Cuentas de los sectores institucionales Empresas de seguro Unidades: Millones de pesetas ,1996,1995,1994,1993,1992,1991,1990,1989,1988,1987,1986,1985, Empresas de seguro, Recursos.P.10 Producción de bienes y servicios,1.088.630,986.528,872.802,778.291,659.375,573.002,529.212,380.288,422.657,316.488,283.321,269.353, Recursos.P.11/ P.12 Producción de bienes y servicios destinados a la venta,1.088.630,986.528,872.802,778.291,659.375,573.002,529.212,380.288,422.657,316.488,283.321,269.353, Recursos.R.31 Subvenciones de explotación,5.644,1.804,4.193,16.454,3.431,505,3.964,2.130,12.794,10.303,667,836, Recursos.R.41 Intereses efectivos,770.039,658.023,522.107,468.399,405.581,341.974,289.101,273.535,238.624,145.040,103.514,73.222, Recursos.R.44 Dividendos y otras rentas,36.146,33.027,30.275,24.977,18.784,23.325,19.039,17.652,14.134,9.495,7.873,7.551, Recursos.R.51 Primas netas de seguro de accidentes,1.358.889,1.322.488,1.210.781,1.141.891,1.044.022,918.339,777.788,703.207,532.392,462.299,342.673,272.550, Recursos.R.62 Cotizaciones sociales reales,193.674,166.148,157.001,158.445,156.010,215.426,181.582,128.544,143.237,150.538,115.115,52.169, Recursos.R.69 Transferencias corrientes diversas,2.682,2.652,2.609,2.642,2.591,2.148,2.047,1.670,1.373,2.324,1.320,4.902, Recursos.R.621 Cotizaciones sociales reales a cargo de los empleadores,20.200,22.127,16.698,15.740,14.532,77.503,69.217,41.800,67.200,82.497,50.800,0, Recursos.R.622 Cotizaciones sociales a cargo de los asalariados,173.474,144.021,140.303,142.705,141.478,137.923,112.365,86.744,76.037,68.041,64.315,52.169, Saldo.N.1 Valor añadido bruto a precios de mercado,456.939,395.482,341.662,299.758,231.878,214.282,215.542,117.807,146.132,106.183,108.696,129.824, Saldo.N.2 Excedente bruto de explotación,200.198,143.414,102.659,79.619,12.542,17.301,46.450,-22.973,34.773,9.799,9.643,30.074, Saldo.N.3 Renta bruta dispoinible,308.680,221.812,193.515,148.573,108.458,174.446,160.752,41.309,106.642,74.766,62.705,42.171, Saldo.N.4 Ahorro bruto,227.909,100.719,104.054,57.242,-5.682,25.681,50.520,-45.919,15.944,25.267,31.209,42.171, Saldo.N.5 Capacidad (+) o necesidad (-) de financiación,197.723,17.013,31.398,-9.952,-81.309,-68.891,-54.743,-116.011,-42.977,-22.401,1.230,20.132, Saldo.N.11 Valor añadido neto a precios de mercado,423.943,366.954,313.992,271.706,205.342,189.821,195.294,101.907,131.997,94.830,99.737,122.968, Saldo.N.12 Excedente neto de explotación,167.202,114.886,74.989,51.567,-13.994,-7.160,26.202,-38.873,20.638,-1.554,684,23.218, Saldo.N.13 Renta neta dispoinible,275.684,193.284,165.845,120.521,81.922,149.985,140.504,25.409,92.507,63.413,53.746,35.315, Saldo.N.14 Ahorro neto,194.913,72.191,76.384,29.190,-32.218,1.220,30.272,-61.819,1.809,13.914,22.250,35.315, Empleos.A.1 Consumo de capital fijo,32.996,28.528,27.670,28.052,26.536,24.461,20.248,15.900,14.135,11.353,8.959,6.856, Empleos.F.911 Variación de las reservas matemáticas de jubilación,80.771,121.093,89.461,91.331,114.140,148.765,110.232,87.228,90.698,49.499,31.496,0, Empleos.P.20 Consumo intermedio,631.691,591.046,531.140,478.533,427.497,358.720,313.670,262.481,276.525,210.305,174.625,139.529, Empleos.P.40 Formación bruta de capital,30.186,83.706,72.656,67.194,75.627,94.572,105.263,70.092,58.921,47.668,29.979,22.039, Empleos.R.10 Remuneración de