Report No. 1190-CO J Economic Memorandum on Colombia (In Two Volumes) Volume 11: Statistical Appendix July 29, 1976 Latin America and-Caribbean Regional Office FOR OFFICIAL USE ONLY Document of the World Bank This document has a restricted distribution and may be used by recipients FILE C O PY only in the performance of their official duties. Its contents may not otherwise he disclosed without World Bank authorization. GUR1,TCY EQUIVALENTS Currency (Thit,; Peso Exc Rte . _ffciveJulj 6197 Selling Rate - UqS$1.00 - COL$34.79 COL$1.00 = US$.0287 BD.ying Rate - US$1.00 = COL$3tt*71 Average Exchange Rate (Buying) 1972 1973 r1974 1975 IJS$1,00 - COL$21.90 COL$23.70 COL$26,08 CoL$30.95 COI0$1.00 - US$.0456 US$.01h22 US$.0383 US$.0323 FOOL OUWIACL USE ONLY STATISTICAL APPENDIX Table of Contents; Population and Employment 1.1 Population, Natural Increase and Migration, 1960-1974. 1.2 Employment by EconomiLc Activity in Selected Years, 1951-1973. 1.3 Unemployment Rates in the Urban Areas, 1963-1975. 1.4 Underemployment and Farticipation Rates in Four Cities, 1971-1975. 1.5 Income Distribution in Colombia According to Seven Estimates. National Accounts 2.1 Gross Domestic Product at Factor Cost by Sector, 1960-1975. 2.2 Gross Domestic Product at Factor Cost by Sector in 1970 Prices, 1960-1975. 2.3 Gross Domestic Product, by Type of Expenditure in Current Market Prices, 1960-1975. 2.4 Gross Domestic Product, by Type of Expenditure in Constant Market Prices, 1960-1975. 2.5 National Income Components, 1960-197h. 2.6 Investment and its Financing, 1960- 1974. 2.7 Personal Income, 1960-197h. 2.8 General Government, Current Income Receipts, 1958-197a. 2.9 General Government, Current Expenditures and Savings, 1960-197h. 2.10 Implicit Price Deflators for Gross Domestic Product, 1958-1975. 2.11 Incremental Capit.al - Output and Domestic Savings Ratios, 1960-1974. 2.12 Wages and Salaries as Percentage of Value Added, by Sector, 1950-1974. Trade and Payments 3.1 Balance of Payments. 1960-1975. 3.2 Foreign Exchange Bal-A nce, 1Q60-1Q975 3.3 Central Bank Gross Receipts of Foreign Exchange, 1960-1975. 3.4 Central Bank Disbursements of Foreign Exchange, 1960-1975. 3.5 Supply and Distribution of Green Coffee, 1958/59-197h/75. 3.6 Foreign and Domestic Prices for Colombian Coffe and Prices of Four Other Categories, 1960-1975. 3.7 Crude Petroleum Production, Apparent Domestic Consumption and Exports, 1958-1975. 3.8 Export Registrations by Main Products, 1960-1975. 3.9 Customs Clearance of Merchandise Exports, 1960-1975- 3.10 Minor Exports Exchange Surrender by Main Products, 1960-1975. 3.11 Advance and Normal Merchandise Export Exchange Surrender, by Quarter, 1966-1975. 3.12 Reimbursable and Non-Reinbursable Import Registrations, 1958-1975. 3.13 Import Registrations by Economic Category, 1960-1975. 3.14 C.I.F. Imports, by Principal Product Groups, 1960-1975. 3.15 C.I.F. Commodity Imports, Classified According to End-use, 1958-1972. 3.16 Direction of Trade, 1960-1975. 3.17 International Monetary Reserves of the Central Bank, 1960.1975. 3.18 Official Market Rates of Exchange by Quarter, 1967-1975. 3.19 Balance of Payments, Export Projections, 1972-1985. 3.20 Balance of Payments, Import Projections, 1972-1985. 3.21 Summary Balance of Payments Projections., 1972-1985. This document has a restricted distribution and may be used by recipients only in the performance of their official duties. Its contents may not otherwise be disclosed without World Bank authorization. External Debt 4.1 External Public Debt as of eaer 31, 1975 Debt Repayable in Foreign Currency. 4.2 External Public Debt Transactions for 1968-1975 aknd Projected Pipeline 1976-1994, Debt Repayable in Foreign Currency. 4.3 External Debt Outstanding as of' December 31, 1975, Debt Repayable in Local Currency. 4.4 External Public Debt Transactions for 1968-1975 and Projected Pipeline, 1976-95 Debt i: J.Len ir Local Currency. Public Finances 5.1 Public Sector Resources fo7 2: me 't, 1970-75 5.2 Public Sector Resources for- nLvres ent, 1970-75 5.3 Public Sector Resources for Investment, 1970-75 5.4 Analysis of Consolidated Public Sector Finances, 1970-75. 5.5 National Government Operations. 1970-75. 5.6 National Government Revenues, 1970-75. 5.7 Tax Burden, 1970-75. 5.8 Buovancies with Resp-ct to uDP, i97O-75. 5.9 Public Sector Transfers, l970-75. 5.10 Summary Accounts of Major Decentralized Agencies, 1970-75. 5.11 Social Security System Revenues and Expenditures, 1970-75. Money and Credit 6.1 Summary Accounts of the Bankingt System, 1969-1974. 6.2 Summary Accounts of the Monetary Authorities , 1969-1975. 6.3 Summary Accounts of the Commercial Banks , 1969-1975. 6.14 Summary Accounts of the Specialized Banks , 1969-1974. 6.5 Origin, Destination and Financing olf Bank Credit, 1967-714. 6.6 Money Supply and Financial Savings, 1967-1975. 6.7 Money Supply and Velocity, 1969-1975. 6.8 The Money Supply and The Mone, -> iers, 1969-1975. 6.9 Base Money and the Operations of the Monetary Authorities, 1971-1975. 6.10 Composition and Growth of the Money Supply, 1960-1975. 6.11 New Commercial Bank Loans by Quarter, 1960-19714. 6.12 Commercial Bank Loans by Quarter, 1960-1975. 6.13 Banking System Loans by Quarter , 960-1975. 6.14 Bogota and Medellmn Stock zFchp .-^- l969-1975. 6.15 Description of the Administered ihrds. Agriculture 7.1 Production of Principal Crops, 1962-1976. 7.2 Area Under Cultivation Principal Crops, 1962-1976. 7.3 Crop Yields per Hectare, '96iS2 -7',. - 3 - 7.4 Cattle Population and Extraction, 1963-75. 7.5 Gross Value of Agricultural Production, 1950-7 5 . 7.6 Indices of Phyroical Volume of Agricultural Production, 1950-197l. 7.7 Agricultural Gross Value Added, in Constant 1970 Prices, 1950-75. 7.8 Price Deflators for Agriculture, Mon-Agriculture, and Total GDP, 1950-75. 7.9 New Loans Extended to the Agricultural Sector, 1969-197 , 7.10 Estimated Farm Prices and Support Prices for Principal Commodities, 1950-7h. 7.11 Fertilizer Production and Plant Nutrient Supply, 1970-75. 7.12 Census Farms by Size, 1960 and 1970/71. 7.13 Census Farms and Farmland by Tenure and Size, 1960 and 1970/71. 7.14 Regional Groupings of Miunicipios with EHigh Concentrations of Small Farms, by Coffee and Non-coffee Areas. 7.15 Trends in Values of Selected Agricultural Exports, as Designated at Three Stages, 1970-74. 7.16 Trends in Quantities of Selected Agricultural Exports, 1970- 197L. 7.17 Per-Capita Availabilities of Foods and Principal Nutrients, 1948, 1957, and 1970. Industry 8.1 Increases in Factory Employment, 1953-72. 8.2 Indicators of Import Substitution and Sources of Industrial Growth, 1953-1973. 8.3 Structure of Manufacturing Industry by Size, 1970 -1972. 8.1h Paid Employment in Manufacturing Industries , 1953_197L. 8.5 Domestic Manufactu-ring Output and Imports, 1958-1973. 8.6 Commercial Bank Credit to the Manufacturing Sector, 1 953-1 975. 8.7 Corporaciones Financieras, Caja Agraria and Corporacio&n Popular - Loans to the Industrial Sector, 1968-197X. 8.8 Industrial Exports, 1963-1973. 8.9 Proportion of Industrial Exports in Gross Value of Industrial Output, 1967-1 973. Wages and Prices 9.1 Consumer Price Indices for BogotS, I4edellTi and the Nation, 1960-1976. 9.2 National Consumer Price Indices by Expenditure Category, 1960-1976. 9.3 Wholesale Price Indices, by M4ain Commodity Group, 1960-1976. 9.1 Changes in Wholesale and Consumer Price Indices, 1960-1976. 9.5 Average Annual Increases in Selected Price Indicators, 1960-1975. 9.6 Prices of Construction Materials in Bogotas, 1960-1975. Foreign Assistance 10.1 Loan Commitments by Agency, 1961-75. 10.2 Loan Commitments by Agency for International Development, 1961-1976. 10.3 Loan Commitments by Export-Import Bank of the United States, 1961-75. 10.4 Loan Commitments by Inter-American Development Bank, 1961-197L. 10.5 IBRD Loans and IDA Credits Committed, 1949-75 10.6 Loan Commitments by Sector and Ilain Agencies, 1961-75 -4- Human Resources 11.1 Pupil Enrollment in Primary School, 1963-74. 11.2 Pupil Enrollment in Secondary School, 1963-73. 11.3 Enrollment in Colombian Universities (Public and Private) 1963-73. 11.4 Enrollment in Universities According to Type of Program and Course of Studies - 1973. 11.5 Ratio of Pupils/Teacher at Each Level, 1963-73. 11.6 Drooout Rates at all Levels. 11.7 Educational Level of the Labor Force, 1951-70. 11.8 Ten Main Causes of Death Among Pre-School Children and Total Population - Percent of all Deaths. 11.9 Main Causes of Death Among Children Under Age 4, 1972. 11.10 Indirect Indicators of Nutritional Status, 1963-71. 11.11 Recommendations and Availabilities in Calories and Nutrients for the Colombian Population, and Percentage of Adequacy, 1972. 11.12 Percentage of Adequacy of Calories and Nutrient Consumption in the Diet of 1,400 Families from Various Geographical Areas, 1972. 11.13 Comparison Between Annual Needs for Basic Food Groups for Human Consumption and Their Availability, 1966-72. 11.1h Percent Adequacy of Family Dietary Intake of Calories and Nutrients per Capita in Ten Urban and Rural Areas, by Socio-Economic Levels, 1963-66. 11.15 Supply and Demand of "Certified" Auxiliary Nurses, 1975-90 . Table 1 1 COLOMBIA: POPULATION, NATURAL INCREASE AND MIGRATION, 1960-74 Mid-Year Population Birth Rate Per Death Rate Per Natural Increase Year ('000) 1,000 Population 1,000 Population Per 1,000 Population Net Migration 1960 15,415.7 39 12 27 1,921 1961 15,908.3 39 11 28 2,731 1962 16,416.6 40 11 29 4,58o 1963 16,941.1 39 10 29 11,485 1964 17,484.52/ 39 10 29 10,348 1965 17,946.4 37 10 27 14,551 1966 18,440.8 36 10 26 5,251 1967 18,948.9 35 10 25 5,013 1968 19,470.9 34 9 25 15,099 1969 20,007.3 33 9 24 -861 1970 20,558.5 32 9 23 2,822 1971 21.124.9 32 8 24 -3,874 1972 21,706.9 31 8 23 1973 22,500 02/ 30 8 22 1974 23,773.0 29 8 21 4 ased on 1964 population census. 4 ased on provisional results of the 1973 population census. Source: DANE and Ministry of Public Health. Table 1,2 - COLOMBIA: EMPLOYMENT BY ECONOMIC ACTIVITY IN SELECTED YEARS (000's) 2/ 1951-1973 1951 1964 1970 1973 Men Women Total Men Women Total Total Man Woman Total Agriculture 1991.0 96.1 2087.1 2311.0 116.0 2427.0 2350.1 1707.6 68.8 1776.4 Mining 46.6 16.5 63.1 61.2 20.1 81.3 30.3 37.6 15.8 53.4 Industry 313.1 162.3 475.4 476.6 179.3 655.9 859.0 640.4 277.6 918.0 El./Gas/Water 10.3 0.5 10.8 12.2 1.0 13.2 26.2 25.0 5.3 30.3 Construction 135.2 1.9 137.1 217.2 3.5 220.7 222.2 319.5 7.5 327.0 Commerce/Hotels 163.2 47.0 210.2 331.9 108.6 440.5 754.6 525.4 284.6 810.0 Transport 127.9 6.3 134.2 179.5 12.3 191.8 230.5 243.2 24.3 267.5 Finance - - - - - - 87.8 77.7 40.1 117.8 Personal Serv. 243.0 374.0 617.0 374.2 551.8 926.0 1206.1 432.4 668.8 1106.2 Other 119.6 19.4 139.0 138.2 39.4 177.6 - 139.2 53.5 192.7 No Information-/ - - - - - - - 256.9 118.6 375.4 Total 3149.9 724.0 3873.9 4102.1 1032.1 5134.1 5766.8 4410.0 1564.7 5974.7 j/ In 1951 and 1964 the figures are for the economically active population and 1970 and 1973, they are for the occupied population. 2/ This category was included in the 1973 census only. Source: Census for 1951, 1964. Muestra for 1973, Census published in August 1975; for 1970 Encuesta de Hogares, DANE. Table 1.3 - COLOMBIA: UNEMPLOYMENT RATES IN THE URBAN AREAS, 1963-1975 Bogota' Medellln Cali Barranquilla March 1963 8.4 June 1963 8.7 Sept. 1963 7.4 1 a/ Dec. 1963 7.1 March 1964 6.7 13.6 June 1964 7.2 13-6bJ Sept. 1961 7.4 --- Dec. 1964 --- 11. March 1965 9.2 12.0 13.2 June 1965 8.8 105Y --- Sept. 1965 9.7 --- 11.8 Dec. 1965 8.0 9-7Y March 1966 10.1 10.6 June 1966 11.6 115 Sept. 1966 9.6 Dec. 1966 9.2 16.0 March 1967 16.1 / June 1967 12.7 1 / 1 Sept. 1967 10.6 1154/ 18.1 March 1968 13.5 June 1968 11.6 14.9 j Sept. 1968 11.2 Dec. 1968 9.8 March 1969 11.0 June 1969 11.6 Sept. 1969 8.9 Dec. 1969 6.9* March 1970 8.8 June 1970 7.9 March 1971 June 1971 Oct. 1Q71 8.h 12.7 10.7 15-4 Oct. 1972 6.6 13.0 13.3 14.7 June 1974 11.1 13.4 12.1 19.3 Oct. 19714 10.0 12.9 12.5 16.2 March 1975 11.3 Sept. 1975 8.5 13.8 10.5 15.3 a/ November * This was a preliminary figure. b/ July i/ May d/ October Source: Boletn Mensual de Estadlstica, DANE, April 1975. Rafael Icaza* and Francisco Ortega, "Encuestas Urbanas de Empleo y Desempleo: Analisis y Resultados.tf CEDE, University of Los Andes, 1969. Table 1 .h - COLOMBIA: UNDEREMPLOYMENT AND PARTICIPATION RATES IN FOUR CITIES, 1971 -75 Mar.Apr. Jul.Aug. Nov.Dec. Oct.Nov. June Nov.Dec. Oct. 1971 1971 1971 1972 197L 197L 1975 Under-employment Rates Barranquilla Urban 21.9 16.0 25.4 19.1 21.3 Rural 6.7 7.1 Total 21.5 Bogota Urban 12.5 14.1 16.3 16.5 17.0 Rural 20.0 21.1 Total 12.7 14.1 Cali Urban 17.8 15.8 15.8 15.9 16.2 Rural - 7.7 Total 17.5 15.2 Medellln Urban 26.1 17.9 12.0 12.6 '9-5 Rural 27. I 4.T Total 25.9 17.5 Total 2 Urban 15.0 17.8 17.4 15.4 16.9 c/ Rural 11.1 Total 13.7 Participation Rates Barranquilla Urban 33.7 33.8 35.4 34.3 33.6 Rural 27.3 Total 32.3 29.4 33.2 BogotA Urban 33.5 32.3 37.9 35.3 35.4 Rural 28.5 23.9 Total 33.3 33.9 33.4 32.5 Cali Urban 34.6 33.9 36.1 35.4 35.2 Rural 34.9 38.2 Total 32.7 30.7 34.5 Medellln Urban 31.0 34.8 34.6 34.2 33.4 Rural 29.0 28.4 Total 28.9 29.4 29.8 33.4 Total / Urban 32.0 36.6 32.8 34.6 S Rural 29.5 Total 31.1 a/ Provisional figures, except for June 1970. XL/ Weighted average of the four cities- for October-November 1972- National total. c / For seven major cities. Source: National Statistics Department (DANE) - Unpublished figures. Table 1.5 - COLOMBIA: INCOME DISTRIBUTION IN COLOMBIA ACCORDING TO SEVEN ESTIMATES % Population McLure Urrutia 2/ DANE j/ DANE 4/ Taylor i ECLA B/ erry (Cumnulative) 1964 1964 1970 1972 1961 1962 1960 (Urban) (Urban) (Agriculture) 10 - .5 - 1.5 1.5 - 2.0 20 - 1.0 - 3.5 - - 5.0 30 - 3.0 - 7.5 - - 8.5 (35.5) (9.3) 40 10.5 6.5 9.4 11.7 12.0 - 12.2 50 15.0 11.0 - 16.0 18.0 20 1i4.0 60 20.0 17.0 - 22.0 23.0 26 21.0 70 27.0 25.5 28.0 32.0 30.0 34 26.0 80 36.0 37.0 39.0 43.0 40.0 43 34.0 90 48.0 53.0 55.0 60.5 58.o 57 46.0 95 60.0 67.0 68.o 74.0 72.0 70 57.0 100 100.0 100.0 100.0 100.0 100.0 100 100.0 1/ Charles G. McLure - The Incidence of Taxation in Colombia (1964) - in Musgrave and Gilles, Fiscal Refom for Colombia, Cambridge, 1971 2/ Miguel Urrutia and Elsa Villalba - Distribucion de Ingresos Urbanos para Colombia en 1964 - Bogota, 1970 3/ Encuesta de Hogares - 1970 - DANE 4/ Encuesta de Hogares en Siete Ciudades, 1970 - DANE - actualized to 1972 by Rodrigo Manrique in Revista de Planeaciodn y Desarrollo, July-Dec. 1972 5/ Milton Taylor OAS/DB Joint Tax Program - Fiscal Survey of Colombia - JH Press, 1965 / ECkA - Income Distribution in Latin America (A revised version of special study number III published in the Economic Survey of Latin America, 1969) EICN 12/863, New York, 1971 7/ Albert Berry - Land Distribution, Income Distribution and the Productive Efficiency of Colombian Agriculture - Economic Growth Center, Yale University, March 20, 1971 Table 2.1 - COLOMBIA: GROSS DOMESTIC PRODUCT AT FACTOR COST BY SECTOR, 1960-1975 (In Millions of Colombian Pesos) Page 1 of 2 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 Gross Domestic Product at f.c. 25,073.3 28,674.3 32,450.5 41,294.1 50,457.2 56,893.4 67,892.4 76,940.5 88,763.5 101,736.2 Agriculture / 8,553.0 9,525.8 10,149.6 12,506.4 16,623.8 17,675.7 20,742.9 23,269.4 26,875.2 30,208.6 Mining 985.6 995.3 991.9 1,229.0 1,394.7 1,551.8 1,468.3 1,566.6 2,149.3 2,514.0 Manufacturing 4,335.3 4,962.6 5,933.8 7,986.9 9,015.3 10,386.3 12,357.8 13,272.3 14,917.1 17,208.1 Construction 909.4 1,139.9 1,416.8 1,607.7 1,826.7 2,080.7 2,832.6 3,792.7 4,565.3 5,427.7 Electricity, gas & water 227.2 247.3 357.9 463.7 566.9 740.2 871.0 1,159.5 1,325.5 1,515.0 Transportation & communication 1,647.8 1,869.0 2,333.6 3,031.0 3,390.1 3,596.8 4,457.7 5,049.7 6,013.3 7,310.7 Trade2/ 3,929.9 4,431.7 5,051.9 6,442.6 8,028.0 9,735.7 11,725.3 13,372.4 15,259.4 17,172.4 Public administration & defense-3/ 1,373.8 1,718.4 1,992.4 2,689.9 3,025.9 3,394.5 4,298.6 4,892.8 5,542.7 6,631.9 Other branches4/ 3,111.3 3,784.3 4,222.6 5,336.9 6,585.8 7,731.7 9,138.2 10,565.1 12,115.7 13,747.8 Table 2.1 - COLOMBIA: GROSS DOMESTIC PRODUCT AT FACTOR COST BY SECTOR, 1960-1975 (In Millions of Colombian Pesos) Page 2 of 2 Estimated Percentage Distribution 1970 1971 1972 1973 1974 1975 1960 1970 1974 Gross Domestic Product at f.c. 119,796.9 140,531.8 172,231.8 226,384.5 306,427.1 374.650.0 100.0 100.0 100.0 Agriculture 1/ 34,244.8 38,828.1 49,221.3 66,644.2 86,779.8 109,089.2 34.1 28.6 28.3 Mining 2,528.0 2,968.9 2,953.6 3,438.0 4,232.5 4,817.0 3.9 2.1 1.4 Manufacturing 20,976.7 25,589.5 31,746.9 44,127.C 63,722.8 74,757.7 17.3 17.5 20.8 Construction 6,530.0 8,039.9 8,923.3 12,207.9 17,086.4 18,494.2 3.6 5.5 5.6 Electricity, gas & water 1,787.9 2,204.4 2,733.9 3,317.1 4,048.6 4,924.3 0.9 1.5 1.3 Transportation & cosmunication 8,881.1 10,336.3 11,666.9 13,883.1 20,551.9 25,648.8 6.6 7.4 6.7 Trade ?j 20,760.2 23,513.6 29,683.8 39,218.0 55,617.1 68,019.9 15.7 17.3 18.2 Public administration & defense . 8,283.5 10,225.3 12,714.3 16,454.9 20,849.4 27,149.8 5.5 6.9 6.8 Other branches 15,804.7 18,825.8 22,587.8 27,094.3 33,538.6 41,749.1 12.4 13.2 10.9 Includes fishing and hunting and forestry . Composed of commerce and banking, finance and insurance 3! Equals government services 4/ Composed of house rentals and personal services Source: Banco de la Republica, DNP, IBRD. Table 2.2 - COLOMBIA: GROSS DOMESTIC PRODUCT AT FACTOR COST BY SECTOR IN 1970 PRICES, 1960-1975 (In Millions of 1970 Colombian Pesos) Page 1 of 2 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 Gross Domestic Product at f.c. 71.902.4 75,748.0 79,896.2 82,367.8 87,263.2 90,351.4 95,332.2 99.648.3 105,838.5 112,424.1 Agriculture-/ 24,305.2 25,337.3 26,193.2 26,326.6 27,823.7 27,833.6 28,762.0 30,249.9 32,332.6 33,430.6 Mining 1,862.0 1,741.1 1,733.8 1,951.0 2,109.0 2,267.2 2,180.9 2,209.0 2,133.5 2,518.4 Manufacturing 11,698.1 12,397.5 13,249.8 13,878.7 14,699.2 15,388.5 16,411.2 17,000.1 18,051.1 19,367.8 Construction 3,114.6 3,537.5 3,786.1 3,439.8 3,444.7 3,526.3 4,148.6 5,010.1 5,521.7 6,048.1 Electricity, gas & water 767.2 781.5 949.6 1,024.7 1,066.4 1,163.7 1,234.4 1,398.5 1,495.9 1,625.0 Transportation & communication 4,767.7 5,133.1 5,532.3 5,811.7 6,166.8 6,488.2 6,935.1 7,028.6 7,448.2 8,075.6 Trade- 11,279.8 11,944.0 12,782.8 13,196.6 14,372.7 15,047.0 16,106.8 16,363.7 17,487.5 18,786.5 Public administration & defense-/ 4,852.7 5,205.2 5,519.6 5,961.7 6,185.2 6,523.4 6,789.6 6,971.7 7,206.5 7,563.9 Other branches-/ 9,255.1 9,670.8 10,149.0 10,777.0 11,395.5 12,113.5 12,763.6 13,416.7 14,161.5 15,008.2 Table 2.2 - COLOMBIA: GROSS DOMESTIC PRODUCT AT FACTOR COST BY SECTOR IN 1970 PRICES, 1960-1975 (In Millions of 1970 Colombian Pesos) Page 2 of 2 Estimated Growth Rate (Ave. Annual) 1970 1971 1972 1973 1974 1975 1960-70 1970-73 1973-74 Gross Domestic Product at f.c. 119,796.9 126,721.8 136,743.5 147,178.0 156,472.4 162,418.4 5.2 7.1 6.3 Agriculture 1/ 34,244.8 34,887.6 37,784.8 39,157.4 41,037.8 42,761.4 9.2 4.6 4.8 Mining 2,528.0 2,550.8 2,379.9 2,591.7 2,401.9 2,281.8 3.1 0.8 -7.3 Manufacturing 20,976.7 22,778.8 24,933.4 27,828.2 29,657.2 30,546.9 6.0 9.9 6.6 Construction 6,530.0 6,859.6 6,993.9 7,839.2 8,142.4 7,621.3 7.7 6.3 3.9 Electricity, gas & water 1,787.9 1,960.0 2,226.7 2,473.3 2,631.2 2,841.7 8.8 11.4 6.4 Transportation & communication 8,881.1 9,537.9 10,377.2 11,367.5 12,946.5 15,489.4 6.4 8.6 13.9 Trade 2/ 20,760.2 22,430.9 24,220.6 26,227.4 28,461.6 29,935.9 6.3 8.1 8.5 Public administration & defense 3 8,283.5 8,859.3 9,757.0 10,529.7 10,775.1 11,303.1 5.5 8.3 2.3 Other branches 4/ 15,804.7 16,856.9 18,070.0 19,163.6 20,418.7 21,682.3 5.5 6.6 6.5 1/ Includes fishing and hunting and forestry / Composed of coumerce and banking, finance and insurance 3 Equals government services 4/ Composed of house rentals and personal services Source: Banco de la Republica, DNP, IBRD page 1 of 2 Table 2.3 COLOMBIA: Gross domestic product, by type of expenditure in current market prices, 1960-75 (in millions of Colombian pesos) 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 Gross domestic product at m.p. 26,746.7 30,421.0 34,199.2 43,525.5 53,760.3 60,797.6 73,612.3 83,082.7 96,421.7 110,953.3 Gross domestic consumption 21,248.6 24,600.5 27,955.7 36,173.8 44,951.2 49,436.4 60,753.0 67,312.8 77,275.4 89,510.2 Private consumption (19,589.3) (22,584.5) (25,699.7) (33,024.8) (41,467.6) (45,482.1) (55,842.6) (61,596.0) (70,695.6~ (81,677.4) General government consumption (1,659.3) (2,016.0) (2,356.0) (3,149.0) (3,483.6) (3,954.3) (4,910.4) (5,716.8) (6,579.8) (7,832.8) Gross domestic investment 5,494.8 6,335.0 6,404.7 7,844.5 9,602.0 10,742.2 15,040.4 15,341.0 20,406.2 22,715.2 Gross fixed investment (4,844.9) (5,580.3) (6,136.9) (7,167.5) (8,653.8) (9,504.2) (12,303.6) (14,729.1) (18,815.1) (21,230.1) Change in stocks (649.9) (754.7) (267.8) (677.0) (948.2) (1,238.0) (2,736.8) (611.9) (1,591.1) (1,485.1) Exports of goods and nfs. 4,163.9 3,920.2 4,146.6 5,173.5 6,376.5 6,943.5 8,916.5 9,950.3 12,519.6 14,675.1 Tmports of goods nfs. 4,160.6 4,434.7 4,407.8 5,666.3 7,169.4 6,324.5 11,097.6 9,521.4 13,779.5 15,947.2 Net factor income from abroad -302.3 -394.6 -499.9 -811.4 -797.4 -897.6 -1,242.9 -1,470.7 -2,003.2 -2,676.5 Gross national product at mp. 26,444.4 30,026.4 33,699.3 42,714.1 52,962.9 59,900.0 72,369.4 81,612.0 94,418,5 08,276.8 page 2 of 2 Table 2.3 CofOMBLA: Gross domestic product, by type of expenditure in current market prices, 1960-75 (in millions of Colombian pesos) As Percent of G.D.P. 1970 1971 1972 1973 1974 1975 1960 1970 1974 Gross domestic product at m.p. 130,361.4 152,2628 2 186,092.3 243,235.9 327,786.1 401,481.4 100.0 100.0 100 0 Gross domestic consumption 103,824.9 123,459.4 149,491.4 199,214.9 244,397.8 320,088.6 79.4 79.6 74.6 Private consumption (93,863.3) (110,030.8) (134,842.2) (180,200.6) (221,239.5) (288,476.2) (73.2) (72.0) (67.5) General government consumption (9,961.6) (13,428.6) (14,649.2) (19,014.3) (23,158.3) (31,612.4) (6.2) (7.6) (7.1) Gross domestic investment 28,660.3 34,585.2 37,739.3 40,764.6 81,381.9 78,802.6 20.5 22.0 24.8 Gross fixed investment (26,440.8) (31,603.7) (34,520.4) (42,534.6) (61,144.8) (69,861.8) (18.1) (20.3) (18.6) Change in stocks (2,219.5' (2,981.5) (3,218.9) (-1,770.0) (20,237.1) (8,940.8) (2.4) (1.7) (6.2) Exports of goods and n.f.s. 18,515.8 19,151.2 25,217.1 36,186.4 49,555.7 60,026.8 15.6 14.2 15.1 Imports of goods n.f.s. 20,639.6 24,933.0 26,355.5 32,930.0 47,549.3 57,436.6 15.5 15.8 14.5 Net factor income from abroad -3,591.9 -3,690.0 -4,478.3 -5,265.7 -5,227.0 8,447.2 -1.1 -2.8 -1.6 Gross national Product at m.p. 126,769.5 148,572.8 181,614.0 237,970.2 322,559.1 393,034.2 98.9 97.2 98.4 Source: Banco de la Republica, IBRD. page 1 of 2 Table 2.4 COLOMBIA: Gross domestic product, by type of expenditure in constant market prices, 1960-75 (in millions of 1970 Colombian pesos) 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 Gross Domestic Product at m.p. 78,085.8 82,193.7 86,685.9 89,206.5 95,095.2 97,797.7 103,348.8 107.628,2 114,558.8 121,775.3 Gross domestic consumption 58,626.6 62,371.8 67,529.7 70,973.6 76,877.7 76,475.7 83,181.8 84,592.4 89,488.4 96,536.2 Private consumption (53,155.2) (56,599.9) (61,275.8) (64,359.5) (70,174.6) (69,349.4) (75,737.3) (76,759.9) (81,384.7) (87,831.8) General gov't consumption (5,471.4) (5,771.9) (6,253.9) (6,614.1) (6,703.1) (7,126.3) (7,444.5) (7,832.5) (8,103.7) (8,704.4) Gross domestic investment 17,375.1 19,127.5 17,850.2 17,238.9 19,514.0 18,886.1 22,157,8 20,100.2 24,147.0 24,514.9 Gross fixed investment (15,809.1) (17,152.6) (17,217.3) (15,840.5) (17,824.2) (16,831.6) (18,181,4) (19,386.5) (22,290.5) (22,847.2) Change in stocks (1,566.0) (1,974.9) (632.9) (1,398.4) (1,689.8) (2,054.5) (3,976.4) (713.7) (1,856.5) (1,667.7) Exports of goods and n.f.s. 