| Instituto Nicaraguense de Seguros y Reaseguros (INISER) | |||||||||||||
| Balance Condensado * | |||||||||||||
| Miles de Córdobas (C$) | |||||||||||||
| DESCRIPCION | Abril-01 | Marzo-01 | Febrero-01 | Enero-01 | Diciembre-00 | Noviembre-00 | Octubre-00 | Septiembre-00 | Agosto-00 | Julio-00 | Junio-00 | Mayo-00 | Abril-00 |
| INVERSIONES (Neto) | 312,409 | 317,438 | 334,019 | 327,357 | 342,738 | 264,161 | 257,297 | 265,250 | 338,572 | 338,816 | 360,084 | 388,808 | 380,574 |
| Inversiones en Valores (Neto) | 43,686 | 43,530 | 41,149 | 30,067 | 30,626 | 30,561 | 27,797 | 30,942 | 18,001 | 17,949 | 17,874 | 13,953 | 4,901 |
| Prestamos y Descuentos | 78,353 | 83,131 | 93,876 | 95,468 | 98,966 | 97,101 | 92,952 | 83,086 | 75,732 | 66,740 | 61,436 | 56,368 | 55,388 |
| Depositos a Plazo | 116,723 | 116,139 | 116,128 | 118,879 | 117,509 | 115,517 | 115,544 | 123,053 | 139,792 | 141,284 | 158,424 | 165,806 | 151,803 |
| Bienes Inmuebles (Neto) | 10,676 | 10,285 | 10,398 | 10,511 | 94,510 | 16,611 | 16,660 | 16,709 | 13,743 | 16,792 | 16,841 | 16,860 | 16,909 |
| Otras Inversiones | 62,971 | 64,353 | 72,468 | 72,433 | 1,127 | 4,370 | 4,343 | 11,460 | 88,304 | 96,052 | 105,509 | 135,821 | 151,573 |
| DISPONIBILIDADES | 16,061 | 11,418 | 14,016 | 16,948 | 10,186 | 11,607 | 26,735 | 13,583 | 9,105 | 15,666 | 8,107 | 14,242 | 33,269 |
| PRIMAS POR COB.(Netas) | 77,383 | 79,936 | 82,606 | 87,212 | 101,010 | 85,574 | 99,326 | 102,232 | 106,100 | 85,003 | 90,669 | 81,650 | 75,801 |
| Vida | 19,407 | 18,577 | 13,144 | 13,004 | 20,880 | 12,230 | 14,685 | 16,916 | 18,864 | 18,852 | |||
| Accidentes y Enfermedades | 7,627 | 7,096 | 6,978 | 7,235 | 6,477 | 5,955 | 5,838 | 5,883 | 6,682 | 5,983 | |||
| Daños | 70,379 | 74,157 | 77,100 | 82,016 | 88,641 | 75,577 | 86,952 | 87,579 | 88,710 | 68,251 | |||
| Fianzas | 143 | 187 | 128 | 127 | 111 | 104 | 107 | 76 | 31 | 68 | |||
| Prov. de Reserva de Primas x Cobrar | -20,173 | -20,081 | -14,743 | -15,170 | -15,099 | -8,293 | -8,257 | -8,221 | -8,186 | -8,150 | |||
| RESER.A/C REASEG.Y.REAF. | 53,550 | 50,632 | 52,006 | 51,778 | 55,607 | 69,638 | 69,588 | 58,853 | 64,643 | 71,342 | 56,315 | 61,135 | 59,679 |
| Reservas Tecn. a/c Reaseg. | 7,060 | 7,117 | 7,165 | 7,389 | 7,226 | 7,818 | 7,663 | 7,658 | 7,423 | 7,437 | 7,514 | 7,647 | 7,595 |
| Siniestros Pendientes | 46,490 | 43,515 | 44,841 | 44,389 | 48,381 | 61,820 | 61,925 | 51,195 | 57,220 | 63,905 | 48,801 | 53,488 | 52,084 |
| COMPANIAS REASEG.Y.REAF. | 16,707 | 16,434 | 20,071 | 19,079 | 8,847 | 7,463 | 6,655 | 7,089 | 9,270 | 10,384 | 9,396 | 7,377 | 7,352 |
| DEUDORES VARIOS (Neto) | 12,132 | 13,119 | 12,496 | 12,172 | 18,138 | 14,062 | 20,106 | 19,737 | 21,521 | 9,702 | 9,829 | 8,393 | 9,461 |
| MOBILIARIO Y EQ.(Neto) | 11,220 | 11,315 | 11,454 | 10,727 | 10,531 | 9,907 | 9,643 | 9,681 | 9,605 | 9,163 | 9,338 | 9,049 | 9,108 |
| OTROS ACT.Y CARGOS DIF. | 5,038 | 4,547 | 4,465 | 5,049 | 4,944 | 14,456 | 14,270 | 14,224 | 14,392 | 7,800 | 7,100 | 7,041 | 6,768 |
| TOTAL DEL ACTIVO | 504,501 | 504,839 | 531,133 | 530,322 | 552,000 | 476,867 | 503,620 | 490,649 | 573,207 | 547,877 | 550,838 | 577,695 | 582,012 |
| PASIVOS Y CAPITAL | |||||||||||||
| RESERVAS TECNICAS Y MAT. | 345,193 | 342,324 | 348,061 | 346,028 | 349,537 | 299,388 | 299,709 | 241,229 | 318,427 | 316,608 | 291,326 | 293,904 | 287,267 |
| Reservas de Seguros de Vida | 60,739 | 60,364 | 59,238 | 60,201 | 59,396 | 60,221 | 59,733 | 58,158 | 58,603 | 56,682 | |||
| Reservas para Rentas y Pensiones | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||
| Reservas de Seguros de Accidentes y enf. | 8,507 | 8,597 | 7,839 | 8,047 | 7,705 | 7,690 | 7,523 | 7,461 | 7,385 | 7,132 | |||
