Cuentas de los sectores institucionales Empresas de seguro Units: 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, Notes: Source: Instituto Nacional de Estadística