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 | 94.565.945,99 | 90.882.883,29 | 26.641.105,71 | 88.501.498,48 | 2.381.384,81 | |
9 PASIVOS FINANCIEROS | 762.697.628,00 | 762.697.628,00 | 713.436.865,89 | 623.598.748,32 | 139.098.879,68 | 623.598.748,32 | ||
Total | 880.221.617,00 | 880.221.617,00 | 808.002.811,88 | 714.481.631,61 | 165.739.985,39 | 712.100.246,80 | 2.381.384,81 |