FOREIGN TRADE BANK OF LATIN
AMERICA, INC.
|
|
By:
/s/ Pedro Toll
|
|
Name:
Pedro Toll
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|
Title:
General Manager
|
BANCO
LATINOAMERICANO DE COMERCIO EXTERIOR, S.A.
BALANCE
DE SITUACIÓN DE DICIEMBRE 2008 Y ENERO - DICIEMBRE 2009
(En
Balboas) *
|
2008
|
2009
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|||||||||||||||||||||
Descripción
|
Absoluta
|
%
|
Diciembre
|
Enero
|
Febrero
|
Marzo
|
Abril
|
|||||||||||||||
ACTIVOS
LIQUIDOS
|
-476,023,335.28 | -52.87 | 900,408,387.46 | 717,808,031.28 | 665,592,478.18 | 605,053,408.84 | 714,371,384.83 | |||||||||||||||
Depositos
Locales en Bancos
|
-92,584.68 | -77.36 | 119,678.71 | 266,933.91 | 166,228.99 | 130,796.55 | 112,519.31 | |||||||||||||||
A la
Vista
|
-92,584.68 | -77.36 | 119,678.71 | 266,933.91 | 166,228.99 | 130,796.55 | 112,519.31 | |||||||||||||||
A
Plazo
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Depositos
Extranjeros en Bancos
|
-475,933,710.03 | -52.87 | 900,280,189.52 | 717,408,834.01 | 665,420,617.82 | 604,911,611.35 | 714,248,175.75 | |||||||||||||||
A la
Vista
|
-400,933,710.03 | -66.24 | 605,280,189.52 | 443,408,834.01 | 299,420,617.82 | 244,911,611.35 | 304,248,175.75 | |||||||||||||||
A
Plazo
|
-75,000,000.00 | -25.42 | 295,000,000.00 | 274,000,000.00 | 366,000,000.00 | 360,000,000.00 | 410,000,000.00 | |||||||||||||||
Menos
Provisiones
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Locales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Extranjero
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Otros
|
2,959.43 | 34.74 | 8,519.23 | 132,263.36 | 5,631.37 | 11,000.94 | 10,689.77 | |||||||||||||||
CARTERA
CREDITICIA
|
141,477,565.82 | 5.52 | 2,563,995,557.03 | 2,625,259,226.06 | 2,574,391,867.97 | 2,542,991,544.55 | 2,467,291,611.82 | |||||||||||||||
Locales
|
-89,434,067.25 | -61.08 | 146,426,161.11 | 173,845,131.64 | 162,779,663.97 | 176,122,935.24 | 169,884,836.48 | |||||||||||||||
Extranjero
|
250,052,559.69 | 10.11 | 2,472,217,297.78 | 2,506,098,077.87 | 2,466,369,654.50 | 2,447,443,976.64 | 2,377,980,871.89 | |||||||||||||||
Menos
Provisiones
|
19,140,926.92 | 35.03 | 54,647,901.86 | 54,683,983.45 | 54,757,450.50 | 80,575,367.33 | 80,574,096.55 | |||||||||||||||
Locales
|
-697,214.07 | -35.27 | 1,976,899.07 | 1,976,899.07 | 1,976,899.07 | 4,414,252.71 | 4,414,252.71 | |||||||||||||||
Extranjero
|
19,838,140.69 | 37.66 | 52,671,002.79 | 52,707,084.38 | 52,780,551.43 | 76,161,114.62 | 76,159,843.84 | |||||||||||||||
INVERSIONES
EN VALORES
|
-173,886,784.92 | -22.06 | 788,240,705.29 | 765,500,339.63 | 734,731,700.59 | 856,516,453.83 | 865,946,982.61 | |||||||||||||||
Locales
|
-41,642,314.24 | -48.75 | 85,418,314.23 | 86,488,314.23 | 85,982,128.43 | 90,117,500.00 | 92,097,500.00 | |||||||||||||||
Extranjero
|
-132,244,470.68 | -18.82 | 702,822,391.06 | 679,012,025.40 | 648,749,572.16 | 766,398,953.83 | 773,849,482.61 | |||||||||||||||
Menos
Provisiones
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Locales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Extranjero
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
OTROS
ACTIVOS
|
-22,308,238.91 | -31.79 | 70,168,089.80 | 61,211,751.15 | 62,248,402.29 | 53,503,328.21 | 56,411,130.59 | |||||||||||||||
Locales
|
-8,770,644.51 | -70.18 | 12,497,285.64 | 7,648,698.17 | 9,131,122.10 | 6,008,575.50 | 6,775,089.32 | |||||||||||||||
Extranjero
|
-13,537,594.40 | -23.47 | 57,670,804.16 | 53,563,052.98 | 53,117,280.19 | 47,494,752.71 | 49,636,041.27 | |||||||||||||||
TOTAL
DE ACTIVOS
|
-530,740,793.29 | -12.28 | 4,322,812,739.58 | 4,169,779,348.12 | 4,036,964,449.03 | 4,058,064,735.43 | 4,104,021,109.85 | |||||||||||||||
DEPOSITOS
|
87,272,119.19 | 7.46 | 1,169,705,848.32 | 1,194,733,108.43 | 1,217,741,248.70 | 1,216,766,442.16 | 1,147,397,707.70 | |||||||||||||||
Locales
|
39,591,457.56 | 57.14 | 69,284,763.22 | 71,361,388.44 | 93,151,832.86 | 83,715,903.77 | 88,792,169.93 | |||||||||||||||
Oficiales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
De
Particulares
|
-10,000,000.00 | -100.00 | 10,000,000.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
A la
Vista
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
A
Plazo
|
-10,000,000.00 | -100.00 | 10,000,000.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
De
Ahorros
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
De
Bancos
|
49,591,457.56 | 83.65 | 59,284,763.22 | 71,361,388.44 | 93,151,832.86 | 83,715,903.77 | 88,792,169.93 | |||||||||||||||
A la
Vista
|
-1,651,265.89 | -84.70 | 1,949,582.22 | 1,811,078.40 | 1,998,473.25 | 256,698.83 | 300,735.28 | |||||||||||||||
A
Plazo
|
51,242,723.45 | 89.37 | 57,335,181.00 | 69,550,310.04 | 91,153,359.61 | 83,459,204.94 | 88,491,434.65 | |||||||||||||||
Extranjero
|
47,680,661.63 | 4.33 | 1,100,421,085.10 | 1,123,371,719.99 | 1,124,589,415.84 | 1,133,050,538.39 | 1,058,605,537.77 | |||||||||||||||
Oficiales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
De
Particulares
|
12,303,207.16 | 203.69 | 6,040,084.86 | 2,039,059.60 | 2,082,474.99 | 5,319,493.77 | 28,779,906.58 | |||||||||||||||
A la
Vista
|
1,080,462.91 | 70.38 | 1,535,090.42 | 1,534,684.60 | 1,578,099.99 | 1,815,118.77 | 3,779,906.58 | |||||||||||||||
A
Plazo
|
11,222,744.25 | 249.12 | 4,504,994.44 | 504,375.00 | 504,375.00 | 3,504,375.00 | 25,000,000.00 | |||||||||||||||
De
Ahorros
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
De
Bancos
|
35,377,454.47 | 3.23 | 1,094,381,000.24 | 1,121,332,660.39 | 1,122,506,940.85 | 1,127,731,044.62 | 1,029,825,631.19 | |||||||||||||||
A la
Vista
|
