Clasificación Económica | Previsión Inicial | Modif. Previsiones | Prev. Definitiva | Dchos Rdos Netos | Recaudación Neta | Dchos.Cancelados. | Dchos.Ptes.31-12 |
---|---|---|---|---|---|---|---|
1 IMPUESTOS DIRECTOS | 1.045.076.414,00 | 1.045.076.414,00 | 308.085.828,44 | 230.731.296,30 | 77.354.532,14 | ||
2 IMPUESTOS INDIRECTOS | 1.900.122.141,00 | 1.900.122.141,00 | 609.751.853,13 | 541.053.152,38 | 68.698.700,75 | ||
3 TASAS, PRECIOS PÚBLICOS Y OTROS ING | 77.479.198,00 | 77.479.198,00 | 12.997.094,68 | 5.512.065,20 | 7.485.029,48 | ||
4 TRANSFERENCIAS CORRIENTES | 977.640.807,00 | 189.170,60 | 977.829.977,60 | 340.354.428,54 | 321.194.446,02 | 19.159.982,52 | |
5 INGRESOS PATRIMONIALES | 7.405.971,00 | 7.405.971,00 | 955.493,51 | 616.324,00 | 339.169,51 | ||
6 ENAJENACIÓN DE INVERSIONES REALES | 1.868.149,00 | 1.868.149,00 | 573.619,99 | 55.521,81 | 518.098,18 | ||
7 TRANSFERENCIAS DE CAPITAL | 203.597.503,00 | 100.000,00 | 203.697.503,00 | 6.954.778,47 | 6.776.452,23 | 178.326,24 | |
8 ACTIVOS FINANCIEROS | 68.370.316,00 | 10.996.179,65 | 79.366.495,65 | 492.650,05 | 135.486,31 | 357.163,74 | |
9 PASIVOS FINANCIEROS | 1.118.933.619,00 | 3.000.000,00 | 1.121.933.619,00 | 343.979.369,16 | 343.979.369,16 | ||
TOTAL INFORME | 5.400.494.118,00 | 14.285.350,25 | 5.414.779.468,25 | 1.624.145.115,97 | 1.450.054.113,41 | 174.091.002,56 |