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ANEXO 22 |
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Página 1/3 |
CUENTA AHORRO-INVERSION-FINANCIAMIENTO |
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EMPRESAS Y SOCIEDADES DEL ESTADO |
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DEVENGADO EJERCICIO 1996 |
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JURISDICCION 50 - MINISTERIO DE ECONOMIA Y OBRAS Y SERVICIOS PUBLICOS |
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CONSOLIDADO EMPRESAS EN LIQUIDACION |
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- En Pesos - |
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CONCEPTO |
ADM. GRAL DE |
AGUA Y EN. |
ASTILLERO |
BANADE |
C.N.A.S. |
ELMA S.A |
ENCOTEL |
ENTEL |
FERROCARR. |
FEMESA |
FORJA S.A. |
GAS DEL |
HIDRONOR |
INST. DE |
O.S.N |
SEGBA |
SOMISA |
Y.C.F |
TOTAL (*) |
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PUERTOS |
ELECTRICA |
DOMECQ G. |
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ARGENTINOS |
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ESTADO |
S.A |
REASEGUROS |
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S.A. |
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I INGRESOS CORRIENTES |
32,842,000 |
120,148,318 |
749,200 |
115,912,540 |
9,530,121 |
38,352,749 |
1,003,194 |
19,679,618 |
17,787,310 |
30,556,865 |
302,667 |
291,153 |
7,851,378 |
261,989,855 |
15,689,489 |
2,040,400 |
1,516,324 |
1,855,196 |
678,098,377 |
- 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 |
31,842,000 |
117,879,441 |
192,226 |
115,890,689 |
2,482,093 |
18,164,000 |
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17,179,618 |
11,787,310 |
7,648,534 |
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2,780 |
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323,068,691 |
- Rentas de la Propiedad |
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71,000 |
111,156 |
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102,667 |
291,153 |
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575,976 |
- Transferencias Corrientes |
1,000,000 |
1,500,000 |
81,000 |
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5,428,051 |
19,446,749 |
822,999 |
2,500,000 |
6,000,000 |
22,908,331 |
200,000 |
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7,473,700 |
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1,024,000 |
1,500,000 |
1,769,499 |
71,654,329 |
- Otros Recursos |
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768,877 |
475,974 |
21,851 |
1,619,977 |
671,000 |
69,039 |
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377,678 |
261,989,855 |
15,689,489 |
1,016,400 |
13,544 |
85,697 |
282,799,381 |
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II GASTOS CORRIENTES |
27,917,201 |
126,180,548 |
964,209 |
65,757,884 |
5,720,977 |
44,161,709 |
1,303,929 |
9,977,984 |
26,734,964 |
28,891,503 |
2,624,019 |
8,245,952 |
6,023,896 |
9,051,809 |
27,876,568 |
5,061,300 |
2,801,986 |
1,509,661 |
400,806,100 |
- Gastos de Operación |
27,917,201 |
123,151,316 |
964,209 |
7,566,818 |
5,720,977 |
43,515,709 |
1,303,929 |
9,838,988 |
26,734,964 |
28,891,503 |
324,019 |
1,922,239 |
5,551,041 |
9,051,809 |
16,409,504 |
4,105,100 |
2,255,955 |
1,359,491 |
316,584,773 |
. Remuneraciones |
14,431,598 |
7,552,300 |
271,597 |
2,842,672 |
1,696,718 |
11,256,000 |
321,217 |
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12,043,568 |
18,839,217 |
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127,794 |
3,221,526 |
3,071,096 |
206,366 |
1,325,200 |
1,300,530 |
157,426 |
78,664,824 |
. Bienes y Servicios |
13,485,603 |
114,072,616 |
635,523 |
1,870,236 |
4,024,259 |
16,096,000 |
982,712 |
9,838,988 |
14,691,397 |
6,548,265 |
324,019 |
1,794,445 |
2,314,352 |
5,980,713 |
15,060,887 |
2,779,900 |
955,425 |
1,195,583 |
212,650,923 |
. Otros Gastos |
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1,526,400 |
57,089 |
2,853,910 |
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16,163,709 |
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3,504,021 |
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15,163 |
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1,142,251 |
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6,482 |
25,269,025 |
- Rentas de la Propiedad |
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130,800 |
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57,205,280 |
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197,000 |
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57,533,080 |
. Intereses |
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130,800 |
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57,205,280 |
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197,000 |
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57,533,080 |
. Otras Rentas |
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- Prestaciones de la Seguridad Social |
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- Otros Gastos Corrientes |
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2,898,432 |
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985,786 |
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449,000 |
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67,034 |
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146,216 |
39,254 |
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420,315 |
756,200 |
546,031 |
150,170 |
6,458,438 |
- Transferencias Corrientes |
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71,962 |
