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CUADRO NRO. 75 |
ADMINISTRACION CENTRAL |
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EJERCICIO 1994 |
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ESTADO DE MOVIMIENTOS Y SITUACION DEL TESORO |
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Saldos Iniciales |
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2,980,759,937.16 |
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Disponibilidades |
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2,980,759,937.16 |
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Caja |
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3,306,141.34 |
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Bancos |
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2,930,605,154.84 |
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Inversiones Financieras Temporarias |
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Fondo Permanente |
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Ingresos |
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92,196,859,671.51 |
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Presupuestarios |
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27,229,170,585.64 |
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Recursos |
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20,081,425,484.19 |
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Corrientes |
19,766,598,000.21 |
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de Capital |
314,827,483.98 |
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Contribuciones Figurativas |
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361,904,358.28 |
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Fuentes Financieras |
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6,785,840,743.17 |
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Incremento de Pasivos |
5,972,619,887.28 |
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Disminucion de Activos |
813,220,855.89 |
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No Presupuestarios |
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64,967,689,085.87 |
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Ingresos No Financieros |
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35,253,158.63 |
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Fuentes Financieras |
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64,932,435,927.24 |
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Incremento de Pasivos |
19,708,882,923.65 |
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Disminucion de Activos |
44,444,917,981.30 |
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Variaciones Patrimoniales |
778,635,022.29 |
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Egresos |
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92,183,760,169.62 |
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Presupuestarios - Ejercicio 1994 |
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25,056,855,389.03 |
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Gastos |
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16,457,531,204.27 |
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Corrientes |
14,447,957,331.35 |
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de Capital |
2,009,573,872.92 |
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Erogaciones Figurativas |
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4,248,356,361.00 |
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Aplicaciones Financieras |
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4,350,967,823.76 |
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Incremento de Activos |
647,281,889.01 |
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Disminucion de Pasivos |
3,703,685,934.75 |
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Presupuestos Ejercicios Anteriores |
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Deuda Exigible Ejercicio 1993 |
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Deuda Exigible Ejercicios 1992 y anteriores |
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No Presupuestarios |
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67,126,904,780.59 |
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Egresos No Financieros |
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4,136,622.01 |
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Aplicaciones Financieras |
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67,122,768,158.58 |
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Incremento de Activos |
575,901,717.86 |
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Disminucion de Pasivos |
65,003,735,183.68 |
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Variaciones Patrimoniales |
1,543,131,257.04 |
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Saldos Finales |
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2,993,859,439.05 |
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Disponibilidades |
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2,993,859,439.05 |
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Caja |
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51,178,319.84 |
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Bancos |
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1,693,443,935.30 |
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Inversiones Financieras Temporarias |
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1,234,945,764.11 |
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Fondo Permanente |
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14,291,419.80 |
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