-61,001,668.63 | -55.36 | 110,194,972.25 | 78,005,924.10 | 91,304,980.79 | 53,766,988.66 | 44,229,767.30 | |||||||||||||||
A
Plazo
|
96,379,123.10 | 9.79 | 984,186,027.99 | 1,043,326,736.29 | 1,031,201,960.06 | 1,073,964,055.96 | 985,595,863.89 | |||||||||||||||
OBLIGACIONES
|
-639,359,406.09 | -26.29 | 2,432,030,377.24 | 2,229,666,397.91 | 2,104,626,539.11 | 2,167,251,487.27 | 2,260,963,042.20 | |||||||||||||||
Locales
|
-20,100,000.00 | -100.00 | 20,100,000.00 | 16,900,000.00 | 11,800,000.00 | 0.00 | 0.00 | |||||||||||||||
Extranjero
|
-619,259,406.09 | -25.67 | 2,411,930,377.24 | 2,212,766,397.91 | 2,092,826,539.11 | 2,167,251,487.27 | 2,260,963,042.20 | |||||||||||||||
OTROS
PASIVOS
|
-63,465,145.01 | -34.10 | 186,090,509.36 | 185,549,413.63 | 157,691,719.82 | 121,266,171.66 | 117,074,330.21 | |||||||||||||||
Locales
|
-4,050,568.58 | -27.74 | 14,602,722.51 | 14,526,998.13 | 3,523,167.99 | 8,040,512.59 | 8,556,100.60 | |||||||||||||||
Extranjero
|
-59,414,576.43 | -34.65 | 171,487,786.85 | 171,022,415.50 | 154,168,551.83 | 113,225,659.07 | 108,518,229.61 | |||||||||||||||
PATRIMONIO
|
84,811,638.77 | 15.85 | 534,986,004.71 | 559,830,428.20 | 556,904,941.40 | 552,780,634.19 | 578,586,029.03 | |||||||||||||||
Capital
|
2,404,353.39 | 0.85 | 282,794,414.74 | 282,906,856.00 | 283,012,670.14 | 283,151,067.79 | 283,285,001.00 | |||||||||||||||
Reservas
de Capital
|
0.00 | 0.00 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | |||||||||||||||
Otras
Reservas
|
3,048,715.75 | -51.11 | -5,964,753.66 | -4,633,080.66 | -3,334,858.66 | -44,198,634.92 | -1,034,258.05 | |||||||||||||||
Utilidad
de Periodos Anteriores
|
15,912,959.20 | 8.32 | 191,275,312.05 | 229,096,975.05 | 229,096,975.05 | 223,633,661.58 | 223,633,606.98 | |||||||||||||||
Utilidad
de Periodo
|
538,858.45 | 1.42 | 37,821,663.04 | 8,549,170.42 | 9,411,562.60 | 7,949,221.38 | 14,266,514.05 | |||||||||||||||
Ganancia
o Perdida en Valores Disponible para la venta
|
62,906,751.98 | -95.10 | -66,150,785.13 | -51,299,646.28 | -56,491,561.40 | -12,964,835.31 | -36,774,988.62 | |||||||||||||||
Deuda
Subordinada
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
PASIVO
Y PATRIMONIO
|
-530,740,793.14 | -12.28 | 4,322,812,739.63 | 4,169,779,348.17 | 4,036,964,449.03 | 4,058,064,735.28 | 4,104,021,109.14 |
BANCO
LATINOAMERICANO DE COMERCIO EXTERIOR, S.A.
BALANCE
DE SITUACIÓN DE DICIEMBRE 2008 Y ENERO - DICIEMBRE 2009
(En
Balboas) *
|
2009
|
|||||||||||||||||||||||||
Descripción
|
Mayo
|
Junio
|
Julio
|
Agosto
|
Septiembre
|
Octubre
|
Noviembre
|
Diciembre
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|||||||||||||||||
ACTIVOS
LIQUIDOS
|
598,888,072.80 | 484,519,897.02 | 519,272,552.19 | 554,541,550.20 | 460,262,199.60 | 413,980,923.35 | 365,614,141.24 | 424,385,052.18 | |||||||||||||||||
Depositos
Locales en Bancos
|
147,954.60 | 101,817.74 | 246,125.36 | 187,934.85 | 183,714.66 | 185,402.13 | 232,298.29 | 27,094.03 | |||||||||||||||||
A la
Vista
|
147,954.60 | 101,817.74 | 246,125.36 | 187,934.85 | 183,714.66 | 185,402.13 | 232,298.29 | 27,094.03 | |||||||||||||||||
A
Plazo
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Depositos
Extranjeros en Bancos
|
598,731,847.10 | 484,410,056.48 | 519,015,601.76 | 554,341,997.65 | 460,067,917.01 | 413,784,925.91 | 365,363,516.61 | 424,346,479.49 | |||||||||||||||||
A la
Vista
|
148,731,847.10 | 79,410,056.48 | 167,315,601.76 | 164,441,997.65 | 169,267,917.01 | 101,984,925.91 | 150,363,516.61 | 204,346,479.49 | |||||||||||||||||
A
Plazo
|
450,000,000.00 | 405,000,000.00 | 351,700,000.00 | 389,900,000.00 | 290,800,000.00 | 311,800,000.00 | 215,000,000.00 | 220,000,000.00 | |||||||||||||||||
Menos
Provisiones
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Locales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Extranjero
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Otros
|
8,271.10 | 8,022.80 | 10,825.07 | 11,617.70 | 10,567.93 | 10,595.31 | 18,326.34 | 11,478.66 | |||||||||||||||||
CARTERA
CREDITICIA
|
2,437,789,432.53 | 2,591,388,011.59 | 2,455,882,697.75 | 2,411,183,436.49 | 2,517,886,713.85 | 2,613,520,933.25 | 2,553,299,621.70 | 2,705,473,122.85 | |||||||||||||||||
Locales
|
156,515,940.91 | 163,152,197.62 | 164,110,511.67 | 148,673,253.72 | 79,298,469.76 | 94,183,020.14 | 72,601,417.86 | 56,992,093.86 | |||||||||||||||||
Extranjero
|
2,361,852,947.87 | 2,518,480,397.64 | 2,382,016,769.75 | 2,352,752,616.74 | 2,528,468,536.69 | 2,609,196,263.53 | 2,570,557,909.49 | 2,722,269,857.47 | |||||||||||||||||
Menos
Provisiones
|
80,579,456.25 | 90,244,583.67 | 90,244,583.67 | 90,242,433.97 | 89,880,292.60 | 89,858,350.42 | 89,859,705.65 | 73,788,828.48 | |||||||||||||||||
Locales
|
4,414,252.71 | 3,390,132.03 | 3,390,132.03 | 3,390,132.03 | 1,646,785.44 | 1,646,785.44 | 1,646,785.44 | 1,279,685.00 | |||||||||||||||||
Extranjero
|
76,165,203.54 | 86,854,451.64 | 86,854,451.64 | 86,852,301.94 | 88,233,507.16 | 88,211,564.98 | 88,212,920.21 | 72,509,143.48 | |||||||||||||||||
INVERSIONES
EN VALORES
|
877,173,391.04 | 879,386,953.53 | 880,612,999.70 | 734,210,231.92 | 618,034,784.23 | 611,364,835.78 | 617,029,823.89 | 614,353,920.37 | |||||||||||||||||
Locales
|
93,545,399.49 | 94,004,099.83 | 94,465,600.00 | 43,499,999.99 | 44,085,999.99 | 43,355,999.99 | 43,719,999.99 | 43,775,999.99 | |||||||||||||||||
Extranjero
|
783,627,991.55 | 785,382,853.70 | 786,147,399.70 | 690,710,231.93 | 573,948,784.24 | 568,008,835.79 | 573,309,823.90 | 570,577,920.38 | |||||||||||||||||
Menos
Provisiones
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Locales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Extranjero