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2,300,000 |
6,177,497 |
433,601 |
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11,046,749 |
200,000 |
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20,229,809 |
. Al Sector Privado |
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2,449,446 |
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2,449,446 |
. Al Sector Publico |
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71,962 |
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2,300,000 |
3,728,051 |
433,601 |
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11,046,749 |
200,000 |
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17,780,363 |
. Al Sector Externo |
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III RESULT. ECON.: AHORRO/DESAHORRO (I-II) |
4,924,799 |
-6,032,230 |
-215,009 |
50,154,656 |
3,809,144 |
-5,808,960 |
-300,735 |
9,701,634 |
-8,947,654 |
1,665,362 |
-2,321,352 |
-7,954,799 |
1,827,482 |
252,938,046 |
-12,187,079 |
-3,020,900 |
-1,285,662 |
345,534 |
277,292,277 |
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IV RECURSOS DE CAPITAL |
22,163 |
564,300 |
285,984 |
1,252,855 |
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16,885,709 |
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11,043,404 |
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6,100 |
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423,000 |
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896,150 |
1,597,500 |
32,977,165 |
- Recursos Propios de Capital |
22,163 |
564,300 |
285,984 |
1,252,855 |
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16,885,709 |
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11,043,404 |
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6,100 |
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423,000 |
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896,150 |
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31,379,665 |
- Transferencias de Capital |
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1,597,500 |
1,597,500 |
- Disminucion de la Inv. Financiera |
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V GASTOS DE CAPITAL |
772,902 |
308,400 |
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1,300,000 |
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2,693,430 |
5,516 |
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1,207,078 |
6,287,326 |
- Inversion Real Directa |
772,902 |
308,400 |
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1,300,000 |
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2,693,430 |
5,516 |
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1,207,078 |
6,287,326 |
- Transferencias de Capital |
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. Al Sector Privado |
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. Al Sector Publico |
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. Al Sector Externo |
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- Inversion Financiera |
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VI RESULT. FINANC. ANTES DE CONTRIBUCIONES |
4,174,060 |
-5,776,330 |
70,975 |
51,407,511 |
3,809,144 |
11,076,749 |
-300,735 |
9,701,634 |
2,095,750 |
365,362 |
-2,321,352 |
-7,948,699 |
-865,948 |
252,932,530 |
-11,764,079 |
-3,020,900 |
-389,512 |
735,956 |
303,982,116 |
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TOTAL RECURSOS (I+IV) |
32,864,163 |
120,712,618 |
1,035,184 |
117,165,395 |
9,530,121 |
55,238,458 |
1,003,194 |
19,679,618 |
28,830,714 |
30,556,865 |
302,667 |
297,253 |
7,851,378 |
261,989,855 |
16,112,489 |
2,040,400 |
2,412,474 |
3,452,696 |
711,075,542 |
TOTAL GASTOS (II+V) |
28,690,103 |
126,488,948 |
964,209 |
65,757,884 |
5,720,977 |
44,161,709 |
1,303,929 |
9,977,984 |
26,734,964 |
30,191,503 |
2,624,019 |
8,245,952 |
8,717,326 |
9,057,325 |
27,876,568 |
5,061,300 |
2,801,986 |
2,716,739 |
407,093,426 |
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VII CONTRIBUCIONES FIGURATIVAS |
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VIII GASTOS FIGURATIVOS |
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IX RESULTADO FINANCIERO |
4,174,060 |
-5,776,330 |
70,975 |
51,407,511 |
3,809,144 |
11,076,749 |
-300,735 |
9,701,634 |
2,095,750 |
365,362 |
-2,321,352 |
-7,948,699 |
-865,948 |
252,932,530 |
-11,764,079 |
-3,020,900 |
-389,512 |
735,956 |
303,982,116 |
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X FUENTES FINANCIERAS |
210,232 |
252,977,896 |
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107,745,067 |
18,023,569 |
70,369,000 |
2,639,826 |
30,395,524 |
55,589,037 |
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5,248,038 |
55,985,475 |
17,434,652 |
73,420 |
82,836,914 |
13,019,800 |
7,020,311 |
3,781,416 |
711,206,406 |
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- Disminucion de la Inv. Financiera |
210,232 |
126,488,948 |
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59,301,501 |
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42,371,000 |
1,323,137 |
20,417,540 |
28,854,072 |
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2,624,019 |
19,456,843 |
8,717,326 |
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45,945,222 |
7,958,500 |
4,218,323 |
3,452,696 |
359,195,589 |
Caja, Bancos e Inversiones Temporarias |
210,232 |
5,776,330 |
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725,000 |
56,250 |
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23,358 |