13,638.9 12,729.3 13,760.4 13,428.3 14,210,2 15,138.8 14,878,1 16,179.0 17,527.5 18,351.1 Imports of goods and n.f.s. 11,554.8 12,034.9 12,454.4 12,434.3 15,506.7 12,702.9 16,868,9 13,243.4 16,604.1 17,626.9 Net factor income from abroad -882.6 -1,290.5 -1,267.2 -1,662.9 -1,410.4 -1,443.9 -1,744.9 -1,905.2 -2,380.0 -2,937.5 Gross National Product at mp. 77,203.2 80,903 2 85,418.7 87,543.6 93,684.8 96,353.8 101,603,9 105,723.0 112,178.8 118,837.8 page 2 of 2 Table 2.4 jOLOMBIA: Gross domestic product, by type of expenditure in constant market prices, 1960-75 (in millions of 1970 Colombian pesos) Estimated Growth Rates (Annual Ave.) 1970 1971 1972 1973 1974 1975 1960-70 1970-73 1973-74 Gross Domestic Product at m.p. 130,361.4 137,889.0 148,628.5 159,194.7 168,636.0 l75,044.2 5.3 6.9 5.9 Gross domestic consumption 103,824.9 111,391.4 120,093.1 131,910.5 129,153.7 136,923.2 5.9 8.3 -2.1 Private consumption (93,863.3) (99,585.2) (108,760.4) (119,679.1) (117,867.8) (124,328.1) (5.8) (8.4) (-1.5) General gov't consumption (9,961.6) (11,806.2) (11,332.7) (12,231.4) (11,285.9) (12,595.1) (6.2) (7.1) (-7.7) Gross domestic investment 28,660.3 30,767.3 30,193.3 26,836.6 40,963.4 36,317.9 5.1 -2.2 52.6 Gross fixed investment (26,440.8) (27,785.8) (26,974.4) (28,606.6) (20,726.3) (32,742.4) (5.3) (2.6) (-27.5) Change in stocks (2,219.5) (2,981.5) (3,218.9) (-1,770.0) (20,237.1) (3,575.5) (3.6) (-) (-) Exports of goods and n.f.s. 18,515.8 18,834.5 19,547.3 20,204.9 20,472.0 22,089.3 3.1 3.0 1.3 Imports of goods and n.f.s. 20,639.6 23,104.2 21,205.2 19,757.3 21,953.1 20,286.2 6.0 -1.5 11.1 Net factor income from abroad -3,591.9 -3,418.8 -3,603.0 -3,159.0 -2,413.0 - 3,119.6 15.1 -4.2 -23.7 Gross National Product at m.p. 126,769.5 134,470.2 145,025.5 156,035 7 166,223.0 172,924.6 5.1 7.2 6.5 Source: Banco de la Republica, IBRD. page lof 2 Tahlo 2 S COLOMBIA: National Income Components, 1960-74 (in million of Colombian pesos) 1960 1961 1962 1963 1964 1965 1966 1967 Wages and salaries 9,202.0 10,874.8 12,816.0 16,595.6 19,324.0 22,300.8 26,753.9 31,049.3 Income from property and incorporated enterprises 11,408.2 13,026.3 14,427.0 17,619.9 23,359.6 25,586.9 29,966.4 33,382.7 Corporate savings 773.9 754.6 787.6 1,232.0 1,368.3 1,675.9 2,063.5 1,969.0 Direct Corporate taxes 538.7 569.2 580.6 816.9 1,232.8 1,247.4 1,497.9 1,839.9 Tncome from Government properties and enterprises 249.5 331.8 341.8 315.0 346.1 498.0 566.2 651.8 Interest on public debt (-) 68.2 80.8 135.2 177.5 275.2 309.2 487.7 533.5 National Income 22,104.1 25,475.9 28,817.8 36,401.9 45,355.6 50,999.8 60,360.2 68,359.2 page 2 of 2 Table 2.5 COLOMBIA: National Income Components, 1960-74 (in million ofColombian pesos) 1968 1969 1970 1971 1972 1973 1974 Wages and salaries 35,044.7 41,862.3 49,325.3 58,386.5 68,618.6 85,025,2 110,457.9 Income from property and incorporated enterprises 38,635.3 41,616.0 49,505.1 56,220.9 75,218.5 107,834.8 153,389.9 Corporate savings 2,312.4 3,109.9 3,419.2 5,186.9 4,750.9 6,104.4 7,956.3 Director Corporate taxes 2,173.4 2,992.4 3,248.5 4,386.7 4,273.5 5,740.5 7,828.2 Income from Government properties and enterprises 1,078.7 1,404.2 1,882.2 2,307.6 3,078.4 2,710.8 3,864.2 Interest on public debt (-) 613.8 938.1 1,284.0 1,540.6 1,982.0 2,947.5 3,839.0 National Income 78,630.7 90,046.7 106,096.3 124,948.0 153,957.9 204,468.2 279,657.5 Source: Banco de la Repu'blica. Page 1 of 2 Table 2.6 COLOMBIA: Investment and its Financing, 1960-74 (in millions of Colombian Pesos) 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 INVESTMENT Gross Domestic Investment 5.494.8 6,335.0 6,404.7 7,844,5 9,602.0 10,742,2 15,040.4 15,341.0 20.406.2 22,715,2 Gross Fixed Investment 4,844.9 5,580.3 6,136,9 7,167.5 8,653.8 9,504.2 12,303.6 14,729.1 18,815.1 21,230.1 Change in Stocks 649.9 754.7 267.8 677.0 948.2 1,238.0 2,736.8 611.9 1,591.1 1,485.1 Type of Capital Goods Construction 2,697.1 3,272.1 3,841.9 4,421.1 5,247.8 5,976.8 7,466,5 9,738.3 11,723.9 13,873.2 Transportation Equipment 691.6 746.9 506.1 691.7 931.1 840.5 1,126.6 1,457.3 2,231,3 2,318.7 Machinery & E-uipment 1,456.2 1,561.3 1,788.9 2,054.7 2,474.9 2,686.9 3,708.5 3,533.5 4,859.9 5,038.2 Sector of Investment Private Sector 4,686.3 5,184.2 5,101.5 6,457.5 8,028,8 8,875.7 11,991.9 11,004.0 15,045.6 16,075.2 Public Sector 808.5 1,150.8 1,303.2 1,387.0 1,573.2 1,866.5 3,048.5 4,337.0 5,360.6 6,640.0 INVESTMENT FINANCING Gross Domestic Tnvestment 5,494.8 6,335.0 6,404.7 7,844.5 9,602.0 10,742.2 15,040.4 15,341.0 20,406.2 22,715.2 Gross National Saving 5,195.8 5,425.9 5,643.6 6,540.3 8,011.7 10,463.6 11,616.4 14,608.5 17,651.6 19,430.1 General Government Saving 1,248.3 1,042.7 622.6 618.2 1,946,0 2,202.8 3,446.9 4,311.1 5,609.5 7,904.4 Private Saving 3,947.5 4,383.2 5,021.0 5,922.1 6,065.7 8,260.8 8,169.5 10,297.4 12,042.1 11,525.7 Corporate Savings 773.9 754.6 787.6 1,232.0 1,368.3 1,675.9 2,063.5 1,969.0 2,312.4 3,109.9 Personal Savings 506.7 824.8 1,100.6 609.3 393.2 1,588.9 - 183.3 1,217.8 1,600.1 - 597.2 Capital Consumption Allowances 2,666.9 2,803.8 3,132.8 4,080.8 4,304.2 4,996.0 6,289.3 7,110.6 8,129.6 9,013.0 Current Account Balance 1/ - 299.0 - 909.1 - 761.1 -1,304.2 -1,590.3 - 278.6 -3,424.0 - 732.5 - 2,754.6 - 3,285,1 Net Exports of Goods & NFS 3.3 - 514.5 - 261.2 - 492.8 _ 792.9 619,0 -2,181.1 428.9 - 1,259.9 - 1,272.1 Net Factor Income from Abroad - 302.3 - 394.6 - 499.9 - 811.4 - 797.4 - 897.6 -1,242.9 _ 1,4?0.7 - 2,003.2 - 2,676.5 page 2 of 2 Table 2.6 COLOMBIA: Investment and its Financing, 1960-74 (in millions of Colombian Pesos) As Percent of Croes Domestic Tnv. 1970 1971 1972 1973 1974 1960 1970 1974 INVESTMENT Gross Domestic Investment 28,660.3 34,585.2 37,739.3 40,764.6 81,381.9 100.0 100.0 100.0 Gross Fixed Investment 26,440.8 31,603.7 34,520.4 42,534.6 61,144.8 88.2 92.3 75.1 Change in stocks 2,219.5 2,981.5 3,218.9 - 1,770.0 20,237.1 11.8 7.7 24.9 Type of Capital Goods Construction 16,059.8 18,674.9 21,371.7 28,558.7 39,814.1 49.1 56.0 48.9 Transportation Equipment 4,240.3 5,301.5 4,546.5 3,426.6 5,350.4 12.6 14.8 6.6 Machinery & Equipment 6,140.7 7,627,3 8,602.2 10,549.3 15,980.3 26.5 26.6 19.6 Sector of Investment Private Sector 20,928.2 25,462.9 27,104.9 27,464.4 63,536.8 85.3 73.0 78.1 Public Sector 7,732.1 9,122.3 10,634.4 13,300.2 17,818.1 14.2 27.0 21.9 INVESTMENT FIXANCING Gross Domestic Investment 28,660.3 34,585.2 37,739.3 40,764.6 81,381.9 100.0 100.0 100.0 Gross National Saving 23,430.9 25,769.5 32,871.5 39,564.2 78,986.8 94.6 81.8 97.1 General Government Saving 7,660.8 7,730.3 9,695.1 9,082.7 14,072.7 22.7 26.7 17.3 Private Saving 15,770.1 18,039.2 24,176.4 30,481.5 64,914.1 71.8 55.0 79.8 Corporate Savings 3,419.2 5,186.9 4,750.9 6,104.4 7,956.3 14.1 11.9 9.8 Personal Savings 2,242.2 958.5 5,629.9 7,726.5 35,415.2 9.2 5.6 43.5 Capital Consumption Allowances 10,108.7 11,893.8 13,795.6 16,650.6 21,452.6 48.5 37.5 26.4 Current Account Balance / - 5,229.4 - 8,815.7 - 4,867.6 - 1,200.4 - 2,395.1 - 5.4 - 18.2 - 2.9 Net Exports of Goods & NFS - 2,123.8 - 5,781.8 - 1,138.4 3,256.4 2,006.4 0.1 7,4 2.5 NMt Factor Income from Abroad - 3,591.9 - 3,690.0 - 4,478.3 - 5,265.7 - 5,227.0 - 5.5 - 12.5 - 6.4 l/ Exports minus imports plus net factor payments from abroad plus net transfers from the rest of the world, (only from 1967 to 1974; 1960 to 1966 does not include net transfers from the rest of the world). Source: Banco de la Republica. Table 2.7 - COLOMBIA: PERSONAL INCOME, 1960-74 (Millions of Colombian pesos) Personal Z National Total Personal Wages and Direct Other Consumption Disposable Income /5 Year Income /1 Income /2 Salaries Taxes /3 Transfers/4 Price Index Current Prices 1970 Prices 1960 22,104.1 20,822.1 9,202.0 701.7 24,4 36.8 20,096.0 54,535.2 1961 25,475.9 24.161.2 10,874.8 723.9 28.0 39.9 23,409.3 58,672.1 1962 28,817.8 27,634.8 12,816.0 808.3 26.2 41.9 26,800.3 63,905.6 1963 36,401.9 34,748.3 16,595.6 1,081.7 32.5 51.3 33,634.1 65,552.4 1964 45,355.6 43,285.2 19,324.0 1,376.4 48.0 59.1 41,860.8 70,845.7 1965 50,999.8 48,647.1 22,300.8 1,526.5 49.6 65.6 47,071.0 71,778.2 1966 60,360.2 57,686.4 26,753,9 1,964.0 63.1 73.7 55,659.3 75,495.4 1967 68,359.2 65,806.6 31,049.3 2,736.3 75.1 80.2 62,995.2 78,510.3 1968 78,630.7 75,864.7 35,044.7 3,385.0 98.7 86.9 72,381.0 83,331.9 1969 90,046.7 85,827.0 41,862.3 4,361.6 101.6 93.0 81,811.5 87,898.5 1970 106,096.3 101,736.3 49,325.3 5,038.5 141.0 100,0 96,556.8 96,556.8 1971 124,948.0 118,188.5 58,386.5 6,694.9 153.7 110.4 111,339.9 100,851.4 1972 153,957.9 148,351.6 68,618.6 7,233.4 228.6 123.9 140,889.6 113,712.3 1973 204,468.2 198,541.0 85,025.2 9,905.2 247.2 150.5 188,388.6 125,175.1 1974 279,657.5 270,568.3 110,457.9 13,030.0 328.9 187.7 257,209.4 137,032.2 /1 Net natural product at factor cost, equal to GDP after adjustment for subsidies, indirect taxes, capital consumption allowances, and net factor payments to foreigners. /2 Sum of wages, salaries, property incomes, incomes of unincorporated enterprises, and current transfers. /3 Includes personal income taxes and all social security contributions. /4 Other current transfers, such as payments for various government servi1ces (fees, matriculationr charges, etc,). /5 Personal income less direct taxes and other transfers. Source: Banco de la Republica. Table 2.8 - COLOMBIA: GENERAL GOVERNMENT CURRENT INCOME RECEIPTS, 1958-74 (Millions of Pesos) Income from Govern- Inter- Other ment est Total Other Total Current Proper- on the Direct Social Direct Direct Transfers Total ties and Public Corpo- Security House- House- from Current Enter- Debt Indirect rate Contri- hold hold House- Income Year prises (-) Taxes Taxes butions Taxes Taxes holds Receipts 1958 199.7 63.1 1,410.6 341.4 140.5 375.0 515.5 15.1 2,419.2 1959 247.6 66.3 1,564.0 434.6 173.1 -443,3 616.4 16.5 2,812.8 1960 249.5 68.2 1,735.3 538.7 207.7 494.0 701.7 24.4 3,181.4 1961 331.8 80.8 1,824.3 569.2 234.8 489.1 723.9 28.0 3,396.4 1962 341.8 135.2 1,844.1 580.6 276.6 531.7 808.3 26.2 3,465.8 1963 315.0 177.5 2.346.5 816.9 333.7 748.0 1,081.7 32.5 4,415.1 1964 346.1 275.2 3,481.6 1,232.8 396.8 979.6 1,376.4 48.o 6,209.7 1965 498.o 309.2 4,017.8 1,247.4 534.4 992.1 1,526.5 49.6 7,030.1 1966 566.2 487.7 6,o65.5 1,497.9 772.6 1,191.4 1,964.0 63.1 9,669.o 1967 651.8 533.5 6,335.9 1,839.9 1,143.6 1,592.7 2,736.3 75.1 11,433.1 1968 1,078.7 613.8 7,869.2 2,173.4 1,412.1 1,972.9 3,385.0 98.7 14,473.9 1969 1,404.2 938.1 9,521.5 2,992.4 1,668.2 2,693.4 4,361.6 101.6 18,087.8 1970 1,882.2 1,284.0 11,394.6 3,248.5 2,112.1 2,926.4 5,038.5 141.0 21,150.2 1971 2,307.6 1,540.6 13,199.1 4,386.7 2,739.9 3,955.0 6,694.9 153.7 25,867.3 1972 3,078.4 1,982.0 15,488.7 4,273.5 3,345.6 3,887.8 7,233.4 228.6 28,914.6 1973 2,710.8 2,947.5 19,698.2 5,740.5 4,703.9 5,201.3 9,905.2 247.2 35,954.4 1974 3,864.2 3,839.0 24,249.5 7,828.2 - - 13,030.0 328.9 45,981.8 Source: Banco de la Repliblica Table 2.9 -COLOMBIA: GENERAL GOVERNMENT, CURRENT EXPENDITURES AND SAVINGS, 1960-74. (Millions of Pesos) Consumption Outlays Current Total Remu- Purchases Transfers Utilization neration of Goods to of of and House- Current Year Labor Services Total Subsidies holds Savings Income 1958 997.9 198.2 1,196.1 39.1 198.7 985.3 2,419.2 1959 1,151.1 218.4 1,369.5 35.5 196.9 1,210.9 2,812.8 1960 1,373.8 285.5 1,659.3 61.9 211.9 1,248.3 3,181.4 1961 1,718.4 297.6 2,016.0 77.6 260.1 1,042.7 3,396.4 1962 1,992.4 363.6 2,356.o 95.4 391.8 622.6 3,465.8 1963 2,689.9 459.1 3,149.0 115.1 532.8 618.2 4,415.1 1964 3,025.9 457.7 3,483.6 178.5 601.6 1,946.0 6,209.7 1965 3,394.5 559.8 3,954.3 113.6 759.4 2,202.8 7,030.1 1966 4,298.6 611.8 4,910.4 345.6 966.1 3,446.9 9,669.o 1967 4,892.8 824.0 5,716.8 193.7 1,193.2 4,311.1 11,433.1 1968 5,542.7 1,037.1 6,579.8 211.0 2,049.5 5,609.5 14,473.9 1969 6,631.9 1,200.9 7,832.8 304.4 2,003.2 7,904.4 18,087.8 1970 8,283.4 1,678.2 9,961.6 830.1 2,638.8 7,660.8 21,150.2 1971 10,225.3 3,203.3 13,428.6 1,468.1 3,173.7 7,730.3 25,867.3 1972 12,714.3 1,935.0 14,649.2 1,628.2 3,868.9 8,695.1 28,914.6 1973 16,454.9 2,383.5 19,014.3 2,846.8 5,010.6 9,082.7 35,954.4 1974 20,849.4 2,308.9 23,158.3 2,890.5 5,860.3 14,072.7 45,981.8 Source: Banco de la RepuTblica. Table 2.10 - COLOMBIA: IMPLICIT PRICE DgFLATORS FOR GROSS DOHESTIC PRODUCT -1958-7$ (Index N=ber*, 1970 - 100) Govern- nent Current Gross PUr- Gross Gross Per- Fixed chases Exports Imports Total sonal Dom- Change of of of Gross Con- estic in Goods Goods Goods Domestic sump- Invest- Inven- and and and Year Product tion ment tories Services Services Services 1958 29.5 31.9 26.7 34.9 24.5 33.1 34.8 1959 31.4 33.9 29.1 35.1 27.6 29.9 34.7 1960 34.3 36.9 30.6 41.5 30.3 30.5 36.0 1961 37.0 39.9 32.5 38.2 34.9 30.8 36.8 1962 39.5 41.9 35.6 42.3 37.7 30.1 35.4 1963 48.8 51.3 45.2 48.4 47.6 38.5 45.6 1964 56.5 59.1 48.6 56.1 52.0 44.9 46.1 1965 62.2 65.6 56.5 60.3 55.5 45.9 49.8 1966 71.2 73.7 67.7 68.8 66.0 59.9 65.8 1967 77.2 80.2 76.0 85.7 73.0 61.5 71.9 1968 84.2 86.9 84.4 85.7 81.2 71.4 83.0 1969 91.1 93.0 92.9 89.0 89.6 80.0 90.5 1970 100.0 100.0 100.0 100.0 100.0 100.0 100.0 1971 110.4 110.5 112.6 110.4 113.7 101.7 107.9 1972 125.2 124.0 124.2 133.7 129.3 129.0 124.3 1973 152.8 150.6 145.9 76.5 155.5 179.1 166.7 1974 194.4 187.7 190.5 228.3 205.2 242.1 216.6 1975 229.4 232.0 232.8 250.1 251.0 271t.8 273.3 Source: Banco de la Repfblica; IERD. Page 1 of 2 Table 2.11 COLOMBIA: Incremental Capital Output and Domestic Savings Ratios, 1960-74 1960 1961 1962 1963 1964 1965 1966 1967 GDP Real Growth Rate: - 5.3 5.5 2.9 6.6 2.8 5.7 4.1 Incremental Capital - Output Ratios: (In millions of Col. pesos): GDP 26,746.7 30,421.0 34,199.2 43,525.5 53,760.3 60,797.6 73,612.3 83,082.7 GDP Increment 3,097.9 3,674.3 3,778.2 9,326.3 10,234.8 7,037.3 12,814.7 9,470.4 Gross Fixed Investment 4,844.9 5,580.3 6,136.9 7,167.5 8,653.8 9,504.2 12,303.6 14,729.1 Fixed Investment Coefficient 18.11 18.34 17.94 16.47 16.10 15.63 16.71 17.73 ICOR 1.56 1.52 1.62 0.77 0.85 1.35 0.96 1.56 Lagged ICOR 1.26 1.32 1.48 0.66 0.70 1.23 0.74 1.30 Incremental Capital - Output Ratios (In millions of 1970 Col. pesos): GDP 78,085.8 82,193.7 86,685.9 89.206.5 95,095.2 97,797.7 103,348.8 107,628.2 GDP Increment 2,839.7 4,107.9 4,492.2 2,502.6 5,888.7 2,702.5 5,551.1 4,279.4 Gross Fixed Investment 15,809.1 17,152.6 17,217.3 15,840.5 17,824.2 16,831.6 18,181.4 19,386.5 Fixed Tnvestment Coefficient 20.25 20.87 19.86 17.76 18.74 17.21 17.59 18.01 ICOR 5.57 4.18 3.83 6.28 3.03 6.23 3.28 4.53 Lagged ICOR 4.73 3.85 3.82 6.83 2.69 6.60 3.03 4.25 Domestic Savings Ratios (In millions of Col. pesos): GDS /L 5,498.1 5,820.5 6,143.5 7,351.7 8,809.1 11,361.2 12,859.3 15,769.9 GDS/GDP 20.56 19.13 17.96 16.89 16.38 18.69 17.47 18.98 Marginal Savings Rate: /2 Annual - 0.0877 0.0855 0.1295 0.1424 0.3626 0.1169 0.3073 Cumulative - 0.0877 0.0866 0.1105 0.1226 0.1722 0.1571 0.1823 Domestic Savings Ratios (Tn millions of 1970 Col. pesos): GDS /1 19,459.2 19,821.9 19,156.2 18,232.9 18,217.5 21,322.0 20,167.0 23,035.8 GDS/GDP 24.92 24.12 22.10 20.44 19.16 21.80 19.51 21.40 Marginal Savings Rate: /2 Annual - 0.0883 - 0.1482 - 0.3663 - 0.0026 1,1488 - 0.2081 0.6704 Cumulative _ 0.0883 - 0.0352 - 0.1103 - 0.0730 0.0945 0.0280 0.1211 Page 2 of 2 Table 2.11 COLoMBTA: Incremental Capital Output and Domestic Savings Ratios, 1960-74 1968 1969 1970 1971 1972 1973 1974 GDP Real Growth Rate: 6.4 6.3 7.1 5.8 7.8 7.1 5.9 Incremental Capital - Output Ratios (In millions of Col. pesos): GDP 96,421.7 110,953.3 130,361.4 152,262.8 186,092.3 243,235.9 327,786.1 GDP Increment 13,339.0 14,531.6 19,408.1 21,901.4 33,829.5 57,143.6 84,550.2 Gross Fixed Investment 18,815.1 21,230.1 26,440.8 31,603.7 34.520.4 42,534.6 61,381.9 Fixed Investment Coefficient 19.51 19.13 20.28 20.76 18.55 17.49 18.73 ICOR 1.41 1.46 1.36 1.44 1.02 0.74 0.73 Lagged ICOR 1.10 1.29 1.09 1.21 0.93 0.60 0.50 Incremental Capital - Output Ratios (In millions of 1970 Col. pesos): GDP 114,558.8 121,775.3 130,361.4 137,889.0 148,628.5 159,194.7 168,636.0 GDP Increment 6,930.6 7,216.5 8,586.1 7,527.6 10,739.5 10,566.2 9,441.3 Gross Fixed Investment 22,290.5 22,847.2 26,440.8 27,785.8 26,974.4 28,606.6 20,726.3 Fixed Investment Coefficient 19.46 18.76 20.28 20.15 18.15 17.97 12.29 ICOR 3.22 3.17 3.08 3.69 2.51 2.71 2.20 Lagged ICOR 2.80 3.09 2.66 3.51 2.59 2.55 3.03 Domestic Savings Ratios (In millions of Col. pesos): GDS LI 19,146.3 21,443.1 26,536.5 28,803.4 36,600.9 44,021.0 83,388.3 GDS/GDP 19.86 19.33 20.36 18.92 19.67 18.10 25.44 Marginal Savings Rate: /2 Annual 0.2531 0.1581 0.2624 0.1035 0.2305 0.1299 0.4656 Cumulative 0.1959 0.1894 0.2030 0.1857 0.1952 0.1779 0.2587 Domestic Savings Ratios (In millions of 1970 Col. pesos): GDS a1 25,070.4 25,239.1 26,536.5 26,497.6 28,535.4 27,284.2 39,482.3 GDS/QDP 21.88 20.73 20.36 19.22 19.20 17.14 23.41 Marginal Savings Rate: A Annual 0.2936 0,0234 0.1511 - 0.0052 0.1897 - 0.1184 1,2920 Cumulative 0.1538 0.1323 0.1354 0.1177 0.1287 0.0965 0.2211 /1 Gross domestic savings equals gross domes--ic investment plus surplus from trade in goods and non-factor services. /2 Marginal savings rate equals change in gross domestic savings divided by change in GDP. Source: Banco de la Republica and IBRD. 00 '.. -* CO CO C) -d <0 O H3 CO HO 0 3: D cn 0 J0 1ff o CO 0 o a 0 0s 0 0 Of . 00 CO n mD 3 2 r O r 00 CO CO r COnO 3 a C ) H 00 n O 0 CO ID t 0 CO Co O ft o 3 . OH r - Hi. z f- 00 0 *O O0 <0 3 n - 30 0 CO n <-H r 33 f 0 0 t ~~~~~~~C t CO .0 CO H <0 Table 3.1 - COlOlfBIA: BALANCEI OF PA'YMENTS, 1960- 75 (Millions of US dollars) 19h0 19q l 1 962 1963 1964 1965 1966 1967 1968 1969 197( 1971 1972 1973 1974 / 1975/2 FOR Merchandise Exports 495 477 476 485 636 591 534 558 605 672 788 752 979 1,263 1.494 1,558 Coffee 257 294 266 292 381 345 32b 327 351 344 467 400 430 598 625 741 Coffee Adjustmnents 30 3 25 12 50 29 3 11 15 26 - 3 - 1 39 - 1 59 - Petroleum and Derivatives 80 68 61 77 75 88 71 61 36 71 73 75 51 53 91 735 Minor Exports 113 98 110 93 117 118 124 150 201 226 245 274 449 613 719 - Non-monetary Cold 15 14 14 11 13 ll 10 9 2 5 6 4 10 - - FOB Merchandise imports 496 531 537 497 575 430 639 464 615 648 802 900 848 982 1.510 1461 Trade Balance - I - 54 - 61 - 12 61 161 -105 94 - 6 24 - 4 -148 131 281 - 16 97 Service Receipts 94 102 96 105 113 118 129 154 179 198 212 222 228 285 364 441 Freight 28 30 33 33 37 44 41 41 39 46 43 49 49 65 98 112 Other Transportation 11 13 15 16 19 18 23 31 32 44 52 58 55 69 80 90 Travel 23 23 13 19 25 28 33 46 45 45 54 61 59 72 105 135 Other 32 36 35 37 32 28 32 36 63 63 63 54 65 79 81 104 Service Payments 138 139 153 157 237 223 228 232 251 291 347 385 388 442 5m 549 Freight 21 24 29 26 36 29 54 50 53 63 68 85 74 98 79 94 Other Transportation 49 49 50 34 60 60 42 49 43 60 95 112 114 124 180 203 Travel 28 24 23 25 55 50 54 58 60 59 66 63 69 87 129 82 Other 40 42 51 72 86 84 78 75 95 109 118 125 131 133 145 170 Goods and Services Balance - 45 - 91 -118 - 64 - 63 56 -204 16 - 78 - 69 -149 -311 - 29 124 -185 -11 Net Factor Payments -40 - 50 - 57 -81 - 73 - 79 - 86 -105 -113 -144 -180 -176 -197 -215 -192 -240 Net Unresuited Transfers 6 9 14 18 14 12 10 22 31 38 27 34 35 35 55 75 Current Account Balance - 79 -132 -161 -127 -122 - 11 -780 - 67 -160 -175 -302 -453 -191 -56 -322 -176 Private Capital 52 - 3 44 127 150 6 66 8 18 109 100 106 72 25 28 49 Direct Investment 3 1 - 1 49 10 40 40 48 50 39 40 17 23 36 39 Loans (net) 49 - 4 44 126 101 - 4 26 - 32 - 30 59 61 66 55 2 -8 10 Utilization ( 54) ( 39) ( 56) (138) (120) ( - ) ( 26) ( - ) ( 2) (112) (128) (145) (139) ( 60) (50) (93) Amortization (- 5) (- 43) (- 12) (- 12) ( -19) (- 4) ( - ) (- 32) (- 32) (- 53) (- 67) (- 79) (- 84) (- 58) ( -58) (83) Public Capital - 14 - 12 13 9 22 76 71 100 146 133 161 130 255 285 158 226 Utilization 11 17 35 28 46 156 157 175 220 200 236 222 351 417 364 365 o.w. Private l.oans _ _ _ _ - - - - 10 17 13 15 - - Amortization - 25 - 29 -22 -20 -24 - 80 - 86 - 75 - 74 - 67 - 75 - 92 - 96 -132 -206 139 o.w, Private Loans - - - - - 7 - -1 - 9 - - 8 SDR Allocation - _ _ - - - - _ _ - 21 17 18 - - Net Reserve Change (increase in assets) 9 123 75 78 17 - 42 67 - 62 6 - 3 6 82 -164 -213 389 -165 Central Bank 37 130 74 74 19 - 26 50 28 - 69 - 61 - 55 - 18 -175 -171 120 -118 Rest of Banking System - 28 - 7 1 4 - 2 - 16 17 - 90 75 58 61 100 1 - 42 269 - 47 Other Short-term Errors and Omissions 32 24 29 - 86 - 67 - 29 76 21 - 10 - 64 14 118 10 - 41 -253 66 /1 Preliminary. 7i Estimated. Memo: Fra.m 1165 to 1974 fig-res for pulblic capital were taken from the external debt printouts. SDrc: Balr olc of Paym-nt acrbooks, IIT, B.lco do In Republica and World Banl saLff estinates. Table 3.2: COLOMBIA: FOREIGN EXCHANGE BALANCE, 1960-75 (millions of U.S. dollars) __________________________________ 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 1974 1975 Current Tnflows 417.5 428.4 424.9 418.5 574.6 495.8 471.6 631.8 647.0 687.4 800.0 808.6 994.2 1,230.4 1,418.9 1,788.8 Exports of goods 3~55.9 3i63.8 354.1 357.6 513.0 445.4 388.0 435.9 492.6 540.1 642.6 656.4 840.5 1008.7 1,214.5 1,413.7 Coffee (325.6) (326.9) (300.1) (312.5) (439.8) (346.7) (302.3) (318.8) (314.1) (332.9) (405.5) (358.6) (433.6) (535.4) (543.2) (634.5) other( 30.3) ( 36.9) ( 54.0) ( 45.1) ( 73.2) C 98.7) ( 95.7) (117.1) (178.5) (207.2) (237.1) (297.8) (406.9) (473.3) (671.3) (779.2) Petroleum Capital 51.2 39.7 39.1 39.4 44.4 36.6 36.5 24.6 31.0 22.3 28.0 22.2 14.3 12.9 16.6 39.1 Export Services 10.4 24.9 31.7 21.5 17.2 13.8 37.1 171.3 123.4 125.0 129.4 130.0 139.4 208.8 187.8 336.0 Current Outflows 404.1 488.1 500.5 423.3 514.5 387.4 558.2 600.7 641.0 706.9 858.6 917.8 990.8 1,160.9 1,533.9 ~ l78 Imports of goods S336.1 407. 5 4~16.7 338.8 423.0 300. 7 421.3 448.9 41. 475 581 627 654.7 744.3 1,049. 9 1,31.7.4 Petroleum refining 19.5 20.4 18.8 23.0 24.6 27.5 35.6 29.0 39.0 33.5 40.4 39.7 47.3 51.4 67.5 65.7 Imports of services 48.5 60.2 65.0 61.5 66.9 59.2 101.3 122.8 182.1 198.9 260.1 265.4 288.8 365.2 416.5 375.6 Freight ( 26.4) C 29.2) ( 28.8) C 23.7) ( 30.6) ( 22.2) ( 40.0) ( 30.3) C 35.7) ( 39.6) ( 44.0) C 48.0) ( 41.8) C 66.4) (112.4) (113.4 Travel ( - ) ( - ) ( - ) ( - ) ( - ) - ) ( - ) C 11.4) ( 11.2) ( 18.4) C 24.2) C 24.7) ( 19.5) ( 38.) C 53.4) (20.0) Interest (net) C 7.2) C 4.6) ( 11.3) ( 9.5) ( 10.2) ( 12.0) 28.1) ( 11.2) ( 43.8) ( 61.8) C 91.6) C 96.8) (110.5) (138.8) (120.3) (170.0) Other ( 14.9) (26.4) C24.9) C26.3) (26.1) (25.0) (33.2) C69.9) ( 91.4) C 79.1) (100.3) C 95.9) (117.0) (121.9) (130.3) 72.2 Balance on Current Account 13.4 -59.7 -75.6 -4.8 60.1 108.4 -86.6 31.1 6.0 -19.5 -58.6 -109.2 3.4 69.5 -115.0 30.1 Capital Account -66.0 55.1 18. 5 14.6 -45.4 -102.6 86.7 -31.3 56.7 59.1 58.9 117.1 178.0 101.2 26.9 77.4 Private capital (net) -7 32 - 53 - 0.3 - - 1.0 46.2 5.2 25.3 43.8 55.8 78.1 37.8 16.0 32.2 T7 Loans (net)C ) C-) (-) C-) C-) ( ) C-) C-) C-) C 30.6) ( 40.2) C 59.2) C 25.0) C 6.0) C 17.5) -4.8 Dirett investment (net)(-) C-) C-) C-) C- C-) ( ) (-) (-) C 13.2) C 15.6) C 18.9) ( 12.8) C 10.0) ( 14.8) (15.6) Official:capital (net) -62.8 60. 4 18.8 14.6 -45.4 -101.6 40.5 -36.5 31.4 15.3 3.1 39.0 154.7 144.4 0.6 66.6 Official loans and Erants ( ) (-) (-) (-) C-) (-) (143.1) (138.8) ( 97.7) 4 0.8 General purpose financing- - - - ( ) C ) (-) (-) (-) (-) (-) C-) ( 80.) C 98.5) ( 22.6) 111.6 Amortization ( . . ) (- . ) (- ) (- ) (- ' (-85.0) (-92.9) (-119.7) (-85.8) Other- - ------- -14.5 59.3 - 6.0 - ErrIor-s= -91.6 11.9 -42.2 -24.8 54.8 -33.4 58.7 8.7 21.7 55.2 10.5 - 6.6 -1.7 10.8 Net Change in Reserves 52.6 96.2 45.2 32.4 10.1 -60.6 33.3 -58.5 -71.4 -61.3 -55.5 -18.4 .