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
OTROS
ACTIVOS
|
56,851,332.30 | 56,457,781.60 | 52,504,623.92 | 55,425,644.70 | 50,137,469.59 | 49,739,550.36 | 48,551,599.37 | 47,859,850.89 | |||||||||||||||||
Locales
|
6,840,558.32 | 6,170,141.54 | 6,817,446.71 | 6,269,915.71 | 4,961,806.42 | 5,275,106.46 | 5,595,050.38 | 3,726,641.13 | |||||||||||||||||
Extranjero
|
50,010,773.98 | 50,287,640.06 | 45,687,177.21 | 49,155,728.99 | 45,175,663.17 | 44,464,443.90 | 42,956,548.99 | 44,133,209.76 | |||||||||||||||||
TOTAL
DE ACTIVOS
|
3,970,702,228.67 | 4,011,752,643.74 | 3,908,272,873.56 | 3,755,360,863.31 | 3,646,321,167.27 | 3,688,606,242.74 | 3,584,495,186.20 | 3,792,071,946.29 | |||||||||||||||||
DEPOSITOS
|
1,120,018,913.25 | 1,261,055,899.46 | 1,251,135,039.43 | 1,209,014,340.10 | 1,222,226,950.57 | 1,278,322,021.64 | 1,256,652,061.47 | 1,256,977,967.51 | |||||||||||||||||
Locales
|
46,833,464.29 | 107,842,679.09 | 99,689,243.09 | 105,289,802.27 | 97,794,487.38 | 103,777,861.30 | 112,794,314.20 | 108,876,220.78 | |||||||||||||||||
Oficiales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
De
Particulares
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
A la
Vista
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
A
Plazo
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
De
Ahorros
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
De
Bancos
|
46,833,464.29 | 107,842,679.09 | 99,689,243.09 | 105,289,802.27 | 97,794,487.38 | 103,777,861.30 | 112,794,314.20 | 108,876,220.78 | |||||||||||||||||
A la
Vista
|
292,102.36 | 295,670.56 | 242,837.44 | 279,706.33 | 322,766.33 | 293,741.33 | 302,912.33 | 298,316.33 | |||||||||||||||||
A
Plazo
|
46,541,361.93 | 107,547,008.53 | 99,446,405.65 | 105,010,095.94 | 97,471,721.05 | 103,484,119.97 | 112,491,401.87 | 108,577,904.45 | |||||||||||||||||
Extranjero
|
1,073,185,448.96 | 1,153,213,220.37 | 1,151,445,796.34 | 1,103,724,537.83 | 1,124,432,463.19 | 1,174,544,160.34 | 1,143,857,747.27 | 1,148,101,746.73 | |||||||||||||||||
Oficiales
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
De
Particulares
|
21,625,418.87 | 12,133,554.61 | 11,626,243.77 | 5,538,859.51 | 2,979,687.20 | 18,000,452.19 | 18,313,260.08 | 18,343,292.02 | |||||||||||||||||
A la
Vista
|
1,576,418.87 | 2,133,554.61 | 1,626,243.77 | 4,811,645.37 | 2,356,167.36 | 2,272,873.45 | 2,585,521.39 | 2,615,553.33 | |||||||||||||||||
A
Plazo
|
20,049,000.00 | 10,000,000.00 | 10,000,000.00 | 727,214.14 | 623,519.84 | 15,727,578.74 | 15,727,738.69 | 15,727,738.69 | |||||||||||||||||
De
Ahorros
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
De
Bancos
|
1,051,560,030.09 | 1,141,079,665.76 | 1,139,819,552.57 | 1,098,185,678.32 | 1,121,452,775.99 | 1,156,543,708.15 | 1,125,544,487.19 | 1,129,758,454.71 | |||||||||||||||||
A la
Vista
|
66,499,310.11 | 154,233,381.53 | 53,911,580.66 | 71,240,032.12 | 33,996,012.17 | 15,960,284.17 | 35,736,517.01 | 49,193,303.62 | |||||||||||||||||
A
Plazo
|
985,060,719.98 | 986,846,284.23 | 1,085,907,971.91 | 1,026,945,646.20 | 1,087,456,763.82 | 1,140,583,423.98 | 1,089,807,970.18 | 1,080,565,151.09 | |||||||||||||||||
OBLIGACIONES
|
2,147,349,144.52 | 2,048,985,848.28 | 1,940,977,247.57 | 1,827,730,257.39 | 1,692,735,399.72 | 1,685,947,186.28 | 1,604,089,712.27 | 1,792,670,971.15 | |||||||||||||||||
Locales
|
0.00 | 25,000,000.00 | 25,000,000.00 | 25,000,000.00 | 25,000,000.00 | 25,000,000.00 | 0.00 | 0.00 | |||||||||||||||||
Extranjero
|
2,147,349,144.52 | 2,023,985,848.28 | 1,915,977,247.57 | 1,802,730,257.39 | 1,667,735,399.72 | 1,660,947,186.28 | 1,604,089,712.27 | 1,792,670,971.15 | |||||||||||||||||
OTROS
PASIVOS
|
107,326,591.64 | 110,329,704.16 | 109,138,591.82 | 111,163,775.30 | 120,087,069.84 | 114,655,855.24 | 115,622,207.32 | 122,625,364.35 | |||||||||||||||||
Locales
|
3,346,440.41 | 8,882,402.20 | 5,463,759.62 | 3,748,521.79 | 14,310,268.71 | 6,081,339.13 | 10,353,250.49 | 10,552,153.93 | |||||||||||||||||
Extranjero
|
103,980,151.23 | 101,447,301.96 | 103,674,832.20 | 107,415,253.51 | 105,776,801.13 | 108,574,516.11 | 105,268,956.83 | 112,073,210.42 | |||||||||||||||||
PATRIMONIO
|
596,007,579.36 | 591,381,191.85 | 607,021,995.14 | 607,452,490.75 | 611,271,747.70 | 609,681,179.93 | 608,131,205.20 | 619,797,643.48 | |||||||||||||||||
Capital
|
284,231,828.41 | 284,365,761.62 | 284,498,708.29 | 284,642,202.50 | 284,781,067.87 | 284,912,267.94 | 285,042,843.62 | 285,198,768.13 | |||||||||||||||||
Reservas
de Capital
|
95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | |||||||||||||||||
Otras
Reservas
|
-2,451,423.40 | -2,726,992.69 | -2,773,185.29 | -3,742,193.55 | -3,544,047.99 | -3,069,662.39 | -3,760,043.10 | -2,916,037.91 | |||||||||||||||||
Utilidad
de Periodos Anteriores
|
223,633,606.98 | 218,157,901.41 | 218,151,858.99 | 218,151,858.99 | 212,670,113.70 | 212,670,113.70 | 207,188,271.21 | 207,188,271.25 | |||||||||||||||||
Utilidad
de Periodo
|
20,299,961.01 | 14,916,229.31 | 22,498,415.57 | 26,008,591.36 | 27,481,541.94 | 31,141,539.64 | 33,531,975.66 | 38,360,521.49 | |||||||||||||||||
Ganancia
o Perdida en Valores Disponible para la venta
|
-24,916,547.31 | -18,541,861.47 | -10,563,956.09 | -12,818,122.22 | -5,327,081.49 | -11,183,232.63 | -9,081,995.86 | -3,244,033.15 | |||||||||||||||||
Deuda
Subordinada
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
PASIVO
Y PATRIMONIO
|
3,970,702,228.77 | 4,011,752,643.75 | 3,908,272,873.96 | 3,755,360,863.54 | 3,646,321,167.83 | 3,688,606,243.09 | 3,584,495,186.26 | 3,792,071,946.49 |
ESTADO
DE RESULTADO
BANCO LATINOAMERICANO
DE COMERCIO EXTERIOR, S.A.
