Total | Dominante | Dominada | |||||||
---|---|---|---|---|---|---|---|---|---|
Total | R.C. > 0 | B.I. > 0 | Total | R.C. > 0 | B.I. > 0 | Total | R.C. > 0 | B.I. > 0 | |
Número de empresas | 306 | 219 | 167 | 41 | S.E. | 20 | 66 | 41 | 34 |
A C T I V O | |||||||||
Caja y depósitos en bancos centrales | 48.599.624 | 46.131.934 | 6.189.084 | 35.479.264 | S.E. | 1.715.272 | 10.774.877 | 9.524.737 | 2.460.174 |
Cartera de negociación | 213.571.250 | 191.154.405 | 34.524.373 | 172.887.669 | S.E. | 12.357.194 | 20.709.783 | 18.145.103 | 5.852.676 |
Otros activos financieros a valor razonable con Cambios en pérdidas y ganancias | 44.806.946 | 39.336.214 | 19.531.698 | 19.965.537 | S.E. | 20.286 | 10.890.667 | 10.883.229 | 10.883.229 |
Activos financieros disponibles para la venta | 262.242.267 | 238.682.906 | 38.795.700 | 193.128.083 | S.E. | 10.293.945 | 39.426.749 | 30.124.579 | 6.143.310 |
Inversiones crediticias | 1.873.637.765 | 1.654.662.353 | 421.420.320 | 1.132.529.065 | S.E. | 79.188.903 | 442.263.564 | 333.162.096 | 90.425.851 |
Cartera de inversión a vencimiento | 138.892.062 | 96.578.716 | 14.712.336 | 94.113.774 | S.E. | 4.146.236 | 35.948.070 | 22.081.377 | 4.239.667 |
Ajustes a activos financieros por macro-coberturas | 624.031 | 583.896 | 3.705 | 527.277 | S.E. | 0 | 93.280 | 93.280 | 231 |
Derivados de cobertura | 23.584.583 | 21.716.905 | 2.979.760 | 14.600.225 | S.E. | 266.902 | 6.664.321 | 5.243.938 | 652.337 |
Activos no corrientes en venta | 20.334.574 | 16.516.988 | 2.293.300 | 15.883.724 | S.E. | 454.819 | 2.925.371 | 1.380.736 | 666.118 |
Participaciones | 176.992.895 | 169.199.539 | 18.233.267 | 148.093.445 | S.E. | 7.598.313 | 27.901.930 | 24.148.282 | 10.010.843 |
Contratos de seguros vinculados a pensiones | 6.839.863 | 6.472.180 | 150.710 | 4.757.576 | S.E. | 18.458 | 2.044.837 | 1.890.564 | 132.252 |
Activo material | 22.241.096 | 18.483.782 | 3.743.084 | 13.233.344 | S.E. | 852.617 | 6.207.841 | 4.088.361 | 653.262 |
Activo intangible | 8.524.889 | 8.422.674 | 545.137 | 4.888.922 | S.E. | 85.384 | 3.184.897 | 3.127.099 | 74.740 |
Activos fiscales | 68.706.551 | 58.489.769 | 4.669.214 | 50.049.605 | S.E. | 823.456 | 15.284.637 | 10.021.715 | 1.404.225 |
Resto de activos | 10.163.613 | 7.739.600 | 1.725.060 | 5.507.059 | S.E. | 439.991 | 3.761.013 | 2.003.291 | 629.218 |
TOTAL ACTIVO | 2.919.762.011 | 2.574.171.861 | 569.516.748 | 1.905.644.567 | S.E. | 118.261.776 | 628.081.837 | 475.918.388 | 134.228.134 |
P A S I V O | |||||||||
Cartera de negociación | 166.799.977 | 146.755.982 | 22.171.244 | 133.824.963 | S.E. | 4.918.682 | 17.027.394 | 15.070.916 | 4.949.005 |
Otros pasivos financieros a valor razonable con Cambios en pérdidas y ganancias | 86.092.288 | 82.183.955 | 40.347.769 | 44.640.746 | S.E. | 2.476.552 | 3.981.010 | 3.398.013 | 3.397.056 |
Pasivos financieros a coste amortizado | 2.366.081.793 | 2.070.243.978 | 453.403.073 | 1.516.135.900 | S.E. | 97.126.896 | 542.518.865 | 403.765.491 | 107.095.044 |
Ajustes a pasivos financieros por macro-coberturas | 3.133.794 | 3.016.677 | 0 | 937.901 | S.E. | 0 | 2.195.517 | 2.195.517 | 0 |
Derivados de cobertura | 12.464.175 | 10.638.543 | 698.619 | 8.876.810 | S.E. | 59.281 | 1.810.297 | 1.616.694 | 112.781 |
Pasivos asociados con activos no corrientes en venta | 306.889 | 306.724 | 306.658 | 306.724 | S.E. | 306.658 | 165 | 0 | 0 |
Provisiones | 31.221.504 | 27.889.178 | 1.658.071 | 23.757.663 | S.E. | 290.945 | 6.491.815 | 4.941.359 | 636.385 |
Pasivos fiscales | 8.350.828 | 7.376.017 | 1.455.843 | 4.715.566 | S.E. | 216.206 | 2.953.998 | 2.296.767 | 640.078 |
Fondo de la Obra social (sólo Cajas de ahorros y Cooperativas de crédito) | 3.038.279 | 2.764.685 | 239.227 | 1.092.028 | S.E. | 115.246 | 1.797.976 | 1.668.919 | 62.255 |
Resto de pasivos | 10.078.370 | 8.469.087 | 2.662.129 | 6.724.388 | S.E. | 498.862 | 2.078.411 | 1.322.786 | 1.218.204 |
Capital reembolsable a la vista (sólo Cooperativas de crédito) | 43.909 | 42.301 | 41.575 | 1.842 | S.E. | 0 | 0 | 0 | 0 |
TOTAL PASIVO | 2.687.611.804 | 2.359.687.127 | 522.984.208 | 1.741.014.529 | S.E. | 106.009.329 | 580.855.448 | 436.276.463 | 118.110.810 |
Fondos propios | 230.529.034 | 212.789.704 | 46.087.215 | 164.484.146 | S.E. | 12.179.170 | 45.878.270 | 38.382.730 | 16.077.773 |
Ajustes por valoración | 1.621.172 | 1.695.030 | 445.325 | 145.893 | S.E. | 73.277 | 1.348.120 | 1.259.195 | 39.551 |
Total patrimonio neto | 232.150.206 | 214.484.734 | 46.532.540 | 164.630.038 | S.E. | 12.252.448 | 47.226.389 | 39.641.925 | 16.117.324 |
TOTAL PASIVO Y PATRIMONIO NETO | 2.919.762.011 | 2.574.171.861 | 569.516.748 | 1.905.644.567 | S.E. | 118.261.776 | 628.081.837 | 475.918.388 | 134.228.134 |