-174.8 -170.7 86.4 118.3 -=increase) Source: Banco de la Republica Table 3.3 - COLOMBIA: CENTRAL BANK GROSS RECEIPTS OF FOREIGN EXCHANGE, 1960-75 (Thousands of US Dollars) Nerchandise Petroleum Export Capital and Surrender /a New Gold Services Financings Total Year Coffee Other 1960 325,641 30,251 51,147 10,432 41,964 459,435 1961 326,939 36,842 39,653 24,948 187,099 615,481 1962 300,089 54,012 39,102 31,673 261,619 686,495 1963 312,455 45,183 39,420 21,457 437,770 856,285 1964 439,830 73,164 44,362 17,250 496,075 1,070,681 1965 346,675 98,773 36,549 13,789 225,545 721,331 1966 302,302 95,729 36,484 37,138 371,657 843,310 1967 318,813 117,060 24,604 171,289 367,950 999,716 1968 314,144 178,434 30,977 123,365 262,235 909,155 1969 332,853 207,197 22,313 124,995 257,542 944,900 1970 405,543 237,011 27,991 129,398 313,559 1,113,502 1971 358,610 297,828 22,198 129,973 380,188 1,188,797 1972 433,636 406,877 14,276 147,109 464,299 1,466,197 1973 535,410 473,281 12,863 232,633 410,261 1,664,448 1974 513,209 671,259 16,622 253,868 381,583 1,866,541 1975 634,5)2 779,151 39,146 465,266 L09,924 2,328,029 1968-T 68,337 33,182 o,161 32,030 6d,19 209,90d 1968-II 93,661 45,835 8,770 26,667 69,495 244,428 1968-III 71,999 43,434 8,452 29,661 62,202 215,748 1968-IV 80,147 55,983 5,594 35,007 62,340 239,071 1969-I 67,838 46,259 6,249 28,570 53,895 202,811 1969-II 71,179 55,046 6,319 29,735 65,006 227,285 1969-III 90,410 51,570 4,818 32,100 71,094 249,992 1970-I 109,232 61,269 6,908 33,407 80,498 291,314 1970-II 105,489 52,396 8,235 30,704 77,849 274,673 1970-III 82,391 53,974 6,789 30,305 82,521 255,980 1970-IV 108,431 69,372 6,059 34,982 72,691 291,535 1971-I 77,360 58,208 5,736 27,915 85,270 254,489 1971-II 90,623 69,273 7,430 30,364 104,216 301,906 1971-III 95,304 71,209 4,753 35,410 82,355 289,031 1971-IV 95,323 99,138 4,279 36,284 108,347 343,371 1972-I 97,306 81,760 2,897 33,235 87,101 302,299 1972-II 110,363 113,982 4,977 35,830 101,376 366,528 1972-III 90,380 89,411 3,550 40,037 173,955 397,333 1972-IV 135,587 121,724 2,852 38,007 101,867 4oo,037 1973-I 143,457 93,977 3,726 52,678 112,507 406,345 1973-II 144,126 135,175 3,225 54,511 75,918 412,955 1973-III 82,370 121,724 2,270 57,111 83,580 347,055 1973-IV 165,457 122,405 3,642 68,333 138,256 498,093 1974-I 170,995 142,811 3,357 64,195 106,469 487,827 1974-II 109,332 174,857 4,961 57,463 91,350 437,963 1974-III 96,618 165,909 5,745 67,079 75,846 411,207 1974-IV 166,264 187,682 2,559 63,613 107,918 528,036 1975-I 122,065 180,691 17,544 96,851 59,558 476,709 1975-II 133,570 209,298 8,894 118,988 182, 509 653,259 1975-III 144,2L6 189,602 6,936 119,976 85,398 546,158 1975-TV 23)j,661 199,560 5.772 129.451 82,L59 6q1 .90A a/ Includes advance surrender. b/ Includes interest and transfers Source: Banco de la Repiblica Table 3.4: COLOMBIA CENTRAL BANK DISBURSEMENTS OF FOREIGN EXCHANGE, 1960-75 (Thousands of U.S. Dollars) Imports _ Petroleum Services Financing Total Year OrdinaryLa AID OtherZb 1960 320,802 - 15,334 19,470 48,500 107,977 512,083 1961 371,737 35,756 20,394 60,219 132,021 620,127 1962 387,972 - 28,714 18,840 64,992 243,069 743,587 1963 261,562 50,115 27,153 23,002 61,466 423,137 846,435 1964 323,101 56,994 42,935 24,607 66,848 541,523 1,056,008 1965 249,868 10,000 40,827 27,464 59,178 328,172 715,509 1966 312,480 40,617 68,249 35,582 101,342 284,902 843,172 1967 343,359 58,310 47,242 29,017 122,753 399,251kc 999,932 1968 249,004 77,959 92,891 38,961 182,143 205,480 846,438 1969 321,388 66,031 87,o6g 33,434 198,298 198,404 905,254 1970 395,097 81,876 81,124 40,427 260;081 254,706 1,113,311 1971 487,945 49,346 75,370 39,768 265,460 263,103 1,180,992 1972 548,522 11,526 94,613 47,287 296,678 340,099 1,338,725 1973 661,990 9,550 72,764 51,357 388,985 349,714 1,534,360 1974 927,650 1,542 120,750 67,530 479,592 356,706 1,953,770 1975 1,187,290 28 130,091 65,692 504,935 322,991 2,211,027 1968-I 57,539 24,902 29,024 8,590 41,015 76,653 237,723 1968-II 61,779 19,984 23,072 8,569 42,152 49,671 205,227 1968-III 56,655 20,492 21,784 9,300 52,344 45,845 205,420 i968-iV 73,031 12,581 19,011 12,502 46,632 33,311 197,068 1969-I 75,697 8,724 19,317 9,727 34,998 58,510 206,973 1969-II 82,967 13,369 22,721 8,070 49,536 51,979 228,642 1969-ITT 79,708 22,833 17,109 7,764 56,122 45,257 228,793 1969-IV 83,016 21,105 29,922 7,873 58,272 42,658 240,846 1970-I 76,385 18,280 17,060 9,441 52,063 63,826 237,055 1970-II 95,891 20,328 16,858 8,685 63,248 64,083 269,093 1970-III 100,343 23,650 24,573 11,560 68,926 47,705 276,757 1970-IV 122,478 19,618 22,633 10,741 75,844 79,092 330,406 1971-I 115,157 17,786 21,438 9,826 58,758 64,799 287,764 1971-II 115,042 18,934 19,443 9,659 68,083 75,158 306,319 1971-III 130,673 8,040 14,816 8,956 71,805 54,002 288,292 1971-IV 127,073 4,586 19,673 11,327 66,144 298,617 1972-I 127,746 2,053 25,208 10,306 66,878 80,720 312,911 1972-II 138,813 3,693 22,384 10,986 80,811 78,368 335,055 1972-III 139,734 4,116 21,122 11,488 74,399 106,389 357,246 1972-IV 142,229 1,664 25,899 14,507 74,590 74,624 333,513 1973-I 142,424 2,229 18,494 13,292 77,766 65,390 319,595 1973-II 153,309 2,952 21,929 10,646 97,590 96,256 382,682 1973-III 157,522 3,221 16,515 13,925 93,616 83,590 368,389 1973-TV 208,735 1,148 15,826 13,494 120,013 104,478 463,694 1974-I 202,920 941 31,476 18,784 93,755 87,210 435,o86 1974-II 229,963 363 24,502 17,213 115,656 92,956 480,653 1974-iII 235,300 200 30,382 15,474 141,465 85,618 508,439 1974-IV 259,467 38 34,390 16,059 128,7?6 90,922 529,592 1975-I 259,260 28 28,663 17,465 128,172 92,400 525,988 1975-II 375,869 - 33,203 15,250 139,68o 79,219 643,221 1975-1II 275,016 - 37,191 16,069 121,069 88,102 537,447 1975-IV ?77,1)15 - 31,034 16.908 116.011 63.270 504.371 /a Exchange certificate imports. 7 Bilateral agreements, Plan Vallejo, IBRD, lines of credit for vehicles and machinery. T Financings in 1967 include some interest payments as well as amortizaticn of principal (interest payments normally appear under Services). Source: Banco de la Republica. Table 3.5: COLOMBIA: SUPPLY AND DISTRIBUTION OF GREEN COFFEE, 1958/59-1974/75 (Thousands of 60-Kilogram Bags) Coffee Stocks Domestic Stocks Year Carry- Consump- Quota Annex B Carrv- (Oct-Sept) In Production tion Markets Mlarkets Total Out a/ 1958/59 11 7-,442 908 6,372 59 6,431 17 1959/60 114 7,648 1,197 5,597 74 5,671 894 1960/61 894 7,500 1,270 5,990 53 6,043 1,081 1961/62 1,081 8,035 1,526 5,536 58 5,594 1,996 1962/63 1,996 7,500 1,416 5,952 104 6,056 2,024 1963/64 2,024 7,800 1,375 6,228 82 6,310 2,139 1964/65 2,139 8,5147 1,354 5,612 131 5,743 3,589 1965/66 3,589 8,224 1,202 5,670 195 5,865 4,746 1966/67 4,746 7,507 1,250 5,421 213 5,634 5,369 1967/68 5,369 7,995 1,270 6,344 251 6,595 5,499 1968/69 5,499 7,375 1,290 6,204 330 6,534 5,050 1969/70 5,050 8,239 1,333 6,467 407 6,874 5,082 1970/71 5,082 7,753 1,370 6,014 317 6,331 5,134 1971/72 5,134 6,979 1,410 6,350 137 6,487 4,216 1972/73 4,216 8,500 1,561 6,067 188 6,255 4,900 1973/74 4,900 7,800 1,760 7,008 393 7,400 3,540 1974/75 3,540 8,500 1 .66ti 7,790 386 8,176 2,200 a/ Stocks include private holdings. Source: National Coffee Growers Federation. Table 3.6: COLOMBIA: FOREIGN AND DOMESTIC PRICES FOR COL.')1BIAN C0t'FEE AND PRICES OF FOUR OTHER CATEGORIES, 1960-75 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 1974 1975 New York Price (US cents/lb) Colombian Mans 44.89 43.62 40.77 39.55 48.80 48.49 47.43 41.94 42.60 44.99 56.42 49.27 56.67 72.66 77.86 P1.63 Guatemala Prime Washed 41.33 37.55 35.83 35.40 47.16 45.51 42.25 39.23 39.43 40.12 52.01 44.99 50.33 62.62 65.88 65.66 Brazil Santos Fours 36.60 36.01 33.96 34.11 46.66 44.71 40.83 37.82 37.43 40.97 55.80 44.69 52.51 69.26 73.34 82.82 Angolan Ambriz 2-AAs 25.27 19.93 21.55 28.73 36.38 31.59 33.98 33.83 34.25 33.36 41.43 42.38 45.19 50.16 58.66 134 tJS Wholesale Price Index (1948 = 100)/L 114.6 114.i 114.5 114.1 114.4 116.7 120.5 120.8 123.8 128.6 133.3 137.7 143.5 163.3 193.4 211.3 New York Price in Constant 1948 Prices (US cents/lb) Colombian Mamis 39.17 38.23 35.61 34.66 42.66 41.55 39.36 34.72 34.41 34.98 42.33 35.78 39.49 44.49 40.26 31'26,3 Guatemala Prime Washed 36.06 32.91 31.29 31.03 41.22 39.00 35.06 32.48 31.85 31.20 39.02 32.67 35.07 38.35 34.06 3'.07 Brazil Santos Fours 31.94 31.56 29.66 29.89 40.79 38.31 33.88 31.31 30.23 31.86 41.86 32.45 36.59 42.41 37.92 39.20 Angolan Ambriz 2-AAs 22.05 17.47 18.82 25.18 31.80 27.07 28.20 28.00 27.67 25.94 31.08 30.78 31.49 30.72 30.33 29.03 Manizales Coffee in the Interior (Peso/Arroba) 42.93 47.13 47.79 55.55 71.81 71.70 75.63 75.91 88.91 98.24 130.38 124.48 150.00 193.71 220.66 2-2.82 Colombian Wholesale Price Index (1948 = 100) /2 265.7 283.1 290.6 367.0 431.1 466.7 547.9 585.3 622.1 663.6 714.2 796.3 942.0 1,204.9 1,638.0 2054.0 Interior Price in Constant 1948 Prices (Peso/Arroba) 16.15 16.64 16.44 15.13 16.65 15.36 13.80 12.97 14.29 14.80 18.26 15.63 15.92 16.08 13.47 13.2f /1 Shifted from original 1967 base. /2 Shifted from original 1952 base. Memo: 1 arrobe = 1,250 kgs. Source: Banco de la Republica; Tnternational Financial Statistics; Pan American Bureau, New York. Table 3.7_ COLOMBIA: CRUDE PETROLEUM PRODUCTION, APPARENT DOMESTIC CONSUMPTION AND EXPORTS, 1958-1975 Crude Apparent Crude Petroleaum Exports Petroleum Domestic By , by u Unit, value Year Production_j2 Consumption ' Volume Value per Barrel 1958 h6,878 22,489 24,389 66,571 2.73 1959 53,574 25,208 28,366 73,292 2.58 1960 55,770 24,438 31,332 79,998 2.55 1961 53,242 25,712 27,530 68,239 2.48 1962 51,908 27,597 2)4,311 60,584 2.)49 1963 60,243 29,072 31,171 77,198 2.148 1964 62,586 31,874 30,712 74,962 2.)44 1965 73,206 32,524 40,682 88,169 2.17 1966 71,915 36,340 35,575 70,596 1.98 1967 69,416 38,268 31,148 61,212 1.96 1968 63,573 45,125 18,448 36,334 1.97 1969 77,275 47,422 29,853 56,672 1.90 1970 80,050 23 0L 31.246 58,618 1.88 1971 78,635 ,22? 25,l06 51,236 2.02 -1972 71,674 56,750 14,924 30,791 2.o6 W'-73 67,089 57,690 9,399 26,733 2.8h ?~7'+ 61,387 60,907 480 4,1452 9.30 97 5/c $ 7, 522 60,i3$ - /a Quantities in thousands of 142-gallon barrels. Apparent domestic refinery consumption is production minus exports (plus imports in 1975). /b Values in thousands of US dollars. /c Preliminary. Source: Banco de la Republica; IBRD. Table 3.8 - COLOMBIA: EXPORT REGISTRATIONS BY MAIN PRODUCTS, 1960-75 (In thousands of US dollars) 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 1974 1975 Maler Export: 348.736 328.034 347.303 314.325 393.164 346,742 333.201 3122392 3532 792 356,524 461Q015 399,609 428.056 595,488 623,099 680,500 CoCfCu 348,736 328,034 347,303 314,325 393,164 346,742 333,201 312,392 353,792 356,524 461,015 399,609 428,056 595,488 623,099 680,500 Minor Enports: AgriEult-ral Products i 22,105 29,946 29.547 22,107 32.329 58,886 47.558 58.921 71.963 97,424 104,823 125,713 166,821 179,164 304,057 341.572 Cotton 14,140 16,197 13,810 6,740 6,163 8,233 5,124 21,610 30,132 36,038 34,671 33,163 50,380 39,797 86,849 82,886 Cattlo and Beef - - - - - 12,391 9,378 1,876 4,890 16,454 25,641 32,586 40,689 46,469 42,582 88,078 Sugar - 5,193 7,455 5,012 2,850 7,967 7,547 12,044 15,867 16,932 14,311 18,869 30,662 27,519 96,069 82,467 B-nonas 5,632 5,235 2,745 3,260 14,595 19,885 16,060 17,234 14,910 15,972 17,081 22,126 21,800 22,027 27,722 38,769 Tobacco 2,333 3,321 5,537 7,095 8,721 5,056 5,483 4,107 4,858 7,529 7,373 10,459 9,867 21,805 22,059 17,786 Shrinp and Sholl Fish - - - - - - - - - 4,118 4,754 6,733 9,933 10,198 12,952 12,082 Flowers - - - - 4,554 3,966 2,050 1,326 381 992 1,777 3,490 11,349 15,924 19,504 Manufaetured Products /L 281 2.759 5,834 6,07 8,431 _2<04 20,650 25,334 39,767 65,536 70,778 80,053 133,400 251,535 388,533 302,975 Cllthias and Te-tils 222 259 2,136 1,886 3,422 8,848 10,748 2,998 12,451 16,971 20,486 25,718 44,657 102,054 184,185 103,745 Loather and Hid.u 59 314 1,075 844 1,026 4,195 3,301 3,739 6,720 9,124 6,908 7,370 23,419 30,180 16,188 17,678 Chemic-1 cud Phar,a-tuticals - - - - - - 4,223 4,713 3,087 8,888 11,350 15,782 34,966 65,973 55,714 Metallic Products - - - ' - 3,058 2,988 4,551 5,532 7,353 12,400 27,692 32,545 20,959 Meohonical cud electri-al Equipmnnt - - - - - - - 2,700 3,037 4,294 4,383 5,341 7,793 13,064 25,423 24,866 Tinber und Wlad Prod--to - 2,186 2,623 3,287 3,983 4,176 3,967 4,189 3,487 7,020 6,020 6,466 8,040 14,919 18,617 11,941 Paper, Cartoos ond Bonks - - - - - - - - 8,738 9,995 10,(18 11,486 15,973 26,802 34,416 Ceno-t - - - - - 2,821 2,634 3,135 3,885 3,654 4,484 2,865 5,938 7,898 12,435 23,001 Glass .- - 1,292 2,486 4,097 4,082 3,572 3,885 4,789 6,445 10,655 MnrlProducts , - 16223 8740 9791 48 519 60253 8,79 15,375 Minerald - -du 4,443 3,272 5,908 43,781 57,234 6,334 13,221 Gold - -- - - - - - - - 7,316 2,277 1,541 2,521 - - - Platiosn - - - - 4,464 3,191 2,342 2,217 3,019 2,456 2,154 Other Pr-deets /2 10,911 12,968 18.562 20,452 32,875 17,741 37.493 38,605 44.397 47.807 29,081 38,508 65.412 123,639 174,900 201,816 Groon Total - Minor Exparts /3 33,297 45,673 53,943 48,576 73,635 96,667 105,701 122,860 6,7 222,990 213,422 254.065 414,152 614,591 876,280 861,738 Adju-t-nts and Ca-cellations /4 - - - -7 _ 810 - 3.664 -1976 - 15 _ 9,91 - 9 22.000 - 30,516 - ,9 j9,313 Net Total - Minor Exports 33,297 45.673 53,943 48.576 73,635 96,667 104,891 119,196 154_171 2A4,331 203,431 233_760 392,152 584,075 7S2.474 767,425 Total Meruhandise Euports 382,033 373,707 401,246 362,902 466,799 4438.39 438,092 431,588 507,963 560,855 673,699 653,672 820,208 1,179,563 1,417,573 j,4947,925 /1 Totals frau 1960-1968 do not include data which is cot avuiluhie hut i-cludod ie etheis. /2 Iul,,de- datc which is not available fron 1960-1968. L3 Crudo petroleon out i-eO,ded. /4 FPon 1960-1965, adjusteento and cancellations niEht ha-e b-ee uncted out. Source: Bunco de la Republica. Table 3.9 - COL014BIA: CUSTOMS CLEARAICE OF MERCHANDISE EXFORTS / 1960-75 (thousands of U.S. Dollars) Other Coffee Banana. Cotton Sugar Live Cattle Tobacco Cement Hides & Skins'2 Products Total 19i0 332,269 13,657 12,587 9 2,376 2,000 - 21,672 38)6,580 1961 307,027 Ll,o55 10,120 5,207 - ,6OLL 2,607 1,063 21,497 366,228 1962 332,020 10, 5 15,638 7,382 155 5,690 1,997 2,017 27,276 602,819 1963 303,006 13,257 9,366 5,hoo 110 7,167 1,559 2,515 27,019 369,659 1966 394,228 12,406 6,277 3,271 156 9,k37 2,315 L,-53 60,631 673,174 1965 363,901 18,620 0,040 7,597 6,34L 7,205 2,221 6,795 52,252 450,975 1266 328,366 19,990 2,176 e,257 6,0OU 5,551 2,125 3,046 60,737 436,995 1967 322,372 25,003 15,335 11,256 1,6122 6,390 2,643 3,639 62,651 668,711 1263 351,661 26,8'92 27,839 16,906 1,689 6,903 3,300 6,311 86,606 522,045 1969 343,915 1?,731 32,597 14,747 6,873 7,256 3,130 7,253 115,332 550,834 1970 466,71.2 18,075 30,660 14,030 17,215 7,169 3,124 6,680 115,364 677,039 1971 395,393 16,657 46,806 15,709 16,079 9,164 2,937 5,993 137,466 664,28L 1972 629,578 13,713 78,870 28,6O3 13,682 9,879 5,434 16,570 238,451 834,580 1973 596,096 15,,,20 79,273 30,188 2,737 15,271 6,286 20,200 611,061 1,177,33? 1976 622,738 25,022 95,063 72,108 2,927 12,930 7,523 7,657 629,691 1,3L5,789 1m 596,89" 15,620 79,273 30.188 2,737 15.271 6,286 20,208 611,061 1,177,338 January 61,011 1,128 3,965 2,235 485 562 449 1,669 24,158 76,6 62 February 36,520 1,063 6,775 6,694 128 1,762 371 395 22,736 70,766 March 65,555 1,152 6,298 5,218 206 2,196 697 1,628 26,163 88,898 April 69,277 1,113 12,170 2,523 146 1,8645 667 2,034 31,464 101,232 May 6t7,655 1,014 3,491 - 173 2,789 162 2,841 28,956 87,061 June 60,354 1,166 8,827 838 - 2,257 388 1,317 34,118 97,273 July 31,600 1,363 6,763 - 1,225 467 1,665 35,514i 78,226 August 6O,387 1,615 6,6i93 6,399 635 122 705 1,663 66,328 9s,647 September 73,812 1,1166 5,088 2,300 316 500 901 1,371 L2,909 128,661 October 36,375 1,51i 8,000 2,623 168 871 1,260 45,990 94,873 November 53,207 1,679 8,763 859 606 66 260 1,409 36,917 103,562 December 96,011 1,166 6,560 6,698 666 1,801 569 2,656 37,780 151,694 iL2LL 622.285 25,022 95,SvR3 72,108 2,927 12,230 7,523 6 65 499,491 1,345,789 january 6.7,326 1,606 4,761 - 29s 38L 504 1,840 36,343 93,057 February 68,675 1,09L 12,630 18 266 1,o63 526 626 35,893 120,579 March 71,652 1,800 13,261 - 369 1,367 553 929 53,535 1l3,546 April 63,n63 1,366 6,216 1,650 25s 601 366 379 29,953 104,196 Mlay 55,887 2,010 8,669 4,217 360 1,171 630 602 68,039 121,365 June 71,511 2,099 12,200 3,006 309 3,935 568 378 51,015 165,001 July 3'7,25 1,963 5,936 - 267 1,626 225 906 66,159 q96,965 AugT,st 35,678 2,1i5 5,205 7,676 52 761 1,162 562 36,310 87, September 38,059 2,177 0,361 13,760 250 639 795 236 33,022 97,379 October 26,038 2,003 6l,016 16,09o 162 633 571 907 29,138 30,336 November 65,617 3,131 7,588 15,269 222 776 928 323 63,205 116,857 Decenber 60,519 2,791 7,236 10,616 168 106 737 171 58,079 161,197 !Z_5ZL 297,704 15,219 30,9221 46,390 5.023 7L.26 ,86;7 64 211.939 622.137 January 68,339 2,806 6,210 1,709 213 1,649 673 835 62,320 104,552 February 50,951 2,253 7,666 26,325 70 667 538 166 28,996 115,412 March 33,085 2,369 6,366 7,027 139 1,241 918 251 36,503 85,879 April L66,00 3,066 5,656 6,463 556 1,802 1,546 560 35,265 99,720 51,8.3 2,399 3,366 3,787 1,685 1,11 81l 6-26 3Li,6144 100,075 Jure 66,658 2,368 3,886 5,079 2,360 1,371 362 226 36,211 1161,99 I Excluiding cr ide petroleir. /2 Fromn 1961 to 1966 includes finished leather. P Provisional. January-June data only. Source: DANE Table 3.10 - COLOMBIA: MINOR EXPORTS EXCHANGE SURRENDERS BY MAIN PRODUCTS, 1960-1975 (In Thousands of US Dollars) Page 1 of 2 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 Agricultural Products /A 20,526 24,636 36,987 24,816 41,50 1 5992 51984 83,626 97,142 122,469 145,866 163,640 131,611 Cotton 13,283 10,770 20,230 6,212 9,296 6,662 4,954 19,607 33,695 36,413 38,646 35,033 46,481 33,067 Cattle and Beef - - - - 202 6,079 6,378 4,072 4,471 10,970 29,273 42,875 40,880 42,463 Sugar - 5,233 7,451 5,038 3,282 7,696 10,043 15,947 22,035 17,495 21,837 26,635 33,199 17,202 Bananas 5,031 5,564 4,195 4,957 17,549 25,384 23,729 19,173 15,571 18,559 17,704 17,943 19,929 10,137 Tobacco 2,212 3,069 5,111 8,609 10,904 5,332 4,431 5,072 7,072 9,145 8,799 13,192 11,584 10,360 Shrimp and Shellfish /2 /2 /2 /2 /2 /2 /2 /2 /2 4,560 4,989 7,880 6,593 8,691 Flowers - - - - 268 839 2,449 1,361 782 909 1,221 2,308 4,974 9,691 Manufactured Products 5,867 7,593 12,362 14,096 20,108 25,903 27 216 36,842 55,804 59,818 75,670 lOl 800 125,186 191,090 Clothing and Textiles 183 1,110 4,336 3,840 6,645 11,842 8,450 8,923 16,043 15,132 21,820 35,969 43,899 70,478 Leather and Hides 539 884 2,105 2,523 3,868 3,668 3,051 3,635 6,276 8,658 7,010 7,519 15,740 19,097 Chemicals and Pharmaceuiticals 431 592 1,000 1,626 2,085 3,864 2,625 3,835 6,595 8,081 9,274 17,187 18,348 24,709 Metallic Products - - - - - - 2,388 3,470 3,322 4,063 4,359 8,407 13,775 19,644 Mechanical and Electrical Equipment 678 791 488 650 1,030 949 1,866 2,154 2,409 4,857 6,645 7,078 7,969 12,573 Timber and Wood Products 2,279 2,195 2,508 3,861 4,145 3,688 3,877 4,526 5,647 7,204 7,498 9,618 9,494 21,104 Paper, Cartons and Books - - - 273 329 427 2,963 5,454 9,186 6,333 10,727 8,933 7,141 14,543 Cement 1,757 2,021 1,925 1,323 2,006 1,463 1,996 3,269 3,978 3,229 3,446 2,721 4,847 5,394 Glass - - - - - - - 1,576 2,34B 2,261 4,891 4,368 3,973 3,548 Mineral Products - - - 1,029 2,58 1,528 170 1,818 6,090 13,931 10,865 11,656 51,034 77,660 Emeralds - - - 3,868 3,415 5,797 41,607 74,279 Gold - --4,207 4,437 3,128 7,284 - Platinum - - - - - - 5,856 3,013 2,731 2,143 3,381 Other Products 3,858 4.613 4 663 5,242 8.987 19,350 16,359 13.168 32,914 36.306 28.007 38.506 67,017 72,920 Total 30,251 36,42 54,012 45,18 3 73,164 98,773 95,729 117,060 178.434 207,197 237 011 297,828 406,877 473,281 Table 3.10 - COLOMBIA: MINOR EXPORTS EXCHANGE SURRENDERS BY MAIN PRODUCTS, 1960-1975 (In Thousands of US Dollars) Page 2 of 2 1974 1975 I II III IV Total I II III IV Total Agricultural Products 37,414 44,729 56,515 69,080 207,738 96,197 93790 74.930 77_.33 332,456 Cotton 12,232 17,649 21,541 20,262 71,684 33,932 32,571 7,235 13,098 86,836 Cattle and Beef 11,487 4,907 775 1,558 18,727 3,286. 16,754 22,226 8,818 51,084 Sugar 990 5,061 15,202 35,512 56,765 30,647 22,614 22,235 20,925 96,421 Bananas 2,903 3,651 3,816 7,047 17,417 7,515 8,562 9,477 11,402 36,956 Tobacco 4,016 6,315 6,072 3,147 19,550 4,384 5,634 5,909 14,896 30,823 Shrimp and Shellfish 1,876 3,120 2,317 1,972 9,285 1,954 2,894 4,135 3,317 12,300 Flowers 3,910 4,026 2,882 3,492 14,310 4,679 4,761 3,713 4,883 18,036 Manufactured Products 73,757 88,310 76,690 70,440 309,197 60,442 69,385 69,631 57,005 256,463 Clothing and Textiles 29,312 40,856 33,676 28,405 132,249 14,583 25,781 26,609 20,337 87,310 Leather and Hides 2,557 3,014 2,404 2,079 10,054 3,148 1,943 2,676 2,286 10,053 Chemicals and Pharmaceuticals 9,660 10,144 14,213 12,821 46,838 19,308 13,964 14,545 8,930 56,747 Metallic Products 6,635 6,116 6,957 8,388 28,096 8,685 10,624 6,674 7,041 33,024 Mechanical and Electrical Equipment 3,707 4,377 3,557 4,594 16,234 4,101 5,901 5,729 6,224 21,955 Timber and Wood Products 16,637 16,774 8,206 3,392 45,009 1,624 1,544 1,938 1,814 6,920 Paper, Cartons and Books 2,583 3,839 3,882 5,960 16,264 5,517 5,343 6,066 4,391 21,317 Cement 1,629 1,598 2,132 2,903 8,262 1,655 2,291 3,559 3,762 11,267 Class 1,037 1,584 1,663 1,898 6,182 1,821 1,994 1,835 2,220 7,870 Mineral Products 13,071 6,375 4,464 3,633 27,543 2,695 3,795 3,566 4,399 14,455 Emeralds 12,611 5,881 3,911 2,575 24,978 2,194 2,962 3,396 3,701 12,253 Gold _ _ _ _ _ Platinum 460 494 553 1,058 2,565 501 833 170 698 2,202 Other Products 18 569 35,443 28,240 44,529 126 781 31,157 42,328 41,475 60,817 175,777 Total 142.811 174,857 165.909 187.682 671.259 180,691 209,298 189,602 199,560 779 151 /1 Totals from 1960-1968 do not inclu e . -rimp and shellfish. /2 Included in others. Source: Banco de la Republica Table 3.11 - COLOMBIA: ADVANCE AND NORMAL MERCHANDISE EXPORT EXCHANGE SURRENDER, BY QUARTER, 1966-75 a (In Thousand of U. S. Dollars) Page 1 of 2 Coffee Exports Minor Exports Total Merchandise Exports Year and Advance Normal Total Advance/Total Advance Normal Total Advance/Total Advance Normal Total Advance/Total Quarter Surrender Surrender Surrender Percentage Surrender Surrender Surrender Percentage Surrender Surrender Surrender Percentage 1966-I 15,946 43,155 59,101 27.0 6,655 14,779 21,434 31.0 22,601 57,934 80,535 28.1 1966-1I 42,632 67,137 109,769 38.0 6,956 18,670 25,626 27.1 49,588 85,807 135,395 39.6 1966-III 6,451 60,491 66,492 10.0 7,219 14,835 22,054 32.7 13,670 75,326 88,996 15.4 1966-IV 14,590 51.900 66,490 21.9 12,296 14,319 26.615 46.2 26,886 66,219 93,105 28.9 1966 Total 79,619 222,683 302,302 26.3 33,126 62,603 95.729 34.6 112,745 285,286 398,031 28.3 1967-I 16,575 46,136 62,711 26.4 8,608 10,424 19,032 45.2 25,183 56,560 81,743 30.8 1967-Il 36,746 51,678 88,514 41.5 15,274 17,557 32,831 46.5 52,020 69,325 121,345 42.9 1967-III 23,005 47,025 70,030 32.9 16,982 15,004 31,986 53.1 39,987 62,029 102,016 39.2 1967-IV 41.845 55.713 97,558 42.9 25.864 7.357 33,211 77.8 67,699 63,070 130,769 51.8 1967 Total 118.171 200,642 318,813 37.1 66,718 50.342 117.060 57.0 184,889 250,984 435,873 42.4 1968-I 31,808 36,529 68,337 46.5 20,146 13,036 33,182 60.7 51,954 49,565 101,519 51.2 1968-IT 45,208 48,453 93,661 48.3 23,901 21,934 45,835 52.1 69,109 70,387 139,496 49.5 1968-Ill 24,730 47,269 71,999 34.4 25,898 17,536 43,434 59.6 50,628 64,805 115,433 43.9 1968-IV 34,000 46.147 80,147 42.4 29,676 26.307 55,983 53.0 63,676 72,454 136,130 46.0 1968 Total 135.746 178,398 314,144 43.2 99,621 78,813 178,434 55.8 235,367 257,211 492,578 47.8 1969-I 21,972 45,866 67,838 32.4 24,407 21,852 46,259 52.8 46,379 67,728 114,097 40.6 1969-II 33,796 37,383 71,179 47.5 33,017 22,029 55,046 60.0 66,813 59,412 126,225 52.9 1969-Ill 43,651 46,759 90,410 48.3 31,444 20,126 51,570 61.0 75,095 66,885 141,080 52.9 1969-IV 61,764 41,662 103,426 59.7 27,64L 26,681 54,322 50.9 89,405 68.343 157.748 56.7 1969 Total 161,183 171,670 332,853 48.4 116,509 90,688 207,197 56.2 277.692 262,358 540,050 51.4 1970-I 55,095 54,137 109,232 50.4 44,951 16,318 61,269 73.4 100,046 70,455 170,501 58.7 1970-1I 41,624 63,865 105,489 39.5 34,031 18,365 52,396 64.9 75,655 82,230 157,885 47.9 1970-III 22,410 59,981 82,391 26.9 32,926 21,048 53,974 61.0 55,336 81,029 136,365 40.6 1970-IV 4 67.21, 608.4 38.0 4 21.098 69,372 69.6 89,490 88,313 177.803 50.3 1970 Total 13_045 245,198 , 39.5 160,182 76,829 237,011 67.6 320,527 322,027 642,554 49.9 'alo.e 3, I - e:0,.iu1:., C> ,. . ;7,-1 .777 r"e. -'- MRERCHiRN,!