|
SISTEMA BANCARIO:
CRÉDITO NETO AL SECTOR PÚBLICO 1/ 2/ |
|
AÑOS: 1995 - 2024 |
|
- En Millones de quetzales - |
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MES |
1995 |
1996 |
1997 |
1998 |
1999 |
2000 |
2001 |
2002 |
2003 |
2004 |
2005 |
2006*/ |
2007*/ |
2008*/ |
2009 |
2010 |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
2024 |
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Enero |
458.7 |
520.4 |
1,182.7 |
3,105.3 |
1,408.5 |
1,159.1 |
1,721.2 |
31.3 |
-499.6 |
964.5 |
688.7 |
1,394.1 |
613.8 |
994.0 |
-2,075.7 |
535.9 |
5,087.2 |
8,808.8 |
5,573.1 |
5,477.2 |
11,691.8 |
9,095.7 |
5,649.0 |
9,355.2 |
17,814.1 |
23,193.9 |
31,865.8 |
40,089.5 |
45,663.3 |
33,590.0 |
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Febrero |
393.9 |
402.5 |
1,371.8 |
2,049.7 |
1,004.2 |
959.6 |
1,801.7 |
299.2 |
-345.5 |
1,022.9 |
971.2 |
1,763.7 |
1,393.3 |
1,766.5 |
-1,124.7 |
1,007.4 |
5,806.4 |
9,320.7 |
7,546.9 |
6,899.5 |
10,385.8 |
8,707.9 |
9,160.7 |
10,721.3 |
19,240.2 |
25,275.8 |
31,225.7 |
40,586.7 |
43,618.4 |
29,142.9 |
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Marzo |
698.9 |
342.6 |
1,396.2 |
3,038.6 |
1,004.6 |
1,401.0 |
2,503.8 |
1,153.5 |
-180.2 |
1,551.8 |
1,370.3 |
1,803.4 |
1,447.1 |
979.5 |
-1,591.0 |
210.9 |
5,447.9 |
8,720.2 |
6,842.3 |
8,387.6 |
11,120.2 |
7,505.2 |
9,293.0 |
11,896.1 |
20,194.7 |
25,308.0 |
34,972.1 |
41,215.7 |
42,938.7 |
26,347.7 |
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Abril |
405.7 |
620.8 |
1,760.0 |
2,868.4 |
1,065.1 |
1,478.6 |
1,962.0 |
436.4 |
-733.0 |
145.1 |
2,522.9 |
2,038.3 |
1,186.8 |
1,082.3 |
-1,637.2 |
469.6 |
6,304.4 |
8,626.5 |
5,809.1 |
8,426.8 |
11,012.4 |
7,663.9 |
8,627.2 |
12,465.0 |
20,786.8 |
19,947.5 |
35,875.3 |
41,664.9 |
42,118.0 |
27,689.4 |
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Mayo |
566.7 |
357.9 |
1,805.7 |
2,459.4 |
1,297.4 |
1,373.6 |
1,871.7 |
1,150.9 |
-237.5 |
263.5 |
2,722.2 |
2,485.4 |
1,321.8 |
1,150.2 |
-1,310.0 |
-406.1 |
5,844.9 |
8,627.4 |
6,498.2 |
9,374.4 |
10,185.9 |
6,659.8 |
8,911.5 |
12,907.6 |
21,649.8 |
22,446.1 |
36,064.8 |
41,609.5 |
40,793.4 |
25,426.3 |
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Junio |
266.7 |
456.8 |
1,830.3 |
2,827.6 |
1,251.1 |
1,165.3 |
1,900.8 |
1,411.5 |
616.5 |
517.8 |
3,169.9 |
2,744.1 |
1,752.0 |
901.2 |
-1,050.1 |
1,871.8 |
7,336.6 |
8,594.1 |
6,616.6 |
8,151.2 |
10,783.5 |
7,121.2 |
8,705.2 |
13,862.5 |
21,933.6 |
28,295.1 |
39,780.5 |
41,560.2 |
42,206.9 |
22,180.8 |
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Julio |
