| |
2001 |
2002 |
| Septiembre |
Enero-Septiembre |
Septiembre |
Enero-Septiembre |
| Ingresos |
Pagos |
Saldo |
Ingresos |
Pagos |
Saldo |
Ingresos |
Pagos |
Saldo |
Ingresos |
Pagos |
Saldo |
CUENTA
CORRIENTE |
134.1 |
133.3 |
0.7 |
1279.6 |
1302.5 |
-22.9 |
139.5 |
131.5 |
8.0 |
1265.9 |
1228.7 |
37.2 |
| Bienes |
81.1 |
75.1 |
6.0 |
768.4 |
723.2 |
45.1 |
88.4 |
77.1 |
11.3 |
784.2 |
688.0 |
96.2 |
| Servicios |
26.2 |
25.8 |
0.4 |
240.2 |
238.7 |
1.4 |
29.4 |
25.5 |
3.9 |
242.9 |
235.0 |
7.9 |
| Rentas |
21.3 |
22.4 |
-1.1 |
211.7 |
247.1 |
-35.4 |
16.4 |
19.0 |
-2.6 |
175.9 |
210.6 |
-34.7 |
| Transferencias
corrientes |
5.4 |
10.0 |
-4.6 |
59.4 |
93.4 |
-34.1 |
5.3 |
9.9 |
-4.5 |
63.0 |
95.1 |
-32.1 |
| |
|
|
|
|
|
|
|
|
|
|
|
|
CUENTA
DE CAPITAL |
0.6 |
0.5 |
0.1 |
12.6 |
5.0 |
7.6 |
1.6 |
0.4 |
1.2 |
13.6 |
4.6 |
8.9 |
| |
|
|
|
|
|
|
|
|
|
|
|
|
| |
Activos |
Pasivos |
Saldo |
Activos |
Pasivos |
Saldo |
Activos |
Pasivos |
Saldo |
Activos |
Pasivos |
Saldo |
CUENTA
FINANCIERA2) |
|
|
-21.3 |
|
|
-8.4 |
|
|
-20.3 |
|
|
-92.1 |
| INVERSIONES
DIRECTAS 2) |
-20.4 |
4.8 |
-15.6 |
-227.6 |
109.6 |
-118.0 |
-13.5 |
10.1 |
-3.4 |
-120.2 |
95.5 |
-24.7 |
| Acciones
y participaciones de capital y beneficios
reinvertidos |
-5.5 |
6.9 |
1.4 |
-137.2 |
86.5 |
-50.7 |
-10.4 |
6.4 |
-3.9 |
-97.7 |
59.2 |
-38.5 |
| Otro
capital (principalmente préstamos entre empresas
relacionadas) |
-14.9 |
-2.1 |
-17.0 |
-90.4 |
23.1 |
-67.3 |
-3.1 |
3.7 |
0.5 |
-22.5 |
36.3 |
13.8 |
| INVERSIONES
DE CARTERA |
14.8 |
32.4 |
47.2 |
-201.0 |
233.8 |
32.8 |
1.8 |
14.0 |
15.8 |
-140.0 |
189.8 |
49.8 |
| Acciones
y participaciones |
13.9 |
24.2 |
38.1 |
-83.7 |
170.6 |
86.9 |
12.8 |
-0.7 |
12.1 |
-36.9 |
66.1 |
29.2 |
| Valores
distintos de acciones |
1.0 |
8.2 |
9.1 |
-117.2 |
63.2 |
-54.0 |
-10.9 |
14.7 |
3.8 |
-103.1 |
123.7 |
20.6 |
| Bonos
y obligaciones |
8.9 |
10.8 |
19.7 |
-107.5 |
61.8 |
-45.7 |
-3.3 |
11.0 |
7.7 |
-59.2 |
86.1 |
26.9 |
| Instrumentos
del mercado monetario |
-8.0 |
-2.6 |
-10.6 |
-9.8 |
1.4 |
-8.4 |
-7.6 |
3.7 |
-4.0 |
-43.9 |
37.6 |
-6.2 |
| PRO
MEMORIA: TOTAL INVERSIONES DIRECTAS Y DE CARTERA |
-5.6 |
37.2 |
31.6 |
-428.6 |
343.4 |
-85.2 |
-11.7 |
24.1 |
12.4 |
-260.2 |
285.3 |
25.1 |
| DERIVADOS
FINANCIEROS (NETOS) |
|
|
-0.6 |
|
|
3.1 |
|
|
0.9 |
|
|
-9.2 |
| OTRAS
INVERSIONES |
-71.7 |
21.0 |
-50.7 |
-179.6 |
238.7 |
59.1 |
-67.5 |
37.6 |
-29.8 |
-120.6 |
13.5 |
-107.1 |
| Eurosistema
|
0.1 |
1.9 |
2.0 |
1.0 |
0.7 |
1.6 |
-0.2 |
2.1 |
1.9 |
-0.7 |
-2.4 |
-3.2 |
| Administraciones
Públicas |
-0.4 |
1.7 |
1.3 |
1.0 |
-5.3 |
-4.3 |
0.3 |
0.4 |
0.7 |
-0.3 |
-7.8 |
-8.1 |
| IFM
(excluido el Eurosistema) |
-67.7 |
13.3 |
-54.4 |
-181.3 |
229.3 |
48.0 |
-62.3 |
36.7 |
-25.6 |
-82.9 |
31.2 |
-51.7 |
| a
largo plazo |
-1.7 |
6.3 |
4.6 |
-26.8 |
28.7 |
2.0 |
-8.2 |
0.5 |
-7.7 |
-16.4 |
40.6 |
24.3 |
| a
corto plazo |
-66.0 |
7.0 |
-59.0 |
-154.5 |
200.6 |
46.1 |
-54.1 |
36.2 |
-17.8 |
-66.5 |
-9.4 |
-75.9 |
| Otros
sectores |
-3.8 |
4.2 |
0.4 |
-0.2 |
13.9 |
13.7 |
-5.3 |
-1.6 |
-6.9 |
-36.7 |
-7.5 |
-44.2 |
| ACTIVOS
DE RESERVA |
-1.6 |
|
-1.6 |
14.6 |
|
14.6 |
-3.8 |
|
-3.8 |
-0.8 |
|
-0.8 |
| Errores
y omisiones |
|
|
20.5 |
|
|
23.7 |
|
|
11.1 |
|
|
45.9 |
Fuente: BCE.
1) Pueden producirse discrepancias debido al redondeo.
2) Cuenta financiera: flujo de entrada (+); flujo de
salida (-). Activos de reserva: aumento (-); disminución
(+).
3) Inversiones directas: los activos corresponden a las
inversiones directas en el exterior, y los pasivos, a las
inversiones directas en la zona del euro.