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ANEXO 23 |
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CUENTA AHORRO - INVERSION - FINANCIAMIENTO |
EMPRESAS Y SOCIEDADES DEL ESTADO |
EJERCICIO 1995 |
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- En Pesos - |
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CRÉDITO |
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CONCEPTO |
ORIGINAL |
DEVENGADO |
% |
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(1) |
(2) |
(3)=(2)/(1) |
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I INGRESOS CORRIENTES |
1,933,443,568 |
2,311,071,517 |
119.53% |
- Ingresos Tributarios |
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- Contrib. a la Seguridad Social |
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- Ingresos no Tributarios |
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- Ventas de Bs. y Serv. de las Adm. Pub. |
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- Ingresos de Operación |
1,782,453,108 |
1,622,017,727 |
91.00% |
- Rentas de la Propiedad |
17,144,600 |
37,268,714 |
217.38% |
- Transferencias Corrientes |
109,694,860 |
352,415,428 |
321.27% |
- Otros Recursos |
24,151,000 |
299,369,647 |
1239.57% |
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II GASTOS CORRIENTES |
1,682,046,156 |
2,034,840,416 |
120.97% |
- Gastos de Operación |
1,497,377,928 |
1,684,697,690 |
112.51% |
. Remuneraciones |
731,369,389 |
791,790,080 |
108.26% |
. Bienes y Servicios |
754,383,727 |
877,195,313 |
116.28% |
. Otros Gastos |
11,624,812 |
15,712,297 |
135.16% |
- Rentas de la Propiedad |
65,762,369 |
108,388,684 |
164.82% |
. Intereses |
65,758,211 |
107,569,444 |
163.58% |
. Otras Rentas |
4,158 |
819,240 |
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- Prestaciones de la Seguridad Social |
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- Otros Gastos Corrientes |
72,404,540 |
228,252,831 |
315.25% |
- Transferencias Corrientes |
46,501,319 |
13,501,211 |
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. Al Sector Privado |
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. Al Sector Publico |
46,501,319 |
13,501,211 |
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. Al Sector Externo |
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III RESULT. ECON.: AHORRO/DESAHORRO (I-II) |
251,397,412 |
276,231,101 |
109.88% |
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IV RECURSOS DE CAPITAL |
212,115,369 |
290,812,835 |
137.10% |
- Recursos Propios de Capital |
86,689,369 |
170,229,693 |
196.37% |
- Transferencias de Capital |
125,426,000 |
120,583,142 |
96.14% |
- Disminucion de la Inv. Financiera |
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V GASTOS DE CAPITAL |
481,856,700 |
356,697,772 |
74.03% |
- Inversion Real Directa |
481,856,700 |
356,536,952 |
73.99% |
- Transferencias de Capital |
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160,820 |
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. Al Sector Privado |
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. Al Sector Publico |
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160,820 |
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. Al Sector Externo |
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- Inversion Financiera |
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VI RESULT. FINANC. ANTES DE CONTRIBUCIONES |
-18,343,919 |
210,346,165 |
1246.68% |
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TOTAL RECURSOS (I+IV) |
2,145,558,937 |
2,601,884,353 |
121.27% |
TOTAL GASTOS (II+V) |
2,163,902,856 |
2,391,538,188 |
110.52% |
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VII CONTRIBUCIONES FIGURATIVAS |
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VIII GASTOS FIGURATIVOS |
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IX RESULTADO FINANCIERO |
-18,343,919 |
210,346,165 |
1246.68% |
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X FUENTES FINANCIERAS |
1,707,358,388 |
1,933,450,667 |
113.24% |
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- Disminucion de la Inv. Financiera |
526,974,513 |
547,709,721 |
103.93% |
Caja, Bancos e Inversiones Temporarias |
14,462,305 |
81,271,145 |
561.95% |
Otros Activos Financieros |
512,512,208 |
466,438,576 |
91.01% |
- Endeudamiento Publico e Incremento Otros Pasivos |
1,152,467,875 |
1,262,363,252 |
109.54% |
Deuda Pública |
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Otros Pasivos |
1,152,467,875 |
1,262,363,252 |
109.54% |
- Incremento del Patrimonio |
27,916,000 |
123,377,694 |
441.96% |
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XI APLICACIONES FINANCIERAS |
1,689,014,469 |
2,143,796,832 |
126.93% |
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- Inversion Financiera |
591,592,925 |
841,784,921 |
142.29% |
Caja, Bancos e Inversiones Temporarias |
132,060,607 |
300,811,384 |
227.78% |
Otros Activos Financieros |
459,532,318 |
540,973,537 |
117.72% |
- Amortizacion de Deudas y Dism.de Otros Pasivos |
1,085,163,844 |
1,283,887,956 |
118.31% |
Deuda Pública |
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Otros Pasivos |
1,085,163,844 |
1,283,887,956 |
118.31% |
- Disminucion del Patrimonio |
12,257,700 |
18,123,955 |
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