asalariados,261.313,252.833,242.281,235.271,221.462,196.353,171.958,141.826,123.171,105.694,92.952,81.087, Empleos.R.22 Impuestos ligados a la producción,1.072,1.039,915,1.322,1.305,1.133,1.098,1.084,982,993,6.768,19.499, Empleos.R.41 Intereses efectivos,173.731,160.000,136.278,147.358,123.592,126.372,122.768,114.213,92.610,64.387,45.773,35.819, Empleos.R.42 Intereses imputados derivados de los contratos de seguros,472.915,399.588,298.045,252.700,185.104,154.043,121.653,130.989,119.593,54.629,34.585,18.786, Empleos.R.44 Dividendos y otras rentas,66.290,51.468,41.954,37.223,34.869,25.211,22.078,20.696,16.531,14.826,10.982,8.238, Empleos.R.52 Indemnizaciones de seguro de accidentes,1.358.889,1.322.488,1.210.781,1.141.891,1.044.022,918.339,777.788,703.207,532.392,462.299,342.673,272.550, Empleos.R.61 Impuestos corrientes sobre la renta y el patrimonio,61.801,62.132,41.960,38.741,37.275,22.505,22.432,20.765,18.110,16.577,11.619,9.281, Empleos.R.64 Prestaciones sociales,106.098,98.801,94.616,97.192,94.844,92.340,82.899,68.386,76.420,89.204,69.118,45.201, Empleos.R.69 Transferencias corrientes diversas,13.224,9.463,8.283,12.295,11.366,5.257,5.637,2.070,2.235,2.807,2.683,8.422, Empleos.R.641 Prestaciones sociales ligadas a cotizaciones reales,106.098,98.801,94.616,97.192,94.844,92.340,82.899,68.386,76.420,89.204,69.118,45.201, Empleos.R.642 Prestaciones sociales que corresponden a cotizaciones ficticias,0,0,0,0,0,0,0,0,0,0,0,0, Empleos.R.643 Otras prestaciones sociales,0,0,0,0,0,0,0,0,0,0,0,0, Organismos de seguro y capitalización, Recursos.P.10 Producción de bienes y servicios,1.057.359,960.973,847.616,748.197,631.019,553.156,512.718,367.777,411.500,306.273,274.266,260.931, Recursos.P.11/ P.12 Producción de bienes y servicios destinados a la venta,1.057.359,960.973,847.616,748.197,631.019,553.156,512.718,367.777,411.500,306.273,274.266,260.931, Recursos.R.31 Subvenciones de explotación,5.644,1.803,4.189,16.385,3.385,445,3.900,2.052,12.699,10.271,605,587, Recursos.R.41 Intereses efectivos,667.861,577.047,457.936,400.733,337.206,279.040,246.031,240.019,210.241,121.964,82.946,53.235, Recursos.R.44 Dividendos y otras rentas,32.055,29.785,26.447,20.657,14.381,18.942,16.127,14.545,11.519,7.156,5.862,5.607, Recursos.R.51 Primas netas de seguro de accidentes,1.358.889,1.322.488,1.210.781,1.141.891,1.044.022,918.339,777.788,703.207,532.392,462.299,342.673,272.550, Recursos.R.62 Cotizaciones sociales reales,20.200,22.127,16.698,15.740,14.532,77.503,69.217,41.800,67.200,82.497,50.800,0, Recursos.R.69 Transferencias corrientes diversas,0,0,0,0,0,0,47,48,51,52,38,0, Recursos.R.621 Cotizaciones sociales reales a cargo de los empleadores,20.200,22.127,16.698,15.740,14.532,77.503,69.217,41.800,67.200,82.497,50.800,0, Recursos.R.622 Cotizaciones sociales a cargo de los asalariados,0,0,0,0,0,0,0,0,0,0,0,0, Saldo.N.1 Valor añadido bruto a precios de mercado,444.625,383.864,329.561,286.897,218.735,203.022,206.307,111.329,139.707,100.570,103.644,125.625, Saldo.N.2 Excedente bruto de explotación,197.067,140.467,99.648,76.707,9.748,14.614,44.260,-24.609,32.923,8.513,8.559,29.192, Saldo.N.3 Renta bruta dispoinible,137.001,91.655,78.470,35.142,-11.294,54.572,76.627,-23.834,57.812,38.658,27.514,17.647, Saldo.N.4 Ahorro bruto,124.881,78.379,68.451,25.698,-16.806,-10.918,19.177,-53.930,10.772,-10.841,-3.982,17.647, Saldo.N.5 