ENERO
- DICIEMBRE 2009
(En
Balboas) *
|
Descripcion
|
Enero
|
Febrero
|
Marzo
|
Trimestre I
|
Abril
|
Mayo
|
Junio
|
Trimestre II
|
|||||||||||||||||
Ingresos
Por Intereses
|
13,900,446.36 | 12,497,312.76 | 13,830,744.79 | 40,228,503.91 | 12,944,591.06 | 12,805,093.14 | 12,201,265.27 | 37,950,949.47 | |||||||||||||||||
Préstamos
|
11,450,587.66 | 10,265,841.03 | 10,878,984.52 | 32,595,413.21 | 10,229,222.42 | 9,983,752.91 | 9,608,604.58 | 29,821,579.91 | |||||||||||||||||
Depósitos
|
108,729.95 | 115,900.20 | 142,229.63 | 366,859.78 | 136,613.33 | 135,896.00 | 122,858.31 | 395,367.64 | |||||||||||||||||
Inversiones
|
2,341,128.75 | 2,115,571.53 | 2,809,530.64 | 7,266,230.92 | 2,578,755.31 | 2,685,444.23 | 2,469,802.38 | 7,734,001.92 | |||||||||||||||||
Egresos
de Operaciones
|
9,146,492.08 | 8,200,665.93 | 7,401,800.67 | 24,748,958.68 | 7,228,525.28 | 7,259,973.74 | 6,461,702.06 | 20,950,201.08 | |||||||||||||||||
Intereses
Pagados
|
9,143,542.09 | 8,195,792.71 | 7,393,271.94 | 24,732,606.74 | 7,220,736.76 | 7,255,742.31 | 6,454,777.82 | 20,931,256.89 | |||||||||||||||||
Comisiones
|
2,949.99 | 4,873.22 | 8,528.73 | 16,351.94 | 7,788.52 | 4,231.43 | 6,924.24 | 18,944.19 | |||||||||||||||||
Ingreso
Neto de Intereses
|
4,753,954.28 | 4,296,646.83 | 6,428,944.12 | 15,479,545.23 | 5,716,065.78 | 5,545,119.40 | 5,739,563.21 | 17,000,748.39 | |||||||||||||||||
Otros
Ingresos
|
6,348,507.00 | 2,187,989.67 | 824,719.93 | 9,361,216.60 | 2,991,580.96 | 3,167,205.30 | 632,611.09 | 6,791,397.35 | |||||||||||||||||
Comisiones
|
817,932.36 | 806,833.89 | 584,106.38 | 2,208,872.63 | 265,036.18 | 244,653.74 | 200,501.71 | 710,191.63 | |||||||||||||||||
Otros
ingresos
|
5,530,574.64 | 1,381,155.78 | 240,613.55 | 7,152,343.97 | 2,726,544.78 | 2,922,551.56 | 432,109.38 | 6,081,205.72 | |||||||||||||||||
Ingresos
de Operaciones
|
11,102,461.28 | 6,484,636.50 | 7,253,664.05 | 24,840,761.83 | 8,707,646.74 | 8,712,324.70 | 6,372,174.30 | 23,792,145.74 | |||||||||||||||||
Egresos
Generales
|
2,553,290.86 | 5,622,244.32 | 3,528,950.35 | 11,704,485.53 | 2,390,354.06 | 2,678,877.74 | 2,674,112.34 | 7,743,344.14 | |||||||||||||||||
Gastos
Administrativos
|
1,245,417.33 | 2,888,697.60 | 1,680,787.23 | 5,814,902.16 | 1,491,721.53 | 1,444,454.35 | 1,764,049.60 | 4,700,225.48 | |||||||||||||||||
Gastos
Generales
|
204,470.82 | 274,904.72 | 407,562.59 | 886,938.13 | 305,179.57 | 618,568.68 | 256,216.30 | 1,179,964.55 | |||||||||||||||||
Gastos
de Depreciación
|
216,847.29 | 220,332.96 | 220,344.26 | 657,524.51 | 221,024.39 | 219,746.04 | 229,218.16 | 669,988.59 | |||||||||||||||||
Otros
Gastos
|
886,555.42 | 2,238,309.04 | 1,220,256.27 | 4,345,120.73 | 372,428.57 | 396,108.67 | 424,628.28 | 1,193,165.52 | |||||||||||||||||
Utilidad
antes de Provisiones
|
8,549,170.42 | 862,392.18 | 3,724,713.70 | 13,136,276.30 | 6,317,292.68 | 6,033,446.96 | 3,698,061.96 | 16,048,801.60 | |||||||||||||||||
Provisiones
por Cuentas Malas
|
0.00 | 0.00 | 5,187,054.72 | 5,187,054.72 | 0.00 | 0.00 | 9,081,793.87 | 9,081,793.87 | |||||||||||||||||
Utilidad
del Periodo
|
8,549,170.42 | 862,392.18 | -1,462,341.02 | 7,949,221.58 | 6,317,292.68 | 6,033,446.96 | -5,383,731.91 | 6,967,007.73 |
ESTADO
DE RESULTADO
BANCO LATINOAMERICANO
DE COMERCIO EXTERIOR, S.A.
ENERO
- DICIEMBRE 2009
(En
Balboas) *
|
Descripcion
|
Julio
|
Agosto
|
Septiembre
|
Trimestre III
|
Octubre
|
Noviembre
|
Diciembre
|
Trimestre IV
|
Acumulado
Anual
|
|||||||||||||||||||
Ingresos
Por Intereses
|
12,797,315.99 | 11,412,267.60 | 9,913,516.33 | 34,123,099.92 | 10,218,655.86 | 8,846,050.45 | 8,833,803.47 | 27,898,509.78 | 140,201,063.08 | |||||||||||||||||||
Préstamos
|
10,130,541.34 | 9,172,445.36 | 8,211,033.07 | 27,514,019.77 | 8,985,157.08 | 7,758,788.85 | 7,651,188.93 | 24,395,134.86 | 114,326,147.75 | |||||||||||||||||||
Depósitos
|
104,337.12 | 92,266.80 | 94,380.04 | 290,983.96 | 74,188.02 | 61,091.74 | 71,996.50 | 207,276.26 | 1,260,487.64 | |||||||||||||||||||
Inversiones
|
2,562,437.53 | 2,147,555.44 | 1,608,103.22 | 6,318,096.19 | 1,159,310.76 | 1,026,169.86 | 1,110,618.04 | 3,296,098.66 | 24,614,427.69 | |||||||||||||||||||
Egresos
de Operaciones
|
6,117,909.19 | 5,584,758.99 | 5,050,402.79 | 16,753,070.97 | 4,590,893.13 | 3,987,004.16 | 3,939,660.49 | 12,517,557.78 | 74,969,788.51 | |||||||||||||||||||
Intereses
Pagados
|
6,110,602.17 | 5,577,642.46 | 5,043,072.12 | 16,731,316.75 | 4,580,294.36 | 3,979,944.49 | 3,931,399.43 | 12,491,638.28 | 74,886,818.66 | |||||||||||||||||||
Comisiones
|
7,307.02 | 7,116.53 | 7,330.67 | 21,754.22 | 10,598.77 | 7,059.67 | 8,261.06 | 25,919.50 | 82,969.85 | |||||||||||||||||||
Ingreso
Neto de Intereses
|
6,679,406.80 | 5,827,508.61 | 4,863,113.54 | 17,370,028.95 | 5,627,762.73 | 4,859,046.29 | 4,894,142.98 | 15,380,952.00 | 65,231,274.57 | |||||||||||||||||||
Otros
Ingresos
|
3,166,123.52 | 223,672.97 | 908,429.05 | 4,298,225.54 | 1,119,439.91 | 494,333.57 | 2,833,272.86 | 4,447,046.34 | 24,897,885.83 | |||||||||||||||||||
Comisiones
|
390,977.23 | 468,966.23 | 636,397.01 | 1,496,340.47 | 647,699.44 | 601,167.07 | 819,336.60 | 2,068,203.11 | 6,483,607.84 | |||||||||||||||||||
Otros
ingresos
|
2,775,146.29 | -245,293.26 | 272,032.04 | 2,801,885.07 | 471,740.47 | -106,833.50 | 2,013,936.26 | 2,378,843.23 | 18,414,277.99 | |||||||||||||||||||
Ingresos
de Operaciones
|
9,845,530.32 | 6,051,181.58 | 5,771,542.59 | 21,668,254.49 | 6,747,202.64 | 5,353,379.86 | 7,727,415.84 | 19,827,998.34 | 90,129,160.40 | |||||||||||||||||||
Egresos
Generales
|
2,263,344.06 | 2,541,005.79 | 3,129,446.35 | 7,933,796.20 | 3,087,204.94 | 2,962,943.85 | 3,505,991.87 | 9,556,140.66 | 36,937,766.53 | |||||||||||||||||||
Gastos
Administrativos
|
1,387,670.05 | 1,547,199.51 | 1,448,113.79 | 4,382,983.35 | 1,505,909.72 | 1,508,630.41 | 1,874,344.13 | 4,888,884.26 | 19,786,995.25 | |||||||||||||||||||
Gastos
Generales
|
191,112.55 | 308,119.62 | 277,018.83 | 776,251.00 | 399,991.68 | 369,588.26 | 503,966.57 | 1,273,546.51 | 4,116,700.19 | |||||||||||||||||||
Gastos
de Depreciación
|
206,957.24 | 203,404.59 | 204,243.35 | 614,605.18 | 212,657.95 | 208,120.03 | 196,508.21 | 617,286.19 | 2,559,404.47 | |||||||||||||||||||
Otros
Gastos
|
477,604.22 | 482,282.07 | 1,200,070.38 | 2,159,956.67 | 968,645.59 | 876,605.15 | 931,172.96 | 2,776,423.70 | 10,474,666.62 | |||||||||||||||||||
Utilidad
antes de Provisiones
|
7,582,186.26 | 3,510,175.79 | 2,642,096.24 | 13,734,458.29 | 3,659,997.70 | 2,390,436.01 | 4,221,423.97 | 10,271,857.68 | 53,191,393.87 | |||||||||||||||||||
Provisiones
por Cuentas Malas
|
0.00 | 0.00 | 1,169,145.66 | 1,169,145.66 | 0.00 | 0.00 | -607,121.85 | -607,121.85 | 14,830,872.40 | |||||||||||||||||||
Utilidad
del Periodo
|
7,582,186.26 | 3,510,175.79 | 1,472,950.58 | 12,565,312.63 | 3,659,997.70 | 2,390,436.01 | 4,828,545.82 | 10,878,979.53 | 38,360,521.47 |
BANCO LATINOAMERICANO DE COMERCIO EXTERIOR,
S.A.