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2,321,352 |
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865,948 |
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2,165,300 |
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Otros Activos Financieros |
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120,712,618 |
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59,301,501 |
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41,646,000 |
1,266,887 |
20,417,540 |
28,830,714 |
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302,667 |
19,456,843 |
7,851,378 |
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45,945,222 |
5,793,200 |
4,218,323 |
3,452,696 |
359,195,589 |
- Endeudamiento Publico e Incremento Otros Pasivos |
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126,488,948 |
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48,443,566 |
18,023,569 |
27,998,000 |
1,316,689 |
9,977,984 |
26,734,964 |
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2,624,019 |
36,528,632 |
8,717,326 |
73,420 |
36,715,939 |
5,061,300 |
2,801,988 |
328,720 |
351,835,065 |
Deuda Pública |
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48,443,566 |
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48,443,566 |
Otros Pasivos |
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126,488,948 |
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18,023,569 |
27,998,000 |
1,316,689 |
9,977,984 |
26,734,964 |
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2,624,019 |
36,528,632 |
8,717,326 |
73,420 |
36,715,939 |
5,061,300 |
2,801,988 |
328,720 |
303,391,499 |
- Incremento del Patrimonio |
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175,753 |
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175,753 |
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XI APLICACIONES FINANCIERAS |
4,384,292 |
247,201,566 |
70,975 |
159,152,578 |
21,832,713 |
81,445,749 |
2,339,091 |
40,097,158 |
57,684,786 |
365,362 |
2,926,686 |
48,036,776 |
16,568,704 |
253,005,950 |
71,072,835 |
9,998,900 |
6,630,799 |
4,517,372 |
1,015,188,522 |
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- Inversion Financiera |
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121,021,018 |
70,975 |
2,996,750 |
2,164,208 |
39,074,749 |
1,010,341 |
28,960,517 |
28,854,072 |
365,362 |
302,667 |
6,313,130 |
7,851,378 |
132,752,973 |
30,406,225 |
4,596,000 |
3,121,225 |
1,049,904 |
398,767,724 |
Caja, Bancos e Inversiones Temporarias |
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70,975 |
2,255,293 |
2,164,208 |
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9,280,899 |
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365,362 |
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120,259,869 |
8,306,254 |
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708,751 |
1,049,904 |
132,317,745 |
Otros Activos Financieros |
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121,021,018 |
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741,457 |
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39,074,749 |
1,010,341 |
19,679,618 |
28,854,072 |
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302,667 |
6,313,130 |
7,851,378 |
12,493,104 |
22,099,971 |
4,596,000 |
2,412,474 |
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266,449,979 |
- Amortizacion de Deudas y Dism.de Otros Pasivos |
4,384,292 |
126,180,548 |
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156,155,828 |
19,668,505 |
42,371,000 |
1,328,750 |
11,136,641 |
28,830,714 |
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2,624,019 |
7,597,434 |
8,717,326 |
120,252,977 |
40,666,610 |
5,402,900 |
3,509,574 |
3,467,468 |
582,294,586 |
Deuda Pública |
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1,214,039 |
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155,848,587 |
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5,408,975 |
1,224,450 |
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389,430 |
164,085,481 |
Otros Pasivos |
4,384,292 |
124,966,509 |
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307,241 |
19,668,505 |
42,371,000 |
1,328,750 |
11,136,641 |
28,830,714 |
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2,624,019 |
7,597,434 |
8,717,326 |
114,844,002 |
39,442,160 |
5,402,900 |
3,509,574 |
3,078,038 |
418,209,105 |
- Disminucion del Patrimonio |
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34,126,212 |
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34,126,212 |
(*) No Consolidado |
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ANEXO 22 |
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Página 2/3 |
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|
CUENTA AHORRO-INVERSION-FINANCIAMIENTO |
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EMPRESAS Y SOCIEDADES DEL ESTADO |
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DEVENGADO EJERCICIO 1996 |
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JURISDICCION 50 - MINISTERIO DE ECONOMIA Y OBRAS Y SERVICIOS PUBLICOS |
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CONSOLIDADO EMPRESAS EN MARCHA |
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- En Pesos - |
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CONCEPTO |
CASA DE LA |
ENCOTESA |
F.C. GRAL |
HIDROELECTRICA |
INTERCARGO |
N.A.S.A. |
UESTY |
ENACE |
YMAD |
TOTAL (*) |
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MONEDA |
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BELGRANO |
PICHI PICUN LEUFU |
