| PRESUPUESTOS
LIQUIDADOS DE LA ADMINISTRACION AUTONOMA. Millones de euros |
| Millones
€ |
AÑO |
2000 |
1999 |
1998 |
1997 |
1996 |
1995 |
1994 |
1993 |
1992 |
1991 |
1990 |
1989 |
1988 |
| OPERACIONES CORRIENTES |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| |
·Ingresos |
9.367,00 |
8.598 |
8.014 |
7.079 |
6.363 |
5.767 |
5.543 |
5.597 |
5.387 |
5.104 |
4.522 |
3.874 |
3.571 |
| |
Cap. 1 |
4.087,13 |
3.849 |
3.643 |
3.203 |
3.064 |
2.770 |
2.492 |
2.610 |
2.457 |
2.395 |
2.134 |
1.896 |
1.638 |
| |
Cap. 2 |
4.359,83 |
3.916 |
3.509 |
3.033 |
2.170 |
1.979 |
1.867 |
1.840 |
1.806 |
1.517 |
1.407 |
1.240 |
1.104 |
| |
Cap. 3 |
556,25 |
526 |
505 |
482 |
497 |
470 |
433 |
521 |
405 |
409 |
316 |
276 |
265 |
| |
Cap. 4 |
228,49 |
220 |
257 |
252 |
501 |
423 |
640 |
484 |
544 |
488 |
344 |
301 |
474 |
| |
Cap. 5 |
135,30 |
87 |
99 |
110 |
130 |
125 |
111 |
142 |
174 |
295 |
321 |
162 |
90 |
| |
·Gastos |
7.057,28 |
6.488 |
6.119 |
5.840 |
5.073 |
4.919 |
4.540 |
4.639 |
4.244 |
4.256 |
3.687 |
3.086 |
2.843 |
| |
Cap. 1 |
2.031,27 |
1.993 |
1.817 |
2.427 |
2.347 |
2.184 |
2.059 |
1.998 |
1.811 |
1.653 |
1.448 |
1.217 |
1.022 |
| |
Cap. 2 |
2.280,12 |
2.125 |
2.005 |
1.098 |
1.030 |
962 |
920 |
862 |
838 |
780 |
659 |
555 |
475 |
| |
Cap. 3 |
190,44 |
214 |
274 |
339 |
349 |
351 |
307 |
293 |
236 |
217 |
180 |
150 |
105 |
| |
Cap. 4 |
2.555,46 |
2.156 |
2.023 |
1.977 |
1.347 |
1.422 |
1.254 |
1.486 |
1.360 |
1.606 |
1.401 |
1.165 |
1.241 |
| AHORRO BRUTO |
|
2.309,71 |
2.110 |
1.894 |
1.239 |
1.290 |
848 |
1.003 |
958 |
1.143 |
847 |
835 |
787 |
728 |
| OPERACIONES CAPITAL |
|
0,00 |
|
|
|
|
|
|
|
|
|
|
|
|
| |
·Ingresos |
122,65 |
132 |
233 |
228 |
108 |
189 |
119 |
116 |
126 |
144 |
144 |
91 |
83 |
| |
Cap. 6 |
75,34 |
79 |
85 |
72 |
53 |
44 |
82 |
43 |
36 |
14 |
21 |
17 |
10 |
| |
Cap. 7 |
47,31 |
54 |
148 |
156 |
55 |
145 |
37 |
74 |
90 |
130 |
122 |
73 |
72 |
| |
·Gastos |
1.481,26 |
1.432 |
1.384 |
1.281 |
1.164 |
1.191 |
1.263 |
1.424 |
1.365 |
1.272 |
1.201 |
1.030 |
695 |
| |
Cap. 6 |
871,00 |
893 |
807 |
766 |
774 |
852 |
960 |
1.023 |
919 |
913 |
811 |
668 |
433 |
| |
Cap. 7 |
610,26 |
539 |
577 |
514 |
390 |
339 |
303 |
401 |
446 |
359 |
389 |
362 |
262 |
| (1) CAPACIDAD(+)
NECESIDAD(-) FINANCIACION |
|
951,11 |
811 |
744 |
187 |
234 |
-154 |
-140 |
-349 |
-96 |
-281 |
-222 |
-152 |
116 |
| (2) VARIACION ACTIVOS FINANCIEROS |
|
216,83 |
190 |
133 |
87 |
82 |
91 |
66 |
173 |
52 |