BALANCE
SHEETS* DECEMBER 2008 AND JANUARY - DECEMBER 2009
(In
Balboas)*
|
2008
|
2009
|
|||||||||||||||||||||
Description
|
Absolute
|
%
|
December
|
January
|
February
|
March
|
April
|
|||||||||||||||
LIQUID
ASSETS
|
-476,023,335.28 | -52.87 | 900,408,387.46 | 717,808,031.28 | 665,592,478.18 | 605,053,408.84 | 714,371,384.83 | |||||||||||||||
Local
Deposits in Banks
|
-92,584.68 | -77.36 | 119,678.71 | 266,933.91 | 166,228.99 | 130,796.55 | 112,519.31 | |||||||||||||||
Demand
|
-92,584.68 | -77.36 | 119,678.71 | 266,933.91 | 166,228.99 | 130,796.55 | 112,519.31 | |||||||||||||||
Time
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Foreign
Deposits in Banks
|
-475,933,710.03 | -52.87 | 900,280,189.52 | 717,408,834.01 | 665,420,617.82 | 604,911,611.35 | 714,248,175.75 | |||||||||||||||
Demand
|
-400,933,710.03 | -66.24 | 605,280,189.52 | 443,408,834.01 | 299,420,617.82 | 244,911,611.35 | 304,248,175.75 | |||||||||||||||
Time
|
-75,000,000.00 | -25.42 | 295,000,000.00 | 274,000,000.00 | 366,000,000.00 | 360,000,000.00 | 410,000,000.00 | |||||||||||||||
Less
Allowance
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Local
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Foreign
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Others
|
2,959.43 | 34.74 | 8,519.23 | 132,263.36 | 5,631.37 | 11,000.94 | 10,689.77 | |||||||||||||||
CREDIT
PORTFOLIO
|
141,477,565.82 | 5.52 | 2,563,995,557.03 | 2,625,259,226.06 | 2,574,391,867.97 | 2,542,991,544.55 | 2,467,291,611.82 | |||||||||||||||
Local
|
-89,434,067.25 | -61.08 | 146,426,161.11 | 173,845,131.64 | 162,779,663.97 | 176,122,935.24 | 169,884,836.48 | |||||||||||||||
Foreign
|
250,052,559.69 | 10.11 | 2,472,217,297.78 | 2,506,098,077.87 | 2,466,369,654.50 | 2,447,443,976.64 | 2,377,980,871.89 | |||||||||||||||
Less
Allowance
|
19,140,926.62 | 35.03 | 54,647,901.86 | 54,683,983.45 | 54,757,450.50 | 80,575,367.33 | 80,574,096.55 | |||||||||||||||
Local
|
-697,214.07 | -35.27 | 1,976,899.07 | 1,976,899.07 | 1,976,899.07 | 4,414,252.71 | 4,414,252.71 | |||||||||||||||
Foreign
|
19,838,140.69 | 37.66 | 52,671,002.79 | 52,707,084.38 | 52,780,551.43 | 76,161,114.62 | 76,159,843.84 | |||||||||||||||
INVESTMENT
SECURITIES
|
-173,886,784.92 | -22.06 | 788,240,705.29 | 765,500,339.63 | 734,731,700.59 | 856,516,453.83 | 865,946,982.61 | |||||||||||||||
Local
|
-41,642,314.24 | -48.75 | 85,418,314.23 | 86,488,314.23 | 85,982,128.43 | 90,117,500.00 | 92,097,500.00 | |||||||||||||||
Foreign
|
-132,244,470.68 | -18.82 | 702,822,391.06 | 679,012,025.40 | 648,749,572.16 | 766,398,953.83 | 773,849,482.61 | |||||||||||||||
Less
Allowance
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Local
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Foreign
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
OTHER
ASSETS
|
-22,308,238.91 | -31.79 | 70,168,089.80 | 61,211,751.15 | 62,248,402.29 | 53,503,328.21 | 56,411,130.59 | |||||||||||||||
Local
|
-8,770,644.51 | -70.18 | 12,497,285.64 | 7,648,698.17 | 9,131,122.10 | 6,008,575.50 | 6,775,089.32 | |||||||||||||||
Foreign
|
-13,537,594.40 | -23.47 | 57,670,804.16 | 53,563,052.98 | 53,117,280.19 | 47,494,752.71 | 49,636,041.27 | |||||||||||||||
TOTAL
ASSETS
|
-530,740,793.29 | -12.28 | 4,322,812,739.58 | 4,169,779,348.12 | 4,036,964,449.03 | 4,058,064,735.43 | 4,104,021,109.85 | |||||||||||||||
DEPOSITS
|
87,272,119.19 | 7.46 | 1,169,705,848.32 | 1,194,733,108.43 | 1,217,741,248.70 | 1,216,766,442.16 | 1,147,397,707.70 | |||||||||||||||
Local
|
39,591,457.56 | 57.14 | 69,284,763.22 | 71,361,388.44 | 93,151,832.86 | 83,715,903.77 | 88,792,169.93 | |||||||||||||||
Government
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Customers
|
-10,000,000.00 | -100.00 | 10,000,000.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Demand
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Time
|
-10,000,000.00 | -100.00 | 10,000,000.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Savings
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
From
Banks
|
49,591,457.56 | 83.65 | 59,284,763.22 | 71,361,388.44 | 93,151,832.86 | 83,715,903.77 | 88,792,169.93 | |||||||||||||||
Demand
|
-1,651,265.89 | -84.70 | 1,949,582.22 | 1,811,078.40 | 1,998,473.25 | 256,698.83 | 300,735.28 | |||||||||||||||
Time
|
51,242,723.45 | 89.37 | 57,335,181.00 | 69,550,310.04 | 91,153,359.61 | 83,459,204.94 | 88,491,434.65 | |||||||||||||||
Foreign
|
47,680,661.63 | 4.33 | 1,100,421,085.10 | 1,123,371,719.99 | 1,124,589,415.84 | 1,133,050,538.39 | 1,058,605,537.77 | |||||||||||||||
Government
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
Customers
|
12,303,207.16 | 203.69 | 6,040,084.86 | 2,039,059.60 | 2,082,474.99 | 5,319,493.77 | 28,779,906.58 | |||||||||||||||
Demand
|
1,080,462.91 | 70.38 | 1,535,090.42 | 1,534,684.60 | 1,578,099.99 | 1,815,118.77 | 3,779,906.58 | |||||||||||||||
Time
|
11,222,744.25 | 249.12 | 4,504,994.44 | 504,375.00 | 504,375.00 | 3,504,375.00 | 25,000,000.00 | |||||||||||||||
Savings
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
From
Banks
|
35,377,454.47 | 3.23 | 1,094,381,000.24 | 1,121,332,660.39 | 1,122,506,940.85 | 1,127,731,044.62 | 1,029,825,631.19 | |||||||||||||||
Demand
|
-61,001,668.63 | -55.36 | 110,194,972.25 | 78,005,924.10 | 91,304,980.79 | 53,766,988.66 | 44,229,767.30 | |||||||||||||||
Time
|
96,379,123.10 | 9.79 | 984,186,027.99 | 1,043,326,736.29 | 1,031,201,960.06 | 1,073,964,055.96 | 985,595,863.89 | |||||||||||||||