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I INGRESOS CORRIENTES |
37,215,431 |
484,561,740 |
46,859,921 |
|
48,748,293 |
187,447,073 |
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|
804,832,458 |
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- 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 |
34,351,396 |
476,637,118 |
33,267,591 |
|
48,019,792 |
183,356,010 |
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|
775,631,907 |
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- Rentas de la Propiedad |
2,180,957 |
705,035 |
|
|
728,501 |
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3,614,493 |
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- Transferencias Corrientes |
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|
11,100,000 |
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|
11,100,000 |
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- Otros Recursos |
683,078 |
7,219,587 |
2,492,330 |
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4,091,063 |
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14,486,058 |
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II GASTOS CORRIENTES |
34,727,474 |
533,458,048 |
45,215,705 |
|
42,779,168 |
174,406,660 |
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830,587,055 |
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- Gastos de Operación |
34,726,150 |
494,877,306 |
42,736,545 |
|
41,192,681 |
135,652,927 |
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749,185,609 |
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. Remuneraciones |
11,107,036 |
336,257,175 |
16,421,020 |
|
18,017,381 |
43,844,344 |
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425,646,956 |
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. Bienes y Servicios |
20,935,627 |
131,952,565 |
25,260,932 |
|
18,975,412 |
84,021,815 |
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281,146,351 |
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. Otros Gastos |
2,683,487 |
26,667,566 |
1,054,593 |
|
4,199,888 |
7,786,768 |
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42,392,302 |
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- Rentas de la Propiedad |
|
12,263,282 |
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12,263,282 |
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. Intereses |
|
12,263,282 |
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12,263,282 |
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. Otras Rentas |
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- Prestaciones de la Seguridad Social |
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- Otros Gastos Corrientes |
1,324 |
26,317,460 |
2,479,160 |
|
1,586,487 |
38,753,733 |
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69,138,164 |
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- Transferencias Corrientes |
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. Al Sector Privado |
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. Al Sector Publico |
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. Al Sector Externo |
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III RESULT. ECON.: AHORRO/DESAHORRO (I-II) |
2,487,957 |
-48,896,308 |
1,644,216 |
|
5,969,125 |
13,040,413 |
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-25,754,597 |
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IV RECURSOS DE CAPITAL |
2,551,911 |
13,627,737 |
38,469,131 |
112,225,127 |
211,193 |
7,786,768 |
3,226,640 |
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|
178,098,507 |
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- Recursos Propios de Capital |
2,551,911 |
13,627,737 |
13,131 |
|
211,193 |
7,786,768 |
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|
24,190,740 |
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- Transferencias de Capital |
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|
38,456,000 |
112,225,127 |
|
|
3,226,640 |
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|
153,907,767 |
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- Disminucion de la Inv. Financiera |
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V GASTOS DE CAPITAL |
2,101,697 |
2,839,299 |
38,469,131 |
44,248,845 |
1,446,166 |
100,335,343 |
2,960,012 |
|
|
192,400,493 |
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- Inversion Real Directa |
2,101,697 |
2,839,299 |
38,469,131 |
44,248,845 |
1,446,166 |
100,335,343 |
2,960,012 |
|
|
192,400,493 |
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- Transferencias de Capital |
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. Al Sector Privado |
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. Al Sector Publico |
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. Al Sector Externo |
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- Inversion Financiera |
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VI RESULT. FINANC. ANTES DE CONTRIBUCIONES |
2,938,171 |
-38,107,870 |
1,644,216 |
67,976,282 |
4,734,152 |
-79,508,162 |
266,628 |
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|
-40,056,583 |
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TOTAL RECURSOS (I+IV) |
39,767,342 |
498,189,477 |
85,329,052 |
112,225,127 |
48,959,486 |
195,233,841 |
3,226,640 |
|
|
982,930,965 |
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|
TOTAL GASTOS (II+V) |
36,829,171 |
536,297,347 |
83,684,836 |
44,248,845 |
44,225,334 |
274,742,003 |
2,960,012 |
|
|
1,022,987,548 |
