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Información de Entidades Financieras

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GPAT COMPAÑIA FINANCIERA S.A.<br />

EVOLUCIÓN DE ESTADOS CONTABLES (en millones)<br />

MES DE CIERRE: Diciembre<br />

Dic-2014 Dic-2015 Feb-2016 Mar-2016 Abr-2016<br />

(8) (8) (8)<br />

A C T I V O 1.897,865 2.271,568 2.419,138 2.727,899 2.770,650<br />

Disponibilida<strong>de</strong>s 99,726 136,689 98,978 75,424 51,982<br />

Títulos Públicos y Privados 243,979 --- --- --- ---<br />

Préstamos 1.496,770 2.037,818 2.202,028 2.482,220 2.594,337<br />

Sector Público no Financiero --- --- --- --- ---<br />

Sector Financiero --- --- --- --- ---<br />

Sector Privado no Financiero y Resi<strong>de</strong>ntes en el Ext. 1.529,942 2.071,875 2.240,873 2.525,791 2.640,096<br />

A<strong>de</strong>lantos 55,652 113,108 204,801 378,914 241,975<br />

Doc a sola firma, <strong>de</strong>scont. y comprados --- --- --- --- ---<br />

Hipotecarios --- --- --- --- ---<br />

Prendarios 1.452,772 1.929,335 2.000,412 2.111,952 2.359,874<br />

Personales --- --- --- --- ---<br />

Otros --- --- --- --- ---<br />

Intereses y dif. cotiz. <strong>de</strong>veng. a cobrar 21,518 29,432 35,660 34,925 38,247<br />

Previsiones -33,172 -34,057 -38,845 -43,571 -45,759<br />

Otros Cred.por Interm.Finan. 21,704 44,783 53,133 97,029 62,286<br />

Montos a cobrar por ventas contado a liq. y a término --- 22,485 --- --- ---<br />

Otros 21,704 22,298 53,133 97,029 62,286<br />

Bienes en Locación Financiera --- --- --- --- ---<br />

Part. en otras Socieda<strong>de</strong>s --- --- --- --- ---<br />

En entida<strong>de</strong>s financieras --- --- --- --- ---<br />

Otras --- --- --- --- ---<br />

Créditos Diversos 32,647 48,774 61,600 69,880 58,786<br />

Bienes <strong>de</strong> Uso 3,039 3,504 3,399 3,346 3,259<br />

Bienes Diversos --- --- --- --- ---<br />

Bienes Intangibles --- --- --- --- ---<br />

Filiales en el Exterior --- --- --- --- ---<br />

Partidas Pend. <strong>de</strong> Imputación --- --- --- --- ---<br />

P A S I V O 1.317,841 1.483,518 1.593,845 1.883,616 1.908,925<br />

Depósitos --- --- --- --- ---<br />

Sector Público no financiero --- --- --- --- ---<br />

Sector Financiero --- --- --- --- ---<br />

Sector Privado no Financiero y Resi<strong>de</strong>ntes en el Ext. --- --- --- --- ---<br />

Cuentas corrientes --- --- --- --- ---<br />

Caja <strong>de</strong> ahorros --- --- --- --- ---<br />

Plazo fijo e inversiones a plazo --- --- --- --- ---<br />

Otros --- --- --- --- ---<br />

Intereses y dif. cotiz. <strong>de</strong>veng. a pagar --- --- --- --- ---<br />

Otras Oblig.por Intermed. Financ. 1.217,117 1.355,872 1.448,095 1.682,403 1.705,282<br />

Obligaciones Negociables 1.002,682 743,857 830,860 520,438 672,519<br />

Líneas <strong>de</strong> Créditos <strong>de</strong>l Exterior --- --- --- --- ---<br />

Montos a pagar por compras contado a liq. y a término --- 12,490 --- --- ---<br />

Otras 214,435 599,525 617,235 1.161,965 1.032,763<br />

Obligaciones Diversas 99,910 123,043 141,147 196,515 198,945<br />

Previsiones 0,814 4,603 4,603 4,698 4,698<br />

Partidas Pendientes <strong>de</strong> Imputación --- --- --- --- ---<br />

Obligaciones Subordinadas --- --- --- --- ---<br />

P A T R I M O N I O N E T O 580,024 788,050 825,293 844,283 861,725<br />

Capital, Aportes y Reservas 422,600 580,024 580,024 580,024 788,050<br />

Resultados no asignados 157,424 208,026 245,269 264,259 73,675<br />

R E S U L T A D O S A C U M U L A D O S 157,424 208,026 37,242 56,233 73,675<br />

Ingresos financieros 392,661 476,092 94,358 145,682 202,386<br />

Por Intereses 29,766 48,848 5,363 9,046 13,726<br />

Otros Ingresos Financieros 362,895 427,244 88,995 136,636 188,660<br />

Egresos financieros -346,623 -263,967 -55,145 -94,998 -140,775<br />

Por Intereses -320,070 -222,644 -49,292 -85,582 -127,907<br />

Otros Egresos Financieros -26,553 -41,323 -5,853 -9,416 -12,868<br />

Cargo por incobrabilidad -8,563 -13,778 -6,829 -12,635 -14,982<br />

Ingresos por servicios 285,312 233,339 51,531 88,786 115,231<br />

Egresos por servicios -39,514 -53,573 -13,209 -20,473 -27,446<br />

Gastos <strong>de</strong> administración -51,909 -65,924 -13,516 -20,397 -28,446<br />

Créditos recuperados 1,707 4,947 0,717 0,932 2,248<br />

Otros 11,399 6,205 1,359 1,940 7,642<br />

Impuesto a las ganancias -87,046 -115,315 -22,024 -32,604 -42,183<br />

C U E N T A S D E O R D E N<br />

Créditos irrecuperables en Cuentas <strong>de</strong> Or<strong>de</strong>n 9,097 13,303 14,317 14,561 14,012<br />

Contingentes acreedoras 1.681,825 2.248,806 2.305,884 2.405,963 2.646,813<br />

De Control acreedoras 1.633,891 13,398 14,475 14,760 14,012<br />

De Derivados acreedoras --- 145,425 --- --- ---<br />

De Actividad fiduciaria acreedoras --- --- --- --- ---<br />

Contingentes <strong>de</strong>udoras 1.681,825 2.248,806 2.305,884 2.405,963 2.646,813<br />

De Control <strong>de</strong>udoras 1.624,794 0,095 0,158 0,199 ---<br />

De Derivados <strong>de</strong>udoras --- 145,425 --- --- ---<br />

De Actividad fiduciaria <strong>de</strong>udoras --- --- --- --- ---<br />

Importe a netear <strong>de</strong> operac. y pases, a término y contado a liq. --- --- --- --- ---<br />

INF.AUD.:(8) S/observaciones<br />

398 | SEFyC/BCRA | <strong>Información</strong> <strong>de</strong> Entida<strong>de</strong>s <strong>Financieras</strong> | Abril 2016

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