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Anuario estadístico de la banca en España 2012

Anuario estadístico de la banca en España 2012

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AGREGADO DE LOS BALANCES INDIVIDUALES DE LOS BANCOS ESPAÑOLES (*)<br />

Miles <strong>de</strong> euros<br />

Dic<br />

Dic Variaciones<br />

<strong>2012</strong> 2011 Absolutas En %<br />

ACTIVO<br />

1. CAJA Y DEPÓSITOS EN BANCOS CENTRALES …………………………………………… 65.564.538 43.692.885 21.871.653 50,1<br />

2. CARTERA DE NEGOCIACIÓN …………………………………………………………………… 177.231.032 163.846.415 13.384.617 8,2<br />

2.1. Depósitos <strong>en</strong> <strong>en</strong>tida<strong>de</strong>s <strong>de</strong> crédito …………………………………………………………… 2 - 2 -<br />

2.2. Crédito a <strong>la</strong> cli<strong>en</strong>te<strong>la</strong>…………………………………………………………………….. 13.623 51.552 -37.929 -73,6<br />

2.3. Valores repres<strong>en</strong>tativos <strong>de</strong> <strong>de</strong>uda …………………………………………………………… 37.833.316 33.751.604 4.081.712 12,1<br />

2.4. Instrum<strong>en</strong>tos <strong>de</strong> capital …………………………………………………………………….. 6.080.682 4.145.880 1.934.802 46,7<br />

2.5. Derivados <strong>de</strong> negociación…………………………………………………………………….. 133.303.410 125.897.379 7.406.031 5,9<br />

Pro-memoria: Prestados o <strong>en</strong> garantía ……………………………………………………………… 22.864.219 14.221.762 8.642.457 60,8<br />

3. OTR. ACT. FINANC.A VALOR RAZONABLE CON CAMBIOS EN P.Y G. ………………… 17.733.279 15.371.867 2.361.412 15,4<br />

3.1. Depósitos <strong>en</strong> <strong>en</strong>tida<strong>de</strong>s <strong>de</strong> crédito …………………………………………………………… 8.542.841 8.891.707 -348.866 -3,9<br />

3.2. Crédito a <strong>la</strong> cli<strong>en</strong>te<strong>la</strong> …………………………………………………………………….. 9.130.582 6.236.773 2.893.809 46,4<br />

3.3. Valores repres<strong>en</strong>tativos <strong>de</strong> <strong>de</strong>uda……………………………………………………………… 14.854 207.080 -192.226 -92,8<br />

3.4. Instrum<strong>en</strong>tos <strong>de</strong> capital …………………………………………………………………….. 45.002 36.307 8.695 23,9<br />

Pro-memoria: Prestados o <strong>en</strong> garantía ……………………………………………………………… 7.968.365 13.214.368 -5.246.003 -39,7<br />

4. ACTIVOS FINANCIEROS DISPONIBLES PARA LA VENTA ………………………………… 126.382.974 109.269.307 17.113.667 15,7<br />

4.1. Valores repres<strong>en</strong>tativos <strong>de</strong> <strong>de</strong>uda……………………………………………………………… 120.273.487 101.542.840 18.730.647 18,4<br />

4.2. Instrum<strong>en</strong>tos <strong>de</strong> capital …………………………………………………………………….. 6.109.486 7.726.468 -1.616.982 -20,9<br />

Pro-memoria: Prestados o <strong>en</strong> garantía……………………………………………………………… 50.736.851 52.792.404 -2.055.553 -3,9<br />

5. INVERSIONES CREDITICIAS ……………………………………………………………………. 995.728.681 1.007.986.624 -12.257.943 -1,2<br />

5.1. Depósitos <strong>en</strong> <strong>en</strong>tida<strong>de</strong>s <strong>de</strong> crédito…………………………………………………………… 165.017.403 151.375.984 13.641.419 9,0<br />

5.2. Crédito a <strong>la</strong> cli<strong>en</strong>te<strong>la</strong> …………………………………………………………………….. 806.198.779 833.333.906 -27.135.127 -3,3<br />

5.3. Valores repres<strong>en</strong>tativos <strong>de</strong> <strong>de</strong>uda …………………………………………………………… 24.512.500 23.276.733 1.235.767 5,3<br />