BORROWINGS
|
-639,359,406.09 | -26.29 | 2,432,030,377.24 | 2,229,666,397.91 | 2,104,626,539.11 | 2,167,251,487.27 | 2,260,963,042.20 | |||||||||||||||
Local
|
-20,100,000.00 | -100.00 | 20,100,000.00 | 16,900,000.00 | 11,800,000.00 | 0.00 | 0.00 | |||||||||||||||
Foreign
|
-619,259,406.09 | -25.67 | 2,411,930,377.24 | 2,212,766,397.91 | 2,092,826,539.11 | 2,167,251,487.27 | 2,260,963,042.20 | |||||||||||||||
OTHER
LIABILITIES
|
-63,465,145.01 | -34.10 | 186,090,509.36 | 185,549,413.63 | 157,691,719.82 | 121,266,171.66 | 117,074,330.21 | |||||||||||||||
Local
|
-4,050,568.58 | -27.74 | 14,602,722.51 | 14,526,998.13 | 3,523,167.99 | 8,040,512.59 | 8,556,100.60 | |||||||||||||||
Foreign
|
-59,414,576.43 | -34.65 | 171,487,786.85 | 171,022,415.50 | 154,168,551.83 | 113,225,659.07 | 108,518,229.61 | |||||||||||||||
STOCKHOLDERS´
EQUITY
|
84,811,638.77 | 15.85 | 534,986,004.71 | 559,830,428.20 | 556,904,941.40 | 552,780,634.19 | 578,586,029.03 | |||||||||||||||
Capital
|
2,404,353.39 | 0.85 | 282,794,414.74 | 282,906,856.00 | 283,012,670.14 | 283,151,067.79 | 283,285,001.00 | |||||||||||||||
Capital
Reserves
|
0.00 | 0.00 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | |||||||||||||||
Other
Reserves
|
3,048,715.75 | -51.11 | -5,964,753.66 | -4,633,080.66 | -3,334,858.66 | -44,198,634.92 | -1,034,258.05 | |||||||||||||||
Retained
Earnings
|
15,912,959.20 | 8.32 | 191,275,312.05 | 229,096,975.05 | 229,096,975.05 | 223,633,661.58 | 223,633,606.98 | |||||||||||||||
Net
Income
|
538,858.45 | 1.42 | 37,821,663.04 | 8,549,170.42 | 9,411,562.60 | 7,949,221.38 | 14,266,514.05 | |||||||||||||||
Gain
or Loss in Securities available for sale
|
62,906,751.98 | -95.10 | -66,150,785.13 | -51,299,646.28 | -56,491,561.40 | -12,964,835.31 | -36,774,988.62 | |||||||||||||||
Subordinated
Debt
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||
LIABILITIES
AND STOCKHOLDER'S EQUITY
|
-530,740,793.14 | -12.28 | 4,322,812,739.63 | 4,169,779,348.17 | 4,036,964,449.03 | 4,058,064,735.28 | 4,104,021,109.14 |
BANCO LATINOAMERICANO DE COMERCIO EXTERIOR,
S.A.
BALANCE
SHEETS* DECEMBER 2008 AND JANUARY - DECEMBER 2009
(In
Balboas)*
|
2009
|
|||||||||||||||||||||||||
Description
|
May
|
June
|
July
|
August
|
September
|
October
|
November
|
December
|
|||||||||||||||||
LIQUID
ASSETS
|
598,888,072.80 | 484,519,897.02 | 519,272,552.19 | 554,541,550.20 | 460,262,199.60 | 413,980,923.35 | 365,614,141.24 | 424,385,052.18 | |||||||||||||||||
Local
Deposits in Banks
|
147,954.60 | 101,817.74 | 246,125.36 | 187,934.85 | 183,714.66 | 185,402.13 | 232,298.29 | 27,094.03 | |||||||||||||||||
Demand
|
147,954.60 | 101,817.74 | 246,125.36 | 187,934.85 | 183,714.66 | 185,402.13 | 232,298.29 | 27,094.03 | |||||||||||||||||
Time
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Foreign
Deposits in Banks
|
598,731,847.10 | 484,410,056.48 | 519,015,601.76 | 554,341,997.65 | 460,067,917.01 | 413,784,925.91 | 365,363,516.61 | 424,346,479.49 | |||||||||||||||||
Demand
|
148,731,847.10 | 79,410,056.48 | 167,315,601.76 | 164,441,997.65 | 169,267,917.01 | 101,984,925.91 | 150,363,516.61 | 204,346,479.49 | |||||||||||||||||
Time
|
450,000,000.00 | 405,000,000.00 | 351,700,000.00 | 389,900,000.00 | 290,800,000.00 | 311,800,000.00 | 215,000,000.00 | 220,000,000.00 | |||||||||||||||||
Less
Allowance
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Local
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Foreign
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Others
|
8,271.10 | 8,022.80 | 10,825.07 | 11,617.70 | 10,567.93 | 10,595.31 | 18,326.34 | 11,478.66 | |||||||||||||||||
CREDIT
PORTFOLIO
|
2,437,789,432.53 | 2,591,388,011.59 | 2,455,882,697.75 | 2,411,183,436.49 | 2,517,886,713.85 | 2,613,520,933.25 | 2,553,299,621.70 | 2,705,473,122.85 | |||||||||||||||||
Local
|
156,515,940.91 | 163,152,197.62 | 164,110,511.67 | 148,673,253.72 | 79,298,469.76 | 94,183,020.14 | 72,601,417.86 | 56,992,093.86 | |||||||||||||||||
Foreign
|
2,361,852,947.87 | 2,518,480,397.64 | 2,382,016,769.75 | 2,352,752,616.74 | 2,528,468,536.69 | 2,609,196,263.53 | 2,570,557,909.49 | 2,722,269,857.47 | |||||||||||||||||
Less
Allowance
|
80,579,456.25 | 90,244,583.67 | 90,244,583.67 | 90,242,433.97 | 89,880,292.60 | 89,858,350.42 | 89,859,705.65 | 73,788,828.48 | |||||||||||||||||
Local
|
4,414,252.71 | 3,390,132.03 | 3,390,132.03 | 3,390,132.03 | 1,646,785.44 | 1,646,785.44 | 1,646,785.44 | 1,279,685.00 | |||||||||||||||||
Foreign
|
76,165,203.54 | 86,854,451.64 | 86,854,451.64 | 86,852,301.94 | 88,233,507.16 | 88,211,564.98 | 88,212,920.21 | 72,509,143.48 | |||||||||||||||||
INVESTMENT
SECURITIES
|
877,173,391.04 | 879,386,953.53 | 880,612,999.70 | 734,210,231.92 | 618,034,784.23 | 611,364,835.78 | 617,029,823.89 | 614,353,920.37 | |||||||||||||||||
Local
|
93,545,399.49 | 94,004,099.83 | 94,465,600.00 | 43,499,999.99 | 44,085,999.99 | 43,355,999.99 | 43,719,999.99 | 43,775,999.99 | |||||||||||||||||
Foreign
|
783,627,991.55 | 785,382,853.70 | 786,147,399.70 | 690,710,231.93 | 573,948,784.24 | 568,008,835.79 | 573,309,823.90 | 570,577,920.38 | |||||||||||||||||
Less
Allowance
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Local
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Foreign
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
OTHER
ASSETS
|
56,851,332.30 | 56,457,781.60 | 52,504,623.92 | 55,425,644.70 | 50,137,469.59 | 49,739,550.36 | 48,551,599.37 | 47,859,850.89 | |||||||||||||||||
