.33
14525.3 57.23
15126.8 65.02
15255 56.44
15750.3 63.71
15772.3 60.12
17173.6 70.72
17115.2 61.09
17723.6 67.54
17613.7 65.4
18314.4 72.2
18446.9 63.33
19881.4 72.98
20381.1 71.76
21683.2 81.87
22293.9 73.69
24076.1 83.58
23694.6 79.31
24083.6 88.7
24831.2 78.85
26975.7 88.9
27118.6 85.54
28370.8 98.06
31481.6 93.53
32758.8 100.83
28082.6 85.02
29103.6 97.71
30558.9 88.83
30249.8 89.85
31814.4 92.06
30795 100.16
34356 96.23
34896.4 99.95
37828.1 103.6
38214.3 117.06
41003.3 110.16
42897.2 116.76
44116.8 114.75
42785 124.81
45997.6 118.38
47047.5 122.43
51323.7 125.43
49636.7 135.76
52131.5 125.76
53264.1 129.75
56823.7 129.81
53494.1 138.38
56203.9 129.36
57517.8 132.07
60787.8 131.92
55230.1 136.51
56242.7 123.18
55599.6 123.22
60941.8 124.82
TASA DE
TASA DE INFLACION QUARTERLY M1 REAL INTERES REAL
ENDOGENA EXO
Trimestre M1R TIR
2000Q1 4660.10
-0.13 2000Q2 5301.57 0.28
0.15 2000Q3 4797.91 -0.03
-0.03 2000Q4 5929.09 0.15
0.08 2001Q1 4795.39 0.02
-0.14 2001Q2 5534.89 0.28
0.11 2001Q3 5032.18 -0.02
-0.05 2001Q4 6777.47 0.15
0.11 2002Q1 4874.47 -0.02
-0.13 2002Q2 5877.14 0.25
0.12 2002Q3 5332.41 -0.02
-0.04 2002Q4 6828.85 0.15
0.14 2003Q1 4961.41 -0.01
-0.13 2003Q2 6257.16 0.28
0.13 2003Q3 5747.81 -0.01
-0.06 2003Q4 7537.81 0.18
0.18 2004Q1 5214.54 -0.07
-0.14 2004Q2 6679.54 0.24
0.11 2004Q3 6332.85 -0.03
-0.03 2004Q4 8039.51 0.09
0.10 2005Q1 6242.13 -0.05
-0.12 2005Q2 7886.42 0.19
0.15 2005Q3 7952.86 -0.09
-0.02 2005Q4 10432.39 0.06
0.14 2006Q1 8241.98 -0.08
-0.10 2006Q2 10644.33 0.16
0.13 2006Q3 10261.06 -0.09
-0.05 2006Q4 13556.80 0.09
0.12 2007Q1 12036.30 -0.08
-0.11 2007Q2 15255.29 0.17
0.13 2007Q3 15769.63 -0.09
-0.04 2007Q4 19987.84 0.08
0.15 2008Q1 17668.06 -0.09
-0.05 2008Q2 20872.88 0.10
0.08 2008Q3 21234.35 -0.03
-0.16 2008Q4 25545.28 0.25
0.15 2009Q1 20019.34 -0.08
-0.09 2009Q2 22602.95 0.14
0.01 2009Q3 23348.36 0.00
0.02 2009Q4 27067.46 -0.01
0.09 2010Q1 23897.56 -0.07
-0.04 2010Q2 25531.64 0.05
0.04 2010Q3 24875.34 -0.03
0.04 2010Q4 30781.76 -0.03
0.13 2011Q1 26123.18 -0.11
-0.06 2011Q2 28417.48 0.08
0.06 2011Q3 27878.73 -0.04
-0.02 2011Q4 32324.44 0.03
0.09 2012Q1 29123.71 -0.06
-0.05 2012Q2 31695.81 0.07
0.03 2012Q3 31239.32 -0.02
0.02 2012Q4 35316.19 -0.01
0.08 2013Q1 30478.34 -0.06
-0.07 2013Q2 34074.11 0.10
0.03 2013Q3 33033.06 -0.01
0.00 2013Q4 38923.81 0.02
0.07 2014Q1 34675.89 -0.04
-0.07 2014Q2 37734.38 0.10
0.02 2014Q3 37748.01 0.02
0.00 2014Q4 43925.41 0.03
0.03 2015Q1 39350.30 -0.02
-0.10 2015Q2 44047.09 0.13
0.00 2015Q3 42760.83 0.01
0.01 2015Q4 49523.31 0.00
GROSS COMESTIC GROSS
PRODUCT(GDP) BASE 2012 COMESTIC
PRODUCT(GDP
QUARTERLY M1 REAL TASA DE INTER) BASE 2012
EXO ENDOGENA EXO EXO
PIBR Trimestre M1R TIR PIBR
22211.71 2000Q1 4660.10 22211.71