-j W-.''ORC EXCHANKC' . N 7 T 7N D)-R, e ( E'AQ," 19F16-' . -- (In rho-sand of U. S. Dollars) Page 2 of 2 Coffee Exporrs Mi-or Export: lotal Merchandise Exporr:s Year j ' Adv-a-oo Noran.I o'al Aq-.ance 'T3"al dva--o Outral Ti:al Ad-am,e/T.tal Adva,ce Normal o .ai Advance/ToCal Quarter S,.rrvndcr Surrenider A rr'a d, r ,CrcCnL'LC S,rre,Jnr Surrend,r Srretde- Percentagae Sirrender q,rrerder Surrender Percen.age 1971-I 28,297 49,063 77,360 36.6 39,58t 18,622 58,208 68.0 67,883 67,685 135,568 50.1 1971-IT 48,816 41,807 90,623 53.9 45,587 23,686 69,273 65.8 94,403 65,493 159,896 59.0 1971-lIl 48,623 46,681 95,304 51.0 47,359 93,350 71,209 67,2 96,L82 70,031 166,513 57.9 1971-IV 47,.567 6 95_323 50.0 _71, 1 0 7_ _99,138 71.8 118, 757,704 194,461 61.1 1971 Total 173_303 185,307 358,610 48.3 204222 93_06 97828 68.6 77,5 278,913 65643 _7.5 1972-I 49,952 47,354 97,306 51.3 64,067 17,693 81,760 78.4 114,019 65,047 179,066 63.7 1972-lI 68,990 41,373 110,363 62.5 87,882 26,160 113,982 77.0 156,812 67,533 224,345 69.9 1972-III 49,926 40,454 90,380 55.2 61,714 27,697 89,411 69.0 111,640 68,151 179,791 61.1 1972-IV 83,620 51.967 135,587 61.7 _3,125 4899 121,724 60.1 156,745 100,566 257.311 60.9 1972 Total 252,488 181,148 433,636 58.2 286,728 120,149 406877 70.5 539,216 301,297 840,513 64.2 1973-1 79,393 .4,CC4 143,457 55.3 42,931 51,046 93,977 45.' 122,324 115,110 237,434 51.5 1973-1l 58,940 85,186 144,126 40.9 66,732 68,443 135,175 49.4 125,672 153,629 279,301 45.0 1973-1II 30,870 51,500 82,370 37.5 13,533-/ 108,191 121,724 11.1 44,403 159,691 204,094 21.8 1973-IV 81,397 84,060 165,457 49.2 _ 122,405 122,405 0.0 81,397 _206,465 287,862 28.3 1973 Total 250.600 284.810 535,410 46.8 123 .96 390,085 4 26.0 373.796 f 1,008,691 37,1 1974-I 116,450 54,545 170,995 68.1 - 142,811 142,811 0.0 116,450 197,356 313,806 37.1 1974-II 83,687 25,645 109,332 76.5 - 174,857 174,857 0.0 83,687 200,502 284,189 29.4 1974-Ill 14,711 82,071 96,782 15.2 - 165,909 165,909 0.0 14,711 247,980 262,691 5.6 1974-tV 92,558 73.706 166_264 55.7 - 187, 8682 0.0 92,558 261,388 353,946 26.2 1974 Total 307,406 235,967 543,373 56.6 - 671,259 671 259 0.0 307,406 907,226 1,214,632 25.3 1975-I 122,065 180,691 302,756 1975-II 133,570 209,298 342,868 1975-III 144,246 189,602 333,848 1975-IV 234,661 199,560 434,221 1975 Total 634,542 779,151 1,413,581 a / Surrender values identified according to original nature, i.e., either advance or normal (ex post). b / Starting August 1973 the advanced exchange surrender was prohibited for minor exports. Source: Banco de la Republica Table C. -CVLOMBIA: REIMBURSAELE AND NON-REIMBURSABLE IMFORT REGISTRATIONS, 1958-75 (Thousands of U.S. Dollars) Reimbursable Non-Reimbursable Special Total Year Imports Imports Imports /1 ITnports 1958 276,528 31,734 - 303,262 1959 377,109 25,913 - 403,022 1960 444,547 42,580 - 487,127 1961 462,517 59,760 - 522,277 1962 396,662 58,646 - 455,308 1963 470,798 85,766 - 556,564 1964 454,705 64,165 - 516,871 1965 431,699 61,438 - 493,137 1966 580,568 59,995 - 640,563 1967 439,220 84,948 - 524a,168 1968 521,261 103,644 - 624,905 1969 638,510 116,735 6,955 762,200 1970 785,390 135,213 9,497 930,100 1971 710,386 74,449 9,865 794,700 1972 - I 183,195 20,211 1,816 205,222 1972 - II 188,084 41,145 2,352 231,581 1972 - III 195,136 27,799 3,186 226,121 1972 - IV 219.469 26 67 132 2482368 1972 Total 785,884 116,122 9,26 911,292 1973 - I 240,221 21,605 2,308 264,134' 1973 - II 266,215 21 ,491 6,637 29L,3L3 1973 - III 265.600 57,848 1,900 325,348 1973 - IV 26L 699 7266 292 341 ,757 1973 Total 1,036,735 175,210 13,637 1974 - I 371,280 57,064 2,093 430,L37 1974 - II 358,257 52,933 2,135 413,325 1974 - III 427,297 78,496 3,200 508,993 1974 - IV __I2LuLU 63.090 350 _ 5L728 1974 Total 1,529,122 251,583 7,777 1,7H8,483 1975 - I 351.575 58,572 2,46L _ 12,611 1975 - II 331,102 57,341 2,504 390-9L7 1975 - III 307,7L4 1,388 2,338 351 ,4l?7 1975 - IV 289,000 56,587 2 002 347,'89 1975 Total 1,279,421 213,888 9,30 1,502,617 /1 Imports into Leticia and San Andr6s. Source : Banco de la RepAblica, INCOMEX. Table 3.13: COLOMBIA: IMPORT REGISTRATIONS BY ECONOMIC CATEGORY$/' 1960-75 (In Thousands of U. S. Dollars) Page 1 of 2 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 Consumer Goods 32,784 7 32,964 33,765 37,670 50,733 35,958 61,428 76,582 101,266 86,410 111,759 Durables 17,293 25,069 16,983 16,882 20,080 11,835 22,740 16,983 29,121 36,101 53,855 38,535 51,324 Non-durables 15,491 22,510 15,981 16,883 17,590 17,211 27,993 18,975 32,307 40,481 47,411 47,875 60,435 Intermediate Goods 2377523 221,707 217,501 280,334 238,421 233,698 337,961 230,791 2622085 310,934 403,408 351,214 430,437 Fuels 9,742 11,438 11,428 10,162 5,760 3,255 2,754 2,568 1,187 4,380 1,289 6,907 5,682 Agricultural inputs 15,637 20,682 16,983 15,716 11,830 8,729 19,089 5,923 6,187 6,797 9,114 8,633 22,460 Industrial inputs 212,144 189,587 189,090 254,456 220,831 221,714 316,118 223,000 254,711 299,757 393,005 335,674 402,295 Pjita_1 Goods 211_657 247,716 194325 229, 077 234,37 3 218,657 2 46,168 254117 2 361,158 405,710 339,991 350,970 Construction equipment 12,568 14,519 12,567 16,271 14,528 9,764 7,815 12,947 9,998 13,745 22,371 13,499 10,734 Agricultural equipmnnt 19,534 20,891 17,210 18,493 17,693 12,378 13,516 10,379 19,372 24,168 14,269 6,907 11,275 Industrial equipment 106,096 118,923 112,461 113,400 120,378 132,703 124,653 134,292 142,666 174,311 214,501 210,571 229,921 Transport equipment 73,459 93,383 52,087 80,913 81,774 63,812 100,184 96,499 121,482 148,934 154,569 109,014 99,040 Unclassified 5,163 5, 2 7 l0,518 12,162 11,736 5,701 3,302 7,874 13,526 19,716 17,085 18?126 Total 4871275 455,308 8 870 1+93 137 640,563 524,168 624,905 762,200 930,100 794,700 911,292 Table 3.13: COLOMBIA: IMPORT REGISTRATIONS BY ECONOMIC CATEGORY,/l 1960-75 (In Thousands of U. S. Dollars) Page 2 of 2 1973 1974 1 97 5 I II III IV Total I II II1 IV Total I II IIIT IV Total Consumer Goods 32,374 44,753 57,927 47,558 182,612 46,992 46,556 56,418 4 9__IU 190.858 41,425 31,872 34,982 43,671 151.950 Durables 13,290 18,116 21,630 11,920 64,956 12,279 16,224 15,057 13,823 S;,49f 14,454 10,372 16,589 16,493 57,908 Non-DNrables 19,084 26,637 36,297 35,638 117,656 34,713 30,332 41,361 26,508 133,367 26,971 21,500 18,393 27,178 94,042 Intermediate Goods 127 , 651 129,985 1 17 3 2 ,2 51 230,138 278,592 3 7,220 99132 203,070 204,850 159,046 156,334 723,300 Fuels 752 540 665 494 2,451 5 79 832 1,826 3,529 6,770 12,021 13,935 494 3,113 29,563 Agricultural Inputs 11,219 5,656 5,805 17,519 40,199 20,829 29,855 47,354 13,566 112,100 6,913 6,975 3,190 2.742 19,820 Industrial Inputs 115,680 123,789 127,923 155,809 523,201 220,670 199,451 229,411 220,125 872,450 184,136 183,940 155,362 150,479 673,917 Capital Goods 97 025 112,402 124,121 112,931 446,479 135,729 129,438 166,524 152,582 586,182 160,718 150,142 156,844 143,626 611,330 Construction Equipment 2,563 10,631 4,269 4,352 21,815 8,860 6,096 7,079 5,061 27,195 8,119 7.066 4,732 7,604 27,521 Agricultural Equipment 2,936 3,040 3,204 11,900 21,080 12,779 10,512 10,806 12,501 46,833 12,769 10,536 14,983 6,619 44,907 Industrial Equipment 68,314 73,695 57,110 60,827 259,946 74,147 69,806 82,128 66,453 293,495 76,585 67,3'9 84,894 75,634 304,462 'Transport Equipment 23,212 25,036 59,538 35,852 143,638 39,943 43,024 66,511 68,567 218,659 63,245 65,591 52,235 53,769 234,440 Unclassified 7,084 7,20 8,907 7,446 30,640 5,638 7,193 7,460 5,595 20,123 7,398 4,083 598 3,958 16,037 Total 264,134 294_343 325348 341,757 1,225,582 430,437 413,325 508,993 435,728 1,788,483 412,611 390,947 351,470 347,589 1,502,637 Memo: 1 Tbtals used are from "Registrar de exportacid'n e importacion" reported in the Revista del Banco de la Rcpublica in the section "Sector Externo". 2. Percentage by categories 1960 to 1970 were taken from "Comercio exterior, ImporLaciones clasificadas segttn uso o destino econo4mico (CUODE)" reported in the "Informe Anual del Gerente a la Junta Directiva" of the Banco de la Republica, part II and then applied to Totals. 3. From 1971 to 1974, figures were reported by Banco de la Republica but adjulsted to fit totals mentioned in memo No. 1. /1 Estimates Source: Banco de la Republica INCOMEX DANE, and Bank staff estimates Table 3.14: COLOMBIA: CTF IMPORTS, BY PRINCIPAL PRODIUCT GROUPS, 1960-75 (Thousands of U.S. Dollars) Machinery and Transport Rubber Electrical Chemicals and Metals and Vehicles and Food Stuffs Textiles and Paper Materials Minerals and Year Equipment Pharmaceuticals Produicts Equipment and Beverages Manufactures and Products Prodtucts Other Total 1960 146,357 78,644 68,238 77,326 31,373 23,425 26,176 17,495 13,256 36,295 518,585 1961 158,700 87,794 64,620 89,664 43,842 21,609 27,552 20,762 9,890 32,696 557.129 1962 169,402 87,425 62,644 61,134 31,752 20,221 26,311 21,848 12,323 47,291 540,351 1963 148,717 97,557 60,956 63,983 22,071 22,080 21,988 18,112 12,917 37,642 506,023 1964 172,632 99,877 78,964 84,085 35,996 24,255 21,677 14,328 11,576 42,901 586,291 1965 140,327 62,042 46,615 63,864 28,145 20,808 21,943 9,936 22,274 37,098 453,502 1966 169,116 128,819 83,765 89,443 49,691 25,775 32,280 14,128 31,807 49,268 674,092 1967 142,969 76,531 54,483 84,072 26,737 13,550 26,554 12,258 20,530 39,171 496,855 1968 187,515 100,793 64,916 117,351 38,850 14,936 35,938 10,403 25,603 46,942 643,247 1969 181,499 103,073 88,946 119,156 44,541 15,253 40,479 13,282 33,427 45,581 685,273 1970 232,078 121,221 111,889 156,095 51,372 17,453 48,382 11,093 36,526 57,912 844,021 1971 275,511 132,551 114,453 133,497 73,760 20,448 46,093 18,228 42,507 72,393 929,441 1972 256,034 143,585 95,072 124,308 60,598 24,300 49,720 12.385 37,934 55,016 858,950 1973 259,304 215,333 113,101 136,002 111,656 40,369 62,955 11,977 43,176 67,645 1,061,518 1974a/ 257,354 316,730 194,102 150,795 121,835 42,795 87,641 15,718 70,789 78,884 1,336,643 l5 150,835 152,708 102,859 38,225 65,052 22,296 47,427 15,113 37,203 41,148 672,865 a/ Provisional. b/ January-June. -ource: DANE Table 3.15: COLOMBIA: CIF CO0IODITY IMPORTS, CLASSIFIED ACCORDING TO END-USE, 1958-72/a (Thousands of U.S. Dollars) Consu-er Raw No- Consumer Materials and Transport Indootrial Other Dorle!b a DablEs/c Fels/d Intermediates/e Coostrsotion/f Equipeent,/ Moohifery/h Goods/i TOTAL 1958 53,948 8,746 12,732 139,315 28,550 21,985 90,527 44,125 399,928 (13.5) (2.2) (3.2) (34.8) (7.1) (5.5) (22.6) (11.0) (100.' 1959 56,371 9,408 12,013 142,251 18,186 39,016 100,017 38,240 415,592 (13.6) (2.3) (2.9) (34.2) (4.4) (9.4) (24.1) (9.2) (100.0) 1960 54,487 19,565 14,138 168,016 25,118 49,777 170,422 17,062 516,585 (10.5) (3.8) (2.7) (32.4) (4.8) (9.6) (32.9) (3.3) (100.0) 1961 63,881 40,461 16,980 165,748 25,019 41,661 182,037 21,020 556,807 (11.5) (7.3) (3.0) (29.8) (4.5) (7.5) (32.7) (3.8) (100.0 1962 57,813 18,546 17,367 170,321 24,584 34,550 193,986 23,184 540,351 (10.7) (3.4) (3.2) (31.5) (4.5) (6.4) (35.9) (4.3) (100.0) 1963 47,561 11,096 13,389 173,826 23,538 44,451 170,237 21,923 506,021 (9.4) (2.2) (2.6) (34.4) (4.7) (8.8) (33.6) (4.3) (10.0) 1964 73,012 15,858 10,884 189,581 24,263 69,320 191,269 12,104 586,201 (12.5) (2.7) (1.9) (32.3) (4.1) (11.8) (32.6) (2.1) (100cl 1965 48,928 12,589 6,052 154,895 12,171 45,669 158,019 15,178 453,501 (10.8) (2.8) (1.3) (34.2) (2.7) (10.1) (34.8) (3.3) (100.5) 1966 88,028 30,841 7,799 271,008 18,216 55,104 188,185 14,966 674,147 (13.1) (4.6) (1.2) (40.2) (2.7) (8.2) (27.9) (2.2) (100.5) 1967 56,755 29,039 7,070 148,569 23,818 53,977 160,363 17,271 495,862 (11.4) (5.8) (1.4) (29.9) (4.8) (10.9) (32.3) (3.5) (100.0) 1968 75,043 23,040 5,191 198,060 18,296 85,882 217,914 19,832 643,258 (11.7) (3.6) (0.8) (30.8) (2.8) (13.3) (33.9) (3.1) (100.0) 1969 80,637 27,847 8,127 235,302 23,938 86,161 192,369 30,892 685,273 (11.7) (4.1) (1.2) (34.3) (3.5) (12.6) (28.1) (4.5) (100.0) 1970 89,470 29,630 8,761 277,371 28,176 112,366 226,760 70,425 842,960 (10.6) (3.5) (1.0) (32.9) (3.3) (13.3) (26.9) (8.4) (100.2) 1971 115,623 30,749 10,960 304,935 34,306 95,403 2E4,477 53,988 929,441 (12.3) (3.3) (1.2) (32.8) (3.7) (10.3) (30.6) (5.8) (100.0) 1972 113,467 44,419 3,505 226,165 26,874 82,887 263,685 95,946 8)8,) (13.2) (5.2) (0.6) (26 .3) (3.1) (9.7) (30.7) (11,2) (100.0' /s Fig-res in parentheses refer to percentage share of total. 7b SITC codes 0, 1, 42, 541, 55, 652-54, 656-57, 665-66, 841, 851, 892, aed 895. 77 STTC codes 667, 696-97, 724.1, 724.2, 725, 732.1, 821, 864, 891, 893-94, 896-97, and 899. /d SIT8 code 3. /e SITT codes 2 (excl. 24), 4 (enc. 42), 5 (earl. 541 sod 55), 61, 62 (excl. 629.1), 641-42 (exsl. 652-54 asd 656-57), 67 (encl. 673 and 678), 68, 692 and 693. /f SITC codes 24, 631-32, 661-64, 673, 678, 691, 694, 698, sod 812. /g SITC codes 629.1 and 73 (excl. 732.1). /b SITC codes 695, 71, 72 (excl. 724-25), and 861. /i SITC codes other 6, other 7, 862-63, other 8, sod 9. Soerte: United Nati.on Yearbook of International Trade Statistics (Commodity Trade Statistics). Table 3.16: COLOMBiA: DIRECT10E OF TRADE, 1960-75 (Thousands of r.s. Dollars) Page 1 of 2 1960 1961 1962 Import Registrations Export Registrations Import ReSistrations Export Registrations Import Registrations Export Registrations Value 'b Value X Value 7V Value Value 7. Value 0. North America 309,336 59.65 303,335 65.29 308,620 55.39 267,454 61.56 299,070 55.35 273,358 58.99 Central America and Caribbean 17,993 3.47 11,762 2.53 18,769 3.37 16,784 3.86 19,011 3.52 20,269 4.37 Latin America 8,035 1.55 6,228 1.34 12,099 2.17 7,414 1.71 14,145 2.62 8,374 1.81 o.w. Andean Group- (6,487) (1.25) (5,953) (1.28) (8,780) (1.58) (6,728) (1.55) (7,577) (1.40) (7,401) (1.60) EuropeaI 165,509 31.92 137,526 29.60 195,810 35.15 138,239 31.82 190,391 35.23 155,661 33.59 Asia 17,095 3.30 5,005 1.08 21,323 3.63 3,565 0.82 16,948 3.14 3,796 0.82 Africa 328 0.06 412 0.09 326 0.06 666 0.15 3Q7 0.07 1,C28 0.22 Other 289 0.05 310 0.07 182 0.03 345 0.08 389 0.07 918 0.20 Gross Totals 518,585 100.00 464,578 100.00 557,129 100.00 434,467 100.00 540,351 100.00 h63,404 100.00 1963 1964 1965 North Aoerica 277,219 54.78 240,563 53.86 297,632 50.76 289,949 52.90 230,130 50,75 258,644 47.97 Central America and Caribbean 18,874 3.73 38,822 8.69 17,619 3.00 45,068 8.22 11,632 2.56 39,771 7.38 Latin America 22 524 4.45 6,970 1.56 34,919 5.96 12,785 2.33 39,329 8.67 20,014 3.71 o.w,. Andean Group- (8,525) (1.68) (5,679) (1.27) (13.431) (2.29) (8,441) (1.54) (14,677) (3.24) (13.195) (2.45) Europe12 168,202 33.24 154,437 34.57 210,878 35.97 194,608 35.50 155,448 34.29 209,162 38.79 Asia 17,999 3.56 4,183 0.94 24,332 4.15 4,096 0.75 15,657 3.50 5,183 0.95 Africa 573 0.11 1,155 0.26 449 0.08 879 0.16 408 0.09 679 0.53 Other 632 0.13 527 0.12 462 0.08 755 0.14 696 0.15 5,691 '.96 Gross Totals 506,023 100.00 446,657 100.00 586,291 100.00 548,140 100.00 453,502 100.00 539,144 100.0 1966 1967 1968 North A-enica 340,571 50.52 226,215 44.57 239,213 48.15 225,064 44.14 306,003 48.54 211,163 41.53 Central America and Caribbean 16,637 2.47 33,193 6.54 15,939 3.21 30,855 6.05 6,874 1.09 16,043 3.15 Latin Amnerics 57,854 8.58 31,851 6.27 38,112 7.67 23,076 4.53 56,252 8.92 32,420 6.38 o.w. Andean Group (20,568) (3.05) (18,573) (3.66) (18,021) (3.63) (17,440) (3.42) (27,656) (4.39) (22,632) (4.45) Europe Z/ 230,151 34.14 206,235 40.63 181,055 36.44 223,418 43.81 233,115 36.97 238,116 -.. 3 Asia 27,317 4.05 7,491 1.48 21,432 4.31 6,439 1.26 26,103 4.14 10,068 1.98 Africa 1,328 0.20 363 0.07 805 0.16 545 0.11 750 0.12 565 9.1 Other 288 0.04 2,243 0.44 306 0.06 526 0.10 1,375 0.22 119 9.72 Gross Totals 674,146 100.00 507,591 100.00 496,862 100.00 509,923 100.00 630,472 100.00 508,494 19^.^9 Table 3.16 - COLOMIBIA: DIRECTION OF TRADE, 1960-75 (Thousands of U.S. Dollars) Page 2 of 2 1969 1970 1971 Import Registrations Exports Registrations Import Registrations Export Registrations port Registrations port Registrations Value 7. Vale 7. val- 7, Value 7. Valoe 7. Val.e 7. North Aoerica 372,674 46.90 197,749 35.21 438,778 47.17 233,167 34.58 344,551 43.36 240,234 36.75 Central Americ- ond Caribbean 17,394 2.28 24,654 4.39 10,677 1.15 30,063 4.46 16,317 2.05 32,904 5.03 Latin America 78,942 10.36 47,298 8.42 84,342 9.07 58,682 8.70 94,718 11.92 71,203 10.89 o.w. Andean Group 1/ (35,575) (4.67) (36,671) (6.53) (43,827) (4.71) (44,289) (6.57) (50,942) (6.41) (56,942) (8.71) Europe 2/ 248,835 32.65 Z71,764 48.39 338,236 36.36 330,033 48.95 275,660 34.69 286,169 43.76 Asia 42,099 5.52 16,377 2.92 56,436 6.07 19,970 2.96 61,235 7.71 21,319 3.26 Africa 535 0.07 1,655 0.29 1,260 0.13 485 0.07 524 0.06 770 0.12 Other 1,687 0.22 2,120 0.38 425 0.05 1,845 0.28 1,672 0.21 1,073 0.17 Gross Totals 762,166 100.00 561,617 100.00 930,154 100.00 674,245 100.00 794,677 100.00 653,672 100.00 1972 1973 1974 North America 374,304 41.08 270,607 32.13 580,361 45.00 432,934 35.66 804,478 45.0 500,465 33.4 Central Amorica and Caribbean 7,790 0.86 35,485 4.21 10,948 0.85 55,119 4.54 32,481 1.8 138,240 9.2 Latis Aoerica 112,630 12.36 119,436 14.18 159,984 12.40 167,387 13.79 221,670 12.4 259,543 17.3 o.w. Andean Group 1/ (46,042) (5.05) (82,700) (9.82) (69,609) (5.40) (115,112) (9.48) 126,280 7.1 202,338 13.5 Esrope 2/ 334,981 36.76 366,592 43.53 447,082 34.66 495,770 40.83 575,075 32.2 566,108 37.8 Asia 78,357 8.60 48,838 5.80 88,623 6.87 57,150 4.71 150,775 8.4 27,463 1.8 Airica 924 0.10 1,138 0.14 1,277 0.10 4,804 0.40 1,645 0.1 6,463 0.4 Other 2,190 0.24 114 0.01 1,582 0.12 929 0.07 1,850 0.1 1,097 0.1 Gross Totals 911,176 100,00 842,210 100.00 1,289,857 10.00 1,214,093 100.00 1,788,474 100.0 1,499,379 I00.0 1975 North America 704.406 46.9 440,336 28.6 Central America and Caribbean 32,565 2.2 124,104 8.1 o.ti. Anerica 177,631 11.8 294,204 19.1 o.w. Andean Group V 104,445 7.0 247,863 16.1 Europa 2/ 467,099 31.1 624,027 40.6 Asia 117,864 7.8 49,602 3.2 Africa 1,529 0.1 4,305 0.3 Other 1,523 0.1 310 - Gross Totals 1,502,617 l00.0 1,536,888 100.0 It Venezuela only joined the .ndean Group in 1973. Hosever, the figures for the Andean Group for all years include Venezuela in order to make then comparable with those for 1973, 1974, and 1975. 2/ Includes Eastern Europe. Surue: Tnstituto Colombians de Comercio Exterior (Incomes); IBRD. Table 3.17: COLOMBIA: 1iNTERATIONAL M3ONETARY RESERVES OF 1NE CENTRAL bANK, 1960-75 (Million of US dollars) End-of-period positions: 1971 1972 1973 1974 1975 1st 2nd 1st 2nd 1st 2nd 1st 2nd lot 2r,d 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 llalf Half Half Half Half Hl.f Holf Half Rolf Calf Gross Reserves /1 178.4 170.6 115.8 124.6 147.2 145.3 144.1 149.4 217.7 257.3 257.5 219.8 265.3 285.3 392.7 509.7 523.8 532.9 435.6 396.4 552.6 Cold 77.9 88.1 57.3 61.5 57.9 34.8 24.9 31.0 30.6 26.5 16.9 15.7 14.0 14.9 16.3 16.0 16.1 17.8 17.8 39.0 47.6 IMF G1old Tran-he 25.0 25.0 25.0 25.0 25.0 25.0 31.3 31.2 31.3 31.2 39.3 39.2 39.3 42.6 42.6 42.6 42.6 47.3 47.3 47.3 47.3 Foreign E-change 54.5 50.1 28.0 25.3 45.8 61.2 50.3 51.4 141.2 190.8 180.2 125.3 172.2 17b.7 269.0 343.7 351.3 348.5 254.6 214.2 340.0 Net Bil.teral Ag-eements 8.8 5.4 5.5 12.8 18.5 24.3 35.5 35.5 13.6 4.8 12.1 15.7 24.0 24.8 24.5 7.6 - -4.0 -12.2 14.7 28.2 ID8 and IBRD Bonds 12.2 2.0 - - - - 2.1 0.3 1.0 4.0 9.0 8.0 7.5 9.5 21.3 80.9 88.8 93.7 98.5 56.8 65.1 SDRs - - - - - - - - - - - 15.8 8.3 16.8 19.0 18.9 25.0 29.6 29.6 24.4 24.4 Liabilities 11 /2 116.6 205.0 195.3 236.6 269.2 206.8 238.8 185.6 182.5 160.8 105.5 79.4 94.9 87.2 47.5 49.8 7.9 6.9 6.1 6.1 '.3 IXF - 65.0 72.5 121.0 108.5 84.5 88.7 122.6 143.9 137.5 94.1 79.4 92.5 83.9 42.6 42.3 - _ _ _ _ Foreign Banks 116.6 140.0 122.8 115.6 135.7 122.3 139.3 57.4 38.1 23.2 10.4 - - - - - - - - - 0.4 Other - - - - 25.0 - 10.8 5.6 0.5 0.1 1.0 - 2.4 3.3 4.9 7.5 7.9 6.9 6.1 6.1 4.9 Net Reserves 61.8 - 34.4 - 79.5 112.0 -122.0 -61.5 94.7 36.2 35.2 96.5 152.0 140.4 170.4 198.1 345.2 459.9 515.9 526.0 429.5 390.3 547.3 /L Figures ray not odd tn totals becoune ef roueding. /2 Liabilities celfs to short-tern and -edios-terM external obligations (10 yead or less). Source: B.neo de la Republica Table 3.18 -COLOMBIA: OFFICIAL MARKET RATES OF EXCHANGE, BY QUARTER, 1967-75 # (Pesos per US Dollar) Dollar Purchase Dollar Sale End Exchange Petroleum Exchange Prefer- of Certificate Capital Certificate ential Period Rate a/ Rate J Rate v Rate - 1967 - I 13.53 7.67 13.53 9.00 - 1967 - II 14.46 7.67 14.51 9.00 1967 - III 15.30 7.67 15.30 9.00 1967 - IV 15.76 16.25 15.82 9.00 1968 - I 15.98 16.25 16.03 9.00 1968 - II 16.29 16.33 9.00 1968 - III 16.55 16.57 9.00 1968 - IV 16.88 16.91 9.00 1969 - I 17.10 17.14 9.00 1969 - II 17.27 17.31 9.00 1969 - III 17.55 17.59 9.00 1969 - IV 17.85 17.90 9.00 1970 - I 18.15 18.20 9.00 1970 - II 18.41 18.48 9.00 1970 - III 18.76 18.81 9.00 1970 - IV 19.09 19.13 9.00 1971 - I 19.48 19.52 9.00 1971 - II 19.87 19.91 20.00 1971 - III 20.38 20.42 20.00 1971 - IV 20.90 20.94 20.00 1972 - I 21.42 21.48 20.00 1972 - II 21.8? 21.91 20.00 1972 - III 22.32 22.35 20.00 1972 - IV 22.78 22.83 20.00 973 - ! 23.02 23.07 20.00 1973 - II 23.36 23.32 20.00 1973 - III 23.77 23.83 20.00 1973 - IV 24.77 24.82 20.00 1974-- I 25.20 25.25 20.00 1974 - II 25.54 25.58 20.00 1974 - III 25.90 25.95 20.00 1974 - iv 28.56 28.60 20.00 l,75- T ?I.87 ?n.no 1975 - II 30.99 31.02 20.00 1975 - III 32.00 32.04 22.00 1975 - IV 32.99 33-03 24.00 / Decree-Law 444 of March 22, 1967, created this flexible Exchange Certificate Rate which remains in force today. / Monetary Board Resolution 8 of March 10, 1965, established a rate of Col$7.67 for the purchase of dollars brought into Colombia as capital importation by oil companies. Resolution 13 of March 22, 1967, continued this rate and specified precisely the types of activities and outlays to which the rate applied. Resolution 58 of November 10, 1967, ruled that a Capital Market buying rate would be used for petroleum company conversions. This rate existed fram November 1967 through May 1968 at a constant Col$16.25. On June 1, 1968, Resolution 24 transferred petroleum capital transactions to the Certificate Market. 2/ The Preferential Rate for dcmestic purchases of crude petroleum was held at Col$9.00 from 1962 to June 25, 1971, when it was raised to Col$20.00. E End of period exchange rate. Sourcet Banco de la RepLblica Table 3.19 - COLDMBIA: BALANCE OF PAYMENTS EXPORT PROJECTIONS, 1972-1985 1972 1973 1974' 1975 1976 1977 1978 1979 1980 1985 II. Exports f.o.b. A. Constant (1974) US$ Millions Gold, Emeralds, and Platinum 71.1 69.7 2.0 2.1 2.3 2.5 2.7 3.0 3.3 6.8 Crude Petroleum 137.2 88.4 4.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 Coffee 627.8 613.6 622.0 736.3 684.5 691.3 698.3 705.2 712.3 748.6 Cotton , 102.9 45.0 76.0 99.4 109.4 120.3 132.4 141.6 151.6 212.6 Sugar 134.9 85.6 64.0 90.3 103.8 116.3 130.2 145.9 160.4 204.8 Bananas 26.5 23.8 25.0 32.0 37.2 42.7 49.1 55.1 60.6 77.4 Cattle and Beef 62.1 52.1 19.0 20.4 26.6 31.9 37.3 42.9 ' 48.1 61.4 Manufactured Goods 194.7 292.7 398.0 411.9 444.9 489.4 548.1 641.3 750.3 1,469.7 All Other Goods 155.3 199.2 284.0 301.0 325.1 357.6 400.5 460.6 529.7 933.6 o/w Refined Petroleum Products ( 27.0) ( 30.6) ( 91.0) ( 65.4) ( 60.2) ( 65.0) ( 71.5) C 78.7) ( 86.5) ( 105.0) Total Goods 1,512.5 1,470.1 1,494.0 1,692.6 1,733.9 1,852.2 1,999.0 2,195.8 2,416.5 3,714.9 Non-factor Services 300.0 320.6 364.0 385.8 409.0 433.5 459.5 487.1 516.3 801.3 Total Exports 1,812.5 1,790.7 1,858.0 2,078.4 2,142.9 2,285.7 2,458.5 2,682.9 2,932.8 4,516.2 B. Price Indices (1974 = 100) Gold, Emeralds, and Platinum 76.0 88.9 100.0 114.5 121.9 132.2 142.8 153.3 164.2 230.3 Crude Petroleum 22.6 30.2 100.0 133.1 144.8 156.4 167.9 180.5 193.2 271.0 Coffee 74.7 97.3 100.0 100.6 164.3 178.6 153.7 156.6 163.7 192.6 Cotton 54.4 91.2 100.0 73.3 90.0 104.3 112.8 122.4 131.4 184.3 Sugar 25.2 32.7 100.0 66.5 56.4 69.2 70.0 75.6 80.4 112.8 Bananas 90.7 96.7 100.0 113.0 107.0 116.9 126.0 132.0 140.1 218.5 Cattle and Beef 72.5 92.2 100.0 91.3 113.2 133.0 146.2 158.2 171.4 242.6 Manufactured Goods 76.0 88.9 100.0 90.3 105.0 121.2 139.4 150.5 161.1 225.9 All Other Goods 76.0 88.9 100.0 85.0 105.0 121.3 139.4 150.5 161.1 225.9 o/v Refined Petroleum Products 75.9 88.9 100.0 133.1 144.8 156.4 167.9 180.5 193.2 271.0 Total Goods 64.7 85.9 100.0 92.0 124.7 138.4 137.9 145.4 154.3 210.7 Non-factor Services 76.0 88.9 100.0 114.5 121.9 132.2 142.8 153.4 164.2 230.3 Total Exports 66.6 86.5 100.0 96.2 124,2 137.2 138.8 146.8 156.1 214.2 C. Current US$ Millions Gold, Emeralds, and Platinum 54.0 62.0 2.0 2.4 2.8 3.3 3.9 4.7 5.5 15.6 Crude Petroleum 31.0 26.7 4.