Local
|
6,840,558.32 | 6,170,141.54 | 6,817,446.71 | 6,269,915.71 | 4,961,806.42 | 5,275,106.46 | 5,595,050.38 | 3,726,641.13 | |||||||||||||||||
Foreign
|
50,010,773.98 | 50,287,640.06 | 45,687,177.21 | 49,155,728.99 | 45,175,663.17 | 44,464,443.90 | 42,956,548.99 | 44,133,209.76 | |||||||||||||||||
TOTAL
ASSETS
|
3,970,702,228.67 | 4,011,752,643.74 | 3,908,272,873.56 | 3,755,360,863.31 | 3,646,321,167.27 | 3,688,606,242.74 | 3,584,495,186.20 | 3,792,071,946.29 | |||||||||||||||||
DEPOSITS
|
1,120,018,913.25 | 1,261,055,899.46 | 1,251,135,039.43 | 1,209,014,340.10 | 1,222,226,950.57 | 1,278,322,021.64 | 1,256,652,061.47 | 1,256,977,967.51 | |||||||||||||||||
Local
|
46,833,464.29 | 107,842,679.09 | 99,689,243.09 | 105,289,802.27 | 97,794,487.38 | 103,777,861.30 | 112,794,314.20 | 108,876,220.78 | |||||||||||||||||
Government
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Customers
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Demand
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Time
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Savings
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
From
Banks
|
46,833,464.29 | 107,842,679.09 | 99,689,243.09 | 105,289,802.27 | 97,794,487.38 | 103,777,861.30 | 112,794,314.20 | 108,876,220.78 | |||||||||||||||||
Demand
|
292,102.36 | 295,670.56 | 242,837.44 | 279,706.33 | 322,766.33 | 293,741.33 | 302,912.33 | 298,316.33 | |||||||||||||||||
Time
|
46,541,361.93 | 107,547,008.53 | 99,446,405.65 | 105,010,095.94 | 97,471,721.05 | 103,484,119.97 | 112,491,401.87 | 108,577,904.45 | |||||||||||||||||
Foreign
|
1,073,185,448.96 | 1,153,213,220.37 | 1,151,445,796.34 | 1,103,724,537.83 | 1,124,432,463.19 | 1,174,544,160.34 | 1,143,857,747.27 | 1,148,101,746.73 | |||||||||||||||||
Government
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
Customers
|
21,625,418.87 | 12,133,554.61 | 11,626,243.77 | 5,538,859.51 | 2,979,687.20 | 18,000,452.19 | 18,313,260.08 | 18,343,292.02 | |||||||||||||||||
Demand
|
1,576,418.87 | 2,133,554.61 | 1,626,243.77 | 4,811,645.37 | 2,356,167.36 | 2,272,873.45 | 2,585,521.39 | 2,615,553.33 | |||||||||||||||||
Time
|
20,049,000.00 | 10,000,000.00 | 10,000,000.00 | 727,214.14 | 623,519.84 | 15,727,578.74 | 15,727,738.69 | 15,727,738.69 | |||||||||||||||||
Savings
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
From
Banks
|
1,051,560,030.09 | 1,141,079,665.76 | 1,139,819,552.57 | 1,098,185,678.32 | 1,121,452,775.99 | 1,156,543,708.15 | 1,125,544,487.19 | 1,129,758,454.71 | |||||||||||||||||
Demand
|
66,499,310.11 | 154,233,381.53 | 53,911,580.66 | 71,240,032.12 | 33,996,012.17 | 15,960,284.17 | 35,736,517.01 | 49,193,303.62 | |||||||||||||||||
Time
|
985,060,719.98 | 986,846,284.23 | 1,085,907,971.91 | 1,026,945,646.20 | 1,087,456,763.82 | 1,140,583,423.98 | 1,089,807,970.18 | 1,080,565,151.09 | |||||||||||||||||
BORROWINGS
|
2,147,349,144.52 | 2,048,985,848.28 | 1,940,977,247.57 | 1,827,730,257.39 | 1,692,735,399.72 | 1,685,947,186.28 | 1,604,089,712.27 | 1,792,670,971.15 | |||||||||||||||||
Local
|
0.00 | 25,000,000.00 | 25,000,000.00 | 25,000,000.00 | 25,000,000.00 | 25,000,000.00 | 0.00 | 0.00 | |||||||||||||||||
Foreign
|
2,147,349,144.52 | 2,023,985,848.28 | 1,915,977,247.57 | 1,802,730,257.39 | 1,667,735,399.72 | 1,660,947,186.28 | 1,604,089,712.27 | 1,792,670,971.15 | |||||||||||||||||
OTHER
LIABILITIES
|
107,326,591.64 | 110,329,704.16 | 109,138,591.82 | 111,163,775.30 | 120,087,069.84 | 114,655,855.24 | 115,622,207.32 | 122,625,364.35 | |||||||||||||||||
Local
|
3,346,440.41 | 8,882,402.20 | 5,463,759.62 | 3,748,521.79 | 14,310,268.71 | 6,081,339.13 | 10,353,250.49 | 10,552,153.93 | |||||||||||||||||
Foreign
|
103,980,151.23 | 101,447,301.96 | 103,674,832.20 | 107,415,253.51 | 105,776,801.13 | 108,574,516.11 | 105,268,956.83 | 112,073,210.42 | |||||||||||||||||
STOCKHOLDERS´
EQUITY
|
596,007,579.36 | 591,381,191.85 | 607,021,995.14 | 607,452,490.75 | 611,271,747.70 | 609,681,179.93 | 608,131,205.20 | 619,797,643.48 | |||||||||||||||||
Capital
|
284,231,828.41 | 284,365,761.62 | 284,498,708.29 | 284,642,202.50 | 284,781,067.87 | 284,912,267.94 | 285,042,843.62 | 285,198,768.13 | |||||||||||||||||
Capital
Reserves
|
95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | 95,210,153.67 | |||||||||||||||||
Other
Reserves
|
-2,451,423.40 | -2,726,992.69 | -2,773,185.29 | -3,742,193.55 | -3,544,047.99 | -3,069,662.39 | -3,760,043.10 | -2,916,037.91 | |||||||||||||||||
Retained
Earnings
|
223,633,606.98 | 218,157,901.41 | 218,151,858.99 | 218,151,858.99 | 212,670,113.70 | 212,670,113.70 | 207,188,271.21 | 207,188,271.25 | |||||||||||||||||
Net
Income
|
20,299,961.01 | 14,916,229.31 | 22,498,415.57 | 26,008,591.36 | 27,481,541.94 | 31,141,539.64 | 33,531,975.66 | 38,360,521.49 | |||||||||||||||||
Gain
or Loss in Securities available for sale
|
-24,916,547.31 | -18,541,861.47 | -10,563,956.09 | -12,818,122.22 | -5,327,081.49 | -11,183,232.63 | -9,081,995.86 | -3,244,033.15 | |||||||||||||||||
Subordinated
Debt
|
0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | |||||||||||||||||
LIABILITIES
AND STOCKHOLDER'S EQUITY
|
3,970,702,228.77 | 4,011,752,643.75 | 3,908,272,873.96 | 3,755,360,863.54 | 3,646,321,167.83 | 3,688,606,243.09 | 3,584,495,186.26 | 3,792,071,946.49 |
STATEMENTS
OF INCOME
BANCO LATINOAMERICANO
DE COMERCIO
EXTERIOR, S.A.
