ENTIDADES DE DEPOSITO. OSR. Crédito para financiación de actividades productivas. % sobre total
FechaPorcentajeVariac. año anteriorVariac. período anterior
%Valor%Valor
2023 1245,70-7,1-39.119.864,00-0,2-1.261.913,00
2023 0945,62-6,6-36.581.504,00-1,7-8.932.322,00
2023 0645,55-6,7-37.531.608,00-1,6-8.283.272,00
2023 0346,293,116.118.599,00-1,6-8.723.476,00
2022 1246,475,930.046.580,00-0,7-3.572.398,00
2022 0946,556,030.929.588,00-0,1-786.742,00
2022 0646,204,523.674.844,001,16.109.884,00
2022 0346,423,920.437.534,00-1,8-9.939.092,00
2021 1246,905,026.399.932,001,47.427.270,00
2021 0946,592,814.855.462,00-1,6-8.749.519,00
2021 0646,592,613.988.463,000,52.786.894,00
2021 0346,931,47.559.868,00-0,9-5.195.178,00
2020 1247,16-2,8-16.147.690,000,21.276.447,00
2020 0947,33-2,5-13.945.692,00-1,8-9.882.427,00