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 Coffee 469.0 597.0 622.0 740.7 1,124.6 1,234.7 1,073.1 1,104.1 1,166.0 1,441.5 Cotton 56.0 41.0 76.0 72.9 98.4 125.5 149.3 173.4 199.2 391.9 Sugar 34.0 28.0 64.0 60,0 58.5 80.4 91.1 110.3 129.0 231.0 Bananas 24.0 23.0 25.0 35.0 39.8 50.0 62.0 72.7 84.9 169.0 Cattle and Beef 45.0 48.0 19.0 18.6 30.1 42.4 54.6 67.9 82.4 149.0 Manufactured Goods 148.0 260.2 398.0 371.9 467.1 593.1 763.9 965.3 1,208.5 3,320.2 All Other Goods 118.0 177.1 284.0 255.8 341.3 433.4 558.2 693.3 853.2 2,109.0 o/w Refined Petroleum Products ( 20.5) ( 27.2) ( 91.0) ( 87.0) ( 87.2) ( 101.7) ( 120.0) ( 142.0) ( 167.1) ( 284.6) Total Goods 979.0 1,263.0 1,494.0 1,557.7 2,162.9 2,563.1 2,756.6 3,191.9 3,728.9 7,827.2 Non-factor Services 228.0 285.0 364.0 441.7 498.5 573.1 656.2 746.7 847.8 1,845.5 Total Exports 1,207.0 1,548.0 1,858.0 1,999.4 2,661.5 3,136.2 3,412.8 3,938.6 4,576.7 9,672.7 Source: Banco de la Republica, DANE and mission estimates. Table 3,20 - COLOMBIA: BALANCE OF PAYMENTS IMPORT PROJECTIONS, 1972-1985 1972 1973 1974 1975 1976 1977 1978 1979 1980 1985 I. Imports f.o.b. A. Constant (1974) US$ Millions Food 133.6 157.6 120.0 110.0 115.0 120.0 127.4 134.9 142.2 186.5 Other Consumer Goods 63.9 61.1 47.0 45.0 47.0 50.4 53.8 57.4 61.3 85.9 Crude Petroleum - - - 28.1 61.0 86.1 139.9 154.4 215.3 679.1 Raw Materials and Intermediate Goods 535.5 511.0 817.0 692.5 660.0 750.0 870.0 953.0 1,026.0 1,518.7 o/w Refined Petroleum Products ( 7.9) ( 3.4) ( 6.0) ( 30.0) ( 25.2) ( 26.8) ( 28.5) C 33.7) ( 40.0) C 93.8) Capital Goods 431.5 426.3 525.0 426.1 525.0 590.0 650.0 685.0 735.0 1,042.7 Total Goods 1,164.5 1,156.0 1,509.0 1,301.7 1,408.0 1,596.5 1,841.1 1,984.7 2,179.8 3,512.9 Non-factor Services 510.5 497.2 533.0 480.0 510.0 536.8 566.7 598.4 631.9 830.8 Total Imports 1,675.0 1,653.2 2,142.0 1,781.7 1,918.0 2,133.3 2,407.8 2,583.1 2,811.7 4,343.7 B. Price Indices (1974 = 100) Food 42.9 62.2 100.0 88.7 101.2 109.7 118.5 124.2 133.0 182.2 Other Consumer Goods 76.0 88.9 100.0 114.5 121.9 132.2 142.8 153.3 164.2 230.3 Crude Petroleum 22.6 30.2 100.0 109.2 126.3 137.5 149.8 161.0 173.1 231.6 Raw Materials and Intermediate Goods 76.4 89.3 100.0 114.5 121.9 132.2 142.8 153.3 164.2 230.3 Capital Goods 77.2 87.6 100.0 114.5 121.9 132.2 142.8 153.3 164.2 230.3 Total Goods 72.8 84.9 100.0 112.2 120.4 130.8 141.6 151.9 163.0 228.0 Non-factor Services 76.0 88.9 100.0 114.5 121.9 132.2 142.8 153.3 164.2 230.3 Total Imports 73.8 86.1 100.0 112.8 120.8 131.2 141.9 152.2 163.3 228.4 C. Current US$ Millions Food 57.3 98.0 120.0 97.5 116.4 131.6 150.9 167.5 189.1 339.9 Other Consumer Goods 48.6 54.3 47.0 51.5 57.3 66.7 76.9 88.0 100.7 197.7 Crude Petroleum - - - 30.6 77.0 118.5 209.6 248.6 372,8 1,573.1 Raw Materials and Intermediate Goods 409.1 456.3 817.0 792.9 804.5 991.5 1,242.4 1,460.9 1,684.7 3,497.5 o/w Refined Petroleum Products ( 6.0) ( 3.0) ( 6.0) ( 32.8) ( 31.8) ( 36.9) ( 42.7) ( 54.3) ( 69.2) ( 217.2) Capital Goods 333.1 373.4 ( 525.0) 487.8 640.0 780.0 928.2 1,050.1 1,206.9 2,401.3 Total Goods 848.1 982.0 1,509.0 1,460.5 1,695.2 2,088.2 2,608.0 3,015.1 3,554.2 8,009.6 Non-factor Services 388.0 442.0 533.0 549.6 621.7 709.7 809.3 917.4 1,037.6 1,913.3 Total Imports 1,236.1 1,424.0 2,142.0 2,010.1 2,316.9 2,797.9 3,417.3 3,932.5 4,591.8 9,922.9 Source: IBRD Table 3.21 - COLOMBIA: StltMARY BALANCE OF PAYMETS PROJECTIONS, 1972-1985 (Current US$ Millions) 1972 1973 1974 1975 1976 1977 1978 1979 1980 1985 Imports 1,236.1 1,424.0 2,043.0 2,010.2 2,316.9 2,797.9 3,417.4 3,932.5 4,591.8 9,922.9 Exports 1,207.0 1,548.0 1,858.0 1,999.5 2,661.5 3,136.2 3,412.8 3,938.6 4,576.7 9,672.7 Balance of Goods and NFS - 29.1 124.0 - 185.0 - 10.7 344.6 338.3 - 4.6 6.1 - 15.1 - 250.2 Factor Services - 197.0 - 215.0 - 192.0 - 235.5 - 271.3 - 296.1 - 320.9 _ 375.1 - 435.8 - 989.1 Profits ( 73.0) ( 74.0) ( 60.0) ( 72.2) (- 82.7) (- 95.3) (- 110.4) (- 128.0) (- 148.5) (- 189.6) Other (- 124.0) (- 141.0) (- 132.0) C- 163.3) (- 188.6) (- 200.8) (- 210.5) (- 247.1) (- 287.3) (- 259.5) Current Transfers 35.0 35.0 55.0 75.0 84.0 94.1 105.4 115.9 127.5 205.3 Current Account Balance - 191.0 - 56.0 - 322.0 - 171.7 157.3 136.3 - 220.1 - 253.1 - 323.4 - 926.2 Direct Foreign Investment 17.0 23.0 36.0 15.0 20.0 25.0 30.0 35.0 45.0 72.5 Official Capital Grants - - - - - - - - - Public and M< Loans (Net) 255.3 285.2 158.3 228.6 272.7 188.7 293.5 304.1 388.5 1,076.9 Disbursements ( 351.2) ( 416.7) ( 364.5) ( 367.2) ( 414.4) ( 372.3) ( 527.6) ( 582.3) ( 714.2) ( 1,961.5) Repayments (- 95.9) (- 131.5) (- 206.2) (- 138.6) (- 141.7) (- 183.6) (- 234.1) (_ 278.2) C- 325.7) ( 884.6) Other M< Loans (Net) 54.7 1.8 44.7 10.0 - - - - - IMF Drawings 18.0 - - - Other Short Term; Errors and Omissions 10.1 - 41.0 - 306.0 82.5 - - - - - - Change in Net Reserves (- Increase) - 164.0 _ 213.0 389.0 - 165.0 - 450.0 - 350.0 - 103.5 _ 86.0 - 110.1 - 223.1 Total Net Reserves (End of Period) - 12.0 232.0 - 157.0 8.0 458.0 808.0 911.5 997.5 1,107.6 1,997.8 Debt Service Ratio 12.7 13.6 16.7 12.7 10.2 10.7 11.7 12.0 11.9 14.7 External Public Debt Outstanding 1/ 1,647.6 1,939.3 2,101.1 2,318.3 2,591.1 2,779.8 3,073.3 3,377.5 3,766.0 7,724.8 Debt Service as a Percent of GDP 2.3 3.1 2.5 1.6 1.4 1.5 1.5 1.5 1.5 1.7 1/ Disbursed only. Source: IBRD. Table 4.1 - COLOMBIA: EXTERNAL PUBLIC DEBT AS OF DECEMBER 31, 1975 DEBT REPAYABLE IN FOIT{iGN UURiLfNuY (In Thousands of US Dollars) Debt Outstanding December 31, 1975 CREDITOR COUNTRY Type of Creditor Disbursed Undisbursed Total Argentina 757 _ 757 Austria 1,600 - 1,600 Belgium 385 - 385 Brazil 1,551 2,929 4,480 France 24,395 985 25,380 Germany, Fed. Republic of 34,234 4,070 38,304 Italy 4,768 33,815 38,583 Japan 15,233 6,802 22,035 Mexico 10,887 - 10,887 Netherlands 2,924 - 2 924 Panama 240 - 240 Spain 22,276 2,470 24,746 Sweden 25,490 8,084 33,574 Switzerland 4,012 428 4,440 United Kingdom 9,956 5,210 15,166 United States 6,721 1,710 8,431 Multiple Lenders 3,842 3,248 ?7090 Suppliers 169,271 69,751 239,022 Belgium 1,668 - 1,668 France 14,908 - 14,908 Italy 1,197 2,968 4,165 Japan 25,000 - 25,000 Luxemburg 846 363 1,209 Netherlands 191 - 191 Panama - 3,700 3,700 Switzerland 1,583 - 1,583 United Kingdom 8,028 - 8,028 United States 68,519 25,981 94,500 Multiple Lenders 228,000 10.000 238,000 Private Banks 349,940 43,012 392,952 United Kingdom 167 - 167 Muted Stocks 8,043 - 8,043 Multiple Lenders 17,643 - 17,643 Publicly Issued Bonds 25,853 25,853 Japan 25.000 -25000 Privately Placed Bonds 25,000 - 25,000 Bahamas 5,812 - 5,812 United States 15446 15,446 Nationalization 21,258 - 21,258 United Kingdom 2,573 - 2,573 United States 17473- 17,473 Other Private Debt 20,046 - 20,046 IBRD 633,432 266,787 900,219 IDA 22,553 - 22,553 IDB 135,133 131.629 266,762 Loans From International Organiz. 791,118 398,416 1,189,534 Belgium - 4,158 4,158 Canada 21,556 3,551 25,107 Czechoslovakia 183 - 183 Denmark 1,531 - 1,531 France 9,374 11,676 21,050 Germany, Fed. Republic of 35,222 20,492 55,714 Italy 4,639 279 4,918 Japan 1,412 - 1,412 Netherlands 5,315 5,193 10,508 Poland 27 - 27 Romania 29 - 29 United States 832,603 57.089 889.692 Loans From Governments 911,891 102,438 1,014,329 Total External Public Debt 2.314.377 613.617 2.927,994 Note: Debt with a maturity of average years. Source: IURD 04/13/76 Table 4.2 - OCLOMBIA: EXTERNAL PUBLIC DEBT TRANSACTIONS FOR 1968-1975 AND PROJECTED PIPELINE 1976-1994, PAGE I DEBT REPAYABLE IN FOREIGN CURRENCY INCLUOES ONLY DEBT COMMITTED JAN. 1, 1900 - oEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY ARGENTINA YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I a O OTHER CHANGES : BEGINNING CF PERIOD : DISBURSED : INCLUDING COMMlT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCFL- ADJUST- ONLY :UNDISBURSED: MFNTS : MENTS :----------- :-----------:----------- LATIONS MFNT * : PRINCIPAL : INTEREST : TOTAL 11) (2) (3) (4) (5) (6) (7) (8) (9) 1968 - - 1969 - - - _ _ _ - _ 1970 - - - - - - - 1971 - - - - - - - 1972 - _- - - - 1973 - - ZOO - - 12 12 1974 - 200 627 827 57 - 57 - 114 1975 884 884 - - 127 51 178 - - 1976 757 757 * * * * * * rHE FOLLOWING FIGUPES ARE PROJECTED * * * * * * 1976 757 757 - - 127 43 170 - 1977 631 631 - - 127 36 163 - 1978 505 505 - - 127 z8 155 -1 1979 379 379 - - 17 20 147 - - 1980 252 252 - - 127 13 140 1981 125 1Z5 - - 84 6 90 - 1982 42 42 - - 42 1 43 THI S CS-LUYN SkhflS TH'- AN2UNT r1 AT IT, 1VAL&4CE Ili rTF AMwU'4T -OTsSTAAJN L' I' CLUr,l C, :)CL5 )J 11 Y- X T; THI 'rXT. THI MOST CCAr CaJSFS 1,F I'^-ALPNCES Ai CH1AN:GS I'r EXCH&%G RATTFS AN,- T-:FSF< - FE5 Pf'S4 f!,. CATECCDY rc ANCTI-Fk I' Tt - TAeLF. 04/13/76 p (iF 2 INCLI'OES ONLY DFBT COMMITTED JAN. 1, 1900 - OFC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRFNCY ANn GOODS (IN THOUSANDS OF U.S. DOLLARS) TYP; OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY AUSTRIA YEAR DEBT OUTSTANDING AT T R A N S A C T 1 0 N S 0 U R I N G P E R I 1 D : OTHER CHANGES BEGINNING OF PERIOD DISRI)RSFD INCLUDING COMMIT- DISBURSE- : S e P V I C E P A Y M F N T S CANCFL- ADJUST- ONLY :UNDISBURSED: MENTS MENTS ----------- ----------- ----------- LATIONS MENT ' : PRINCIPAL INTEREST : TOTAL * I) (2) (3) (4) (5) (6 (7) (8) ( 9) 1968 - - 1,586 - - - - - 1969 - 1,586 - 1,586 - - - - 1970 1,586 1,586 700 700 - - - - 1971 2,286 2,286 - - - - - - 1972 2,286 2,286 - - 114 148 262 - 1973 2,172 29172 - - 229 127 356 - 1974 1,943 1,9943 - - 114 53 167 - 1975 1,829 1,829 - - 229 97 326 - 1976 1,600 1,600 * * * * 4 * THE FOLLOWING FIGURES ARF PROJECTED * * * * * * 1976 1,600 1,600 - - 229 85 314 -1 1977 1,372 1,312 - - 229 72 301 - - 1978 1,143 1,143 - - 229 60 289 I 1979 915 915 - - 229 47 276 - 1980 686 686 - - 229 35 264 - 1981 457 457 - - 229 22 251 -1 1982 229 229 - - 229 9 238 - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/13/76 PAGE 3 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT RFPAYABLE IN FOREIGN CURRENCY ANO GOODS (IN THOUSANDS OF U.S. DCLLARS) TYPE OF CREOITOR SUPPLIERS, CREDITS CREDITOR COUNTRY BAHAMAS YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLODING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS : MENT t : PRINCIPAL : INTEREST : TOTAL (13 (2 : (3 : (4 : (53 : 6 : (7 : (83 (93 1968 - - - - - - - 1969 - - 99 99 _ _ _ 1970 99 99 - - _ - _ 1971 99 99 - - - - - 1972 99 99 - - 5 _ 5 1973 94 94 - - _ - - 1974 94 94 - - 94 - 94 1975 - - - - - 1976 - - * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDIS8URSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 4 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDItOR SUPPLIERS, CREDITS CREOITOR COUNTRY BELGIUM YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSFD . INCLUDING COMMIT- DISBURSE- : S E R V I C F P A Y M F N T S CANCEL- ADJUST- : ONLY :UNDIS8URSED: MENTS MENTS :--------:-----------:-----------: LATIONS MENT * : PRINCIPAL : INTEREST : TOTAL : (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 1,232 1,232 115 115 142 35 177 - 1969 1,205 1,205 - - 151 65 216 - 1970 1,054 1,054 - - 195 62 257 - 1971 859 859 219 219 126 32 158 - 1972 952 952 890 176 323 59 382 - 1973 805 1,519 - 714 409 67 476 - 60 1974 1,1170 1,170 - - 341 80 421 - 49 1975 878 878 - - 480 49 529 - -13 1976 385 385 * 4 * * * * THE FOLLOWING FIGURES ARE PROJFCTED * * * * * * 1976 385 385 - - 192 25 217 - -1 1977 192 192 - - 192 11 203 -- * THIS COLUMN SHOWS THE AMOUJNT OF ARITHMFTIC IMBALANCE IN THE AMOUNT OHITSTANIDNG INCLUDING JNfOISBURsEO FROM ONEC YEAR TO THF NEXT. THE MOST COMMON CAUSES OF INmALANCES ARE CHANGES IN FXCHANGF PATES AND TPANSFf cr Di BTS fRnM ONE CATEGORY TC ANCTHER IN THE TABLE. 04/13/76 PAGE 5 INCLUDES CNLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANOS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY BRAZIL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I O N S D U R I N G P E R I O D OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 - - - - - - 1969 - - - - - - 1970 - - - - - - - - 1971 - - - - - - - - 197Z - - - - - - - - 1973 - - - - - - - - 1974 - - 3,300 - - - _ 1975 - 3,300 1,180 1,551 - 100 100 1976 1,551 4,480 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 1,551 4,480 - 1,857 66 207 273 - 1977 3,342 4,414 - 705 161 285 446 - 1 1978 3,887 4,254 - 325 364 298 662 - - 1979 3,848 3,890 - 42 537 269 806 - - 1980 3,353 3,353 - - 537 230 767 - - 1981 2,816 2,816 - - 406 194 600 - -1 1982 2,409 2,409 - - 406 165 571 - - 1983 2,003 2,003 - - 406 136 542 - -1 1984 1,596 1,596 - - 406 106 512 - - 1985 1,190 1,190 - - 406 78 484 - - 1986 784 784 - - 406 49 455 - -1 1987 377 377 - - 377 19 396 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOIS8URSEO FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/13/76 PAGE 6 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FORFIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITCR COUNTRY FRANCE YEAR : DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N C P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : DISBRSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :----------- -----------:----^------- LATIONS MFNT 4 : PRINCIPAL INTEREST : TOTAL : (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 377 2.269 2,283 1,144 342 21 363 - -1 1969 1,179 4,209 3,098 1,755 310 163 473 141 1970 2,625 7.138 51,160 3,389 1,024 53 1,077 - -1 1971 4,989 57,273 96 6,410 6,466 170 6,636 - -4 1972 4,929 50,899 - 15,722 8,977 120 9,097 - -1 1973 11,674 41,921 49400 24,265 8,701 1,163 9,864 2,113 234 1974 24,761 35,741 225 756 5,533 2,173 7,706 72 679 1975 21,113 31,040 - 9,040 5,630 2,092 7,722 - -30 1976 24,395 25,380 4 4 * * * * THE FOLLOWING FIGURES ARE PROJECTED 4 * * * * * 1976 24,395 25,380 - 644 5,529 1,822 7,351 - 1 1977 19,510 19,852 - 238 5,357 1,440 6,797 - 2 1978 14,393 14,497 - 104 5,357 1,050 6,407 - -2 1979 9,138 9,138 - - 5,011 657 5,668 - 2 1980 4,129 4,129 - - 1,679 288 1,967 - - 1981 2,450 2.450 - - 1,448 166 1,614 - 1982 1,002 1,002 - - 749 56 805 - 1983 253 253 - - 253 15 268 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IM8ALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGF 7 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CUPPFNCY AND GOODS IIN THOUSANDS OF U.S. DOLLARS) TYPF OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY GEPMANY, FED.REP. flF YEAR : OERT OUTSTANOING AT : T R A N S A C T I 0 N S D U P I N G P F R I 0 D OTHF CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING CCMMIT- : DISBURSE- : S E R V I C F P A Y M E N T S CANCEL- : ADJUST- ONLY :UN0ISBURSED: MENTS : MENTS --:-----------: LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : {\ (2) : 3) 1 4) : (S) : 6) : (7) : 3) (9) 1968 9,601 14,097 839 1,634 2,941 511 3,452 3,165 -3 1969 8,291 6,827 2,742 1,513 2,461 337 2,798 273 -148 1970 7,098 8,687 36,040 3,040 1,791 451 2,242 - 181 1971 8,352 43,117 9,013 10,127 7,324 494 7,818 194 -4 1972 11,151 44,608 18 10,703 13,484 427 13,911 84 143 1973 8,435 31,201 3,603 9,950 9,825 348 10,173 15 71 1974 8,615 25,035 23,593 6,967 9,885 624 10,509 - 87 1975 5,753 38,830 10,737 39,322 10,469 524 10,993 - -794 1976 34,234 38,304 * * * * * * THE FOLLOWING FIGURFS ARE PROJECTED * * * * * * 1976 34,234 38,304 - 3,997 2,771 514 3,285 - -33,353 1977 5,106 5,180 - 42 2,889 351 3,240 _ -1 1978 2,258 2,290 - 32 972 158 1,130 - 2 1979 1,320 1,320 - - 673 90 763 -2 1980 645 645 - - 514 38 552 - 1 1981 132 132 - - 119 8 127 1982 13 13 - - 13 - 13 - - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/13/76 PA GE 8 INCLUDES ONLY DEBT COMMITTED JAN. It 1900 - DEC. 319 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. OOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY ITALY YEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHEP CHANGFS B BEGINNING OF PERIOD : DISBURSFD: INCLUDING COMMIT-: DISBURSE- : S E R V I C E P A Y M E N T S CANCfL- ADJUST- : ONLY tUNOISBURSED: MENTS : MENTS : -------- :---------- LATIONS MENT s : PRINCIPAL INTEREST: TOTAL (1) (2I (3) (4) : 5) (6) (7) (8) (9) 1968 129 372 400 - 37 7 44 - -2 1969 90 733 2,611 400 37 3 40 - 1970 454 3,308 5,093 2,697 725 23 748 - 1 1971 2,427 79677 13 4,847 253 59 312 - -1 1912 7,020 7,436 - 416 616 453 1,069 - 17 1973 6,837 6,837 - - 652 378 1,030 - I 1974 6,186 6,186 675 675 1,109 353 1,462 - -9 1975 5,743 5,743 34,000 - 975 361 1,336 - -185 1976 4,768 38,583 * * * * * * THE FOLLOWING FIGURES ARE PROJECTFD * * * * * * 1976 4,768 38,583 - 15,893 923 894 1,817 -- 1977 19,738 37,660 - 10,145 923 2,063 2,986 - 1978 28,959 36,737 - 5,410 3,036 2,467 5,503 - -2 1979 31,332 33,699 - 2,367 49945 2,384 7,329 -- 1980 28,754 28,754 - - 4,739 2,055 6,794 - 1 1981 24,016 24,016 - - 4,739 1,706 6,445 - -1 1982 19,276 19,276 - - 4,483 1,356 5,839 - 1 1983 14,794 14,794 - - 4,227 1,030 5,257 - - 1984 10,567 10,567 - - 4,227 713 4,940 - - 1985 6,340 6,340 - - 4,227 396 4,623 - - 1986 2,113 2,113 - - 2,113 79 2,192 - - * THIS COLUMN SHOWS THF AMOUNT Cf ARITHMETIC IMBALANCF IN THE AMOUNr OUTSTANDING INCLUDING UNDISBURSFD FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCFS ARE CHANGFS IN EXCHANGE RATFS AND TRANSFFR OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 9 INCLUDES ONLY OEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FORFIGN CURRENCY AND GOOOS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERSt CREDITS CRFDITOR COUNTRY JAPAN YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 D OTHPE CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- S E P V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNOISOURSEO: MENTS : MENTS --------- :---------:----------- LATIONS : MENT * PRINCIPAL : INTEREST TOTAL (1) (2) (3) (4I (5) (6 : (7) (8) 49) 1968 1,626 5,974 4,281 334 492 76 568 4,088 1969 1,471 5,678 638 106 558 85 643 - 2 1970 1,020 5,760 1,209 3,973 800 80 880 - -1 1971 4,192 6,168 771. 2,297 1,194 107 1,301 24 - 1972 5,271 5,721 13,537 3,487 1,036 404 1,440 45 102 1973 7,824 18,279 - 3,055 1,454 722 2,176 - 275 1974 9,700 17,100 4,732 9,092 1,757 600 2,357 - 143 1975 17p203 20P218 5,290 1,491 3,340 1,209 4,549 - -133 1976 15,233 22,035 * * * * * THE FOLLOWING FIGURES ARF PROJECTEO * e * * * * 1976 t5,233 Z2,035 - 4,164 3,977 1,163 5,140 - 2 1977 15,422 18,060 - 2,479 4,454 1,142 5,596 - -1 1978 13,446 13,605 - 159 3,229 898 4,127 - I 1979 10,377 10,377 - - 2,678 678 3,356 - 1980 7,700 7,700 - - 2,543 487 3,030 - I 1981 5,158 5,158 - - 1,988 303 2,288 - I 1982 3,171 3,171 - - 1,110 186 1,296 - 2 1983 2,063 2,0h3 - - 516 122 638 - - 1984 1,547 1,547 - - 516 87 603 - 1985 1,031 1,031 - - 516 52 568 - - 1986 515 515 - - 516 17 533 - * THIS COLUMN SHOWS THE AMOUNT OF A9ITHMFTIC IMBALANCE IN THE AMOUNT OUTSTANOING INCLUOING UND[SBURSEF FROMD ONE YEAR TO THE NFXT. THF MOST COMMCN CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFEQ OF PEBTS fROM ONE CATFGORY TC ANOTHFR IN THE TABLE. 04/13/7t PA GE I10 INCLUDES ONLY DEBT CGMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT RFPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY MEXICO YEAR : DEBT OUTSTANDING AT T R A N S A C T I 0 N S 0 tJ P I N G P F P I 0 D OTHFR CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- DISBURSE- : s E R V I C E P A Y M F N T S CANCFL- ADJUST- : UNLY :UNDISRURSED: MENTS MENTS :-----------:----------- ----------- LATIONS MENT * : PRINCIPAL INTEREST TOTAL : (1} : (82) (3 : (4 (5) (6) : (7) (: a) (9) 1968 6,235 13,933 11,104 7,802 1,318 419 1,737 - 1969 12,719 23,719 - 10,726 1,070 363 1,433 - 1970 22,375 22,649 1,139 1,139 2,655 909 3,564 - -1 1971 20,858 21,132 1,776 1,776 2,544 994 3,538 -I 1972 20,091 20,365 1,726 1,243 2,933 810 3,743 3 1973 18,401 19,158 - - 4,153 723 4,876 - 1974 14,248 15,005 598 1,355 1,912 937 2,849 - -43 1975 13,648 13,648 - - 2,761 880 3,641 -- 1976 10,887 10,887 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 10,887 10,887 - - 2,761 689 3,450 - -2 1977 8,124 8,124 - - 2,761 497 3,258 -- 1978 5,363 5,363 - - 2,761 306 3,067 -- -3 1979 2,599 2,599 - - 1,656 137 1,793 -- 1980 943 943 - - 892 36 928 - 1981 51 51 - - 51 2 53 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 11 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY NETHERLANDS YEAR : DEBT OUTSTANDING AT : T R A N S A C T I O N S D U R t N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS MENTS :--------------------:---------- LATIONS : MENT* : : : : PRINCIPAL INTEREST s TOTAL : (1) (2) (3) (4) (5) : 6) (7) (8) (9) 1968 227 227 131 2 - - - 1969 229 358 - 129 13 4 1T - 1970 345 345 4,386 - 50 14 64 - 1971 295 4v681 791 5,177 1,681 18 1,699 - - 1972 3,791 3,791 957 780 447 353 800 6 326 1973 4,118 4,621 200 200 308 210 518 - 282 1974 4,292 4,795 - 503 1,094 324 1,418 7 - 1975 3,701 3,701 - - 738 301 1,039 - -39 1976 2,924 2,924 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 2,924 2,924 - - 678 240 918 - -1 1977 2,245 2,245 - - 678 180 858 - -1 1978 19566 1,566 - - 678 122 800 - - 1979 888 888 - - 613 64 677 - -1 1980 274 274 - - 274 12 286 * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IM8ALANCE IN THE AMOUNT OUTSTANOING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 12 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY PANAMA YFAR DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHFR CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSF- : S E R V I C F P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS : - ---------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : t :(1) (2) (3) (41 (5) (6) (7) (8) (91 1968 194 1,494 - - 60 8 68 1,300 1969 134 134 - - 60 1t 71 - 1970 74 74 - - 60 12 72 - 1971 14 14 - - 14 - 14 - 1972 - - - - 1973 - - 400 - - - - _ 1974 - 400 - 400 80 26 106 - L975 320 320 - - 80 24 104 - 1976 240 240 * * * * * * THE FOLLOWING FIGURES ARF PROJECTED s * * * * * 1976 240 240 - - 80 18 98 - 1977 160 lbO - - 80 11 91 - 1978 80 80 - - 80 5 85 ^ * THIS COLUMN SHOWS THF AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBtJRSED FROM ONF YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHEP IN THE TABLE. 04/131/76 PAGE 13 INCLUDES ONLY DEBT COMMITTED JAN. 1l 1900 - OEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS IIN THOUSANDS OF U.S. DOLLARSI TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY SPAIN YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISSURSEO: MENTS : MENTS ---------- -----------:----------- LATIONS : MFNT * : PRINCIPAL : INTEPEST TOTAL : 1) : 2) (3) : 4) (5) (6) (7) (8) (9) 1968 5,307 17,550 245 156 1 - I - 1969 5,462 17,794 73 12,331 13 6 19 - - 1970 17,780 17,854 155 23 3,485 2 3,487 - - 1971 14,318 14,524 2,551 2,706 83 556 639 51 - 1972 16,941 16,941 14,716 - 1,735 5 1,740 - 68 1973 15,276 29,990 700 5,414 1,197 9 1,206 - - 1974 19,493 29,493 - 8,928 3,153 749 3,902 - 690 1975 24,578 25,650 2,470 1,072 3,374 1,711 5,085 - - 1976 ZZ,276 24,746 * * * * * * THE FOLLOWING FIGURES ARF PROJECTED * * * * * * 1976 22,276 24,746 - 1,314 3,806 1,447 5,253 - 2 1977 19,786 20,942 - 859 4,064 1,282 5,346 - - 1978 16,581 16,878 - 297 4,086 1,056 5,142 - 3 1979 12,795 12,795 - - 2,909 802 3,711 - - 1980 9,886 9,886 - - 1,733 647 2,380 - I 1981 8,154 8,154 - - 1,767 529 2,296 - 1982 6,387 6,387 - - 1,589 411 2,000 - 1 1983 4,799 4,799 - - 1,628 300 1,928 - - 1984 3,171 3,171 - - 1,670 189 1,859 - - 1985 1,501 1,501 - - 1,372 72 1,444 - - 1986 129 129 - - 129 6 135 - - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IM8ALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISURSED FROM ONE YEAR TO THF NFXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE RATES AND TRANSFER Of DEBTS FROM ONE CATEGORY TO ANCTHER IN THE TABLE. 