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VII CONTRIBUCIONES FIGURATIVAS |
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VIII GASTOS FIGURATIVOS |
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IX RESULTADO FINANCIERO |
2,938,171 |
-38,107,870 |
1,644,216 |
67,976,282 |
4,734,152 |
-79,508,162 |
266,628 |
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|
-40,056,583 |
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X FUENTES FINANCIERAS |
4,950,120 |
102,722,815 |
128,156,307 |
16,136,494 |
84,039,587 |
82,816,372 |
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409,395,330 |
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- Disminucion de la Inv. Financiera |
960,304 |
17,190,066 |
41,772,661 |
|
40,025,446 |
5,518,091 |
|
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|
96,040,203 |
|
|
no borrar |
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|
Caja, Bancos e Inversiones Temporarias |
|
|
1,816,238 |
|
2,092,036 |
5,518,091 |
|
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|
|
|
9,426,365 |
|
|
|
|
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|
Otros Activos Financieros |
960,304 |
17,190,066 |
39,956,423 |
|
37,933,410 |
|
|
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|
96,040,203 |
|
|
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|
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|
- Endeudamiento Publico e Incremento Otros Pasivos |
3,989,816 |
85,532,749 |
86,383,646 |
16,136,494 |
44,014,141 |
77,298,281 |
|
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|
313,355,127 |
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Deuda Pública |
|
54,942,324 |
|
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54,942,324 |
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Otros Pasivos |
3,989,816 |
30,590,425 |
86,383,646 |
16,136,494 |
44,014,141 |
77,298,281 |
|
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|
258,412,803 |
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- Incremento del Patrimonio |
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XI APLICACIONES FINANCIERAS |
7,888,291 |
64,614,945 |
129,800,523 |
84,112,776 |
88,773,739 |
3,308,210 |
266,628 |
|
|
369,338,747 |
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- Inversion Financiera |
7,807,329 |
40,571,246 |
56,910,282 |
5,669,180 |
48,748,293 |
3,308,210 |
266,628 |
|
|
153,854,803 |
|
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|
Caja, Bancos e Inversiones Temporarias |
5,380,319 |
18,477,858 |
|
41,432 |
|
|
266,628 |
|
|
14,739,872 |
|
|
24,166,237 |
|
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Otros Activos Financieros |
2,427,010 |
22,093,388 |
56,910,282 |
5,627,748 |
48,748,293 |
3,308,210 |
|
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|
139,114,931 |
|
|
-14,739,872 |
|
|
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|
|
- Amortizacion de Deudas y Dism.de Otros Pasivos |
80,962 |
24,043,699 |
72,890,241 |
78,443,596 |
40,025,446 |
|
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|
215,483,944 |
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Deuda Pública |
|
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Otros Pasivos |
80,962 |
24,043,699 |
72,890,241 |
78,443,596 |
40,025,446 |
|
|
|
|
215,483,944 |
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- Disminucion del Patrimonio |
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(*) No Consolidado |
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CUENTA AHORRO-INVERSION-FINANCIAMIENTO |
ANEXO 22 |
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EMPRESAS Y SOCIEDADES DEL ESTADO |
Página 3/3 |
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DEVENGADO EJERCICIO 1996 |
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JURISDICCION 50 - MINISTERIO DE ECONOMIA Y OBRAS Y SERVICIOS PUBLICOS |
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CONSOLIDADO EMPRESAS PUBLICAS |
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- En Pesos - |
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CONCEPTO |
TOTAL |
TOTAL |
TOTAL |
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EN LIQUIDACION |
EN MARCHA |
GENERAL (*) |
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|
I INGRESOS CORRIENTES |
678,098,377 |
804,832,458 |
1,482,930,835 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
- Ingresos Tributarios |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
- Contrib. a la Seguridad Social |
|
|
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|
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|
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|
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- Ingresos no Tributarios |
|
|
|
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|
|
|
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|
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|
- Ventas de Bs. y Serv. de las Adm. Pub. |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
- Ingresos de Operación |
323,068,691 |
775,631,907 |
1,098,700,598 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
- Rentas de la Propiedad |
575,976 |
3,614,493 |
4,190,469 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
- Transferencias Corrientes |
71,654,329 |
11,100,000 |
82,754,329 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
- Otros Recursos |
282,799,381 |
14,486,058 |
297,285,439 |
|
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II GASTOS CORRIENTES |
400,806,100 |
830,587,055 |