JANUARY
- DECEMBER 2009
(In
Balboas)*
|
Description
|
January
|
February
|
March
|
I
Quarter
|
April
|
May
|
June
|
II Quarter
|
|||||||||||||||||
Interest
Income
|
13,900,446.36 | 12,497,312.76 | 13,830,744.79 | 40,228,503.91 | 12,944,591.06 | 12,805,093.14 | 12,201,265.27 | 37,950,949.47 | |||||||||||||||||
Loans
|
11,450,587.66 | 10,265,841.03 | 10,878,984.52 | 32,595,413.21 | 10,229,222.42 | 9,983,752.91 | 9,608,604.58 | 29,821,579.91 | |||||||||||||||||
Deposits
|
108,729.95 | 115,900.20 | 142,229.63 | 366,859.78 | 136,613.33 | 135,896.00 | 122,858.31 | 395,367.64 | |||||||||||||||||
Investments
|
2,341,128.75 | 2,115,571.53 | 2,809,530.64 | 7,266,230.92 | 2,578,755.31 | 2,685,444.23 | 2,469,802.38 | 7,734,001.92 | |||||||||||||||||
Interest
Expense
|
9,146,492.08 | 8,200,665.93 | 7,401,800.67 | 24,748,958.68 | 7,228,525.28 | 7,259,973.74 | 6,461,702.06 | 20,950,201.08 | |||||||||||||||||
Interest
|
9,143,542.09 | 8,195,792.71 | 7,393,271.94 | 24,732,606.74 | 7,220,736.76 | 7,255,742.31 | 6,454,777.82 | 20,931,256.89 | |||||||||||||||||
Commissions
|
2,949.99 | 4,873.22 | 8,528.73 | 16,351.94 | 7,788.52 | 4,231.43 | 6,924.24 | 18,944.19 | |||||||||||||||||
Net
Interest Income
|
4,753,954.28 | 4,296,646.83 | 6,428,944.12 | 15,479,545.23 | 5,716,065.78 | 5,545,119.40 | 5,739,563.21 | 17,000,748.39 | |||||||||||||||||
Other
Income
|
6,348,507.00 | 2,187,989.67 | 824,719.93 | 9,361,216.60 | 2,991,580.96 | 3,167,205.30 | 632,611.09 | 6,791,397.35 | |||||||||||||||||
Commissions
|
817,932.36 | 806,833.89 | 584,106.38 | 2,208,872.63 | 265,036.18 | 244,653.74 | 200,501.71 | 710,191.63 | |||||||||||||||||
Other
Income
|
5,530,574.64 | 1,381,155.78 | 240,613.55 | 7,152,343.97 | 2,726,544.78 | 2,922,551.56 | 432,109.38 | 6,081,205.72 | |||||||||||||||||
Operating
Income
|
11,102,461.28 | 6,484,636.50 | 7,253,664.05 | 24,840,761.83 | 8,707,646.74 | 8,712,324.70 | 6,372,174.30 | 23,792,145.74 | |||||||||||||||||
Operating
Expenses
|
2,553,290.86 | 5,622,244.32 | 3,528,950.35 | 11,704,485.53 | 2,390,354.06 | 2,678,877.74 | 2,674,112.34 | 7,743,344.14 | |||||||||||||||||
Administrative
expenses
|
1,245,417.33 | 2,888,697.60 | 1,680,787.23 | 5,814,902.16 | 1,491,721.53 | 1,444,454.35 | 1,764,049.60 | 4,700,225.48 | |||||||||||||||||
General
expenses
|
204,470.82 | 274,904.72 | 407,562.59 | 886,938.13 | 305,179.57 | 618,568.68 | 256,216.30 | 1,179,964.55 | |||||||||||||||||
Depreciation
|
216,847.29 | 220,332.96 | 220,344.26 | 657,524.51 | 221,024.39 | 219,746.04 | 229,218.16 | 669,988.59 | |||||||||||||||||
Other
expenses
|
886,555.42 | 2,238,309.04 | 1,220,256.27 | 4,345,120.73 | 372,428.57 | 396,108.67 | 424,628.28 | 1,193,165.52 | |||||||||||||||||
Net
Income before provision for loan losses
|
8,549,170.42 | 862,392.18 | 3,724,713.70 | 13,136,276.30 | 6,317,292.68 | 6,033,446.96 | 3,698,061.96 | 16,048,801.60 | |||||||||||||||||
Provision
for loan losses
|
0.00 | 0.00 | 5,187,054.72 | 5,187,054.72 | 0.00 | 0.00 | 9,081,793.87 | 9,081,793.87 | |||||||||||||||||
Net
Income
|
8,549,170.42 | 862,392.18 | -1,462,341.02 | 7,949,221.58 | 6,317,292.68 | 6,033,446.96 | -5,383,731.91 | 6,967,007.73 |
STATEMENTS
OF INCOME
BANCO LATINOAMERICANO
DE COMERCIO
EXTERIOR, S.A.
JANUARY
- DECEMBER 2009
(In
Balboas)*
|
Description
|
July
|
August
|
September
|
III Quarter
|
October
|
November
|
December
|
IV Quarter
|
Year
to date
|
|||||||||||||||||||
Interest
Income
|
12,797,315.99 | 11,412,267.60 | 9,913,516.33 | 34,123,099.92 | 10,218,655.86 | 8,846,050.45 | 8,833,803.47 | 27,898,509.78 | 140,201,063.08 | |||||||||||||||||||
Loans
|
10,130,541.34 | 9,172,445.36 | 8,211,033.07 | 27,514,019.77 | 8,985,157.08 | 7,758,788.85 | 7,651,188.93 | 24,395,134.86 | 114,326,147.75 | |||||||||||||||||||
Deposits
|
104,337.12 | 92,266.80 | 94,380.04 | 290,983.96 | 74,188.02 | 61,091.74 | 71,996.50 | 207,276.26 | 1,260,487.64 | |||||||||||||||||||
Investments
|
2,562,437.53 | 2,147,555.44 | 1,608,103.22 | 6,318,096.19 | 1,159,310.76 | 1,026,169.86 | 1,110,618.04 | 3,296,098.66 | 24,614,427.69 | |||||||||||||||||||
Interest
Expense
|
6,117,909.19 | 5,584,758.99 | 5,050,402.79 | 16,753,070.97 | 4,590,893.13 | 3,987,004.16 | 3,939,660.49 | 12,517,557.78 | 74,969,788.51 | |||||||||||||||||||
Interest
|
6,110,602.17 | 5,577,642.46 | 5,043,072.12 | 16,731,316.75 | 4,580,294.36 | 3,979,944.49 | 3,931,399.43 | 12,491,638.28 | 74,886,818.66 | |||||||||||||||||||
Commissions
|
7,307.02 | 7,116.53 | 7,330.67 | 21,754.22 | 10,598.77 | 7,059.67 | 8,261.06 | 25,919.50 | 82,969.85 | |||||||||||||||||||
Net
Interest Income
|
6,679,406.80 | 5,827,508.61 | 4,863,113.54 | 17,370,028.95 | 5,627,762.73 | 4,859,046.29 | 4,894,142.98 | 15,380,952.00 | 65,231,274.57 | |||||||||||||||||||
Other
Income
|
3,166,123.52 | 223,672.97 | 908,429.05 | 4,298,225.54 | 1,119,439.91 | 494,333.57 | 2,833,272.86 | 4,447,046.34 | 24,897,885.83 | |||||||||||||||||||
Commissions
|
390,977.23 | 468,966.23 | 636,397.01 | 1,496,340.47 | 647,699.44 | 601,167.07 | 819,336.60 | 2,068,203.11 | 6,483,607.84 | |||||||||||||||||||
Other
Income
|
2,775,146.29 | -245,293.26 | 272,032.04 | 2,801,885.07 | 471,740.47 | -106,833.50 | 2,013,936.26 | 2,378,843.23 | 18,414,277.99 | |||||||||||||||||||
Operating
Income
|
9,845,530.32 | 6,051,181.58 | 5,771,542.59 | 21,668,254.49 | 6,747,202.64 | 5,353,379.86 | 7,727,415.84 | 19,827,998.34 | 90,129,160.40 | |||||||||||||||||||
Operating
Expenses
|
2,263,344.06 | 2,541,005.79 | 3,129,446.35 | 7,933,796.20 | 3,087,204.94 | 2,962,943.85 | 3,505,991.87 | 9,556,140.66 | 36,937,766.53 | |||||||||||||||||||
Administrative
expenses
|
1,387,670.05 | 1,547,199.51 | 1,448,113.79 | 4,382,983.35 | 1,505,909.72 | 1,508,630.41 | 1,874,344.13 | 4,888,884.26 | 19,786,995.25 | |||||||||||||||||||
General
expenses
|
191,112.55 | 308,119.62 | 277,018.83 | 776,251.00 | 399,991.68 | 369,588.26 | 503,966.57 | 1,273,546.51 | 4,116,700.19 | |||||||||||||||||||
Depreciation
|
206,957.24 | 203,404.59 | 204,243.35 | 614,605.18 | 212,657.95 | 208,120.03 | 196,508.21 | 617,286.19 | 2,559,404.47 | |||||||||||||||||||
Other
expenses
|
477,604.22 | 482,282.07 | 1,200,070.38 | 2,159,956.67 | 968,645.59 | 876,605.15 | 931,172.96 | 2,776,423.70 | 10,474,666.62 | |||||||||||||||||||
Net
Income before provision for loan losses
|
7,582,186.26 | 3,510,175.79 | 2,642,096.24 | 13,734,458.29 | 3,659,997.70 | 2,390,436.01 | 4,221,423.97 | 10,271,857.68 | 53,191,393.87 | |||||||||||||||||||
Provision
for loan losses
|
0.00 | 0.00 | 1,169,145.66 | 1,169,145.66 | 0.00 | 0.00 | -607,121.85 | -607,121.85 | 14,830,872.40 | |||||||||||||||||||
Net
Income
|
7,582,186.26 | 3,510,175.79 | 1,472,950.58 | 12,565,312.63 | 3,659,997.70 | 2,390,436.01 | 4,828,545.82 | 10,878,979.53 | 38,360,521.47 |