354.7 |
454.5 |
1,890.2 |
2,494.5 |
1,208.3 |
1,509.1 |
1,335.4 |
521.0 |
-130.7 |
75.3 |
2,565.6 |
2,863.7 |
1,256.7 |
-557.0 |
-1,506.4 |
2,881.7 |
7,717.8 |
7,851.5 |
5,404.9 |
6,854.8 |
10,207.2 |
6,418.2 |
8,595.6 |
14,464.7 |
22,391.2 |
30,916.9 |
39,531.9 |
41,929.1 |
41,883.1 |
23,090.5 |
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Agosto |
588.2 |
520.5 |
2,347.3 |
2,431.1 |
1,712.8 |
1,745.9 |
1,723.7 |
870.2 |
1,085.1 |
1,007.4 |
2,918.6 |
3,582.4 |
1,735.8 |
-94.3 |
-1,083.7 |
3,413.1 |
7,512.1 |
6,629.4 |
5,597.0 |
8,270.8 |
10,460.9 |
5,447.8 |
8,455.2 |
15,293.4 |
23,305.5 |
30,446.3 |
39,106.3 |
45,681.7 |
39,776.8 |
29,012.1 |
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Septiembre |
770.1 |
529.0 |
1,756.2 |
1,981.1 |
1,344.3 |
1,456.7 |
1,996.5 |
1,082.7 |
1,514.4 |
620.0 |
2,588.2 |
3,107.5 |
2,068.2 |
-589.6 |
-500.4 |
4,481.1 |
7,882.6 |
6,026.1 |
6,360.3 |
8,359.7 |
8,623.4 |
6,109.6 |
8,377.2 |
17,393.0 |
23,120.5 |
31,104.3 |
38,166.3 |
46,752.6 |
39,140.8 |
28,175.1 |
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Octubre |
307.1 |
690.1 |
2,246.4 |
1,912.8 |
953.8 |
72.4 |
1,824.2 |
1.3 |
539.8 |
1,483.3 |
2,283.6 |
2,055.0 |
1,809.7 |
-354.8 |
-869.3 |
4,499.8 |
8,897.8 |
4,609.6 |
6,047.9 |
7,160.3 |
8,339.6 |
5,771.2 |
7,942.8 |
16,838.2 |
21,482.3 |
33,448.0 |
38,004.5 |
44,674.8 |
36,396.5 |
19,973.1 |
p/ |
|
|
Noviembre |
238.7 |
552.3 |
2,250.1 |
1,290.8 |
1,006.3 |
384.7 |
1,071.2 |
-245.8 |
698.4 |
581.4 |
3,112.9 |
2,094.6 |
1,855.2 |
-1,154.1 |
-142.8 |
4,445.1 |
8,406.8 |
4,956.8 |
8,098.3 |
7,660.1 |
8,518.7 |
6,886.1 |
8,093.4 |
18,895.9 |
23,204.8 |
34,653.4 |
38,381.6 |
44,071.7 |
34,044.8 |
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Diciembre |
234.1 |
869.9 |
2,002.4 |
1,681.0 |
1,400.4 |
796.0 |
969.8 |
149.7 |
1,251.9 |
1,005.7 |
2,266.2 |
3,031.1 |
2,863.3 |
-1,226.8 |
1,174.5 |
6,221.9 |
9,096.3 |
6,317.0 |
7,262.0 |
10,153.4 |
8,942.7 |
8,652.8 |
10,330.6 |
19,188.7 |
23,672.4 |
33,456.1 |
38,084.0 |
43,570.9 |
32,102.0 |
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1/ A partir de mayo de 2001, adicionalmente a los depósitos
monetarios se deducen los depósitos de ahorro y a plazo del total del crédito
al sector público |
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2/ Cifras observadas al jueves más cercano al fin de mes |
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p/ Preliminar |
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*/ Cifras revisadas |
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