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 | 355 | 257 | 225 | 46 | S.E. | 33 | 52 | 37 | 32 |
A C T I V O | |||||||||
Caja y depósitos en bancos centrales | 48.075.067 | 46.794.036 | 37.794.948 | 32.953.562 | S.E. | 25.132.599 | 2.665.699 | 2.641.626 | 2.004.224 |
Cartera de negociación | 343.923.415 | 331.307.996 | 271.939.585 | 202.152.197 | S.E. | 140.213.774 | 8.467.131 | 8.300.589 | 8.020.494 |
Otros activos financieros a valor razonable con Cambios en pérdidas y ganancias | 38.119.117 | 29.582.161 | 8.838.987 | 20.885.628 | S.E. | 440.048 | 315.489 | 315.254 | 69.339 |
Activos financieros disponibles para la venta | 260.725.594 | 257.189.003 | 215.279.576 | 173.624.710 | S.E. | 138.449.449 | 14.192.056 | 14.189.367 | 10.651.453 |
Inversiones crediticias | 2.220.725.120 | 2.131.615.032 | 1.758.889.840 | 1.554.412.506 | S.E. | 1.265.971.256 | 227.297.050 | 210.559.472 | 169.225.541 |
Cartera de inversión a vencimiento | 48.053.849 | 46.444.737 | 40.293.390 | 33.338.857 | S.E. | 31.022.458 | 2.092.210 | 2.092.210 | 2.076.328 |
Ajustes a activos financieros por macro-coberturas | 203.075 | 151.374 | 151.374 | 89.925 | S.E. | 89.925 | 98.526 | 61.449 | 61.449 |
Derivados de cobertura | 32.365.005 | 31.853.762 | 27.214.856 | 25.674.404 | S.E. | 21.142.548 | 1.569.997 | 1.563.125 | 1.563.125 |
Activos no corrientes en venta | 10.325.723 | 9.773.106 | 8.174.269 | 7.427.772 | S.E. | 5.974.946 | 1.245.419 | 1.146.417 | 1.087.995 |
Participaciones | 136.172.493 | 134.444.652 | 64.763.415 | 123.359.871 | S.E. | 54.486.224 | 5.149.734 | 4.986.688 | 4.821.251 |
Contratos de seguros vinculados a pensiones | 9.684.571 | 9.509.412 | 6.368.529 | 7.872.553 | S.E. | 4.750.856 | 1.544.391 | 1.538.397 | 1.462.868 |
Activo material | 31.355.600 | 30.595.395 | 26.319.146 | 21.377.511 | S.E. | 18.552.384 | 2.028.428 | 1.972.293 | 1.756.143 |
Activo intangible | 2.609.540 | 2.461.440 | 2.315.142 | 1.904.278 | S.E. | 1.841.248 | 254.124 | 223.644 | 183.144 |
Activos fiscales | 19.961.359 | 18.245.344 | 14.927.210 | 13.955.117 | S.E. | 11.097.951 | 1.719.065 | 1.462.606 | 1.186.072 |
Resto de activos | 9.312.262 | 8.941.279 | 7.181.220 | 5.076.883 | S.E. | 4.054.177 | 913.970 | 879.844 | 641.543 |
TOTAL ACTIVO | 3.211.611.790 | 3.088.908.729 | 2.490.451.486 | 2.224.105.773 | S.E. | 1.723.219.844 | 269.553.290 | 251.932.980 | 204.810.968 |
P A S I V O | |||||||||
Cartera de negociación | 319.282.016 | 300.540.287 | 260.968.778 | 135.578.517 | S.E. | 96.518.343 | 7.706.462 | 6.021.527 | 5.957.261 |
Otros pasivos financieros a valor razonable con Cambios en pérdidas y ganancias | 115.564.538 | 108.270.154 | 61.700.598 | 74.835.123 | S.E. | 40.967.300 | 8.981.506 | 8.325.064 | 2.616 |
Pasivos financieros a coste amortizado | 2.510.666.859 | 2.418.833.028 | 1.976.841.499 | 1.822.083.435 | S.E. | 1.457.133.216 | 229.429.906 | 215.524.187 | 178.919.878 |
Ajustes a pasivos financieros por macro-coberturas | 3.029.597 | 3.029.597 | 2.959.772 | 2.223.179 | S.E. | 2.153.354 | 806.418 | 806.418 | 806.418 |
Derivados de cobertura | 20.517.869 | 20.155.360 | 18.334.366 | 12.900.592 | S.E. | 11.133.443 | 548.325 | 462.939 | 412.482 |
Pasivos asociados con activos no corrientes en venta | 263 | 104 | 104 | 0 | S.E. | 0 | 0 | 0 | 0 |
Provisiones | 30.545.685 | 29.717.024 | 20.485.433 | 24.690.748 | S.E. | 15.777.897 | 3.236.039 | 3.074.317 | 2.912.041 |
Pasivos fiscales | 5.952.363 | 5.758.450 | 5.209.668 | 3.807.523 | S.E. | 3.438.048 | 631.859 | 621.450 | 564.174 |
Fondo de la Obra social (sólo Cajas de ahorros y Cooperativas de crédito) | 3.310.993 | 3.242.723 | 3.066.028 | 2.449.825 | S.E. | 2.318.078 | 0 | 0 | 0 |
Resto de pasivos | 10.813.210 | 10.327.192 | 7.877.551 | 7.271.311 | S.E. | 5.205.601 | 1.303.480 | 1.221.646 | 943.600 |
Capital reembolsable a la vista (sólo Cooperativas de crédito) | 229.699 | 229.699 | 50.245 | 0 | S.E. | 0 | 0 | 0 | 0 |
TOTAL PASIVO | 3.019.913.092 | 2.900.103.619 | 2.357.494.042 | 2.085.840.254 | S.E. | 1.634.645.279 | 252.643.996 | 236.057.547 | 190.518.472 |
Fondos propios | 189.545.355 | 186.457.265 | 130.755.703 | 136.205.108 | S.E. | 86.655.602 | 16.888.668 | 15.841.097 | 14.247.830 |
Ajustes por valoración | 2.153.342 | 2.347.846 | 2.201.741 | 2.060.411 | S.E. | 1.918.962 | 20.627 | 34.336 | 44.666 |
Total patrimonio neto | 191.698.698 | 188.805.110 | 132.957.444 | 138.265.519 | S.E. | 88.574.564 | 16.909.295 | 15.875.433 | 14.292.496 |
TOTAL PASIVO Y PATRIMONIO NETO | 3.211.611.790 | 3.088.908.729 | 2.490.451.486 | 2.224.105.773 | S.E. | 1.723.219.844 | 269.553.290 | 251.932.980 | 204.810.968 |