24978.72 2000Q2 5301.57 0.28 24978.72
23020.89 2000Q3 4797.91 -0.03 23020.89
24379.69 2000Q4 5929.09 0.15 24379.69
22210.11 2001Q1 4795.39 0.02 22210.11
25205.67 2001Q2 5534.89 0.28 25205.67
23617.92 2001Q3 5032.18 -0.02 23617.92
25153.51 2001Q4 6777.47 0.15 25153.51
22516.11 2002Q1 4874.47 -0.02 22516.11
26180.86 2002Q2 5877.14 0.25 26180.86
24502.11 2002Q3 5332.41 -0.02 24502.11
25380.57 2002Q4 6828.85 0.15 25380.57
23264.84 2003Q1 4961.41 -0.01 23264.84
27028.70 2003Q2 6257.16 0.28 27028.70
24721.86 2003Q3 5747.81 -0.01 24721.86
26234.70 2003Q4 7537.81 0.18 26234.70
24283.94 2004Q1 5214.54 -0.07 24283.94
28016.37 2004Q2 6679.54 0.24 28016.37
26241.63 2004Q3 6332.85 -0.03 26241.63
26932.26 2004Q4 8039.51 0.09 26932.26
25366.20 2005Q1 6242.13 -0.05 25366.20
29128.22 2005Q2 7886.42 0.19 29128.22
27242.26 2005Q3 7952.86 -0.09 27242.26
28401.76 2005Q4 10432.39 0.06 28401.76
26484.92 2006Q1 8241.98 -0.08 26484.92
30253.63 2006Q2 10644.33 0.16 30253.63
28806.05 2006Q3 10261.06 -0.09 28806.05
29875.93 2006Q4 13556.80 0.09 29875.93
27151.75 2007Q1 12036.30 -0.08 27151.75
31491.69 2007Q2 15255.29 0.17 31491.69
30343.87 2007Q3 15769.63 -0.09 30343.87
31702.83 2007Q4 19987.84 0.08 31702.83
28932.08 2008Q1 17668.06 -0.09 28932.08
33659.36 2008Q2 20872.88 0.10 33659.36
32489.14 2008Q3 21234.35 -0.03 32489.14
33030.58 2008Q4 25545.28 0.25 33030.58
29785.69 2009Q1 20019.34 -0.08 29785.69
34401.55 2009Q2 22602.95 0.14 34401.55
33667.00 2009Q3 23348.36 0.00 33667.00
34558.33 2009Q4 27067.46 -0.01 34558.33
30745.81 2010Q1 23897.56 -0.07 30745.81
35701.96 2010Q2 25531.64 0.05 35701.96
34913.86 2010Q3 24875.34 -0.03 34913.86
36513.61 2010Q4 30781.76 -0.03 36513.61
32645.05 2011Q1 26123.18 -0.11 32645.05
37221.59 2011Q2 28417.48 0.08 37221.59
36739.64 2011Q3 27878.73 -0.04 36739.64
38446.01 2011Q4 32324.44 0.03 38446.01
34280.11 2012Q1 29123.71 -0.06 34280.11
38855.89 2012Q2 31695.81 0.07 38855.89
38428.08 2012Q3 31239.32 -0.02 38428.08
40918.20 2012Q4 35316.19 -0.01 40918.20
36562.09 2013Q1 30478.34 -0.06 36562.09
41453.16 2013Q2 34074.11 0.10 41453.16
41051.33 2013Q3 33033.06 -0.01 41051.33
43774.52 2013Q4 38923.81 0.02 43774.52
38657.39 2014Q1 34675.89 -0.04 38657.39
43447.67 2014Q2 37734.38 0.10 43447.67
43551.00 2014Q3 37748.01 0.02 43551.00
46079.29 2014Q4 43925.41 0.03 46079.29
40458.65 2015Q1 39350.30 -0.02 40458.65
45658.95 2015Q2 44047.09 0.13 45658.95
45122.22 2015Q3 42760.83 0.01 45122.22
48823.75 2015Q4 49523.31 0.00 48823.75
ESTACIONARIDAD
SEP DIC
0 0
0 0
1 0
0 1
0 0
0 0
1 0
0 1
0 0
0 0
1 0
0 1
0 0
0 0
1 0
0 1
0 0
0 0
1 0
0 1
0 0
0 0
1 0
0 1
0 0
0 0
1 0
0 1
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1 0
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