04/13/76 PAGF 14 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY SWEDEN YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : : DISBUPSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCFL- ADJUST- : ONLY :UNOISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS MENT * : PRINCIPAL : INTEREST TOTAL : (1) : 2) (3) (4) (5) (6) (7) : 8) (9) 1968 12,288 15,217 4,928 1,477 2,200 193 2,393 503 -3 1969 11,535 17,439 826 1,445 935 152 1,087 184 - 1970 12,045 17,146 15,770 8,291 4,780 1,367 6,147 886 -1 1971 15,555 27,249 1,741 7,580 3,690 894 4,584 - 1 1972 19,446 259301 3,925 5,110 4,195 955 5,150 190 595 1973 23,586 25,436 16,002 7,714 3,393 1,450 4,843 966 461 1974 27,669 37,540 2,172 9,246 6,702 1,127 7,829 10 5 1975 30,218 33,005 8,080 2,718 6,655 2,032 8,687 - -856 1976 25,490 339574 * * * * e 4 THE FOLLOWING FIGURES ARE PROJECTED * 4 * * * 4 1976 25,490 33,574 - 49031 4,948 1,890 6,838 - 2 1977 24,575 28,628 - 2,603 5,305 1,872 7,177 - -1 1978 21,873 23,322 - 1,043 5,073 1,586 6,659 - 3 1979 17,846 18,252 - 406 5,063 1,248 6,311 - 2 1980 13,191 13,191 - - 4,643 881 5524 - 2 1981 8,550 8,550 - - 3,703 556 4t259 - -1 1982 4,846 4,846 - - 1,829 329 2,158 - 2 1983 3,019 3,019 - - 1,729 193 1,922 - 1 1984 1,291 1,291 - - 646 85 731 - 1 1985 646 646 - - 646 36 682 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDIS8URSFD FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER [N THE TABLE. 04113/76 PAGE 15 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY SWITZERLAND YEAR : DEBT OUTSTANDING AT : T R A N S A C t I 0 N S 0 U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING : COMMIT- : DISBURSE- : S E P V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS -----------:---- -----:-----------: LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) 151 16) 2 (7) : (8) (9) 1968 1,954 1,954 72 72 616 llT 733 - - 1969 1,410 1,410 1,637 130 306 76 382 - 1970 1,234 2,741 - 1,356 371 55 426 - _ 1971 2,219 2,370 4,151 905 302 83 385 151 - 1972 2,822 6,068 - 1,030 389 114 503 - 156 1973 3,619 5.835 60 779 429 92 521 - 84 1974 4,053 5,550 - 260 464 96 560 - 394 1975 4,243 5,48O - 809 1,035 328 1,363 - -5 1976 4,012 4,440 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 4,012 4,440 - 324 1,033 281 1,314 - I 1977 3,304 3,408 - 104 790 224 1,014 - - 1978 2,618 2,618 - - 476 175 651 - - 1979 2,14Z 2,142 - - 476 142 618 - - 1980 1,666 1,666 - - 476 108 584 - - 1981 1,190 1,190 - - 476 75 551 - - 1982 714 714 - - 476 42 518 - - 1983 238 238 - - 238 8 246 - - * THIS COLUMN SHOwS THE AMOUNT OF ARITHMETIC IMBALANCE IN THF AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YfAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES APE CHANGES IN EXCHANGE RATES AND TRANSFFR OF DEBTS FROM ONE CATEGORY TC ANOTHEP IN THE TABLE. 04 /I -1 76 DLAG! 1 6 INCLl)DES ONLY OEBT COMMITTFD JAN. 1, 1900 - DFC. 31, 1975 DFBT REPAYABLE IN FOREIGN CUPRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITCR CCUNTRY UNITEO KINGDOM YEAP : DEBT OUTSTANOING AT T R A N S A C T I 0 N S D U R I N G P F R I O 0) OTHfP CHANCGS : BEGINNING OF PERIOD DISBUJRSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCFL- : ADJUST- O ONLY :UN0ISBURSED: MENTS : MENTS :---------------------- :----------- LATIONS : MENT * : PRINCIPAL INTERFST : TOTAL : (1 : (2) (3) I 4) 5) (6) (7) (B) (9) 1968 2,375 4,553 230 161 720 48 768 - 1969 1,816 4,063 2,593 757 227 - 227 147 1970 2,346 6,282 - 175 479 144 623 - -1 1971 2,041 5,802 6,100 1,173 395 110 505 - 5 1972 2,824 11,512 244 4,839 801 147 948 - 76 1973 6,911 11,031 145 3,502 1,292 284 1,576 - 3 1974 9,124 9,887 952 952 1,851 556 2,407 763 9 1975 8,234 8,234 9,380 4,265 1,499 483 1,982 - -949 1976 9,956 15,166 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 9,956 15,166 - 3,126 2,297 679 2,976 - 1 1977 10,786 12,870 - 2,084 2,553 818 3,371 - 1 1978 10,318 10.318 - - 2,518 671 3,189 - 1979 7,800 7,800 - - 2,276 501 2,777 - - 1980 5,524 5,524 - - 2,034 352 2,386 - -1 1981 3,489 3,489 - - 1,055 226 1,281 - 1 1982 2,435 2,435 - - 1,055 153 1,208 -- 1983 1,380 1,380 - - 1,055 79 1,134 - 1 1984 326 326 - - 326 12 338 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISSURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/16 PAGE 17 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY UNITEO STATES YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNOISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS : ENT * : PRINCIPAL : INTEREST : TOTAL : I) (2) : 3) (4) : (5 (61 (7) (8) (9) 1968 17,998 44,080 7,382 9,197 5,166 747 5,v93 22,495 -2 1969 22,026 23,799 7,030 6,464 7.592 1,407 8,999 13 -1 1970 20,884 23,223 1,329 2,740 8,179 1.488 9,667 15 4 1971 15,434 16,362 7,558 5,213 5,326 780 6,106 122 46 197Z 15,367 18,518 1,105 2,641 5,850 1,032 6,882 390 97 1973 12,239 13,480 2,202 1,262 5,508 517 6,025 - - 1974 7,993 10,174 2,283 3,449 2,398 313 2,71.1 - -653 1975 8,395 9,406 1,710 1,011 2,687 585 3,272 - 2 1976 6,721 8,431 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 6,721 8,431 - 1,710 2,374 489 2,863 - -1 1977 6,056 6,056 - - 2,122 378 2,500 - 3 1978 3,937 3,937 - - 1,903 233 2,136 - -2 1979 2,032 2,032 - - 1,496 108 1,604 - -1 1980 535 535 - - 535 26 561 - * THIS COLUMN SHCWS THE 4AMiOUT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN FXCHANGF RATFS AND TRANSFER OF DEBTS FROM ONE CATFGORY TO ANOTHFR IN THE TABLE. 04/13/7A PAGE 18 INCLUDES GNLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEST REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPF OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY VENEZUELA YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P F R I 0 0 OTHFR CHAh4GES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS ---------- ---------:----------- LATIONS : MENT : PRINCIPAL : INTEREST : TOTAL : {1}(1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 2,007 2,007 - - 402 114 516 - 1969 1,605 1,605 - - 401 90 491 - 1970 1,204 1,204 - - 401 66 467 - 1971 803 803 - - 401 42 443 - -I 1972 401 401 - - 401 19 420 - 1973 - - - - - _ - _ 1974 - - - - _ _ 1975 - - - _ _ _ 1976 - * * * * * * THE FOLLOWING FIGURFS ARE PROJECTED * e * * * * * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDIS8URSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/13/76 PAGE 19 INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY MULTIPLE LENDERS YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D : OTHEP CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING : COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S : CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:----------------------: LATIONS : MENT * : PRINCIPAL : INTEREST: TOTAL : ll (2: (3) (4) (5: (6) (7) (8) (93 1968 - _ _ _ 1969 - _ _ _ _ _ _ 1970 - _ _ _ _ _ _ 1971 - - - - - - - 1972 - - _ _ - _ _ 1973 - - - - _ _ _ 1974 - - 7,090 722 - - _ 1975 722 7,090 - 3,120 - 260 260 1976 3,842 7,090 * * * * * * THE FOLLOWING FIGURES ARE PROJECTEO * * t * * * 1976 3,842 7,090 - 2,056 443 458 901 1977 5,455 6,647 - 1,192 886 521 1,407 1978 5,761 5,761 - - 886 471 1,357 - -1 1979 4,a74 4,874 - - 886 395 1.281 - - 1980 3,988 3,988 - - 886 320 1,206 - - 1981 3,102 3,102 - - 886 245 1,131 - - 1982 2,216 2,216 - - 8B6 169 1,055 - -1 1983 1,329 1,329 - - 886 94 980 1984 443 443 - - 443 19 462 * THIS CCLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OJTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF OEBTS FROM ONE CATEGORY TO ANOTHER IN THE TA8LE. 04/13/ 76 PAGE 20 INCLUOF7S CNLY OERT COMMITTED JAN. 1, 1900 - DFC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS ( IN THOUSANDS OF U.S. DOLLARS) TYPF OF CREDITOR SUPPLIERS, CREDITS TOTAL YEAR : DEBT OUTSTANOING AT : T R A N S A C T I 0 N S D U R I N G P F Q I O D : OTHER CHANGES : BEGINNING OF PERIOD : D DISBURSED : INCLUDING COMMIT- DISBURSE- : S F R V I C F P A Y M E N T S CANCEL- ADJUST- : ONLY :MNDISBURSED: MENTS MENTS :----------- :-----------:----------- LATIONS : ENT t : PRINCIPAL : INTEREST TOTAL : (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 61,550 124,959 33,596 Z2,094 14,437 2,296 16,733 31,551 -8 1969 69,172 112,559 21,347 37,441 14,134 2,762 16,896 617 -5 1970 92,223 (.19,150 116,981 27,523 24,995 4,726 29.721 901 181 1971 94,741 210,416 34,780 48,430 29,799 4,339 34,138 542 43 1972 113,391 214,898 37,118 46,147 41,306 5,046 46,352 715 1,579 1973 121,991 211,574 27,912 56,855 37,550 6,102 43,652 3,094 1,471 1974 139,341 200,313 46,247 44,132 36,544 8,011 44,555 845 85 1975 147,462 209,256 72,847 64,399 40,079 11,087 51,166 - -3,002 1976 169,271 239,022 * * * s * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 169,271 239,022 - 39,116 32,234 10,944 43,178 - -30,347 1977 145,804 176,441 - 20,451 33,571 11,183 44,754 - 4 1978 132,688 142,874 - 7,370 31,775 9,584 41,359 - I 1979 108,285 111,100 - 2,815 29,575 7,542 37,117 - I 1980 81,526 81,526 - - 21,841 5,528 27,369 - 5 1981 59,690 59,690 - - 16,951 4,035 20,986 - 1 1982 42,740 42,740 - - 12,867 2,877 15,744 - 5 1983 29,878 29,878 - - 10,938 1,977 12,915 - 1 1984 18,941 18,941 - - 8,234 1,211 9,445 - 1 1985 10,708 10,708 - - 7,167 634 7,801 - 1986 3,541 3,541 - - 3,164 151 3,315 - 1987 377 377 - - 377 19 396 - * THIS COLUMN SHOWS THF AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANCTHER IN THE TABLE. 04/13/76 PAGE 21 INCLUDES ONLY DEST COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY BAHAMAS YEAR DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) (5) (6) (71 (8e (93 1968 2,550 2,550 - - 1,020 130 1,150 - - 1969 1,530 1,530 - - 1,020 53 1,073 - - 1970 510 510 - - 420 3 423 - - 1971 90 90 2,497 2,497 90 89 179 - 1972 2,497 2,497 - - - 149 149 - 351 1973 2,848 2,848 - - - - - - - 1974 2,848 2,848 - - 2,848 - 2,848 1975 - - - - - - _ _ _ 1976 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING 'INDISBURSED FROM ONE YEAR TO THE NEXT. THE MIST COMMON CAUSES OF IMBALANCES ARF CHANGES IN FXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANCTHER IN THE TABLE. 04/13/76 PAGF 22 INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31. 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANOS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY BELGIUM YFAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I O D OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : (1) (2) (3) (4) (5) (6) : 7) (8) (9) 1968 243 3,933 - 197 166 28 194 - 1969 275 3,767 3,600 635 294 55 349 - 1970 616 7,073 2,115 3,974 306 - 306 - I 1971 4,284 8,883 45 45 569 132 701 2,599 234 1972 3,760 5,994 528 528 - - - - 36 1973 4,288 6,558 - 2,575 4,288 272 4,560 - 150 1974 2,420 2,420 - - - - - - 319 1975 2,739 2,739 - - 899 198 1,097 - -172 1976 1,668 1,668 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 1,668 1,668 - - 834 117 951 - 1977 834 834 - - 834 50 884 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANOING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 23 INCLUDES ONLY DEBT COMMITTED JAN. 1i 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS IIN THOUSANDS OF U.S. DOLLARS) TYPF OF CREOITOR PRIVATE BANK CREDITS CRFDITOR CCUNTRY FRANCE YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P F R I 0 D OTHER CHANGES : BEGINNING OF PEPIOD : DISBUQSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:---------:----------- LATIONS MFNT : PRINCIPAL INTEREST TOTAL (1) (2) (3) (4) : (5) (6) (7) : 8) (9) 1968 584 9,036 17,122 220 251 53 304 - 1 1969 554 25.908 2,279 356 397 22 419 - -495 1970 513 27,295 - 1,925 238 50 28e - 1 1971 3,507 27,058 5,420 9,544 515 97 612 8.023 -1,133 1972 11,403 22,807 469 6,061 972 385 1,357 - 1,410 1973 16,908 23,714 1,301 1,564 1,202 142 1,344 - 1,575 1974 18,627 25,388 5,210 5,957 2.356 1,165 3,521 1,483 -3,963 1975 17,916 22,796 - 427 3,333 1,199 4,532 - -4,555 1976 14,908 14,908 * * * * * THE FCLLOWING FIGURES ARF PROJECTFO * * * * * * 1976 14,908 14,908 - - 3,028 963 3,991 1977 11,880 11.880 - - 3,028 755 3,783 - -1 1978 8,851 8,851 - - 2,999 549 3,548 - -2 1979 5,850 5,850 - - 2,971 346 3,317 - 1980 2,879 2.879 - - 2,756 147 2,903 - -1 1981 122 122 - - 123 4 127 - 1 ' THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THF AMOUNT OUTSTAW ING INCLUDING UNDISBIJRSEO FROM ONE YEAR TO THE NEXT. THE MOST CCMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DFBTS FROM ONE CATEGORY TO AN,THER IN THE TABLE. 04/13/76 P'AGE 24 INCLUDES ONLY OFBT COMMITTED JAN. 1, 1900 - DEC. 31. 1975 FOOTNOTF: oEBTS EXCLUDED BECAUSf REPAYMENT TERMS UNKNOWN. TYPE OF CREDITOR PRIVATF BANK CREDITS CREDITCR COUNTRY FRANCE YEAR : DEBT OUTSTANDING AT : BEGINNING OF PERIOD OISBURSEC : INCLUDING ONLY :UNDISBURSED 1975 0 4.469 1i S fCItuMN S Is t i' . i': t,'': -' (: AM ic ih t lJDAIn o ',i^,URSE(1 F9:3i'i vkU Y r Nl:i 11 MS f O C ' C. ', MN C A ANf3 ,F C I': qll i3N\st (,.A lF6 s 0iiY 0FH IN I,i IN T,li TA. 04/13/76 PAGE 25 INCLUDES ONLY DEST COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY ANO GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY ITALY YEAR DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES BEGINNING OF PERIOD : _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ __ _ _ _ _ _ _ _ _ _ _ _ _ - - - - - -- - - -- -- -- -- - - - - - - - - - - -- - - - -- - - - - - - - - - -- - - - - - - - - -- - - -- - - - - - - - - - - - - - - - - - - - - - - DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C F P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:----------------------: LATIONS : MENT * : PRINCIPAL : INTEREST TOTAL (1) (2) (3) (4) (5) (6) (71 (8) (9) 1968 - - 1969 - - 5,952 1,374 - 1970 1,374 5,952 - 4,567 - 55 55 - - 1971 5,941 5,952 5,000 - 372 390 762 - - 1972 5,569 10,580 406 533 - - - - - 1973 6.102 10,986 - - 6,009 365 6,374 - - 1974 93 4,977 - 318 43 29 72 - -75 1975 293 4,859 - 1.598 694 103 797 - = 1976 1,197 4,165 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 1,197 4,165 - 1,507 694 156 850 - - 1977 29010 3,471 - 1,461 694 206 900 - - 1978 2,777 2,777 - - 694 169 863 - -1 1979 2082 2,082 - - 694 124 818 - - 1980 1,388 1,388 - - 694 79 773 - - 1981 694 694 - - 694 34 728 - - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCF IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST CCMMON CAUSES GF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER CF DEBTS FROM ONE CATEGORY TO ANOTHFR IN THE TABLE. 04/1 3/76 PAGF 26 INCLUDES ONLY DEBT COMMITTED JAN. 1, 19U0 - DFC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRFNCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY JAPAN YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P F R I 0 0 OTHER CHANGES : BFGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :----------------------:-----------: LATIONS : MENT * : PRINCIPAL INTERFST : TOTAL : (I}(1) (Z) (3) (4) (5) (6) (7) (8) (9) 1968 - _ _ _ 1969 - _ 1970 - - - - - _ _ 1971 - - - - - _ _ 1972 - - - _ _ _ _ 1973 - - 25,000 25,000 - 1,593 1,593 1974 25,000 25,000 - - - 2,091 2,091 1975 25,000 25,000 - - - 2,063 2,063 1976 25,000 25,000 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 25,000 25,000 - - - 2,063 2,063 1977 25,000 25,000 - - - 2,063 2,063 1978 25,000 25.000 - - 3,333 1,994 5,327 1979 21,667 21,667 - - 3,333 1,719 5,052 - -1 1980 18,333 18,333 - - 3,333 1,444 4,777 - 1981 15,000 15,000 - - 3,333 1,169 4,502 - 1982 11,667 11,667 - - 3,333 894 4.227 - -1 1983 8,333 8,333 - - 3,333 619 3,952 - 1984 5,000 5,000 - - 3,333 344 3,677 - 1985 1,667 1,667 - - 1,667 69 19736 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 27 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEST REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY LUXEMBOURG YEAR : DEBT OUTSTANDING AT : T R A N S A C T 1 0 N S 0 U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y N F N T S CANCEL- : ADJUST- ONLY :UNDISSURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST TOTAL : ({1 : (2) : t3} :(3) (4) 15) (6) (7) (8) (9) 1968 - - - 1969 - 1970 - - - - - - - 1971 - - - - - - - 1972 - - - - _ _ _ 1973 - - _ _ _ _ _ 1974 - - 1,209 - - - - 1975 - 1,209 - 846 - 51 51 1976 846 1,209 * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 846 1,209 - 206 - 80 80 1977 1,052 1,209 - 121 - 91 91 1978 1,173 1,209 - 36 186 92 278 1979 1.023 1,023 - - 186 78 264 1980 837 837 - - 186 63 249 1981 651 651 - - 186 48 234 1982 465 465 - - 186 33 219 1983 279 279 - - 186 19 205 1984 93 93 - - 93 4 97 * THIS COLUNN SHOWS THE AmOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UN0ISBURSED FPOM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARf CHANGES IN EXCHANGE RATES ANO TRANSFER CF DEBTS FROM ONE CATEGORY TC ANOTHFR IN THF TABLE. 04/13/76 PAGE 28 INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1975 OEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARSI TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY MEXICO YEAR : DEBT OUTSTANDING AT T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGFS : BEGINNING OF PERIOD o OISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M F N T S CANCEL- : ADJUST- : ONLY :UNDIS8URSED: MENTS : NENTS :-----------:-----------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST TOTAL : (1) (2) (3I (4) : 5) (6) (7) (8I (9) 1968 1.500 1.500 - - 750 45 795 - 1969 750 750 - - 375 39 414 - 1970 375 375 - - 375 50 425 - 1971 - - - - - - - - 1972 - - - - 1973 - - - - - - _ _ 1974 - - - - - - _ _ 1975 - - - - - _ - _ 1976 - _ * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDIS8URSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER Of DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 29 INCLUOES ONLY DEBT COMMITTEO JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANOS OF U.S. DOLLARS) TYPE OF CREOITOR PRIVATE BANK CREDITS CRFDITOR COUNTRY NETHERLANDS YEAR : DEBT OUTSTANOING AT : T R A N S A C T I 0 N S 0 U R I N G P F R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNOISBURSED: MENTS : MENTS :- ----:-----------:----------- LATIONS : MENT * : PPINCIPAL : INTEREST TOTAL (: I : (21 (3) (4) (9) : 6\ (7) : (8) : (9) 1968 - - - - - - - 1969 - - - - - - - 1970 - - 219 219 11 7 18 1971 208 208 1,805 722 11 9 20 1972 919 2,002 - 903 12 9 21 - 1973 1.810 1,990 - 180 115 91 206 17 1974 1,892 1,892 - - 1,705 171 1,876 - 187 1975 374 374 - - 166 26 192 - -17 1976 191 191 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 191 191 - - 92 13 105 - -1 1977 98 98 - - 28 8 36 - - 1978 70 70 - - 28 6 34 - 1979 42 42 - - 28 4 32 - -1 1980 13 13 - - 14 - 14 - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSEO FRCM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/1 376 PA(F 30 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY ANO GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY PANAMA YEAR DEBET OUTSTANDING AT T R A N S A C T I a N S 0 U R I N G P E P I 0 0 OTHEP CHANGES BEGINNING OF PERIDo 0ISBURSED INCLUDING COMMIT- DISBURSE- S E R V I C F P A Y M F N T S CANCEL- ADJUST- ONLY :UNDISBURSED: MENTS MENTS ----------- ----------- ----------- LATIONS : MENT * : PRINCIPAL INTFRFST TOTAL : (1) (2) (3) (4) (5) (6) (7) (8) (9 1968 1,000 1,000 - - 389 38 427 - 1969 611 611 - - 611 12 623 - 1970 - _- - - - _ 1971 - - - - - - - - 1972 - - - - - _ _ _ 1973 - - - - - _ _ _ 1974 - - - - - _ _ _ 1975 - - 3,700 - - - - - 1976 - 3,700 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * e * * * 1976 - 3,700 - 2,590 647 182 829 - 1977 1,943 3,053 - 1,110 869 226 1,095 - -1 1978 2,183 2,183 - - 869 164 1,033 - 1979 1,314 1,314 - - 869 92 961 - -1 1980 444 444 - - 444 28 472 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUOING UNOIS8URSEO FROH ONE YEAR TO TtHE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13116 PAGE 3 INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 O EC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREOITOR PRIVATE BANK CREDITS CREDITOR COUNTRY SWEDEN YEAR DEBT OUTSTANOING AT : T RA N SA C TIO0NS D UR I NG P E RIOD OTHER CHANGES BEGINNING OF PERIOD DISBURSED I NCLUDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUST- ONLY :UNDISOURSED: MENTS MENTS ----:------ ------:LATIONS MENT - ~ ~ ~ ~ ~ ~ ~ ~ ~ ~~~:PRINCIPAL :INTEREST : TOTAL (1) ~(23 (3) (4) (5) ()7)(83 (9) 1968 3,200 6,504 - 1,949 1,991 253 2,244-- 1969 3,150 4,513 308 1,491 1,873 270 2,143 - 1970 2,776 2,948 - 2 1,384 - 19384 - 1971 1,394 1,565 -- 1,394 36 1,430 171- 1972 - - --- - - -- 1973 - - ------ 1974 - -- ----- 1975 - ----- -- 1976 - - ***** * THE FOLLOWING FIGURES ARE PROJECTED*** ** *THIS COLUMN SHnWS THE AMOUNT OF APITHMFTIC IMBALANCE IN THF AMOUNT rOUTSTANDING INCLUDINC, UNDISBU3RSED FROM fINE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGFS IN EXCHANGE RATE'S AND TPANSFE% CF DEBTS FPOM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 32 INCLUDES ONLY DEBT COMMITTFD JAN. 1 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRFNCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPc OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY SWITZERLAND YFAR : DEBT OUTSTANDING AT T R A N S A C T I 0 N S 0 U P I N C P E P I O n OTHFP CHANC,S 8EGINNING OF PERIOD1 DISBUPSED INCLUDING COMMIT- : DISBURSE- : S E P V I C F P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :------:----L:----- LATIONS : MENT : PRINCIPAL : INTEREST : TOTAL : llI (2) (3) ( 4) (5) 6) (7) (8) (9) 1968 19268 5,387 - 1,814 499 91 590 - 1969 2,583 4,888 - 946 904 186 1,090 - 1970 2t625 3,984 1,698 102 1,176 - 1,176 - 1971 1,551 4,506 - 1,016 1,595 26 1,621 1,257 1 1972 973 1,655 - 109 67 82 149 - -1 1973 1,015 1,587 - 194 180 104 284 378 255 1974 1,284 1,284 1,302 845 353 92 445 457 201 1975 1,977 1,977 - - 337 92 429 - -57 1976 1,583 1,583 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 1,583 1,583 - - 333 73 406 1 1977 1,251 1,251 - - 333 55 388 - 1978 918 918 - - 333 38 371 - 1979 585 585 - - 271 20 291 - 1 1980 315 315 - - 210 10 220 - -1 1981 104 104 - - 105 2 107 - I * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATFS AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13176 PAGE 33 INCLUDES ONLY DEST COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY UNITED KINGDOM YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 D OTHFR CHANGES : BEGINNING OF PERIOD : __ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _- _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _- _ _- _- _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ OISBURSEO : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:-------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL (1) : 2) (3) 44) (5) (6) (7) (8) : 9) 1968 4,488 8,501 - 1,081 2,142 439 2,581 - - 1969 3,427 6,359 - 1,179 1,867 311 -2,178 - - 1970 2,739 4,492 7,680 - 1,552 96 1,648 - - 1971 1,187 10,620 10,000 3,445 1,245 - 1,245 1,753 197Z 3,387 17,622 40,000 54,161 529 349 878 74 - 1973 57,019 57,019 - - 4,636 2.487 7,123 - - 1974 52,383 52,383 - - 40,640 1,244 41,884 - - 1975 11,743 11,743 - - 3,715 840 4.555 - - 1976 8,028 8,028 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 8,028 8,028 - - 3,715 527 4,242 - -z 1977 4,311 4,311 - - 2,348 213 2,561 - - 1978 1,963 1,963 - - 981 94 1,075 - -1 1979 981 981 - - 981 40 1,021 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDIS8URSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 34 INCLUDES ONLY DEST COMMITTED JAN. 1, 1900 - DEC. 319 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY UNITED STATES YEAR : DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PFRIOD : DISBURSED : INCLUOING COMMIT- DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : UNLY :UNDISBURSED: MENTS MENTS :- ----:-----------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : (1) (2: (3) (4) (53 (6) (7) (8) (9) 1968 23,716 23,716 8,100 4,660 12,327 1,071 13,398 - 1969 16,049 19,489 2,000 5,440 8,427 578 9,005 - -1,000 1970 12,062 12,062 6,400 1,000 4,918 934 5,852 - -2 1971 8,142 13,542 13,120 6,913 5,527 535 6,062 1 1972 9,529 21,136 42,790 51,229 4,671 626 5,297 30 -1 1973 56,086 59,224 43,838 35,641 10,755 3,188 13,943 6 - 1974 80,972 92,301 34,344 28,100 50,669 3,848 54,517 - -32 1975 58,377 75,944 28,800 20,386 10,245 6,104 10,349 - 1 1976 68,519 94,500 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 68,519 94,500 - 16,919 11,106 7,113 18,219 - 1 1977 74,333 83.395 - 7,520 14,363 7,454 21,817 - 1978 67,490 69,032 - 1,542 14,799 6,487 21,286 - I 1979 54,234 54,234 - - 14,014 5,090 19,104 - 2 1980 40,222 40,222 - - 13,204 3,715 16,919 - -1 1981 27,017 27,017 - - 119549 2,468 14,017 - 3 1982 15,471 15,471 - - 6,773 1,413 8,186 - - 1983 8,698 8,698 - - 5,872 749 6,621 - 1984 2,826 2,826 - - 2,826 147 2,973 - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/16 PAGE 35 INCLUDES ONLY DEBT COMMITTED JAN. 1 1900 - DEC. 319 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANOS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATE BANK CREDITS CREDITOR COUNTRY MULTIPLE LENDERS YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : :DISBURSED : INCLUDING COMMIT- : DISBURSE- S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :--------: LATIONS : MFNT * PRINCIPAL INTEREST : TOTAL (1: (2) (3) (4:1 (5: (6 (7) (83 (9) 1968 - - - - - - - 1969 - - - - - _ _ 1970O - _ _ _ _ _ _ 1971 - - - - - _ _ 1972 - - - - - - - 1973 - - 120.000 30,000 - - - 1974 30,000 120,000 8,000 98.000 - 7,782 7,782 1975 128,000 128,000 110.000 100,000 - 14,738 14,738 1976 228,000 238,000 * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 228,000 238,000 - 7,000 - 23,026 239026 1977 235,000 Z38,000 - 1,700 10,000 239205 33,205 1978 226.700 228,000 - 1,000 32,961 21,91Z 54,873 1979 194,73S 195,039 - 300 42,589 18,367 60,956 - -1 1980 152,449 152,449 - - 42,589 14,279 56,868 - 2 1981 109,862 109,862 - - 39,256 10,258 49,514 1982 70,606 70,606 - - 29,256 6,446 35,702 - I 1983 41,351 41,351 - - 19,256 3,947 23,203 - I I984 22,096 22,096 - - 4,953 2,250 7,203 - - 1985 17,143 17,143 - - 4,286 1,749 6,035 - - 1986 12,857 12,857 - - 4,286 1,282 5,568 - - 1987 8,571 8,571 - - 4,286 816 5,102 - 1988 4,286 4,286 - 4,286 350 4,636 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM CFE YEAR TC THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE RATFS AND TRAISFFR OF DEBTS FQOM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/1 5/7c p4t( 36 INCLULFS ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT RFPAYABLE IN FOREIGN CURRFNCY ANO GOlOS (IN THOUSANDS OF U.S. DOLLARS) TYPF OF CREDITOR PRIVATE BANK CREDITS TOTAL YE4R : iE8T OUTSTANDING AT : T R A N S A C T I O N S 0 U R I N G P E R I 0 0 OTHEP CHANGES : BFGINNING OF PERIOD : DISBUPSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A y M F N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MFNT * : PRINCIPAL INTEPFST : TOTAL : (1) : 2) (3) (4 (5 ) (6) (7) : 8) 9) 1968 38,549 62,127 25,222 9,921 19,535 2,148 21,683 - 1 1969 28,937 67,815 14,139 11,421 15,768 1,526 17,294 - -1,495 1970 23,590 64,691 18,112 11,789 10,380 1,195 11 ,575 - 1 1971 26,304 72,424 37,887 24,182 11,318 1,314 12,632 13,803 -897 1972 38,037 84,293 84,193 113,544 6,251 1,600 7,851. 