Estado Integrado de la Posición de Inversión Internacional (trimestral)
|
|
Posición inicial neta
|
Transacciones de la cuenta financiera
|
Otras variaciones
|
Posición final neta
|
Posición de Inversión Internacional Neta (A - B)
|
-533,954.01
|
-6,720.05
|
-25,982.86
|
-566,656.92
|
A. Activos
|
749,384.68
|
14,617.60
|
8,282.60
|
772,284.89
|
I. Inversión directa
|
237,752.03
|
5,615.33
|
7,601.57
|
250,968.93
|
Participaciones de capital y en fondos de inversión
|
186,592.01
|
5,363.00
|
7,601.57
|
199,556.57
|
Instrumentos de deuda
|
51,160.02
|
252.33
|
0.00
|
51,412.36
|
II. Inversión de cartera
|
97,972.15
|
5,105.08
|
-6,696.53
|
96,380.70
|
Participaciones de capital y en fondos de inversión
|
75,008.04
|
4,932.72
|
-6,757.01
|
73,183.74
|
Banco de México
|
0.00
|
0.00
|
0.00
|
0.00
|
Sociedades captadoras de depósitos
|
270.58
|
3.09
|
2.24
|
275.92
|
Banca comercial
|
130.76
|
5.01
|
2.23
|
138.01
|
Banca de desarrollo
|
139.82
|
-1.92
|
0.01
|
137.91
|
Gobierno general
|
0.00
|
0.00
|
0.00
|
0.00
|
Otros sectores
|
74,737.45
|
4,929.63
|
-6,759.26
|
72,907.83
|
Otras sociedades financieras
|
71,050.53
|
4,712.94
|
-6,337.65
|
69,425.82
|
Sociedades no financieras, hogares e ISFLSH
|
3,686.92
|
216.69
|
-421.60
|
3,482.01
|
Títulos de deuda
|
22,964.12
|
172.36
|
60.48
|
23,196.95
|
Banco de México
|
0.00
|
0.00
|
0.00
|
0.00
|
Sociedades captadoras de depósitos
|
17,253.88
|
-947.70
|
24.69
|
16,330.87
|
Banca comercial
|
17,201.22
|
-925.24
|
23.88
|
16,299.86
|
Banca de desarrollo
|
52.67
|
-22.47
|
0.81
|
31.01
|
Gobierno general
|
0.00
|
0.00
|
0.00
|
0.00
|
Otros sectores
|
5,710.23
|
1,120.06
|
35.79
|
6,866.08
|
Otras sociedades financieras
|
5,196.97
|
382.73
|
35.74
|
5,615.43
|
Sociedades no financieras, hogares e ISFLSH
|
513.27
|
737.33
|
0.06
|
1,250.65
|
III. Derivados financieros
|
27,901.14
|
-6,695.29
|
10,292.46
|
31,498.31
|
IV. Otra inversión
|
178,014.54
|
6,659.01
|
-812.50
|
183,861.05
|
Banco de México
|
734.83
|
-10.89
|
10.87
|
734.80
|
Sociedades captadoras de depósitos
|
25,687.22
|
8,031.78
|
108.45
|
33,827.45
|
Banca comercial
|
23,330.90
|
7,883.84
|
107.87
|
31,322.61
|
Banca de desarrollo
|
2,356.31
|
147.95
|
0.58
|
2,504.83
|
Gobierno general
|
24,721.38
|
8.03
|
0.00
|
24,729.40
|
Otros sectores
|
126,871.12
|
-1,369.90
|
-931.81
|
124,569.40
|
Otras sociedades financieras
|
12,676.83
|
1,439.63
|
-0.32
|
14,116.15
|
Sociedades no financieras, hogares e ISFLSH
|
114,194.29
|
-2,809.54
|
-931.50
|
110,453.25
|
Empresas productivas del Estado
|
615.27
|
1,132.82
|
0.00
|
1,748.09
|
Resto
|
113,579.02
|
