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