104 1,795 1973 146,076 163,926 190,139 95,154 27,185 8,242 35,427 384 1,997 1974 215,519 328,493 50,065 133,220 98,614 16,422 115,036 1,940 -3,363 1975 246,419 274,641 142,500 123,257 19,389 25,414 44,803 - -4,800 1976 349,940 392,952 * * * * * * THE FOLLOwING FIGURES ARE PROJECTED * * * * * * 1976 349,940 392,952 - 28,222 20,449 34,313 54,762 - -1 1977 357,712 372,502 - 11,912 32,497 34,326 66,823 - -2 1978 337,125 340,003 - 2,578 57,183 31,505 88,688 - -3 1979 282,517 282,817 - 300 65,936 25,880 91,81.6 - -1 1980 216,880 216,880 - - 63,430 19,765 83,195 - - 1981 153,450 153,450 - 55,246 13,983 69,229 - 5 1982 98,209 98,209 - - 39,548 8,786 48,334 - 1983 58,661 58,661 - - 28,647 5,334 33,981 - 1 1984 30,015 30,015 - - 11,205 2,745 13,950 - 1985 18,810 18,810 - - 5,953 1,818 7,771 - 1986 12,857 12,857 - - 4,286 1,282 5,568 - 1987 8,571 8,571 - - 4,286 816 5,102 - 1 1988 4,286 4,286 - - 4,286 350 4,636 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBAtANCF IN THE AMOUNT OUTSTANDING INCLUDING UNDISSURSED FROM ONI VYFR TO THE NEX r TH- MOST CqMMON fAlISE; r A ANFCFS tRF CHANGES t- EXCHANGE RATES AND TRANSFE8 OF ODE81i , 61;i (A k f UL ;i (N I ii8: E L 04 /13/76 PAGE 37 INCLUDES ONLY OEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 FCOTNOTE: DEBTS EXCLUDED BECAUSE REPAYMENT TERMS UNKNOWN. TYPE OF CREDITOR PRIVATE BANK CREDITS YEAR DEBT OUTSTANDING AT BEGINNING CF PERIOD OISBURSED : INCLUDING ONLY :UNOISWJRSED 1975 0 49469 * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMdALANCE IN THE AMOUNT OUTSTANDINGi INCLUOING UNDIS8URSED FROM ONE YEAR TO THE NEXT. THE MOST CIMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FReM ONE CATrGORY TO ANCTHEP IN THE TABLE. 04/13/76 P4 F 3S INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOCFfGN CURPENCY ANO GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREOITOR PUBLICLY ISSUED BONDS CRFDITOR COUNTRY UNITED KINGDOM YE AP DEBT OUTSTANDING AT : T R A N S A C T I O N S 0 U P I N G P F R I 0 rD OTHFR CHANGES BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUST- ONLY :UNDISBUPSED: MENTS MENTS ----------- -----------:----------- LATIONS MrNT $ PPINCIPAL INTFREST : TOTAL (1) li : (2) (3 ) (41 (5) 6) 7) (8) (9) 1968 1,584 1,584 - 138 20 158 - -1 1969 1,445 1,445 - - 207 16 223 - I 1970 1.239 1,239 - - 160 27 187 _ -2 1971 1,077 1,077 - - 217 95 3 12 13 1972 873 873 - - 126 8 134 - -1 1973 746 746 - - 443 - 443 - 6 1974 309 309 - - - _ _ - 1975 310 310 - - 107 6 113 - -3 1976 167 167 * * * + * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 167 167 - - 61 4 65 - 1977 106 106 - - 63 Z 65 - 1978 43 43 - - 43 1 44 - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSFD FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 39 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 319 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS IIN THOUSANDS Of U.S. DOLLARS) TYPE OF CREDITOR PUBLICLY ISSUED BONDS CREDITOR COUNTRY UNITED STATES YEAR : DEST OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : ~~~~- --- - - - - - - - - - - - - - - - ------- - - - -- - - - -- - ---------- -- - - -- - --- - - OISBURSED : INCLUDING : COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :------ - - ------------:-----------: LATIONS : MENT f : PRINCIPAL INTEREST : TOTAL : 1) (2) (3) (4) 15) (6) (7) (8) (9) 1968 26,653 26,653 13 13 2,344 602 29946 - -195 1969 24.127 24,127 - - 2,029 932 2,961 - -214 1970 Zl,884 Z1,884 - - 2,347 615 3.0Z2 - 2 1971 19,539 19,539 - - 4,213 1,042 5,255 - -1 1972 15,325 15,325 - - 1,222 572 1,794 - 2 1973 14,105 14,1a5 - - 2,251 154 2,405 - - 1974 11,854 11,854 20 - 2,122 717 2,839 - 58 1975 9,810 9,810 - - 1,767 278 2,045 - - 1976 8,043 8,043 * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 8,043 8,043 - - 1,338 230 1,568 - -1 1977 6,104 6,704 - - 1,377 191 1,568 - 1 1978 5,328 5,328 - - 5,324 131 5,455 - - 1979 4 4 - - - - - - - 1980 4 4 - - - - - - - 1981 4 4 - - - - - - - 1982 4 4 - - - - - - - 1983 4 4 - - - - - - - 1984 4 4 - - - - - - - 1985 4 4 - - - - - - - 1986 4 4 - - - - - - - 1987 4 4 - - - - - - - 1988 4 4 - - - - - _ - 1989 4 4 - - - - _ _ _ 1990 4 4 - - 4 - 4 - - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/173/7t PA GE 40 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYA8LE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CRFDITOR PUBLICLY ISSUED BONDS CREDITOR COUNTRY MULTIPLE LENDERS YEAR DFBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 U OTHEP CHANGFS B 8EGINNING OF PFRIOD : : DISBURSED : INCLUDING COMtMIT- DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- : ONLY ZUNDISSURSED: MENTS : MENTS : -------:---------:----------- LATIONS MFNT s : PRINCIPAL : INTEREST : TOTAL : {(1 : (2) (3) (4) : (5) : 6) (7) (8) I9) 1968 - - - - 1969 - - - - - - _ 1970 - - - - - - - 1971 - - - - - - - 1972 - - - - - - - 1973 - - 20,000 20,000 - - - 1974 20,000 20,000 - - 1.000 1,572 2,572 1975 19,000 19,000 - - 1,357 1,568 2,925 - 1976 17,643 17,643 * * t * * * THE FOLLOWING FIGURES ARE PROJECTED * * 4 * * e 1976 17,643 17,643 - - 1,357 1,456 2,813 1977 16,286 16,286 - - 1,357 1,344 2,701 1978 14,929 14,929 - - 1,357 1t232 2,589 - -1 1979 13t571 13,571 - - 1,357 1,120 2,477 -- 1980 12,214 12,214 - - 1,357 1,008 2,365 1981 10,857 109857 - - 1,357 896 2,253 - 1982 9,500 9,500 - - 1,357 784 2,141 - 1983 8v,43 8,143 - - 1,357 672 2,029 - 1984 6,786 6,786 - - 1,357 560 1,917 - 1985 5,429 5,429 - - 1,357 448 1,805 - 1 1986 4,071 4,071 - - 1,357 336 1,693 - 1987 2,714 2,714 - - 1,357 224 1,581 - 1988 1,357 1,357 - - 1,357 112 1,469 - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSEO FROM ONE YFAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGF RATES AND TRANSFER O} DEBTS FRFOM OfF CATFGCV Tr, AMOTYRn 'f T'iF gi 04113/16 PAGE 41 INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PUBLICLY ISSUED BONDS TOTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I a N S D U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y H E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :----------:-----------LATIONS :MENT * : : : : : PRINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) : 5) 16) : (7 : (8 : (9) 1968 28,237 28,237 13 13 2,482 622 3,104 - -196 1969 25,572 25,512 - - 2,236 948 3,184 - -213 1970 23,123 23,123 - - 2,507 702 3,209 -- 1971 20,616 20.616 - - 4,430 1,137 5,567 - 12 1972 16,198 16,198 - - 1,348 580 1,928 - I 1973 14,851 14,851 20,000 20,000 2,694 154 2,848 - 6 1974 32,163 32,163 20 - 3,122 2,289 5,411 - 59 1975 29,120 29,120 - - 3,231 1,852 5,083 - -36 1976 25,853 25,853 * * * * * * THE FOLLOWING FIGURES ARE PROJECTEO * * * * * * 1976 25,853 25,853 - - 2,756 1,690 4,446 - -1 1977 23,096 23,096 - - 2,797 1,537 4,334 - 1 1978 20,300 20,300 - - 6,7Z4 1,364 8,088 - --I 1979 13,575 13,575 - - 1,357 1,120 2.477 - 1980 12,218 12,218 - - 1,357 1,008 2.365 - - 1981 10,861 10,861 - - 1,357 896 2,253 - 1982 9,504 9,504 - - 1,357 784 2,141 - - 1983 8,147 8,147 - - 1,357 672 2,029 - - 1984 6,790 6,790 - - 1,357 560 1,917 - - 1985 5,433 5,433 - - 1,357 448 1,805 - -1 1986 4,075 4,075 - - 1,357 336 1,693 -- 1987 2,718 2,718 - - 1,357 224 1,581 - 1988 1,361 1,361 - - 1.357 112 1,469 - 1989 4 4 - _- - _ 1990 4 4 - - 4 - 4 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/13/76 PAGE 42 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREOITOR PRIVATELY PLACED BONDS CREDITOR COUNTRY JAPAN YEAR : DEBT OUTSTANDING AT : T R A N S A C T 1 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :----------- :-----------:-----------: LATIONS M MENT * : pRINCIPAL : INTEREST : TOTAL : (1) (2) (3) (43 (5: (6) : 7) (8) (9) 1968 _ 1969 - - - 1970 - _ _ _ _ - _ 1971 - _ _ _ - _ - _ 1972 - - - _ - _ _ _ 1973 - - 25,000 25,000 - - - - 1974 25,000 25,000 - - - 1,080 1,080 - 1975 25,000 25,000 - - - 2,125 2,125 - 1976 25,000 25,000 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 25,000 25,000 - - - 2,125 2,125 - 1977 25,000 25,000 - - - 2,125 2,125 - 1978 25,000 25,000 - - 2,381 2,074 4,455 5 1979 22,619 22,619 - - 2,381 1,872 4,253 - 1980 20,238 20,238 - - 2,381 1,670 4,051 - 1981 17,857 17,857 - - 2,381 1,467 3,848 - 1982 15,476 15,476 - - 2,381 1,265 3,646 - 1983 13,095 13,095 - - 2,381 1,063 3,444 - 1984 10,714 10,714 - - 2,381 860 3,241 - 1985 8,333 8,333 - - 2,381 658 3,039 - 1986 5,952 5,952 - - 2,381 , 455 2,836 - 1987 3,571 3,571 - - 2,3,81 253 2,634 - 1988 1,190 1,190 - - 1,190 51 1,241 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 43 INCLUDES ONLY OE8T COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEST REPAYABLE IN FOREIGN CURPENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR PRIVATELY PLACED BONDS TOTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHFR CHANGES : BFGINNING OF PERIOD : DIS8URSED : INCLUDING COA'MlT- : OlS8URSE- S E P V I C F P A Y M F N T S CANCEL- : ADJUST- ONLY :UNOISeURSED: ,MENTS : MENTS :--- --------: LATIONS : MFNT l PPINCIPAL : INTEREST TOTAL (1) (2) (3) (4) (5) : - 16) 17) : 8 : (9) 1968 _ 1969 1970 - - - - - _ _ 1971 - - - - - _ _ 1972 - - - - - - _ 1973 - - 25,000 25,000 - - - - 1974 25,000 25,000 - - - 1,080 1,080 - 1975 25,000 25.000 - - - 2,1Z5 Z,l25 - 197b 25,000 25,000 t * * * * * THE FOLLOWING FIGURES ARF PROJECTFO * * * * * * 1976 25,000 25,000 - - - 2,125 2,125 - 1977 25,000 25,000 - - - 2,125 2,125 1978 25,000 259000 - - 2381 2,074 4,455 - 1979 ZZ,619 22,619 - - 2,381 1,872 4,253 - 1980 20,238 20,238 - - 2,381 1,670 4,051 - 1981 17,857 17,857 - - 2,381 1,467 3,848 - 1982 15,476 15.476 - - 2,381 1,265 3,646 1983 13,095 13,095 - - 2,381 1,063 3,444 - - 1984 10,714 10,714 - - 2,381 860 3,241 - - 1985 8,333 8,333 - - 2,381 658 3,039 - - 1986 5,952 5,952 - - 2,381 455 2,836 - - 1987 3,571 3,571 - - 2,381 253 2,634 1988 1,190 1,190 - 1,190 51 1,241 * THIS Cl!LU4N SHOWS THE AMOUNT CF ARITHMETIC IM5ALANCE IN THE AMOUNT OUTSTANDING INCLUOING UNOIS8AURSFO FROM ONE YCaR Tr. ThL %EXT. THE MOST COMMnN CAUSES OF IM3ALANCES APF CHANGES INi EXCiANGE RATES AND TRANSFER OF DEBTS FPOM ONE CATEGORY TC ANOTHER IN THE TABLF. 04/13/76 PAGE 44 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLF IN FOREIGN CURRENCY AND GOODS (IN THOIJSANDS OF U.S. OOLLARS) TYPE OF CREDITOR NATIONALIZATION CPFDITOR COUNTRY BAHAMAS YFAR : OEBT O'JTSTANDING AT T R A N S A C T I 0 N S 0 U R I N G P E R I 0 D OTHER CHANGrS : BEGINNING OF PFRIOD : DISBURSFf : INCLUDING COMMIT- DISBURSE- S E R V I C E P A y M F N T S CANCEL- :ADJUS - : ONLY :UNOIS8URSED: MENTS MENTS :-----------:-----------:----------- LATIONS MENT PRINCIPAL : INTEREST TOTAL : (1) (2) ( 3) (4) (5) (6) (7) (8) (91 1968 - _ _ 1469 - - - - - - - 1970 - _ _ _ _ _ _ 971 - - - - - - -7 1972 - - - 2 _ _ _ 1973 - - - - - _ _ 1974 - - 7,750 7,750 646 368 1,014 1975 7,104 7,104 - - 1,292 607 1,899 1976 5,812 5,812 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 5,812 5,812 - - 1,292 488 1,780 - 1977 4,521 4,521 - - 1,292 368 1,660 - 1978 3,229 3,229 - - 1,292 249 1,541 -- 1979 1,937 1,937 - - 1,292 129 1,421 -1 1980 646 646 - - 646 20 666 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NFXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/16 PAGE 45 INCLUDES ONLY OE8T COMMITTEO JAN. 1I 1900 - DEC. 319 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANOS OF U.S. DOLLARS) TYPE OF CREDITOR NATIONALIZATION CREDITOR COUNTRY UNITED STATES YEAR : OEBT OUTSTANOING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHEP CHANGES : BFGINNING OF PERIOD : _____ _- _-____________________ ___________________________________________________________ ----------------------- OISBURSED : INCLUDING COMMIT- : ISBURSE- S E R V I C E P A Y M E N T S CANCEL- : AOJUST- ONLY :UNOISSURSEO: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MENT * PRINCIPAL : INTEREST : TOTAL (1) (21 (3) (4) : 5) (6) (7) (8) : 9) 1968 11,000 11,000 15,889 15,889 1,736 867 2,603 - - 1969 Z5,153 25,153 - - 1,126 1,679 2,805 - - 1970 24,027 24,027 - - 1,203 1,601 2,804 - -1 1971 Z2,823 22,823 - - 1,286 770 2,056 - - 1972 21,537 21,537 - - 1,374 704 2,078 - - 1973 20,163 20,163 - - 1,470 1,248 2,718 - 1974 18,693 18,693 - - 1,569 1,236 2,805 - - 1975 17,124 17.124 - - 1,678 1,156 2,834 - 1976 15,446 15.446 * * * * * * THE FOLLCWING FIGURES ARE PROJECTED * * * * * * 1976 15.446 15,446 - - 1,792 1,043 2,835 - - 1977 13,654 13.654 - - 1,920 922 2,842 - - 1978 11,734 11,734 - - 2,030 792 2.822 - 1979 9,704 9,704 - - 2,180 655 2,835 - - 1980 7,5Z4 7,524 - - 2,330 508 2,838 - - 1981 5,194 5,194 - - 2,510 351 2,861 - 1982 2,684 2,684 - - 2.684 181 2,865 - - * THIS CCLUMN StOWS THE AMOUNT CF AFITHIETIC IMBALANCE IN THE AMOUNT CUTSTA4DING INCLUDING UNDISPURSED FROM ONE YFAR Tr THE NEXT. THU MOST COMWON CAUSES OF I"BALANCES ARE CHANGFS IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGCRY TO A4NOTHER IN THE TABLE. 04/13/76 PAGE 46 INCLUDES CNLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DFBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR NATIONALIZATION CREDITOR COUNTRY VENEZUELA YFAR DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHER CHANGES R EGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT-: DISBURSE- : S E P V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : t}(1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 362 36Z - - 58 5 63 - 1969 304 304 - - 122 11 133 - 1970 182 182 - - 119 5 124 - 1971 63 63 - - 63 1 64 - 1972 - - - - - - - - 1973 - - - _ _ _ 1974 - - - - _ _ 1975 - - - - _ _ 1976 - * * * * * * THE FOLLOWING FtGURES ARE PROJECTED * * * * * * * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER tN THE TABLE. 04/13I76 PAGF 47 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEE. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR NATIONALIZATION TOTAL YEAR DEBT OUTSTANOING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHEP CHANGES BEGINNING OF PERIOD : DISBURSED: INCLUDING COMMIT- DISBUSE-f: S E R V I C E P A Y N F N T S CANCEL- : ADJUST- ONLY :UN0158URSED: MENTS MENTS : --------:-----------:-----------: LATIONS : ENT * : P: PRINCIPAL INTEREST : TOTAL : (1) : (2 : (3) (4) (5) (6) (7 : (8) : 93 1568 11.362 11,362 15,889 15,889 1,794 872 2.b66 - - 1969 25,457 25,457 - - 1,Z48 1.690 2,938 - 1970 24,209 24.209 - - 1,322 1,606 2,928 - -I 1971 22,886 22,886 - - 1,349 771 2,120 - - 197Z 21,537 21,537 - - 1,374 704 2.078 - - 1973 20,163 20,163 - - 1,470 1,248 2,718 - - 1974 18,693 18,693 7,750 7,750 2,215 1,604 3,9819 - - 1975 24,228 24,228 - - 2,970 1,763 4,733 - - 1976 21,258 21,258 * * * * * * THE FOLLOWING FIGURES AQR PROJECTEO * * * * * * 1976 21,258 21,258 - - 3,084 1,531 4,615 - 1977 18,175 16,175 - - 3,21Z 1,290 4,502 - - 1978 14,963 14,963 - - 3,322 1,041 4,363 - - 1979 11,6',1 11,541 - - 3,47Z 784 49256 - 1980 8,170 8,170 - - 2,976 528 3,504 - 1981 5,194 5,194 - - 2,510 351 2,861 - - 1982 2,684 2,684 - - 2,684 181 2,865 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YFAR TO THE NfXT. THF MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFEP OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/13/76 PAGE 48 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GnODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR OTHER PRIVATE DEBT CREDITOR COUNTRY UNITEO KINGDOM YFAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S 0 U R I N G P E R I n 0 OTHER CHANGES : BEGINNING OF PERIOD DISBURSED INCLUDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUST- ONLY UNOISBURSED: MENTS MENTS -- : ----------- LATIONS MENT * PRINCIPAL INTFREST TOTAL (1) (2) (3) (4) (5) (6) (7) (a8 (9) 1968 2,263 13.149 - 2,900 1,368 220 1,588 - 1969 3,795 11,781 - 704 2,140 272 2,41Z - 1q70 2,359 9,641 250 250 1,596 - 1,596 - 1971 1,013 8,295 - - 888 110 998 7,282 1972 125 125 - - 83 11 94 - 1973 42 42 89 - 42 - 42 - 1974 - 89 3,262 3,087 8 20 28 - 1975 3,079 3,343 - 250 333 179 512 - -437 1976 2,573 2,573 * * * * * * THE FOLLOWING FIGURES ARF PROJECTED * * * * * * 1976 2,573 2,573 - - 319 152 471 - -1 1977 2,253 2,253 - - 319 132 451 - 1 1978 1,935 1.935 - - 308 112 420 -- 1979 1,627 1,627 - - 296 93 389 - 1980 19331 1,331 - - 296 75 371 - - 1981 1,035 1,035 - - 296 58 354 - - 1982 739 739 - - 296 40 336 - - 1983 443 443 - - 296 22 318 - I 1984 148 148 - - 148 4 152 - - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISDURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 49 INCLUOES ONLY DEBT COMMITTED JAN. 1, 1900 - OEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR OTHER PRIVATE DEBT CREDITOQ COUNTRY UNITED STATES YEAR OEBT OUTSTANOING AT : T R A N S A C T I a N S 0 U R I N G P E R I 0 D OTHEP CHANGES BEGINNING OF PERIOD : DISBURSED : INCLUCING : COMMIT- : DISBURSE- : S E R V I C E P A Y N E N T S CANCEL- : AOJUST- ONLY :UNnISBURSED: MENTS : MENTS -----------:----------------------: LATIONS : MENT * : PRINCIPAL INTEREST TOTAL (1) (2) (3) (4) (5) (63 (7) (8) (9) 1968 7,640 25,785 - 9,969 245 - 245 - - 1969 179364 25,540 - - 576 300 876 - -1 1970 16,787 24,963 664 - 871 644 1,515 - - 1971 15,916 24,756 - 500 1.156 953 2,109 - -1 1972 15,259 23,599 - 8,340 1,597 1,210 2,807 - - 1973 22,002 22,002 - - 1,478 847 2,325 - - 1974 20,524 20,524 - - 710 585 1,295 - -658 1975 19,156 19.156 - - 1,683 1,095 2,778 - - 1976 17,473 17.473 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 17,473 17,473 - - 1,666 995 2,661 - -1 1977 15,806 15,806 - - 1,650 898 2,548 - - 1978 14,156 14,156 - - 1,650 800 2,450 - - 1979 12,506 t2,506 - - 1,650 705 2,355 - -I 1980 10,855 10,855 - - 1,650 608 2,258 - I 1981 9,206 5,206 - - 1,650 511 2,161 - -1 1982 7,555 7,555 - - 1,650 414 2,064 - 1 1983 5,906 5,906 - - 1,390 318 1,708 - -1 1984 4,515 4,515 - - 1,129 245 1,374 - 1 1985 3,387 3,387 - - 1,129 180 1,309 - 1986 2,258 2,258 - - 1.129 114 1,243 - - 1987 1,129 1,129 - - 1,129 49 1,178 - - * THIS COLUMN SHOWS THE AMIUNT OF ARITHMETIC IMBALANCF IN THE AMOUNT OUTSTA-IDING INCLUDING UNDISBURSFD FROM ONE YEAR To THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE PATES AND TRANSFER rF PESTS FROM ONE CATEGOPY TC ANCTHER IN THE TABLE. 