|
AÑO |
ACTIVOS |
PASIVOS |
PATROMINIO |
SOLVENCIA |
LIQUIDEZ |
MOROSIDAD |
COBERTURA DE LA
CARTERA |
PROMEDIO TASA
ACTIVA |
PROMEDIO TASA
PASIVA |
|
|
2016 |
$192.031,44 |
$173.881,22 |
$18.150,22 |
9,45% |
8,00% |
14,04% |
2,19% |
22,03% |
8,00% |
|
|
2017 |
$224.078,33 |
$199.031,49 |
$25.046,84 |
11,18% |
13,95% |
13,85% |
16,59% |
21,61% |
7,80% |
|
|
2018 |
$304.514,14 |
$272.234,05 |
$32.280,09 |
10,60% |
9,00% |
1,42% |
122,87% |
23,78% |
7,35% |
|
|
2019 |
$383.543,04 |
$332.816,88 |
$50.726,16 |
13,23% |
11,65% |
0,79% |
16,31% |
23,16% |
6,52% |
|
|
2020 |
$651.844,14 |
$579.339,92 |
$72.504,22 |
11,12% |
21,80% |
0,31% |
275,74% |
23,50% |
7,12% |
|
|
2021 |
$1.039.862,50 |
$833.006,65 |
$206.855,85 |
19,89% |
34,00% |
0,99% |
186,70% |
23,44% |
7,21% |
|
|
2022 |
$1.469.902,66 |
$1.159.976,45 |
$309.240,84 |
21,04% |
36,96% |
0,89% |
154,24% |
23,25% |
7,68% |
|
|
2023 |
$1.705.224,21 |
$1.290.355,02 |
$410.840,97 |
24,09% |
24,00% |
1,99% |
125,20% |
22,91% |
7,87% |
|
|
2024 |
$2.420.247,37 |
$1.899.071,35 |
$521.176,02 |
21,53% |
22,00% |
3,56% |
97,37% |
22,62% |
8,35% |
|
|
2025 |
$3.308.819,06 |
$2.667.042,87 |
$641.776,19 |
19,40% |
17,00% |
3,06% |
124,70% |
21,18% |
8,20% |
|
|
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
2024 |
2025 |
|
|
CREDITOS COLOCADOS |
134 |
113 |
215 |
336 |
395 |
569 |
636 |
880 |
897 |
969 |
|
MONTO COLOCADO |
194982,61 |
196105,00 |
293116,00 |
415801,00 |
537589,00 |
839351,00 |
1069456,00 |
1608109,00 |
1715697,00 |
2278670,00 |
|
PROMEDIO DE CREDITOS |
1455,09 |
1735,44 |
1363,33 |
1237,50 |
1360,98 |
1475,13 |
1681,53 |
1827,40 |
1912,71 |
2351,57 |
|
CARTERA TOTAL |
160116,44 |
178223,89 |
235026,40 |
317024,34 |
448631,56 |
600605,30 |
817861,28 |
1209780,30 |
1529993,74 |
2164130,97 |
|
% CRECIMIENTO |
11,31% |
31,87% |
34,89% |
41,51% |
33,87% |
36,17% |
47 .92% |
26,00% |
41,45% |