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ANEXO 10 |
MINISTERIO DE CULTURA Y EDUCACION |
CUENTA AHORRO-INVERSION-FINANCIAMIENTO |
DE ORGANISMOS DESCENTRALIZADOS DEL SECTOR PUBLICO |
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- En Pesos - |
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INSTITUTO |
FONDO |
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CONCEPTO |
NACIONAL |
NACIONAL |
TOTAL |
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DE |
DE LAS |
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CINEMATOGRAFIA |
ARTES |
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I INGRESOS CORRIENTES |
34,157,329.75 |
5,102,286.28 |
39,259,616.03 |
- Ingresos Tributarios |
33,646,454.32 |
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33,646,454.32 |
- Contrib. a la Seguridad Social |
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- Ingresos no Tributarios |
182,640.65 |
4,358,186.21 |
4,540,826.86 |
- Ventas de Bs. y Serv. de las Adm. Pub. |
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29,732.00 |
29,732.00 |
- Rentas de la Propiedad |
328,234.78 |
714,368.07 |
1,042,602.85 |
- Transferencias Corrientes |
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II GASTOS CORRIENTES |
21,485,080.15 |
3,328,067.95 |
24,813,148.10 |
- Gastos de Consumo |
5,381,546.80 |
2,578,108.95 |
7,959,655.75 |
- Rentas de la Propiedad |
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- Prestaciones de la Seguridad Social |
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- Otros Gastos Corrientes |
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- Transferencias Corrientes |
16,103,533.35 |
749,959.00 |
16,853,492.35 |
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III RESULTADO ECONOMICO (I-II) |
12,672,249.60 |
1,774,218.33 |
14,446,467.93 |
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IV RECURSOS DE CAPITAL |
3,455,780.05 |
819,196.86 |
4,274,976.91 |
- Recursos Propios de Capital |
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- Transferencias de Capital |
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- Disminucion de la Inv. Financiera |
3,455,780.05 |
819,196.86 |
4,274,976.91 |
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V GASTOS DE CAPITAL |
12,970,575.43 |
1,881,903.02 |
14,852,478.45 |
- Inversion Real Directa |
393,033.15 |
100,703.02 |
493,736.17 |
- Transferencias de Capital |
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307,700.00 |
307,700.00 |
- Inversion Financiera |
12,577,542.28 |
1,473,500.00 |
14,051,042.28 |
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VI RESULTADO FINANCIERO A/CONTRIBUCIONES |
3,157,454.22 |
711,512.17 |
3,868,966.39 |
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TOTAL RECURSOS (I+IV) |
37,613,109.80 |
5,921,483.14 |
43,534,592.94 |
TOTAL GASTOS (II+V) |
34,455,655.58 |
5,209,970.97 |
39,665,626.55 |
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VII CONTRIBUCIONES FIGURATIVAS |
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VIII GASTOS FIGURATIVOS |
529,613.30 |
32,282.00 |
561,895.30 |
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IX RESULTADO FINANCIERO |
2,627,840.92 |
679,230.17 |
3,307,071.09 |
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X FUENTES FINANCIERAS |
1,405,181.29 |
421,004.04 |
1,826,185.33 |
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- Disminucion de la Inv. Financiera |
261,433.00 |
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261,433.00 |
- Endeudamiento Publico e Incremento de Otros Pasivos |
620,969.10 |
404,210.48 |
1,025,179.58 |
- Incremento del Patrimonio |
522,779.19 |
16,793.56 |
539,572.75 |
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XI APLICACIONES FINANCIERAS |
4,033,022.21 |
1,100,234.21 |
5,133,256.42 |
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- Inversion Financiera |
3,431,378.54 |
752,551.12 |
4,183,929.66 |
- Amortizacion de Deuda y Disminución de Otros Pasivos |
601,643.67 |
347,683.09 |
949,326.76 |
- Disminución del Patrimonio |
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XII FINANCIAMIENTO NETO (X-XI) |
-2,627,840.92 |
-679,230.17 |
-3,307,071.09 |
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