Total | Dominante | Dominada | |||||||
---|---|---|---|---|---|---|---|---|---|
Total | R.C. > 0 | B.I. > 0 | Total | R.C. > 0 | B.I. > 0 | Total | R.C. > 0 | B.I. > 0 | |
NUMERO | 368 | 273 | 255 | 43 | 39 | 36 | 57 | 43 | 38 |
CUENTA DE PÉRDIDAS Y GANANCIAS | |||||||||
Intereses y rendimientos asimilados | 150.097.463 | 143.849.425 | 136.611.300 | 94.766.338 | 94.453.531 | 91.356.305 | 14.955.107 | 13.482.661 | 11.891.487 |
Intereses y cargas asimiladas | -112.195.771 | -107.926.581 | -102.577.022 | -71.600.699 | -71.350.535 | -69.079.109 | -11.012.125 | -10.048.492 | -8.757.988 |
Remuneración de capital reembolsable a la vista | -7.908 | -7.908 | -7.908 | 0 | 0 | 0 | 0 | 0 | 0 |
MARGEN DE INTERESES | 37.893.783 | 35.914.936 | 34.026.370 | 23.165.639 | 23.102.996 | 22.277.196 | 3.942.983 | 3.434.169 | 3.133.499 |
Rendimiento de instrumentos de capital | 12.079.401 | 11.964.788 | 11.203.047 | 10.420.016 | 10.419.051 | 10.192.695 | 662.382 | 659.492 | 156.539 |
Comisiones percibidas | 16.744.797 | 15.980.601 | 15.362.771 | 10.946.602 | 10.878.420 | 10.675.631 | 2.019.574 | 1.795.808 | 1.660.405 |
Comisiones pagadas | -2.759.143 | -2.575.855 | -2.471.996 | -1.631.031 | -1.620.660 | -1.584.581 | -328.593 | -273.184 | -233.000 |
Resultados de operaciones financieras (neto) | 4.989.901 | 5.179.379 | 4.934.902 | 3.837.693 | 3.917.733 | 3.891.741 | 205.172 | 127.609 | 87.324 |
Diferencias de cambio (neto) | 811.974 | 805.595 | 798.071 | 660.367 | 655.932 | 652.020 | 66.353 | 66.277 | 65.502 |
Otros productos de explotación | 1.791.225 | 1.369.535 | 1.319.506 | 855.324 | 851.193 | 835.366 | 440.099 | 66.296 | 60.167 |
Otras cargas de explotación | -1.023.549 | -868.624 | -824.968 | -609.802 | -608.542 | -589.813 | -228.756 | -84.156 | -80.370 |
MARGEN BRUTO | 70.528.389 | 67.770.355 | 64.347.702 | 47.644.809 | 47.596.124 | 46.350.254 | 6.779.214 | 5.792.313 | 4.850.067 |
GASTOS DE ADMINISTRACIÓN | -28.622.759 | -27.050.068 | -25.718.892 | -19.216.183 | -19.071.531 | -18.479.551 | -2.383.201 | -1.987.726 | -1.842.688 |
Gastos de personal | -18.719.706 | -17.969.647 | -17.087.835 | -12.801.604 | -12.719.114 | -12.314.776 | -1.413.507 | -1.267.193 | -1.200.609 |
RESULTADO BRUTO DE EXPLOTACIÓN | 41.905.630 | 40.720.287 | 38.628.810 | 28.428.626 | 28.524.593 | 27.870.703 | 4.396.014 | 3.804.588 | 3.007.378 |
Amortización | -2.368.808 | -2.098.664 | -1.961.761 | -1.445.425 | -1.437.852 | -1.379.167 | -391.476 | -176.754 | -159.836 |
Dotaciones a provisiones (neto) | -3.595.694 | -3.398.252 | -3.420.998 | -3.130.068 | -3.119.253 | -3.139.056 | -106.068 | -42.147 | -34.562 |
Pérdidas por deterioro de activos financieros (neto) | -17.541.601 | -14.799.768 | -13.941.400 | -10.368.950 | -10.325.532 | -9.802.136 | -1.536.746 | -972.112 | -819.954 |
RESULTADO DE LA ACTIVIDAD DE EXPLOTACIÓN | 17.961.909 | 19.985.985 | 18.867.034 | 13.484.183 | 13.641.955 | 13.550.344 | 2.361.725 | 2.613.575 | 1.993.027 |
Pérdidas por deterioro del resto de activos (neto) | -716.543 | -709.741 | -568.672 | -412.638 | -409.407 | -405.729 | -106.694 | -105.960 | -7.105 |
Ganancias (pérdidas) baja activos no corrientes en vta. | 1.241.824 | 1.228.708 | 1.139.195 | 1.018.221 | 1.017.308 | 923.082 | 95.521 | 95.226 | 97.499 |
Diferencia negativa en combinaciones de negocios | -453 | -453 | 0 | 0 | 0 | 0 | -453 | -453 | 0 |
Ganancias (pérdidas) activos no corrientes en vta. no oper.inter. | 1.261.863 | 1.274.860 | 1.275.288 | 1.193.594 | 1.194.808 | 1.191.489 | -10.320 | -10.494 | -11.995 |
RESULTADO ANTES DE IMPUESTOS | 19.748.600 | 21.779.359 | 20.712.845 | 15.283.361 | 15.444.665 | 15.259.187 | 2.339.778 | 2.591.895 | 2.071.426 |
Impuesto sobre beneficios | -1.693.860 | -2.080.277 | -2.065.479 | -1.013.414 | -1.009.556 | -1.036.443 | -500.726 | -566.985 | -580.206 |
Dotación obligatoria a obras y fondos sociales | -91.140 | -91.140 | -88.867 | -27.720 | -27.720 | -27.720 | 0 | 0 | 0 |
RESULTADO EJERCICIO PROCEDENTE OPERACIONES CONTINUADAS | 17.963.601 | 19.607.943 | 18.558.498 | 14.242.227 | 14.407.389 | 14.195.024 | 1.839.053 | 2.024.910 | 1.491.220 |
Resultado de operaciones interrumpidas (neto) | 463.108 | 465.094 | 481.127 | 481.126 | 481.126 | 481.126 | -16.033 | -16.033 | 0 |
RESULTADO DEL EJERCICIO | 18.426.709 | 20.073.037 | 19.039.625 | 14.723.352 | 14.888.514 | 14.676.150 | 1.823.020 | 2.008.877 | 1.491.220 |