70 |
41 |
85 |
31 |
| |
·(3)Cap8 Gastos |
249,56 |
251 |
171 |
146 |
144 |
188 |
232 |
232 |
141 |
123 |
96 |
129 |
50 |
| |
·(4)Cap8 Ingresos |
32,74 |
61 |
38 |
60 |
62 |
97 |
166 |
59 |
88 |
52 |
55 |
44 |
19 |
| (5)Derechos Pendientes de Cobro
del Ejercicio |
|
500,63 |
529 |
664 |
706 |
716 |
661 |
838 |
857 |
862 |
758 |
|
|
|
| (6)SALDO NETO
A FINANCIAR(1)-(2)-(5) |
|
233,66 |
91 |
-53 |
-606 |
-563 |
-906 |
-1.045 |
-1.379 |
-1.010 |
-1.109 |
|
|
|
| (7)Variacion Pasivos.Financieros(8)-(9) |
|
-449,74 |
-360 |
-131 |
127 |
263 |
411 |
592 |
413 |
356 |
378 |
194 |
183 |
168 |
| |
·(8)Cap9 Ingresos |
76,37 |
200 |
388 |
424 |
572 |
760 |
937 |
825 |
793 |
759 |
543 |
393 |
416 |
| |
·(9)Cap9 Gastos |
526,11 |
561 |
519 |
297 |
309 |
349 |
345 |
411 |
437 |
381 |
349 |
210 |
248 |
| (10)Oblig.pend.de pago del Ejercicio |
|
1.270,23 |
1.128 |
1.018 |
1.013 |
936 |
900 |
981 |
1.055 |
1.143 |
971 |
|
|
|
| (11)VAR. TESORERIA
IMPUT.EJER.(6)+(7)+(10) |
|
1.054,15 |
860 |
834 |
535 |
637 |
405 |
528 |
90 |
488 |
240 |
|
|
|
| (11)Variacion Tesoreria imputable
ejercicio |
|
1.054,15 |
860 |
834 |
535 |
637 |
405 |
528 |
90 |
488 |
240 |
|
|
|
| (12)Cobro Derechos pend.ejercicios
anteriores |
|
477,31 |
575 |
520 |
563 |
541 |
619 |
678 |
721 |
366 |
318 |
|
|
|
| (13)Pago Obligaciones pend. ejercicios
anteriores |
|
945,11 |
955 |
920 |
916 |
876 |
962 |
1.056 |
1.124 |
705 |
755 |
|
|
|
| (14)Exist.Iniciales Presupuestarias |
|
1.884,09 |
1.406 |
1.049 |
897 |
600 |
578 |
481 |
749 |
551 |
759 |
|
|
|
| (15)Exist.Finales
Prptarias(11)+(12)-(13)+(14) |
|
2.470,44 |
1.886 |
1.482 |
1.080 |
902 |
640 |
632 |
436 |
700 |
561 |
|
|
|
| Ajuste presupuestario |
|
0,00 |
-71 |
-69 |
|
|
|
|
|
|
|
|
|
|
| (16)Exist.Iniciales Extrapresupuestarias |
|
182,38 |
225 |
273 |
909 |
1.089 |
873 |
809 |
1.318 |
2.255 |
3.551 |
|
|
|
| (17)Saldo Operaciones Extrapresupuestarias |
|
-96,79 |
20 |
-48 |
-630 |
-181 |
216 |
13 |
-461 |
-932 |
-1.297 |
|
|
|
| (18)Exist.Finales
Extraptarias(16)+(17) |
|
85,58 |
245 |
225 |
279 |
909 |
1.089 |
822 |
857 |
1.323 |
2.254 |
|
|
|
| |
|
0,00 |
|
|
|
|
|
|
|
|
|
|
|
|
| EXISTENCIAS FINALES
TOTALES |
|
2.556,02 |
2.060 |
1.638 |
1.359 |
1.810 |
1.729 |
1.454 |
1.293 |
2.022 |
2.816 |
|
|
|
| |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| |
PIB |
39.462 |
36.424 |
33.659 |
30.823 |
28.843 |
27.184 |
25.105 |
23.392 |
22.667 |
21.381 |
20.027 |
18.236 |
16.096 |
