INSTITUCIONES DE SEGURIDAD SOCIAL |
CUADRO NRO.65 |
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EJERCICIO 1994 |
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ESTADO DE EJECUCION PRESUPUESTARIA |
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COMPOSICION ECONOMICA DEL GASTO POR FUENTE DE FINANCIAMIENTO |
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BASE DEVENGADO |
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-En Pesos- |
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FUENTES INTERNAS |
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FUENTES EXTERNAS |
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CUENTA |
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TOTAL |
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TOTAL |
TOTAL DE GASTOS |
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TESORO NACIONAL |
RECURSOS PROPIOS |
REC.C/AFECT.ESPEC. |
TRANSF. INTERNAS |
CREDITO INTERNO |
FUENTES INTERNAS |
TRANSF. EXTERNAS |
CREDITO EXTERNO |
FUENTES EXTERNAS |
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2.1 |
GASTOS CORRIENTES |
3,099,204,272.03 |
15,256,718,273.08 |
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1,287,640,939.80 |
74,281,417.38 |
19,717,844,902.29 |
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19,717,844,902.29 |
2.1.2 |
GASTOS DE CONSUMO |
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305,715,847.61 |
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305,715,847.61 |
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305,715,847.61 |
2.1.2.1 |
REMUNERACIONES |
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177,446,699.78 |
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177,446,699.78 |
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177,446,699.78 |
2.1.2.2 |
BIENES Y SERVICIOS |
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128,269,147.83 |
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128,269,147.83 |
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128,269,147.83 |
2.1.2.3 |
IMPUESTOS INDIRECTOS |
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2.1.3 |
RENTAS DE LA PROPIEDAD |
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1,329,494.25 |
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1,329,494.25 |
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1,329,494.25 |
2.1.3.1 |
INTERESES |
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1,329,494.25 |
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1,329,494.25 |
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1,329,494.25 |
2.1.3.2 |
ARRENDAMIENTO DE TIERRAS |
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2.1.3.3 |
DERECHOS SOBRE BIENES INT. |
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2.1.4 |
PRESTACIONES DE LA SEGURIDAD SOCIAL |
3,099,204,272.03 |
11,747,797,811.79 |
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1,287,640,939.80 |
74,281,417.38 |
16,208,924,441.00 |
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16,208,924,441.00 |
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2.1.5 |
IMPUESTOS DIRECTOS |
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346,351.91 |
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346,351.91 |
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346,351.91 |
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2.1.7 |
TRANSFERENCIAS CORRIENTES |
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3,201,528,767.52 |
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3,201,528,767.52 |
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3,201,528,767.52 |
2.1.7.1 |
AL SECTOR PRIVADO |
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2,919,812,938.48 |
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2,919,812,938.48 |
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2,919,812,938.48 |
2.1.7.2 |
AL SECTOR PUBLICO |
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280,840,916.88 |
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280,840,916.88 |
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280,840,916.88 |
2.1.7.3 |
AL SECTOR EXTERNO |
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874,912.16 |
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874,912.16 |
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874,912.16 |
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2.2 |
GASTOS DE CAPITAL |
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6,940,456.36 |
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6,940,456.36 |
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6,940,456.36 |
2.2.1 |
INVERSION REAL DIRECTA |
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5,623,656.36 |
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5,623,656.36 |
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5,623,656.36 |
2.2.1.1 |
FORMACION BRUTA DE CAPITAL FIJO |
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5,279,234.48 |
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5,279,234.48 |
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5,279,234.48 |
2.2.1.3 |
TIERRAS Y TERRENOS |
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2.2.1.4 |
ACTIVOS INTANGIBLES |
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344,421.88 |
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344,421.88 |
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344,421.88 |
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2.2.2 |
TRANSFERENCIAS DE CAPITAL |
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1,316,800.00 |
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1,316,800.00 |
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1,316,800.00 |
2.2.2.1 |
AL SECTOR PRIVADO |
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1,316,800.00 |
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1,316,800.00 |
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1,316,800.00 |
2.2.2.2 |
AL SECTOR PUBLICO |
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2.2.2.3 |
AL SECTOR EXTERNO |
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2.2.3 |
INVERSION FINANCIERA |
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2.2.3.1 |
APORTES DE CAPITAL |
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2.2.3.2 |
CONCESION DE PREST.CORTO PLAZO |
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2.2.3.6 |
CONCESION DE PREST.LARGO PLAZO |
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TOTAL |
3,099,204,272.03 |
15,263,658,729.44 |
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1,287,640,939.80 |
74,281,417.38 |
19,724,785,358.65 |
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19,724,785,358.65 |