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 | 351 | 248 | 185 | 45 | S.E. | 21 | 87 | 61 | 44 |
A C T I V O | |||||||||
Caja y depósitos en bancos centrales | 64.364.393 | 54.851.683 | 28.888.335 | 46.865.866 | S.E. | 15.399.738 | 11.005.636 | 10.230.327 | 8.558.782 |
Cartera de negociación | 334.002.313 | 242.665.602 | 130.949.405 | 263.836.682 | S.E. | 66.302.924 | 15.927.121 | 14.650.647 | 14.429.733 |
Otros activos financieros a valor razonable con Cambios en pérdidas y ganancias | 43.558.508 | 35.896.232 | 21.094.092 | 30.761.053 | S.E. | 15.301.999 | 216.537 | 40.301 | 32.111 |
Activos financieros disponibles para la venta | 241.145.862 | 183.836.944 | 110.838.177 | 155.325.080 | S.E. | 49.188.524 | 35.169.879 | 33.200.724 | 25.821.657 |
Inversiones crediticias | 2.221.286.373 | 1.742.221.321 | 1.079.140.387 | 1.371.514.589 | S.E. | 502.608.048 | 512.974.206 | 474.493.913 | 364.206.173 |
Cartera de inversión a vencimiento | 78.954.210 | 49.033.863 | 33.859.080 | 55.956.157 | S.E. | 23.515.406 | 16.246.556 | 16.246.556 | 7.922.616 |
Ajustes a activos financieros por macro-coberturas | 657.551 | 606.592 | 576.269 | 230.502 | S.E. | 176.346 | 399.923 | 399.923 | 399.923 |
Derivados de cobertura | 46.525.888 | 38.355.302 | 29.057.250 | 21.136.083 | S.E. | 5.476.777 | 18.305.660 | 18.255.159 | 17.226.434 |
Activos no corrientes en venta | 18.651.435 | 12.741.141 | 6.191.399 | 12.554.403 | S.E. | 3.513.940 | 3.933.194 | 3.732.210 | 2.218.738 |
Participaciones | 188.044.490 | 162.175.772 | 58.977.107 | 160.186.038 | S.E. | 40.909.000 | 26.458.730 | 23.968.956 | 17.802.354 |
Contratos de seguros vinculados a pensiones | 9.100.323 | 8.648.333 | 5.282.719 | 5.458.466 | S.E. | 1.882.598 | 3.567.507 | 3.508.882 | 3.361.108 |
Activo material | 27.959.991 | 19.399.915 | 9.743.775 | 17.392.948 | S.E. | 3.684.375 | 7.099.783 | 6.485.822 | 4.836.219 |
Activo intangible | 3.349.024 | 2.821.340 | 1.564.199 | 2.264.464 | S.E. | 744.026 | 860.021 | 787.811 | 745.533 |
Activos fiscales | 38.377.632 | 22.677.586 | 11.390.331 | 28.797.977 | S.E. | 5.876.647 | 6.711.439 | 6.082.482 | 4.221.617 |
Resto de activos | 12.962.260 | 11.403.740 | 7.299.357 | 5.999.405 | S.E. | 1.659.794 | 4.643.786 | 4.581.150 | 4.270.737 |
TOTAL ACTIVO | 3.328.940.254 | 2.587.335.365 | 1.534.851.882 | 2.178.279.712 | S.E. | 736.240.140 | 663.519.979 | 616.664.862 | 476.053.734 |
P A S I V O | |||||||||
Cartera de negociación | 326.695.982 | 236.134.533 | 156.137.510 | 226.152.800 | S.E. | 63.441.059 | 13.147.218 | 12.026.295 | 11.801.370 |
Otros pasivos financieros a valor razonable con Cambios en pérdidas y ganancias | 94.404.076 | 55.289.480 | 27.265.972 | 73.460.093 | S.E. | 13.654.680 | 837.124 | 820.591 | 820.591 |
Pasivos financieros a coste amortizado | 2.597.267.615 | 2.022.175.669 | 1.195.428.868 | 1.689.096.962 | S.E. | 590.251.086 | 561.908.361 | 522.847.608 | 397.618.452 |
Ajustes a pasivos financieros por macro-coberturas | 4.939.869 | 4.182.017 | 3.519.917 | 1.413.488 | S.E. | -7 | 3.519.925 | 3.519.925 | 3.519.925 |
Derivados de cobertura | 27.921.133 | 23.546.167 | 19.735.669 | 11.271.361 | S.E. | 3.846.461 | 12.864.261 | 12.652.656 | 12.401.216 |
Pasivos asociados con activos no corrientes en venta | 236.063 | 663 | 663 | 112 | S.E. | 112 | 551 | 551 | 551 |
Provisiones | 28.563.380 | 25.362.365 | 14.235.547 | 20.354.251 | S.E. | 7.584.668 | 6.876.021 | 6.619.866 | 5.778.523 |
Pasivos fiscales | 7.138.224 | 4.524.168 | 2.519.709 | 4.909.913 | S.E. | 1.042.240 | 1.505.955 | 1.424.345 | 1.005.974 |
Fondo de la Obra social (sólo Cajas de ahorros y Cooperativas de crédito) | 2.953.974 | 1.737.177 | 678.108 | 1.836.334 | S.E. | 260.392 | 776.969 | 373.090 | 367.055 |
Resto de pasivos | 17.683.590 | 15.759.121 | 12.610.985 | 7.048.465 | S.E. | 3.049.000 | 8.306.611 | 8.072.350 | 7.809.587 |
Capital reembolsable a la vista (sólo Cooperativas de crédito) | 64.025 | 61.520 | 10.477 | 0 | S.E. | 0 | 3.354 | 862 | 57 |
TOTAL PASIVO | 3.107.867.933 | 2.388.772.879 | 1.432.143.425 | 2.035.543.780 | S.E. | 683.129.689 | 609.746.350 | 568.358.139 | 441.123.301 |
Fondos propios | 225.226.278 | 201.195.413 | 103.424.839 | 146.634.257 | S.E. | 54.240.218 | 53.498.154 | 47.989.993 | 34.380.877 |
Ajustes por valoración | -4.153.957 | -2.632.927 | -716.382 | -3.898.326 | S.E. | -1.129.767 | 275.475 | 316.731 | 549.557 |
Total patrimonio neto | 221.072.321 | 198.562.486 | 102.708.457 | 142.735.932 | S.E. | 53.110.451 | 53.773.629 | 48.306.724 | 34.930.433 |
TOTAL PASIVO Y PATRIMONIO NETO | 3.328.940.254 | 2.587.335.365 | 1.534.851.882 | 2.178.279.712 | S.E. | 736.240.140 | 663.519.979 | 616.664.862 | 476.053.734 |