| |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| PRESUPUESTOS
LIQUIDADOS DEL GOBIERNO VASCO Millones de euros |
| Millones
€ |
AÑO |
2000 |
1999 |
1998 |
1997 |
1996 |
1995 |
1994 |
1993 |
1992 |
1991 |
1990 |
1989 |
1988 |
| OPERACIONES CORRIENTES |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
| |
·Ingresos |
4.910,57 |
4.910,57 |
4.486,52 |
4.009,02 |
3.973,48 |
3.481,61 |
3.395,95 |
3.208,12 |
3.128,50 |
2.599,95 |
2.248,18 |
2.031,40 |
1.783,58 |
| |
Cap. 1 |
0,00 |
|
|
|
|
|
|
|
|
|
|
|
|
| |
Cap. 2 |
7,01 |
7,01 |
6,74 |
6,62 |
6,45 |
7,08 |
8,08 |
8,47 |
|
|
|
|
|
| |
Cap. 3 |
74,14 |
74,14 |
56,99 |
75,55 |
82,38 |
80,12 |
69,99 |
114,84 |
46,37 |
67,90 |
53,57 |
39,86 |
36,27 |
| |
Cap. 4 |
4.803,63 |
4.803,63 |
4.396,30 |
3.896,94 |
3.852,22 |
3.354,60 |
3.296,50 |
3.047,40 |
3.037,94 |
2.481,83 |
2.143,46 |
1.942,47 |
1.713,78 |
| |
Cap. 5 |
25,78 |
25,78 |
26,50 |
29,91 |
32,43 |
39,81 |
21,37 |
37,41 |
44,19 |
50,22 |
51,15 |
49,08 |
33,54 |
| |
·Gastos |
3.850,32 |
3.850,32 |
3.630,11 |
3.479,39 |
3.399,15 |
3.160,52 |
2.908,99 |
2.795,93 |
2.504,17 |
2.238,74 |
1.926,83 |
1.650,93 |
1.383,51 |
| |
Cap. 1 |
1.189,94 |
1.189,94 |
1.053,87 |
1.698,86 |
1.632,11 |
1.505,55 |
1.401,54 |
1.338,09 |
1.183,75 |
1.059,29 |
927,12 |
800,03 |
675,72 |
| |
Cap. 2 |
1.385,77 |
1.385,77 |
1.326,41 |
479,11 |
449,91 |
417,90 |
404,49 |
371,34 |
357,52 |
339,37 |
277,34 |
262,25 |
235,00 |
| |
Cap. 3 |
118,84 |
118,84 |
146,02 |
161,40 |
174,20 |
176,87 |
152,82 |
123,15 |
93,80 |
74,14 |
53,21 |
41,20 |
30,99 |
| |
Cap. 4 |
1.155,78 |
1.155,78 |
1.103,81 |
1.140,01 |
1.142,94 |
1.060,20 |
950,14 |
963,34 |
869,10 |
765,94 |
669,15 |
547,46 |
441,80 |
| AHORRO BRUTO |
|
1.060,25 |
1.060,25 |
856,41 |
529,64 |
574,33 |
321,08 |
486,95 |
412,20 |
624,34 |
361,21 |
321,35 |
380,47 |
400,07 |
| OPERACIONES CAPITAL |
|
-595,87 |
-595,87 |
-584,81 |
|
|
|
|
|
|
|
|
|
|
| |
·Ingresos |
58,52 |
58,52 |
145,15 |
145,64 |
55,94 |
119,35 |
29,97 |
73,79 |
62,20 |
100,07 |
120,80 |
84,96 |
79,62 |
| |
Cap. 6 |
1,18 |
1,18 |
15,43 |
14,35 |
11,61 |
4,69 |
5,76 |
2,78 |
2,15 |
1,72 |
1,27 |
0,96 |
1,44 |
| |
Cap. 7 |
57,34 |
57,34 |
129,72 |
131,29 |
44,33 |
114,66 |
24,21 |
71,01 |
60,05 |
98,35 |
119,52 |
84,00 |
78,18 |
| |
·Gastos |
654,39 |
654,39 |
729,96 |
720,69 |
632,87 |
614,96 |
651,02 |
722,83 |
717,12 |
568,43 |
614,49 |
540,95 |
340,09 |
| |
Cap. 6 |
203,08 |
203,08 |
223,02 |