Capacidad (+) o necesidad (-) de financiación,99.525,-4.612,6.898,-35.398,-85.864,-90.468,-62.057,-111.640,-36.167,-52.699,-32.678,1.254, Saldo.N.11 Valor añadido neto a precios de mercado,414.760,358.283,304.902,261.757,194.993,181.248,188.249,97.065,127.422,90.503,95.769,119.651, Saldo.N.12 Excedente neto de explotación,167.202,114.886,74.989,51.567,-13.994,-7.160,26.202,-38.873,20.638,-1.554,684,23.218, Saldo.N.13 Renta neta dispoinible,107.136,66.074,53.811,10.002,-35.036,32.798,58.569,-38.098,45.527,28.591,19.639,11.673, Saldo.N.14 Ahorro neto,95.016,52.798,43.792,558,-40.548,-32.692,1.119,-68.194,-1.513,-20.908,-11.857,11.673, Empleos.A.1 Consumo de capital fijo,29.865,25.581,24.659,25.140,23.742,21.774,18.058,14.264,12.285,10.067,7.875,5.974, Empleos.F.911 Variación de las reservas matemáticas de jubilación,12.120,13.276,10.019,9.444,5.512,65.490,57.450,30.096,47.040,49.499,31.496,0, Empleos.P.20 Consumo intermedio,612.734,577.109,518.055,461.300,412.284,350.134,306.411,256.448,271.793,205.703,170.622,135.306, Empleos.P.40 Formación bruta de capital,25.356,82.991,61.553,61.096,69.058,79.550,81.234,57.710,46.939,41.858,28.696,16.393, Empleos.R.10 Remuneración de asalariados,252.232,244.259,233.281,225.354,211.163,187.720,164.849,136.906,118.501,101.335,88.922,77.521, Empleos.R.22 Impuestos ligados a la producción,970,941,821,1.221,1.209,1.133,1.098,1.084,982,993,6.768,19.499, Empleos.R.41 Intereses efectivos,171.565,158.126,135.161,144.856,122.219,124.149,121.774,113.590,92.113,64.145,45.451,34.739, Empleos.R.42 Intereses imputados derivados de los contratos de seguros,472.915,399.588,298.045,252.700,185.104,154.043,121.653,130.989,119.593,54.629,34.585,18.786, Empleos.R.44 Dividendos y otras rentas,66.290,51.468,41.954,37.223,34.869,25.211,22.078,20.696,16.531,14.826,10.982,8.238, Empleos.R.52 Indemnizaciones de seguro de accidentes,1.358.889,1.322.488,1.210.781,1.141.891,1.044.022,918.339,777.788,703.207,532.392,462.299,342.673,272.550, Empleos.R.61 Impuestos corrientes sobre la renta y el patrimonio,61.332,59.738,40.420,37.620,35.949,20.111,19.304,18.059,15.406,14.599,10.369,8.624, Empleos.R.64 Prestaciones sociales,8.080,8.851,6.679,6.296,9.020,12.013,11.767,11.704,20.160,32.998,19.304,0, Empleos.R.69 Transferencias corrientes diversas,0,0,0,0,0,0,2.479,599,319,327,0,0, Empleos.R.641 Prestaciones sociales ligadas a cotizaciones reales,8.080,8.851,6.679,6.296,9.020,12.013,11.767,11.704,20.160,32.998,19.304,0, Empleos.R.642 Prestaciones sociales que corresponden a cotizaciones ficticias,0,0,0,0,0,0,0,0,0,0,0,0, Empleos.R.643 Otras prestaciones sociales,0,0,0,0,0,0,0,0,0,0,0,0, Entidades de previsión social, Recursos.P.10 Producción de bienes y servicios,31.271,25.555,25.186,30.094,28.356,19.846,16.494,12.511,11.157,10.215,9.055,8.422, Recursos.P.11/ P.12 Producción de bienes y servicios destinados a la venta,31.271,25.555,25.186,30.094,28.356,19.846,16.494,12.511,11.157,10.215,9.055,8.422, Recursos.R.31 Subvenciones de explotación,0,1,4,69,46,60,64,78,95,32,62,249, Recursos.R.41 Intereses efectivos,102.178,80.976,64.171,67.666,68.375,62.934,43.070,33.516,28.383,23.076,20.568,19.987, Recursos.R.44 Dividendos y otras rentas,4.091,3.242,3.828,4.320,4.403,4.383,2.912,3.107,2.615,2.339,2.011,1.944, Recursos.R.51 Primas netas de seguro de