| Reservas de Seguro de Daños | 88,288 | 89,356 | 90,688 | 92,781 | 92,645 | 92,046 | 93,586 | 91,146 | 90,818 | 89,133 | |||
| Reservas de Fianzas | 2,320 | 2,355 | 2,521 | 2,633 | 2,663 | 2,764 | 2,714 | 2,804 | 2,780 | 2,758 | |||
| Reservas para Reaseguros y Reaf. Tomado | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||
| Reservas de Coaseguro y Coafianzamiento | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||
| Reservas para Siniestros Pendientes | 65,750 | 63,086 | 70,561 | 65,013 | 70,525 | 91,818 | 91,775 | 38,189 | 42,958 | 46,650 | |||
| Reservas de Previsón de Primas de Retención | 21,626 | 21,322 | 20,727 | 21,498 | 21,315 | 1,642 | 1,548 | 1,036 | 21,959 | 21,187 | |||
| Res. P/Riesgos Catastroficos de Primas y Ret. | 97,963 | 97,245 | 96,485 | 95,854 | 95,288 | 43,207 | 42,830 | 42,435 | 93,925 | 93,066 | |||
| OBLIGAC. CONTRACTUALES | 3,621 | 3,909 | 2,720 | 3,091 | 3,223 | 2,833 | 3,165 | 41,645 | 42,804 | 43,290 | 43,399 | 60,219 | 61,478 |
| INSTIT. REASEG. Y REAFIANZ. | 25,356 | 23,835 | 32,348 | 30,072 | 28,338 | 25,264 | 42,160 | 42,862 | 40,517 | 18,845 | 17,572 | 21,416 | 20,159 |
| Reaseguro Cuenta Corriente | 17,984 | 16,792 | 23,836 | 22,133 | 20,986 | 16,767 | 34,190 | 35,391 | 31,947 | 10,907 | 10,119 | 12,691 | 12,034 |
| Reser.Ret.p/Reaseg.Cedido | 7,372 | 7,044 | 8,512 | 7,939 | 7,352 | 8,497 | 7,971 | 7,471 | 8,570 | 7,938 | 7,453 | 8,725 | 8,125 |
| PRESTAMOS POR PAGAR | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 | 1,190 |
| ACREEDORES VARIOS | 23,381 | 21,332 | 21,481 | 25,311 | 28,182 | 30,641 | 32,068 | 31,685 | 35,019 | 29,717 | 52,250 | 73,363 | 87,186 |
| CASA MATRIZ | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||
| OTROS PASIVOS | 13,205 | 13,045 | 13,217 | 13,761 | 15,371 | 10,573 | 13,347 | 13,900 | 14,745 | 14,886 | 15,955 | 15,591 | 16,041 |
| DIFERIDOS | 2,480 | 2,470 | 2,459 | 2,450 | 2,437 | 297 | 298 | 299 | 300 | 303 | 306 | 307 | 271 |
| TOTAL PASIVO | 414,426 | 408,105 | 421,476 | 421,902 | 428,280 | 370,186 | 391,937 | 372,809 | 453,002 | 424,839 | 421,998 | 465,990 | 473,592 |
| CAPITAL AUT. SUS. Y PAGADO | 67,500 | 67,500 | 60,000 | 60,000 | 60,000 | 60,000 | 60,000 | 60,000 | 60,000 | 60,000 | 60,000 | 60,000 | 60,000 |
| CAPITAL AUT. SUSC. Y NO PAGADO | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||
| ACCIONES EN TESORERIA | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||
| CASA MATRIZ CUENTA DE CAPITAL | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||
| RESERVAS DE CAPITAL | 9,487 | 9,487 | 8,899 | 8,899 | 8,899 | 8,899 | 8,899 | 8,899 | 8,899 | 8,899 | 16,399 | 16,399 | 16,399 |
| SUPERAVIT DE CAPITAL | 0 | 0 | 7,500 | 7,500 | 7,500 | 7,500 | 7,500 | 7,500 | 7,500 | 7,500 | 0 | 0 | 0 |
| RESULTADOS ACUMULADOS PERIODOS ANTERIORES | -3,443 | 9,343 | 29,655 | 31,220 | 26,253 | 18,423 | 19,705 | 19,690 | 25,139 | 26,499 | 32,057 | 21,505 | 21,483 |
| RESULTADOS DEL PERIODO | 16,532 | 10,404 | 3,603 | 801 | 21,068 | 11,859 | 15,578 | 21,752 | 18,668 | 20,140 | 20,384 | 13,801 | 10,538 |
| CAPITAL ACTUAL, RESERVAS Y SUPERAVIT | 90,076 | 96,734 | 109,658 | 108,421 | 123,721 | 106,681 | 111,682 | 117,840 | 120,205 | 123,038 | 128,840 | 111,705 | 108,420 |
| TOTAL PASIVO + CAPITAL, RES. Y SUPERAVIT | 504,501 | 504,839 | 531,133 | 530,322 | 552,000 | 476,867 | 503,620 | 490,649 | 573,207 | 547,877 | 550,838 | 577,695 | 582,012 |
| Tipo de Cambio del Dólar | |||||||||||||
| Inicio Operaciones Octubre de 1979 | |||||||||||||
| * Balances No Auditados | |||||||||||||
| Nota: Los Estados Financieros de INISER correspondientes a Diciembre 2000, contienen objeciones por parte de la Superintendencia de Bancos en relación a provisiones ordenadas no contabilizadas. | |||||||||||||