259,81 |
304,57 |
327,34 |
345,08 |
359,81 |
301,68 |
265,15 |
245,50 |
223,28 |
128,76 |
| |
Cap. 7 |
451,31 |
451,31 |
506,94 |
460,88 |
328,29 |
287,63 |
305,94 |
363,02 |
415,44 |
303,28 |
369,00 |
317,67 |
211,33 |
| (1) CAPACIDAD(+)
NECESIDAD(-) FINANCIACION |
|
464,38 |
464,38 |
271,60 |
-45,41 |
-2,60 |
-174,53 |
-134,10 |
-236,83 |
-30,58 |
-107,15 |
-172,35 |
-75,52 |
139,60 |
| (2) VARIACION ACTIVOS FINANCIEROS |
|
169,46 |
169,46 |
90,11 |
55,90 |
46,08 |
57,55 |
37,39 |
147,75 |
30,44 |
49,32 |
33,99 |
75,17 |
19,79 |
| |
·(3)Cap8 Gastos |
176,10 |
176,10 |
101,37 |
85,42 |
78,05 |
119,61 |
154,05 |
160,27 |
74,94 |
60,07 |
47,70 |
82,18 |
21,38 |
| |
·(4)Cap8 Ingresos |
6,64 |
6,64 |
11,26 |
29,52 |
31,97 |
62,06 |
116,66 |
12,53 |
44,50 |
10,75 |
13,71 |
7,01 |
1,59 |
| (5)Derechos Pendientes de Cobro
del Ejercicio |
|
136,87 |
136,87 |
237,24 |
268,34 |
232,05 |
240,90 |
359,57 |
329,15 |
414,70 |
366,59 |
#¡VALOR! |
#¡VALOR! |
#¡VALOR! |
| (6)SALDO NETO
A FINANCIAR(1)-(2)-(5) |
|
158,05 |
158,05 |
-55,75 |
-369,65 |
-280,73 |
-472,97 |
-531,06 |
-713,73 |
-475,72 |
-523,06 |
#¡VALOR! |
#¡VALOR! |
#¡VALOR! |
| (7)Variacion Pasivos.Financieros(8)-(9) |
|
-186,03 |
-186,03 |
-70,92 |
156,71 |
198,99 |
257,67 |
303,02 |
274,77 |
215,95 |
140,47 |
156,13 |
71,24 |
44,79 |
| |
·(8)Cap9 Ingresos |
125,00 |
125,00 |
120,20 |
228,38 |
378,64 |
471,12 |
465,60 |
396,57 |
311,36 |
215,96 |
210,96 |
114,19 |
109,87 |
| |
·(9)Cap9 Gastos |
311,02 |
311,02 |
191,12 |
71,67 |
179,65 |
213,46 |
162,57 |
121,80 |
95,41 |
75,49 |
54,82 |
42,95 |
65,08 |
| (10)Oblig.pend.de pago del Ejercicio |
|
675,05 |
675,05 |
516,88 |
571,63 |
511,10 |
528,57 |
426,09 |
545,91 |
605,14 |
470,10 |
|
|
|
| (11)VAR. TESORERIA
IMPUT.EJER.(6)+(7)+(10) |
|
647,08 |
647,08 |
390,21 |
358,69 |
429,36 |
313,26 |
198,05 |
106,94 |
345,37 |
87,51 |
|
|
|
| (11)Variacion Tesoreria imputable
ejercicio |
|
647,08 |
647,08 |
390,21 |
201,13 |
429,36 |
313,26 |
198,05 |
106,94 |
345,37 |
87,51 |
|
|
|
| (12)Cobro Derechos pend.ejercicios
anteriores |
|
222,33 |
222,33 |
166,45 |
493,27 |
197,33 |
240,87 |
314,16 |
359,65 |
277,29 |
234,92 |
|
|
|
| (13)Pago Obligaciones pend. ejercicios
anteriores |
|
478,89 |
478,89 |
484,82 |
550,61 |
514,01 |
403,32 |
550,77 |
592,16 |
477,05 |
529,77 |
|
|
|
| (14)Exist.Iniciales Presupuestarias |
|
665,52 |
665,52 |
593,69 |
617,16 |
437,93 |
287,25 |
377,30 |
451,36 |
300,69 |
508,02 |
|
|