Pro-memoria: Prestados o <strong>en</strong> garantía ……………………………………………………………… 114.126.496 113.153.880 972.616 0,9<br />

6. CARTERA DE INVERSIÓN A VENCIMIENTO…………………………………………………… 40.844.601 30.244.302 10.600.299 35,0<br />

Pro-memoria: Prestados o <strong>en</strong> garantía……………………………………………………………… 15.660.905 10.412.403 5.248.502 50,4<br />

7. AJUSTES A ACTIVOS FINANCIEROS POR MACRO-COBERTURAS……………………… 722.197 382.863 339.334 88,6<br />

8. DERIVADOS DE COBERTURA…………………………………………………………………… 16.300.777 12.675.515 3.625.262 28,6<br />

9. ACTIVOS NO CORRIENTES EN VENTA ………………………………………………………… 8.066.043 6.517.552 1.548.491 23,8<br />

10. PARTICIPACIONES……………………………………………………………………………… 112.355.834 108.165.469 4.190.365 3,9<br />

10.1. Entida<strong>de</strong>s asociadas…………………………………………………………………….. 6.914.322 6.461.993 452.329 7,0<br />

10.2. Entida<strong>de</strong>s multigrupo…………………………………………………………………….. 4.807.189 4.651.113 156.076 3,4<br />

10.3 Entida<strong>de</strong>s <strong>de</strong>l grupo ……………………………………………………………………. 100.634.323 97.052.363 3.581.960 3,7<br />

11. CONTRATOS DE SEGUROS VINCULADOS A PENSIONES……………………………… 4.239.492 6.404.197 -2.164.705 -33,8<br />

13. ACTIVO MATERIAL……………………………………………………………………………… 7.330.204 6.077.734 1.252.470 20,6<br />

13.1. Inmovilizado material…………………………………………………………………….. 6.427.063 5.940.410 486.653 8,2<br />

13.1.1. De uso propio…………………………………………………………………….. 6.012.016 5.426.053 585.963 10,8<br />

13.1.2. Cedido <strong>en</strong> arr<strong>en</strong>dami<strong>en</strong>to operativo………………………………………………… 415.047 514.357 -99.310 -19,3<br />

13.1.3. Afecto a <strong>la</strong> Obra Social (solo C. <strong>de</strong> ahorros y C. <strong>de</strong> crédito) ……………………… - - - -<br />

13.2. Inversiones inmobiliarias…………………………………………………………………….. 903.142 137.324 765.818 n.s.<br />

Pro-memoria: Adquirido <strong>en</strong> arr<strong>en</strong>dami<strong>en</strong>to financiero……………………………………………… 539.776 507.935 31.841 6,3<br />

14. ACTIVO INTANGIBLE……………………………………………………………………………… 4.135.231 1.733.393 2.401.838 138,6<br />

14.1. Fondo <strong>de</strong> comercio…………………………………………………………………………… 2.549.080 675.300 1.873.780 277,5<br />

14.2. Otro activo intangible………………………………………………………………………… 1.586.151 1.058.093 528.058 49,9<br />

15. ACTIVOS FISCALES……………………………………………………………………………… 24.502.418 11.854.752 12.647.666 106,7<br />

15.1. Corri<strong>en</strong>tes……………………………………………………………………………………… 2.785.041 1.161.983 1.623.058 139,7<br />

15.2. Diferidos………………………………………………………………………………………… 21.717.378 10.692.770 11.024.608 103,1<br />

16. RESTO DE ACTIVOS……………………………………………………………………………… 4.873.888 4.090.840 783.048 19,1<br />

TOTAL ACTIVO………………………………………………………………………………………… 1.606.011.189 1.528.313.714 77.697.475 5,1<br />

PRO - MEMORIA<br />

1. Riesgos conting<strong>en</strong>tes ……………………………………………………………………………… 187.581.914 197.156.758 -9.574.844 -4,9<br />

2. Compromisos conting<strong>en</strong>tes ……………………………………………………………………… 195.806.648 191.937.777 3.868.871 2,0<br />

(*) Negocios <strong>en</strong> España y Sucursales <strong>en</strong> el extranjero.

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