1,231,393,155 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
- Gastos de Operación |
316,584,773 |
749,185,609 |
1,065,770,382 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
. Remuneraciones |
78,664,824 |
425,646,956 |
504,311,780 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
. Bienes y Servicios |
212,650,923 |
281,146,351 |
493,797,274 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
. Otros Gastos |
25,269,025 |
42,392,302 |
67,661,327 |
|
|
|
|
|
|
|
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|
|
|
|
|
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|
|
- Rentas de la Propiedad |
57,533,080 |
12,263,282 |
69,796,362 |
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|
|
|
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|
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. Intereses |
57,533,080 |
12,263,282 |
69,796,362 |
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. Otras Rentas |
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- Prestaciones de la Seguridad Social |
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- Otros Gastos Corrientes |
6,458,438 |
69,138,164 |
75,596,602 |
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- Transferencias Corrientes |
20,229,809 |
|
20,229,809 |
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. Al Sector Privado |
2,449,446 |
|
2,449,446 |
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. Al Sector Publico |
17,780,363 |
|
17,780,363 |
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. Al Sector Externo |
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|
III RESULT. ECON.: AHORRO/DESAHORRO (I-II) |
277,292,277 |
-25,754,597 |
251,537,680 |
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IV RECURSOS DE CAPITAL |
32,977,165 |
178,098,507 |
211,075,672 |
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- Recursos Propios de Capital |
31,379,665 |
24,190,740 |
55,570,405 |
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- Transferencias de Capital |
1,597,500 |
153,907,767 |
155,505,267 |
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|
- Disminucion de la Inv. Financiera |
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V GASTOS DE CAPITAL |
6,287,326 |
192,400,493 |
198,687,819 |
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- Inversion Real Directa |
6,287,326 |
192,400,493 |
198,687,819 |
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- Transferencias de Capital |
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. Al Sector Privado |
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. Al Sector Publico |
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. Al Sector Externo |
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- Inversion Financiera |
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VI RESULT. FINANC. ANTES DE CONTRIBUCIONES |
303,982,116 |
-40,056,583 |
263,925,533 |
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TOTAL RECURSOS (I+IV) |
711,075,542 |
982,930,965 |
1,694,006,507 |
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TOTAL GASTOS (II+V) |
407,093,426 |
1,022,987,548 |
1,430,080,974 |
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VII CONTRIBUCIONES FIGURATIVAS |
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VIII GASTOS FIGURATIVOS |
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IX RESULTADO FINANCIERO |
303,982,116 |
-40,056,583 |
263,925,533 |
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X FUENTES FINANCIERAS |
711,206,406 |
409,395,330 |
1,120,601,736 |
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|
- Disminucion de la Inv. Financiera |
359,195,589 |
96,040,203 |
455,235,792 |
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Caja, Bancos e Inversiones Temporarias |
|
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Otros Activos Financieros |
359,195,589 |
96,040,203 |
455,235,792 |
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|
- Endeudamiento Publico e Incremento Otros Pasivos |
351,835,065 |
313,355,127 |
665,190,192 |
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Deuda Pública |
48,443,566 |
54,942,324 |
103,385,890 |
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|
Otros Pasivos |
303,391,499 |
258,412,803 |
561,804,302 |
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|
- Incremento del Patrimonio |
175,753 |
|
175,753 |
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XI APLICACIONES FINANCIERAS |
1,015,188,522 |
369,338,747 |
1,384,527,269 |
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- Inversion Financiera |
398,767,724 |
153,854,803 |
552,622,527 |
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|
Caja, Bancos e Inversiones Temporarias |
132,317,745 |
14,739,872 |
147,057,617 |
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|
Otros Activos Financieros |
266,449,979 |
139,114,931 |
405,564,910 |
|
|
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|
- Amortizacion de Deudas y Dism.de Otros Pasivos |
582,294,586 |
215,483,944 |
797,778,530 |
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|
Deuda Pública |
164,085,481 |
|
164,085,481 |
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|
Otros Pasivos |
418,209,105 |
215,483,944 |
633,693,049 |
|
|
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|
- Disminucion del Patrimonio |
34,126,212 |
|
34,126,212 |
|
|
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|
(*) No Consolidado |
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