accidentes,0,0,0,0,0,0,0,0,0,0,0,0, Recursos.R.62 Cotizaciones sociales reales,173.474,144.021,140.303,142.705,141.478,137.923,112.365,86.744,76.037,68.041,64.315,52.169, Recursos.R.69 Transferencias corrientes diversas,2.682,2.652,2.609,2.642,2.591,2.148,2.000,1.622,1.322,2.272,1.282,4.902, Recursos.R.621 Cotizaciones sociales reales a cargo de los empleadores,0,0,0,0,0,0,0,0,0,0,0,0, Recursos.R.622 Cotizaciones sociales a cargo de los asalariados,173.474,144.021,140.303,142.705,141.478,137.923,112.365,86.744,76.037,68.041,64.315,52.169, Saldo.N.1 Valor añadido bruto a precios de mercado,12.314,11.618,12.101,12.861,13.143,11.260,9.235,6.478,6.425,5.613,5.052,4.199, Saldo.N.2 Excedente bruto de explotación,3.131,2.947,3.011,2.912,2.794,2.687,2.190,1.636,1.850,1.286,1.084,882, Saldo.N.3 Renta bruta dispoinible,171.679,130.157,115.045,113.431,119.752,119.874,84.125,65.143,48.830,36.108,35.191,24.524, Saldo.N.4 Ahorro bruto,103.028,22.340,35.603,31.544,11.124,36.599,31.343,8.011,5.172,36.108,35.191,24.524, Saldo.N.5 Capacidad (+) o necesidad (-) de financiación,98.198,21.625,24.500,25.446,4.555,21.577,7.314,-4.371,-6.810,30.298,33.908,18.878, Saldo.N.11 Valor añadido neto a precios de mercado,9.183,8.671,9.090,9.949,10.349,8.573,7.045,4.842,4.575,4.327,3.968,3.317, Saldo.N.12 Excedente neto de explotación,0,0,0,0,0,0,0,0,0,0,0,0, Saldo.N.13 Renta neta dispoinible,168.548,127.210,112.034,110.519,116.958,117.187,81.935,63.507,46.980,34.822,34.107,23.642, Saldo.N.14 Ahorro neto,99.897,19.393,32.592,28.632,8.330,33.912,29.153,6.375,3.322,34.822,34.107,23.642, Empleos.A.1 Consumo de capital fijo,3.131,2.947,3.011,2.912,2.794,2.687,2.190,1.636,1.850,1.286,1.084,882, Empleos.F.911 Variación de las reservas matemáticas de jubilación,68.651,107.817,79.442,81.887,108.628,83.275,52.782,57.132,43.658,0,0,0, Empleos.P.20 Consumo intermedio,18.957,13.937,13.085,17.233,15.213,8.586,7.259,6.033,4.732,4.602,4.003,4.223, Empleos.P.40 Formación bruta de capital,4.830,715,11.103,6.098,6.569,15.022,24.029,12.382,11.982,5.810,1.283,5.646, Empleos.R.10 Remuneración de asalariados,9.081,8.574,9.000,9.917,10.299,8.633,7.109,4.920,4.670,4.359,4.030,3.566, Empleos.R.22 Impuestos ligados a la producción,102,98,94,101,96,0,0,0,0,0,0,0, Empleos.R.41 Intereses efectivos,2.166,1.874,1.117,2.502,1.373,2.223,994,623,497,242,322,1.080, Empleos.R.42 Intereses imputados derivados de los contratos de seguros,0,0,0,0,0,0,0,0,0,0,0,0, Empleos.R.44 Dividendos y otras rentas,0,0,0,0,0,0,0,0,0,0,0,0, Empleos.R.52 Indemnizaciones de seguro de accidentes,0,0,0,0,0,0,0,0,0,0,0,0, Empleos.R.61 Impuestos corrientes sobre la renta y el patrimonio,469,2.394,1.540,1.121,1.326,2.394,3.128,2.706,2.704,1.978,1.250,657, Empleos.R.64 Prestaciones sociales,98.018,89.950,87.937,90.896,85.824,80.327,71.132,56.682,56.260,56.206,49.814,45.201, Empleos.R.69 Transferencias corrientes diversas,13.224,9.463,8.283,12.295,11.366,5.257,3.158,1.471,1.916,2.480,2.683,8.422, Empleos.R.641 Prestaciones sociales ligadas a cotizaciones reales,98.018,89.950,87.937,90.896,85.824,80.327,71.132,56.682,56.260,56.206,49.814,45.201, Empleos.R.642 Prestaciones sociales que corresponden a cotizaciones ficticias,0,0,0,0,0,0,0,0,0,0,0,0, Empleos.R.643 Otras prestaciones sociales,0,0,0,0,0,0,0,0,0,0,0,0, Notas: Fuente: Instituto Nacional de Estadística