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SÍNTESIS DE LA CONTABILIDAD NACIONAL DE ESPAÑA. AÑO BASE 2015 
Cuentas Trimestrales No Financieras de los Sectores Institucionales (CTNFSI) 
23.h Total de la Economía millones de euros
Código 2015 2016 2017 2018 2019 2020 2021 2022
RECURSOS R ... ... ... ... ... ... ... ... 
Producción de bienes y servicios P.1 ... ... ... ... ... ... ... ... 
Remuneración de los asalariados D.1 494.971 505.826 526.002 548.166 581.867 557.979 602.492 646.723
 De ella: Recibida del Resto del mundo D.1 2.411 2.378 2.657 2.821 2.866 2.674 3.353 4.060
Impuestos netos sobre producción e importaciones D.2-D.3 114.182 117.649 122.934 129.237 130.582 105.284 129.039 133.741
Rentas de la propiedad D.4 47.944 49.338 51.638 56.718 59.131 43.394 55.319 63.772
Transferencias corrientes D.5/7 13.704 14.051 15.844 17.403 17.570 17.715 22.066 23.615
Transferencias de capital a cobrar D.9 7.048 2.392 2.592 5.222 3.730 4.550 9.996 10.458
Transferencias de capital a pagar (-) D.9 -345 -392 -355 -441 -370 -623 -1.036 -831
EMPLEOS E ... ... ... ... ... ... ... ... 
Consumos intermedios P.2 ... ... ... ... ... ... ... ... 
Remuneración de los asalariados D.1 492.892 503.724 523.665 546.072 580.195 560.696 599.363 643.047
 De ella: Pagada al Resto del mundo D.1 332 276 320 373 401 312 224 384
Impuestos netos sobre producción e importaciones D.2-D.3 112.091 114.297 119.778 126.181 127.579 101.938 126.389 131.920
Rentas de la propiedad D.4 52.351 52.035 56.694 60.487 62.396 46.236 51.601 62.874
Transferencias corrientes D.5/7 24.397 25.848 25.969 29.215 30.151 29.767 34.017 38.084
Gasto en consumo final P.3 840.632 861.128 895.063 924.769 949.463 873.851 946.646 1.040.844
Formación bruta de capital fijo P.51g 194.122 200.048 216.932 233.996 249.502 228.532 245.709 270.310
 De ella: Consumo de capital fijo P.51c 168.700 172.648 178.069 183.344 189.683 194.665 206.531 226.116
Var. existencias y adquisiciones - cesiones de objetos valiosos P.52/53 10.580 8.834 8.600 12.407 9.931 524 18.182 18.910
Adquisiciones - cesiones de act. no financieros no producidos NP -79 -31 -148 -421 -246 -265 -366 -876
SALDOS CONTABLES (R-E) 
I y II Cuentas corrientes
I. Cuenta de producción
 Producto interior bruto a precios de mercado[=P1-P2] B.1*g 1.078.092 1.114.420 1.162.492 1.203.859 1.245.513 1.119.010 1.222.290 1.346.377
II. Cuentas de distribución y utilización de la renta
II.1. Distribución primaria de la renta
Cuenta de explotación
 Exc. bruto de explot. y renta mixta [=B1*g-D1(E)-(D2-D3)(E)] B.2g/B.3g 473.109 496.399 519.049 531.606 537.739 456.376 496.538 571.410
Cuenta de asignación de la renta primaria
 Renta nacional bruta(RNB) [=B2/3g+D1(R)+(D2-D3)(R)+D4(R-E)] B.5*g 1.077.348 1.117.031 1.162.929 1.205.594 1.247.716 1.120.725 1.231.787 1.352.772
Cuenta de distribución secundaria de la renta
 Renta nacional disponible bruta(RNDB)[=B5*g+D5/D7(R-E)] B.6*g 1.066.655 1.105.234 1.152.804 1.193.782 1.235.135 1.108.492 1.219.836 1.338.303
Cuenta de redistribución de la renta en especie
 Renta nacional disponible ajustada bruta(RNDAB)[=B6*g+D63] B.7*g 1.067.162 1.105.380 1.152.804 1.193.782 1.235.135 1.109.824 1.219.836 1.338.303
II.2. Cuenta de utilización de la renta disponible
 Ahorro nacional bruto(ANB)[=B6*g-P3] B.8*g 226.530 244.252 257.741 269.013 285.672 234.846 273.190 297.459
III. Cuentas de acumulación
III.1. Cuenta de capital
III.1.1. Cuenta de variaciones del patrimonio neto
 Variaciones del patrimonio neto debidas
 al ahorro y a las transferencias de capital [=B8g+D9-P51c] B.10.1 64.533 73.604 81.909 90.450 99.349 44.108 75.619 80.970
III.1.2. Cuenta de adquisición de activos no financieros
 Capacidad(+)/Necesidad(-) de financ. [=B8*g+D9-P51-P52/53-NP] B.9 28.804 37.800 35.052 28.417 30.452 11.923 20.129 20.746
III.2. Cuenta financiera (véase cuadro 2.5.b)
 Operaciones financieras netas (OFN) B.9 28.804 37.800 35.052 28.417 30.452 12.064 20.128 20.746
 Ajuste: C(+)/N(-) de financiación menos OFN -0 0 0 0 0 -141 1 0
 Fuente: INE. Última información disponible publicada por el INE 29/09/2023
 
