Escolar Documentos
Profissional Documentos
Cultura Documentos
(Saldos em fim do mês em milhões de Kwanzas) (End of period amounts in millions of Kwanzas)
I. Activos Externos (Líquidos) 3,711,493.73 3,821,560.56 2,635,878.57 4,268,635.92 7,155,108.70 7,422,444.04 6,029,740.06 5,171,829.60 5,941,276.50 6,228,699.72 6,128,178.26 5,827,339.01 Foreign assets (net)
Activos de Reserva Oficiais 3,304,323.91 4,040,150.40 3,024,412.72 4,990,250.64 8,299,848.14 9,665,155.01 8,606,701.00 5,885,773.72 6,501,213.41 6,988,266.67 7,328,922.53 7,130,197.79 Gross Official Reserve Assets
Outros Activos Externos 825,879.49 897,223.34 958,922.63 1,947,806.43 2,342,747.94 2,776,951.62 2,045,343.92 2,469,047.90 2,980,575.54 2,504,854.29 2,115,349.94 2,049,044.37 Other External Assets
Passivos com não Residentes 418,709.66 1,115,813.19 1,347,456.78 2,669,421.15 3,487,487.37 5,019,662.58 4,622,304.87 3,182,992.03 3,540,512.44 3,264,421.23 3,316,094.21 3,351,903.14 Liabilities with Non Residents
II. Activos Internos Liquidos 2,085,485.76 2,776,160.53 3,982,194.63 3,705,428.90 3,266,256.34 5,450,172.86 5,761,992.81 5,814,905.34 5,573,775.88 5,431,377.85 5,698,540.06 5,756,179.16 Net Internal Assets
Crédito Interno Liquido 3,933,189.52 4,622,730.29 6,096,219.35 6,479,017.49 7,440,198.59 10,858,215.73 9,705,807.31 9,242,659.04 9,566,237.44 9,689,344.04 9,877,130.34 9,983,043.26 Net Internal Credit
Crédito Liquido ao Sector Público não Financeiro 526,405.80 1,247,526.56 2,751,391.62 2,649,975.90 2,795,719.16 6,508,737.37 5,069,292.81 4,515,553.90 4,680,617.52 4,730,364.69 5,351,840.01 5,416,254.86 Net Claims to Non Financial Public Sector
Crédito Liquido ao Governo Central 444,415.12 1,162,083.76 2,645,637.18 2,549,215.73 2,640,809.96 6,372,926.40 4,946,000.28 4,383,220.54 4,540,541.78 4,589,513.64 5,253,595.56 5,321,770.75 Net Claims to Central Government
Activos do Governo Central 2,675,763.09 3,814,959.56 4,614,765.62 5,558,811.25 6,523,915.26 9,039,819.03 7,899,267.52 7,177,354.18 7,559,119.18 7,732,665.93 7,928,662.84 8,192,531.19 Assets to Central Government
Passivos do Governo Central 2,231,347.98 2,652,875.80 1,969,128.45 3,009,595.52 3,883,105.31 2,666,892.63 2,953,267.24 2,794,133.65 3,018,577.40 3,143,152.30 2,675,067.28 2,870,760.44 Liabilities to Central Government
Crédito Liquido aos Governos Estaduais e Locais 0.02 0.00 0.01 0.00 41.39 516.93 1,190.77 3,192.46 3,191.99 3,191.50 2,727.19 2,727.24 Net Claims to Local State and Municipal Governmemts
Crédito Liquido as Sociedades Públicas não Financeiras 81,990.67 85,442.79 105,754.44 100,760.17 154,867.81 135,294.04 122,101.76 129,140.91 136,883.75 137,659.56 95,517.26 91,756.88 Net Claims to non Financial Public Companies
Crédito ao Sector Privado 3,406,783.72 3,375,203.74 3,344,827.73 3,829,041.59 4,644,479.43 4,349,478.36 4,636,514.49 4,727,105.13 4,885,619.93 4,958,979.34 4,525,290.34 4,566,788.40 Claims on Private sectors
Contas de Capital -1,641,182.67 -2,609,519.55 -2,576,531.35 -3,839,457.74 -4,933,407.34 -7,714,380.27 -6,426,052.37 -6,202,063.99 -6,947,686.16 -7,389,978.84 -7,245,393.35 -7,355,929.55 Shares and other equity
Outros activos (líquidos) -206,521.09 762,949.79 462,506.63 1,065,869.15 759,465.09 2,306,337.40 2,482,237.87 2,774,310.29 2,955,224.59 3,132,012.66 3,066,803.07 3,129,065.45 Other Net Assets
III. Passivos Liquidos 5,702,664.89 6,465,617.17 6,495,398.25 7,819,708.51 10,102,705.45 12,529,718.74 11,360,385.31 10,444,999.74 10,973,317.18 11,118,342.38 11,172,436.06 10,924,798.90 LIQUID LIABILITIES
Notas e Moedas fora das Sociedades de Depósitos 380,412.88 395,142.35 418,158.49 371,550.21 416,877.83 402,630.30 399,254.95 430,642.44 425,131.30 451,502.93 492,470.01 436,900.67 Currency outside depository corporations
Depósitos Transferíveis 3,031,002.91 3,407,334.93 3,300,190.99 3,697,471.07 4,472,956.91 5,892,099.69 5,291,119.16 5,398,580.74 5,600,575.22 5,579,928.03 5,245,306.28 5,128,626.34 Transferable deposits
Outros Depósitos 2,283,174.21 2,659,385.32 2,773,080.41 3,741,304.59 5,208,124.73 6,230,242.77 5,664,945.49 4,615,776.56 4,947,610.66 5,086,911.42 5,434,659.76 5,359,271.88 Other deposits
Titulos de Divida excepto Acções 8,074.90 3,754.56 3,968.35 9,382.64 4,745.97 4,745.97 5,065.70 0.00 0.00 0.00 0.00 0.00 Securities other than shares
IV. Outras Obrigações não Liquidas 94,314.61 132,103.91 122,674.96 154,356.30 318,659.60 342,898.15 431,347.55 541,735.19 541,735.19 541,735.19 654,282.26 658,719.26 Other Obligations Not Liquidit
(*) Preliminar
Nota: As informações são repetidas, para os meses que não correspondem aos trimestres.