Capítulo | Crédito Inicial | Modificaciones | Créd. Definitivo | Gtos.Comprometidos | Oblig.Recon.Netas | Reman.de Crédito | Pagos | Oblig.Pend.Pago |
---|---|---|---|---|---|---|---|---|
3 GASTOS FINANCIEROS | 113.589.807,00 | 113.589.807,00 | 89.252.116,05 | 20.156.439,04 | 93.433.367,96 | 20.016.129,08 | 140.309,96 | |
9 PASIVOS FINANCIEROS | 939.376.577,00 | 939.376.577,00 | 930.846.200,25 | 146.342.912,78 | 793.033.664,22 | 146.342.912,78 | ||
Total | 1.052.966.384,00 | 1.052.966.384,00 | 1.020.098.316,30 | 166.499.351,82 | 886.467.032,18 | 166.359.041,86 | 140.309,96 |