Capítulo | Crédito Inicial | Modificaciones | Créd. Definitivo | Gtos.Comprometidos | Oblig.Recon.Netas | Reman.de Crédito | Pagos | Oblig.Pend.Pago |
---|---|---|---|---|---|---|---|---|
3 GASTOS FINANCIEROS | 117.523.989,00 | 117.523.989,00 | 83.641.788,02 | 46.645.728,35 | 70.878.260,65 | 46.330.014,02 | 315.714,33 | |
9 PASIVOS FINANCIEROS | 762.697.628,00 | 762.697.628,00 | 740.969.491,38 | 216.099.264,95 | 546.598.363,05 | 185.080.533,76 | 31.018.731,19 | |
Total | 880.221.617,00 | 880.221.617,00 | 824.611.279,40 | 262.744.993,30 | 617.476.623,70 | 231.410.547,78 | 31.334.445,52 |