-3,942.36
|
-931.50
|
108,705.16
|
V. Activos de reserva
|
207,744.82
|
3,933.47
|
-2,102.39
|
209,575.90
|
B. Pasivos
|
1,283,338.69
|
21,337.65
|
34,265.47
|
1,338,941.80
|
I. Inversión directa
|
631,032.74
|
19,589.10
|
13,869.47
|
664,491.31
|
Participaciones de capital y en fondos de inversión
|
494,590.92
|
18,051.33
|
13,869.47
|
526,511.73
|
Instrumentos de deuda
|
136,441.82
|
1,537.76
|
0.00
|
137,979.58
|
II. Inversión de cartera
|
508,802.07
|
3,523.49
|
11,710.51
|
524,036.08
|
Participaciones de capital y en fondos de inversión
|
157,691.62
|
-981.06
|
11,984.13
|
168,694.70
|
Títulos de deuda
|
351,110.45
|
4,504.55
|
-273.62
|
355,341.38
|
Banco de México
|
0.00
|
0.00
|
0.00
|
0.00
|
Sociedades captadoras de depósitos
|
9,147.14
|
1,266.25
|
11.32
|
10,424.70
|
Banca comercial
|
7,108.44
|
1,348.65
|
39.12
|
8,496.20
|
Corto plazo
|
2,338.95
|
170.49
|
2.96
|
2,512.39
|
Largo plazo
|
4,769.49
|
1,178.16
|
36.16
|
5,983.81
|
Banca de desarrollo
|
2,038.70
|
-82.40
|
-27.80
|
1,928.50
|
Corto plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Largo plazo
|
2,038.70
|
-82.40
|
-27.80
|
1,928.50
|
Gobierno general
|
165,715.80
|
3,399.51
|
153.86
|
169,269.16
|
Corto plazo
|
5,340.69
|
253.74
|
227.87
|
5,822.29
|
Valores emitidos en el exterior
|
0.00
|
0.00
|
0.00
|
0.00
|
Valores emitidos en México
|
5,340.69
|
253.74
|
227.87
|
5,822.29
|
De los cuales: valores gubernamentales
|
5,340.66
|
253.76
|
227.87
|
5,822.29
|
Largo plazo
|
160,375.11
|
3,145.77
|
-74.01
|
163,446.87
|
Valores emitidos en el exterior
|
84,047.30
|
4,438.80
|
-529.20
|
87,956.90
|
Valores emitidos en México
|
76,327.81
|
-1,293.03
|
455.19
|
75,489.97
|
De los cuales: valores gubernamentales
|
76,303.16
|
-1,292.71
|
455.75
|
75,466.20
|
Otros sectores
|
176,247.51
|
-161.20
|
-438.79
|
175,647.52
|
Otras sociedades financieras
|
7,268.75
|
-2.57
|
4.09
|
7,270.27
|
Corto plazo
|
916.56
|
1.18
|
0.05
|
917.78
|
Largo plazo
|
6,352.18
|
-3.74
|
4.04
|
6,352.48
|
Sociedades no financieras, hogares e ISFLSH
|
168,978.76
|
-158.64
|
-442.88
|
168,377.25
|
Empresas productivas del Estado
|
84,636.97
|
-108.67
|
-344.12
|
84,184.18
|
Corto plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Largo plazo
|
84,636.97
|
-108.67
|
-344.12
|
84,184.18
|
Pidiregas
|
0.00
|
0.00
|
0.00
|
0.00
|
Resto
|
84,341.80
|
-49.97
|
-98.76
|
84,193.07
|
Corto plazo
|
4,617.44
|
351.09
|
0.02
|
4,968.55
|
Largo plazo
|
79,724.35
|
-401.06
|
-98.78
|
79,224.52
|
III. Derivados financieros
|
22,429.55
|
-6,090.99
|
9,011.52
|
25,350.08
|
IV. Otra inversión
|
121,074.32
|
4,316.05