 
 
 
SUMMARY OF THE SPANISH NATIONAL ACCOUNTS. BASE YEAR 2015
Quarterly Non-Financial Accounts for the Institutional Sectors (QNFAIS)
EUR millions 23.ne Total Economy
 2021-III 2021-IV 2022-I 2022-II 2022-III 2022-IV 2023-I 2023-II Code
... ... ... ... ... ... ... ... R RESOURCES
... ... ... ... ... ... ... ... P.1 Production of goods and services
149.573 161.321 153.106 161.966 159.250 172.401 166.280 176.054 D.1 Compensation of employees
985 1.082 997 1.050 978 1.035 858 1.069 D.1 Of which: received from the rest of the world
33.428 29.775 41.513 35.516 34.256 22.456 42.646 35.868 D.2-D.3 Net taxes on production and imports
13.558 13.654 14.079 16.625 15.808 17.260 18.896 22.187 D.4 Property income
4.914 7.616 5.837 5.480 5.286 7.012 6.906 5.944 D.5/7 Current transfers
2.567 5.321 840 1.699 2.568 5.351 1.964 2.423 D.9 Capital transfers receivable
-194 -648 -231 -99 -108 -393 -185 -265 D.9 Capital transfers payable (-)
... ... ... ... ... ... ... ... U USES
... ... ... ... ... ... ... ... P.2 Intermediate consumption
148.653 160.303 152.196 161.043 158.357 171.451 165.555 175.178 D.1 Compensation of employees
65 64 87 127 85 85 133 193 D.1 Of which: paid to the rest of the world
33.804 26.072 41.626 36.718 34.793 18.783 42.822 36.948 D.2-D.3 Net taxes on production and imports
12.920 13.709 12.652 15.614 14.920 19.688 20.023 26.721 D.4 Property income
7.460 9.845 9.043 9.702 9.421 9.918 8.739 9.675 D.5/7 Current transfers
233.392 255.082 250.898 260.838 257.705 271.403 268.089 275.701 P.3 Final consumption expenditure 
59.562 66.569 63.992 68.722 66.873 70.723 67.171 71.777 P.51g Gross fixed capital formation
51.800 51.787 56.085 56.358 56.773 56.900 57.694 58.137 P.51c Of which: consumption of fixed capital
4.945 10.850 2.579 1.766 3.660 10.905 1.686 1.411 P.52/53 Changes in inventories and net acq. of valuables
-612 -366 -541 -872 -591 -876 -1.017 -124 NP Acquisitions less disposals of non-financial non-prod. assets
 BALANCING ITEMS (R-U)
 I and II Current accounts
 I. Production account
303.868 333.207 314.818 337.076 334.461 360.022 349.610 366.266 B.1*g Gross domestic product at market prices
 II. Distribution and use of income accounts
II.1. Primary distribution of income accounts
Generation of income account
121.411 146.832 120.996 139.315 141.311 169.788 141.233 154.140 B.2g/B.3g Gross op. surplus/gross mixed inc. [=B1*g-D1(U)-(D2-D3)(U)]
Allocation of primary income account
305.050 337.873 317.042 337.808 335.705 362.217 349.032 361.528 B.5*g Gross national income(GNI) [B2/3g+D1(R)+(D2-D3)(R)+D4(R-U)]
Secondary distribution of income account
302.504 335.644 313.836 333.586 331.570 359.311 347.199 357.797 B.6*g Gross national disposable income(GNDI)[=B5*g+D5/D7(R-U)]
Redistribution of income in kind account
302.504 335.644 313.836 333.586 331.570 359.311 347.199 357.797 B.7*g Gross national adjusted disposable income(GNADI)[=B6*g+D63]
II.2. Use of disposable income account
69.112 80.562 62.938 72.748 73.865 87.908 79.110 82.096 B.8*g Gross national saving(GNS) [B6*g-P3]
 III. Accumulation accounts
 III.1. Capital account
III.1.1. Change in net worth account
 Changes in net worth due to
19.685 33.448 7.462 17.990 19.552 35.966 23.195 26.117 B.10.1 saving and capital transfers [=B8g+D9-P51c]
III.1.2. Acquisitions of non-financial assets account
7.590 8.182 -2.483 4.732 6.383 12.114 13.049 11.190 B.9 Net lending(+) or net borrowing(-) [=B8*g +D9-P51-P52/53-NP]
 III.2. Financial account (see Table 2.5.b)
7.590 8.182 -2.483 4.732 6.383 12.114 13.049 11.191 B.9 Net financial transactions (NFT)
0 0 0 -0 -0 0 -0 -1 Adjustment: NL(+)/NB(-) less NFT
 Source: INE. INE information released 29/09/2023

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