|
-326.04
|
125,064.34
|
Derechos especiales de giro
|
15,946.44
|
0.00
|
-196.88
|
15,749.55
|
Moneda y depósitos
|
2,332.60
|
393.24
|
71.22
|
2,797.06
|
Banco de México
|
58.39
|
-45.62
|
0.07
|
12.84
|
Banca comercial
|
2,274.21
|
438.86
|
71.16
|
2,784.22
|
Corto plazo
|
2,173.71
|
433.70
|
70.99
|
2,678.40
|
Largo plazo
|
100.50
|
5.15
|
0.17
|
105.82
|
Préstamos, créditos y anticipos comerciales
|
101,339.25
|
4,175.16
|
-199.07
|
105,315.34
|
Sociedades captadoras de depósitos
|
16,556.92
|
2,538.54
|
102.53
|
19,197.99
|
Banca comercial
|
8,882.30
|
3,729.54
|
52.63
|
12,664.47
|
Corto plazo
|
7,702.72
|
4,909.12
|
52.63
|
12,664.47
|
Largo plazo
|
1,179.58
|
-1,179.58
|
0.00
|
0.00
|
Banca de desarrollo
|
7,674.62
|
-1,191.00
|
49.90
|
6,533.52
|
Corto plazo
|
2,336.93
|
-1,057.50
|
1.00
|
1,280.43
|
Largo plazo
|
5,337.69
|
-133.50
|
48.90
|
5,253.09
|
Gobierno general
|
30,752.90
|
585.10
|
-289.10
|
31,048.90
|
Corto plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Largo plazo
|
30,752.90
|
585.10
|
-289.10
|
31,048.90
|
Otros sectores
|
54,029.43
|
1,051.52
|
-12.50
|
55,068.45
|
Otras sociedades financieras
|
106.08
|
0.09
|
0.00
|
106.18
|
Corto plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Largo plazo
|
106.08
|
0.09
|
0.00
|
106.18
|
Sociedades no financieras, hogares e ISFLSH
|
53,923.35
|
1,051.43
|
-12.50
|
54,962.27
|
Empresas productivas del Estado
|
14,074.70
|
1,293.80
|
-12.50
|
15,356.00
|
Corto plazo
|
6,000.00
|
786.40
|
0.00
|
6,786.40
|
Largo plazo
|
8,074.70
|
507.40
|
-12.50
|
8,569.60
|
Pidiregas
|
0.00
|
0.00
|
0.00
|
0.00
|
Resto
|
39,848.65
|
-242.37
|
0.00
|
39,606.27
|
Corto plazo
|
17,688.21
|
-1,237.51
|
0.00
|
16,450.70
|
Largo plazo
|
22,160.44
|
995.14
|
0.00
|
23,155.58
|
Otras cuentas por pagar
|
1,456.04
|
-252.34
|
-1.31
|
1,202.39
|
Banca comercial
|
1,192.17
|
-476.45
|
19.79
|
735.52
|
Corto plazo
|
1,192.17
|
-476.45
|
19.79
|
735.52
|
Largo plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Otros sectores
|
263.86
|
224.11
|
-21.10
|
466.87
|
Otras sociedades financieras
|
0.00
|
0.00
|
0.00
|
0.00
|
Corto plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Largo plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Sociedades no financieras, hogares e ISFLSH
|
263.86
|
224.11
|
-21.10
|
466.87
|
Empresas productivas del Estado
|
263.80
|
223.90
|
-21.10
|
466.60
|
Corto plazo
|
0.00
|
223.90
|
0.00
|
223.90
|
Largo plazo
|
263.80
|
0.00
|
-21.10
|
242.70
|
Resto
|
0.06
|
0.21
|
0.00
|
0.27
|
Corto plazo
|
0.00
|
0.00
|
0.00
|
0.00
|
Largo plazo
|
0.06
|
0.21
|
0.00
|
0.27
|