04/13/76 PAGF 50 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOOOS (IN THOUSANDS OF U.S. COLLARS) TYPE OF CREDITnR OTHER PRIVATE OEBT CREDITOR CCUNTRY MULTIPLE LENDERS YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSE- S E R V I C E P A Y M E N T S CANCEL- AOJUST- : ONLY :UNDISBURSED: MENTS : MENTS -----------:--------- ------- LATIONS MENT * PRINCIPAL : INTEREST : TOTAL : (.1) (21 (3) : 4) : 5) (6) (7) : 81 (9) 1968 - _ _ 1969 - - - - 1970 - - - - - 1971 - - 1972 - - 7,000 7,000 - - 1973 7,000 7,0000 - 6,763 454 7,217 1974 237 237 - - - 1975 237 237 237 15 252 1976 - - * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOIS8URSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 51 INCLUDES ONLY DEST COMNMIrTEO JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. OOLLARS) TYPE OF CREOITOR OTHER PRIVATE DEBT TOTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 UJ R I N G P E R I 0 n OTHER CHANGES : BEGINNING OF PFRIOD : DISBUPSEc : INCLUDING CCMMIT- : DISBURSE- : S F R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MEN4TS : MENTS ___________ ___--_____ ----------- LATIONS : MFNT * : PRINCIPAL : INTERFST : TOTAL (1) (2) (3) 14) (5) (6) (7) (: 1 : ) 1968 9,903 36,934 - 12,869 1,613 220 1,833 1969 21,159 37,321 - 704 2,716 572 3,288 - -1 1970 19,146 34,604 914 250 2,467 644 3,111 - - 1971 16,929 33,051 - 500 2,344 1,063 3,107 7,282 -1 1972 15,384 23,724 7,000 15,340 1,680 1,221 2,901 - - 1973 29,044 29,044 89 - 8,283 1,301 9,584 - 1974 20,761 20,850 3,262 3,087 718 605 1,323 - 68 1975 22,472 22,736 - 250 2,253 1,289 3,542 - -437 1976 20,046 20,046 * * * * * THE F CLLCWING FIGURES ARF PQQJFCTFO * * t * * * 1976 20,046 20,046 - - 1,985 1,147 3,13? - -2 1977 18,359 18,059 - - 1,969 1,030 2,999 - I 1978 16,091 ht,091 - - 1,958 912 2,870 - - 1979 14,133 14,133 - - 1,946 798 2,744 - -1 1980 12,186 12,186 - - 1,946 683 ?,629 - I 1981 10,241 10,241 - - 1,946 559 2,515 - -l 1982 8,294 8,294 - - 1,946 454 2,400 - 1 1983 6,349 6,349 - - 1,636 340 2,026 - - 1984 4,663 4,663 - - 1,277 249 1,526 - I 1985 3,387 3,387 - - 1,129 180 1.309 - - 1980 2,258 2,258 - - 1,129 114 1,243 - - 1987 1,129 1,129 - - 1,129 49 1,17d - - * THIS COL!MN SHiOwS THE AvnlJ,T CF ACITHMFTIC IkcALANCE lI; THE 6'40U'iT OUTSTAV.DING INCLUDlUG IJNDISBURSEfi FPRO CNE YEAR TO THE NEXT. THE MOST CC'Mf'N CAUSFS OF IMBALANCFS ARE CHANGFS IN EXCHANGE RATES AND TRAN4SFFR rF 9EBTS FROM4 ONE CATrG-PY TC ANOTHFF Ih THE TA5LC. 04/13/76 PAGE 52 INCLUDES ONLY oERT COMMITTED JAN. 1, 1900 - DFC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY LNn GCOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM INTERNATIONAL ORG. CREDITOR COUNTPY IBRO YEAR DE8T OUTSrANOING AT T R A N S A C T I 0 N S D U R I N G P E P I 0 0 OTHEP CHANGfS BFOINNING OF PERIOD DISFURSEO : INCLUDING COMMIT- DISBURSE- : S F P V I C E P A Y M E N T S CANCEL- ADJUST- * flNLy :UNDISBURSED: MENTS MENTS : LATEONS MFNT : PRINCIPAL INTEREST : TOTAL : (II 12) 13) (4) (5 (6) : 7) : 8) : (9 1C68 264,245 361,426 105,600 39,873 14,259 14,860 29,119 153 1 1969 289,858 452,615 60,300 38,791 15,559 16,764 32,323 3,000 1970 313,090 494,356 109,300 57,834 16,860 19,869 36,729 8,875 1971 354,064 577,921 153,100 54,685 17,999 23,464 41,463 627 1972 390,750 712,395 74,100 82,339 20,141 27,448 47,589 3,663 1973 453,448 762,691 162,200 75,898 24,807 35,973 60,780 31,067 - 1974 504,53S 869,017 8,000 85,894 28,730 45,708 74,438 495 -40 1975 561,c662 847,752 88,000 107,221 35,452 40,926 76,378 122 41 1976 b33,432 900,219 * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1S76 h33,432 900,219 - 83,943 36,724 43,755 80,479 - - 1977 680,651 863,495 - 70,492 36,477 46,712 83,189 - 1978 714,666 827,018 - 54,120 39,227 49,077 88,304 - 1979 729,559 787,791 - 25,860 40,340 50,032 90,372 - 1980 715,079 747,451 - 11,872 43,191 49,160 92,351 - 1981 683,760 704,260 - 4,395 44,872 47,087 91,959 - 1982 643,283 659,388 - 3,790 47,955 44,397 92,352 - 1983 599,118 611,433 - 10,563 49,049 41,511 90,500 - 1984 560,632 562,384 - 1,705 49,814 39,010 88,824 - - 1985 512,523 512,570 - 47 44,828 35,842 80,670 - - 1986 467,742 467,742 - - 44,734 32,788 77,522 - - 1987 423,008 423,008 - - 42,337 29,727 72,064 - - 1988 380,671 380,671 - - 37,524 26,817 64,341 - - 1989 343,147 343,147 - - 33,490 249243 57,733 - - 1990 309,657 309,657 - - 38,844 21,809 60,653 - - 1991 270,813 270,813 - - 30,440 19,114 49,554 - - 1992 240,373 240,373 - - 31,050 16,937 47,987 - 1993 209,323 209,323 - - 31,302 14,711 46,013 - 1994 178,021 178,021 - - 30,540 12,444 42,984 - 1995 147t481 147,481 - - 27,610 10,215 37,825 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YFAR TO THF NEXT, THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FRO;-I ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 53 INCLUDES ONLY DE8T COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM INTERNATIONAL ORG. CREDITOR COUNTRY IDA YEAR : DEBT OUTSTANDING AT : T R A N S A C T I O N S 0 U P I N G P f R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : --- --- --, -- -------- ---- - ----- - -- --------- -- -- -- -- -- -- -------- ------ ---- --- -- --- - ---- --- ---- ---- --------- --- ------- OISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNOIS8URSEO: MENTS : MENTS _ ----------- ------------ LATIONS : MENt :I: : : PRINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) (51 (63 :9) : IB) (9) 1968 18,051 19,500 - 1,401 - 139 139 - - 1969 19,452 19,500 - 48 - 146 146 - - 1970 19,500 19,500 - - - 146 146 - - 1971 19,500 19,500 - - 98 146 244 - - 1972 19,402 19,402 - - 182 239 421 - 1,663 1973 20,883 20,883 - - 245 250 495 - 2,319 1974 22,957 22,957 - - 118 118. - - 1975 22,839 22,839 - - 286 169 455 - - 1976 22,553 22,553 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 22,553 22,553 - - 286 166 452 - -I 1977 22,266 22,266 - - 286 164 450 - - 1978 21,980 21,980 - - 286 162 448 - - 1979 21,694 21,694 - - 286 160 446 - - 1980 21,408 21,408 - - 286 158 444 - -1 1981 21,121 21l1l - - 573 156 729 - 1 1982 20,549 20,549 - - 859 150 1,009 - - 1983 19,690 19,690 - - 859 144 1,003 - - 1984 18,a31 18,831 - - 859 137 996 - - 1985 17,972 17,972 - - 859 131 990 - - 1986 117113 17,113 - - 859 125 984 - - 1987 16,254 16,254 - - 859 118 977 - - 1988 15,395 15,395 - - 859 112 971 - - 1989 14,536 14,536 - - 859 105 964 - - 1990 13,677 13,677 - - 859 99 958 - I 1991 12,819 12,819 - - 859 92 951 - - 1992 11,960 11,960 - - 859 86 945 - - 1993 11.101 11,101 - - 859 79 938 - - 1994 10,242 10,242 - - 859 T3 932 - - 1995 9,383 9,383 - - 859 67 926 - THIS COLUMN SHOWS THE AFOUNT Of AR[THMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUOING UND1SBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGfS IN EXCHANGF RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 54 INCLUOES ONLY DEST COMMITTED JAN. 1. 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREOITOR LOANS FROM INTERNATIONAL ORG. CREDITOR COUNTPY IDB YFAr : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E p I 0 0 OTHER CHANGES : BFGINNING OF PERIOD : _________ _ _ _ _ _ ___ _ _ __- _ _ ___ _ _ - --- - -- -- -- -- -- -- - - --- - -- -- -- - - - --- -- -- -- -- -- - --- - - - -- -- - - - - - -- -- - - - - --- -- -- -- --- - DISFURSED : INCLUDING COMMIT- DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- O DNLY :UNDISBURSED: MENTS MENTS : ----:----------------------: LATIONS : MENT * : PRINCIPAL : INTEREST TOTAL : 11) (2) (3) (4) : (6) (7) (8) (9) 1968 38,581 75,449 400 13,101 3,333 2,739 6,072 - 1969 48,349 72,516 55,621 12,421 3,920 3,122 7,042 37 1970 56,851 124,180 - 15,878 5,145 4,502 9,647 - -1 1971 67,585 119,034 41,475 12,053 7,730 5,645 13,375 - 6,324 1972 78,232 159,103 40,600 14,911 7,683 6,549 14,232 - I 1973 85,460 192,021 29,100 24,804 8,232 8,293 16,525 - 7,635 1974 102,681 220,524 64,500 25,588 7,483 10,281 17,764 1,558 5,505 1975 126,291 281,488 - 20,304 7,718 9,762 17,480 1,237 -5,771 1976 135,133 266,762 * * * * * * THE FOLLOWING FIGURES ARF PROJECTED * * * * * * 1976 135,133 26t,762 - 41,651 11,100 12,311 23,411 - 1 1977 165,685 255,663 - 35,483 15,096 13,980 29,076 - -1 1978 186,071 240,566 - 25,408 14,613 14,891 29,504 - 1 1979 196,867 225,954 - 14,637 13,814 15,362 29,176 - -3 1980 197,687 212,137 - 8,199 16,008 14,921 30,9Z9 - -2 1981 189,876 196,127 - 5,229 15,948 14,077 30,025 - - 1982 179,157 180,179 - 1,022 15,656 12,994 28,650 - 4 1983 164,527 164,527 - - 15,549 11,801 27,350 - -3 1984 148,975 148,975 - - 15,667 10,588 26,255 - 5 1985 133,313 133,313 - - 15,435 9,369 24,804 - -1 1986 117,877 117,877 - - 15,364 8,158 23,522 - - 1987 102,513 102,513 - - 15,684 6,947 22,631 - 1988 86,829 86,829 - - 15,893 5,712 21,605 - 4 1989 70,940 70,940 - - 16,112 4,464 20,576 - -2 1990 54,826 54,826 - - 12,361 3,283 15,644 - 2 1991 42,467 42,467 - - 12,559 2,340 14,899 - 1992 29,908 29,908 - - 10,106 1,447 11,553 - I 1993 19,803 19,803 - - 8,832 723 9,555 - 1994 10,971 10,971 - - 1.5.79 233 1,812 - 1995 9,392 9,392 - - 1,111 182 1,293 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 55 INCLUDES CNLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEST REPAYABLE IN FOREIGN CURRENCY AND GOODS IIN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM INTERNATIONAL ORG. TOTAL YEAP : DEBT OUTSTANDONG AT : T R A N S A C T I 0 N S D i R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : nISBURSFO : INCLUOING COGmIT- DISBUPSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- : ON,LY :UNDISO8URSED: MENTS MENTS :----------- LATIONS MENT : : : : : PRINCIPAL : INTFREST : TOTAL (1i (21 (3) (4) (5) (6) (73 (8) :9 Lqb8 320,877 456,375 IC6,000 54,375 17,592 17,738 35,330 153 t 1569 357,b59 544,631 115,921 51,260 19,479 20,032 39,511 3,037 1970 339,441 638,036 109,300 73.712 22,035 24,517 46,522 6,875 -I 1971 441,149 716,455 194,575 66t738 25,827 29,255 55,082 627 6,324 1972 488,384 90 ,q00 114,700 97,750 Z8,006 34,236 62,242 3,663 1,664 1973 55S,791 975,595 191,300 100,702 33,234 44,516 77,830 31,067 , 54 1074 t30,183 1,112,498 72,503 111,482 A6,331 55,989 92,320 2,053 5,465 1'75 710,792 1,1i2,379 88.003 127,525 43,456 50,857 94,313 1,359 -5,730 IC7ch 791,118 1,19',G 534 * * 4 * * THE FCLLCWING F IGUiFS ARE PQCJ-CTF0 t s * * 1976 791,118 1,189,534 - 125,594 48,113 56,232 104,342 - - 1977 868,682 1,141,424 - 105,975 51,359 60,856 11?,715 -1 197a 9Z2,717 1,0859564 - 79,5z8 54,12 64,130 118,256 - 1 1979 948,120 1,035,439 - ')0,4Q7 54,440 65,554 119,994 - 'A 1980 934,174 980,996 - 20,071 59,485 64,239 123,724 - -3 1981 894,757 921,508 - 9,o24 61,393 61,320 122,713 3 1982 842,989 860,116 - 4,812 64,470 57,541 122,011 - 1983 783,335 795,650 - 10,563 05,457 53,456 118,913 - 1934 7?8,438 730,190 - 1,705 o6,340 49,735 116,075 - 5 1985 63, 806 663,855 - 47 61,122 45,342 106,44 -64 1986 602,732 602,732 - - 60,997 41,071 102,023 _ 1987 541,775 541,775 - - 58,99O 36,792 95,672 - - 1 988 482,895 482,895 - - 54,276 32,641 86,917 - 4 1989 428,623 428,b23 - - 50,4 1 28,812 79,273 - -2 1990 378,160 378,160 - - 52,064 25,191 77,255 3 1991 326,J`9 326,099 - - 43,358 21,546 65,434 - - 1992 282,241 282,241 - - 42,015 18,470 60,485 - I 1e93 240,227 240,227 - - 40,993 15,151 56,506 1994 199,234 199,234 - - 32,973 12,750 45,728 - - 1995 166,256 166,256 - - 29,3so 10,464 40,044 - - THIS COL!)"N SH'-*S Th' A0IJUNT CF A ITHAET IC IM.MALANCE IN THE AM,IN,T *JTSTA',f'l NG INCLUDIN,G I)( SBt IRS F FRD'' rNF YE-r6 TC THE -iF XT. THE MOST CCWNOt C4USES OF IM8AL&NC;iS AFc CHAtN;ES IN EXCHANGr RATES ,.E; T6QANSFFR OF DE8TS FP)v 3NE CATEGOPY TO ANCTHER INI THF TARLE. 04/13/76 PAGE 56 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT RFPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE CF CREDITOR LOANS FROM GOVERNMENTS CREDITOR COUNTRY BELGIUM YEAR DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 D OTHERP CHANGES B BEGINNING OF PERIOD : : DISBURSED: INCLUDING COMMIT- DISBURSE-: S E R V I C E P A Y M E N T S CANCEL- AOJUST- : ONLY :UNDISBURSED: MENTS MENTS -----------:-----------:----------- LATIONS MENT * : PktNCIPAL t INTEREST TOTAL : (1) : (2 : (3) (4' : (5) (63 (7) (8) (9) 1968 - _ _ _ 1969 - - - - 1970 - - - - - _ _ 1971 - - - _ _ _ _ 1972 - - - - - - - 1973 - - - - _ _ _ 1974 - - 2,910 - - - - 1975 - 2,910 1,260 - - - - -12 1976 - 4,158 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 - 4,158 - 1,899 - 25 25 1977 1,898 4,158 - 902 - 54 54 1978 2,800 4,158 - 549 - 66 66 1979 3,349 4,158 - 372 - 74 74 1980 3,721 4,158 - 206 - 78 78 1981 3,927 4,158 - 180 - 82 82 1982 4,107 4,158 - 51 - 83 83 - 1983 4,158 4,158 - - - 83 83 - 1984 4,158 4,158 - - 71 83 154 - 1985 4,087 4,087 - - 172 81 253 - -1 1986 3,914 3,914 - - 203 77 280 - 1 1987 3,712 3,712 - - 203 73 276 - -1 1988 3,508 3,508 - - 203 70 273 - 1 1989 3,306 3,306 - - 203 65 268 - -I 1990 3,102 3,102 - - 203 61 264 - I 1991 2,900 2,900 - - 203 57 260 - -t 1992 2,696 2,696 - - 203 53 256 - I 1993 2,494 2,494 - - 203 49 252 - I 1994 2,292 2,292 - - 203 45 248 - 1995 2,089 2,089 - - 203 41 244 - 1 7 THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGF 57 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREOITOR LCANS FRCM GOVERNMENTS CREDITOR COUNTRY CANAOA YFAR DEBT OUTSTANDING AT : T R A N 5 A C T I 0 N S 0 U P I N G P E P 1 0 : OTHF CHANGFS BEGINNING OF PERIOD : OIS: URSED : INCLUDING COMMIT- C1SRURSE- S E D V I C E P A Y M E N T S CANCrL- ADJUST- JNLY :UNOISBURSED: MENTS :MENTS ----------- -----------:----------- LATIONS MENT * PRINCIPAL : INTEREST TOTAL (1: (2) (3) (4) (5) 161 (71) (5) : 9) 1968 234 744 999 510 - 3 3 1969 744 1,743 15,485 522 87 8 95 - - 1970 1,179 17,141 - 3,103 57 121 208 - 998 1971 4,308 18,052 - 3,502 a8 120 238 - 300 1972 7,814 18,264 - 5,008 88 118 206 - 118 1973 12,758 18,294 2,730 4,543 88 ill 199 15 -4 1974 17,225 20,917 7 Z,Z73 179 248 427 24 518 1975 19,785 21,239 4,870 2,763 546 351 d97 - -456 1976 21,556 25,107 t * * * * THE FOLLOWING FIGURES ARE PReJECTEO * t * t * * 1976 21,556 25,107 - 2,273 546 318 864 - 1 1977 23,285 24,562 - 805 502 282 784 - _ 1978 23,587 24,060 - 315 509 252 761 - - 1979 23,393 23,551 - 158 715 224 939 - I 1980 22,837 22,837 - - 769 188 957 - -I 1981 22,067 22,067 - - 463 171 634 - - 1982 21,604 21,604 - - 463 166 629 - 1983 21,141 21,141 - - 463 162 625 - - 1984 20,678 20,678 - - 463 156 619 - -1 1985 20,214 2o,214 - - 585 152 737 - I 1986 19,630 19,630 - - 585 147 732 - -1 1987 19,044 19,044 - - 535 143 728 - -1 1988 18,458 18,458 - - 585 138 723 - - 1989 17,873 17,873 - - 585 134 719 - -2 1990 17,286 17,286 - - 585 129 714 - - 1991 16,701 1t,7O1 - - 585 125 710 - 1 1992 16.117 16,117 - - 585 119 704 - 2 1993 15,530 15,530 - - 585 I1S 700 - -1 1994 14,944 14,944 - - 585 110 695 - 1 1995 14,360 14,360 - - 585 1Ob 691 - -I hris COLUMN SHVWS THE AMOUNT CF ARITHMETIC IM3ALANCF IN THF AMCUNT CUTSTANDING lNCLUDONG UNoISBURSED FROM OkE YEAR To THE NEXT. THE P"IST CCMMCN CAUSES OF IMSALANCES ARE CHA-ANGES 1'1 EXCH&NGF RATES AND TRAfNSFQ OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THF TABLE. 04/13/76 PA ;f 5t, INCLUDES ONLY DEBT COMMITTED JAN. 1I 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOtJSANDS OF U.S. DOLLARS) TYPE OF CREOITOR LOANS FROM GOVERNMENTS CRFOITOR COUNTRY CZFCHOSLOVAKIA YEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G P F P I 0 D OTHEP CHAtGES : BFGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- OISBURSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- ONLY :UNDISBURSED: MENTS MENTS : - - :----------- LATIONS MENT e : PRINCIPAL : INTERFST : TOTAL : (1) (2: (3) (41 (5) (: 6 (7) (81 (9) 1968 - - 1969 - - 1970 - - - - - - - 1971 - - 6t000 - - - - 1972 - 6,000 - 466 - - - 1973 466 6t000 - - 33 14 47 - 1974 433 5,967 - - 94 35 129 - 27 1975 366 5,900 - - 183 19 202 - -5,534 1976 183 183 * * * t * * THE fOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 183 183 - - 183 8 191 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDIS8URSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 59 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 FOCTNOTE: DEBTS EXCLDJOED BECAUSE REPAYMENT TERMS UNKNOWN. TYPE OF CREDITOR LCANS FROM GOVERNMENTS CREDITOR COUNTRY CZECHOSLOVAKIA YEAR : DEBT OUTSTANDING AT : BEGINNING OF PERIOD DISBURSED : INCLUDING ONLY :UNDISBURSED 1975 0 5,534 THIS COLUMN SHOWS THr AMOUNT CF ARITHMETIC IMRALANCE IN THE AMOUNT OUTSTANDING ['NCLUOrNG UNOIS0 URSEO FP,J, n,.E yFAR TO THE NEXT. THE MOST CCMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE RATES AND TRANSFE- OF DE)ETS FRCM ONF CATEGORY TO ANOTHFR IN THE TABLE. 04/I 3/76 DA.(;F ~o INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 OEBT REPAYABLE IN FOREIGN CURRENCY ANn GOODS (IN THOUSANDS OF U.S. DOLIARS) TYPE OF CREDITOR LOANS FROM GOVERNMENTS CREDITOR CCUNTRY DENMARK YEAR : E8T OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G p F p I 0 0 OITHEP CHANGES : BFGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- DISBURSE- : S F R V I C F P A Y M E N T S CANCEL- AnJUST- : ONLY :UNDISBUDSED: MENTS MENITS :-----------L-----------:----------- LATIONS MENT : PRINCIPAL INTEREST : TOTAL : (1) : (2) (3) (4) : 5) (6) (7) (8) (9) 1.968 - - 1,867 - - - - - 1969 - 1,867 - - - - - - 1970 - 1,867 - 1,011 - - - - 1971 1,011 1,867 - 321 - - - - 1972 1,331 1,867 - 63 - - - - 1973 1,394 1,867 - - - - - - 1974 1,394 1,867 - - - - - 472 381 1975 1,776 1,776 - - 96 - 96 - 149 1976 1,531 1,531 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 1,531 1,531 - - 93 - 93 - 1977 1.438 1.438 - - 93 - 93 - 1 1978 1,346 1,346 - - 93 _ 93 - 1979 1,253 1,253 - - 93 - 93 - - 1980 1,160 1,160 - - 93 - 93 - - 1981 1,067 1,067 - - 93 _ 93 - _ 1982 974 974 - - 93 - 93 - - 1983 881 881 - - 93 - 93 - 1984 789 789 - - 93 - 93 - - 1985 696 696 - - 93 - 93 - - 1986 603 603 - - 93 - 93 - 1987 510 510 - - 93 - 93 - 1988 417 417 - - 93 - 93 - 1989 324 324 - - 93 - 93 - I 1990 232 232 - - 93 - 93 - 1991 139 139 - - 93 - 93 - 1992 46 46 - - 46 - 46 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSEO FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFFR OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 61 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - OEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM GOVERNMENTS CREDITOR COUNTRY FRANCE YEAP : DEBT OUTSTANOING AT : T R A N S A C T I 0 N S D IJ R I N G P E P I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : OfS8URSEO : INCLUOING COMMIT- :3SBURSE- : S E R V I C F P A Y M E N T S CANCEL- : ADJUST- ONLY :UNOIS8URSED: MENTS MENTS - ______- ___________:-----------: LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : 1) (2 : (3) : (4) : (5) (6) (7) (8) (9) 1968 - - 2,019 - - - - - 1969 - 2,019 - - - - 1970 - 2,019 - 594 197 - 197 - L971 397 1,822 1,809 1,117 29 19 48 20 105 1972 1,485 3,687 - 1,821 144 55 199 - 232 1973 3,333 3,775 - 220 - 135 135 - 362 1974 3,863 4,137 18,246 4,21B 2,046 172 2,21.8 441 229 1975 6,088 20,125 3,040 5,481 1,954 497 2,451 - -161 1976 9.374 21.050 * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 9,374 21,050 - 6,228 2,016 699 2,715 - -2 1977 13,584 19,032 - 3,191 2,120 s8O 2,930 - 1 1978 14,655 16,913 - 1,762 2,120 805 2,925 - -I 1979 14,295 14,792 - 497 2.120 724 2,844 - 1980 12,672 12,672 - - 2,1Z0 611 2,731 - - 1981 10,552 10,552 - - 2,120 493 2,613 - I 1982 8,433 8,433 - - 2,120 374 2,494 - -2 1983 6,311 6,311 - - 2,120 257 2.377 - 1 1984 4,192 4,192 - - 1,168 142 1,310 - 1 1985 3,025 3,025 - - 625 101 726 - - 1986 2,400 2,400 - - 625 78 703 - 1 1987 1,776 1,776 - - 625 57 682 - -2 1988 1,149 1,149 - - 625 35 660 - - 1989 524 524 - - 319 15 334 - 2 1990 207 207 - - 207 5 212 - THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THF AMOUNT CUTSTANOING INCLUOING UNDISBURSED FROM ONE YfAR TG THE NEXT. THE MOST COMMCN CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF OEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 62 INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM GOVERNMENTS CREDITOR COUNTRY GERMANY, FEO.REP. OF YEAR : DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MFNT * : PRINCIPAL : INTEREST : TOTAL : tl}(1) (2) (3) (4) (5) (6) (7\ (8) (9) 1968 1,019 6,000 - 2,059 86 99 185 - - 1969 2,992 5,914 6,886 3,240 63 229 292 - 90 1970 6,259 12,827 14,295 2,452 356 430 786 11 165 1971 8,355 26,920 6,466 Z,029 648 673 1,321 285 1,212 1972 9,804 33,665 5,318 13,734 1,338 849 2,187 - 629 1973 22,488 38,274 5,301 9,948 1,935 1,190 3,125 - 3,007 1974 33,018 44,647 4,222 3,589 4,480 2,494 6,974 - 5,621 1975 36,504 50,010 13,070 4,656 2,882 2,173 5,055 - -4,484 1976 35,222 55,714 * e * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 35,222 55,714 - 10,856 2,767 2,150 4,917 - -1 1977 43,310 52,946 - 6,624 2,316 2,248 4,564 -- 1978 47,616 50,630 - 1,655 2,688 2,198 4,886 - 1979 46,584 47,942 - 989 2,857 2,047 4,904 - -3 1980 44,714 45,082 - 368 3,480 1,872 5,352 - I 1981 41,603 41,603 - - 2,960 1,657 4,617 - -1 1982 38,642 38,642 - - 2,504 1,491 3,995 - 1 1983 36,139 36,139 - - 2,590 1,356 3,946 - I 1984 33,550 33,550 - - 2,727 1,220 3,947 - -1 1985 30,822 30,822 - - 3,124 1,077 4,201 - 3 1986 27t701 27,701 - - 3,334 923 4,257 - -3 1987 24,364 24,364 - - 3,165 765 3,930 - 1 1988 21,198 21,198 - - 1,712 645 2,357 - -3 1989 19,483 19,483 - - 1,672 580 2,252 - 2 1990 17,813 17,813 - - 1,459 522 1,981 -- 1991 16,354 16,354 - - 1,459 471 1,930 - -1 1992 14,894 14,894 - - 1,397 422 1,819 - I 1993 13,498 13,498 - - 1,397 376 1,773 - -2 1994 12,099 12,099 - - I,397 331 1,728 - - 1995 10,702 10,702 - - 1,397 283 1,680 - ^1 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 63 INCLUDES ONLY OE8T COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRfNCY AND GOOOS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITnR LCANS FRGM GOVERNMENTS CREDITOR COUNTRY ITALY YEAR : DEBT OUTSTANOING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD __ _ _ _ _ _ _ -- - - - -- - - -- - - - - - --.- - - - - - - - - -- - - -- - - - - - - - - - -- - - - - - - - - -- - - --__ _ _- --__ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ DISBURSEO : INCLUDING CCMMIT- : DISBURSE- : S E P V I C E P A Y M F N T S CANCEL- ADJUST- OnNLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS MENT * : PPINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) (5) (6) (7) (3) (9) 1968 - 2,016 4,500 2,016 202 84 286 - - 1969 1,814 6,314 2,742 2,215 201 450 651 - - 1970 3,828 8,855 1,000 2,246 202 351 553 - I 1971 5,872 9,654 28 1,123 480 418 898 -1 1972 6,514 9,201 - 13 716 436 1,152 - - 1973 5,811 8,485 - 281 798 388 1,186 1,790 70 1974 5,364 5,9S67 - 139 615 261 876 - -261 1975 4,627 5,091 800 952 762 276 1,038 - -211 1976 4,639 4,918 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 4,639 4,918 - 114 802 249 1,051 - -1 1977 3,950 4,115 - 89 802 197 999 - 1 1978 3,238 3,314 - 76 622 144 766 - -1 1979 2,691 2,691 - - 622 107 729 - 1980 2,069 2,069 - - 645 69 714 - -1 1981 1,423 1,423 - - 380 35 415 - -1 1982 1,042 1,042 - - 116 17 133 - -1 1983 925 925 - - 70 11 81 - - 1984 855 855 - - 23 9 32 - 1 1985 833 833 - - 23 8 31 - -1 1986 809 809 - - 23 8 31 - -1 1987 785 785 - - 23 8 31 - -1 1988 761 761 - - 23 8 31 - I 1989 739 739 - - 23 7 30 - I 1990 715 715 - - 23 7 30 - -1 1991 691 691 - - 23 7 30 - - 1992 668 668 - - 23 7 30 - 1993 645 645 - - 23 6 29 - -1 1994 621 621 - - 23 6 29 - 1995 598 598 - - 23 6 29 - -1 * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING !JNP9ISBURSED FPCM ON.r YEAR TO THE NEXT. THF MOST COMMON CfI'SES OF IMBALANCES ARf CHANGfS IN EXCHANGE RATES AND TRANSFER OF nEsTS FROM ONE CATEGnRY TC ANCTHER IN THE TAdLE. 04/13 /76 r) A C, 64 INCLUDES ONLY DEBT COMMITTED JAN. 1 1900 - DEC. 31, 1975 DEBT RQPAYA8LF IN FOREIGN CURRENCY AND GO20S (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LCANS FROM GOVERNMENTS CREDITOR COUNTRY JAPAN YEAR : DEBT OUTSTANDING AT T P A N S A C T I 0 N S D U R I N C P E C I n o OTHF CHANGES : 8EGINNING OF PERIOD DISBUPSE : INCLUDING COMMIT- : DISBURSE- S F R V I C E P A Y M E N T S CANCFL- ADJUST- : ONLY :UNDISBUPSED: MENTS : MFNTS ---------- -------------------- LATIOJNS MINT * PPINCIPAL INTEREST TOTAL t(1) (2) (3) (4) (5) (6) (7) : d) (9\ 1968 - - 1969 - - 3 906 - - - - - 1973 - 3,906 - 2,098 16 17 33 328 1971 2,082 3,562 - 422 164 114 278 - -1 1972 2,339 3t397 - 110 248 170 418 948 - 1973 2,201 2,201 - - 328 182 510 - 163 1974 2,036 2,036 - - 321 156 477 -41 1975 1,674 1,674 - - 262 109 371 - - 1976 1,412 1,412 * * * * * * THE FOLLOWING FIGURES ARF PROJECTED * * * * * t 1976 1,412 1,412 - - 262 91 353 - I 1977 1,151 1,151 - - 262 73 335 - 1978 889 889 - 262 56 318 - - 1979 627 627 - - 262 38 300 - I 1980 366 366 - - 262 20 282 - 1981 104 104 - - 69 6 75 - 1982 35 35 - - 35 1 36 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISSBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 65 INCLUOES ONLY OE8T COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LCANS FROM GOVERNMENTS CREDITOR COUNTRY NETHERLANDS YfAR DEBT OUTSTANDING AT : r R A N S 4 C T I 0 N S O U R I N G P E R I 0 0 OTHEP CHANGES BEGINNING OF PERIOO : O: S8URSEO . INCLUDING COMPmIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- AOJUST- ONLY :IUNOISBURSEO: MENTS MENTS -- LATIONS MENr t PRINCIPAL INTEREST TOTAL (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 3,406 3,498 1,506 62 283 153 436 - - 1969 3,185 4,721 - 206 125 75 200 30 - 1970 3,266 4,566 - 437 138 92 230 - I 1971 3,566 4,429 1,525 155 167 86 253 - 115 1972 3,553 5,902 - 11 255 110 365 1,663 65 1973 3,351 4,049 88 178 540 153 693 608 - 1974 2,989 2,989 4,829 215 589 268 85-7 - -5 1975 2,610 7,224 4,580 3,319 382 192 574 - -914 197T 5,315 10,508 * * * * * THE FOLLOWING FIGURES ARE PROJECTEO D * * * * * 1976 5,315 10,508 - 2,214 379 230 609 - I 1977 7,152 10,130 - 1,793 380 259 639 - - 1978 8,565 9,750 - 514 420 279 699 - - 1979 8,658 9,330 - 316 354 266 620 - I 1980 8,622 8,977 - 277 262 253 515 - 1981 8,636 8,715 - 78 262 239 501 - 2 1982 8,455 8,455 - - 438 223 661 - - 1983 8,017 8,017 - - 497 202 699 - 1 1984 7,521 7,521 - - 359 186 545 - 2 1985 7,164 7,164 - - 359 176 535 - 1 1986 6,806 6,806 - - 359 168 527 - 1987 6,448 6,448 - - 359 159 51S - - 1988 6,089 6,089 - - q59 150 509 2 19e9 5,732 5,732 - - 359 141 500 - 1990 5,374 5,374 - - 359 133 492 - 1991 5,016 5,016 - - 359 123 482 - - 1992 4,657 4,657 - - 359 114 473 - 1993 4,299 4,299 - - 359 105 464 - 2 1994 3,942 3,942 - - 359 96 455 - - 1995 3,583 3,583 - - 359 88 447 - I * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IM8ALANCE IN THg AMOUNT OUTSTANOING INCLUDING UNDIS8URSED FROM ONE YFAR TO THE NEXT. THE MOST COMMON CAUSES OF IMEALANCES ARF CHANGES IN EXCHANGE RATFS AND TRA4NSFER OF DEBTS FROM ONE CATFGORY TO ANOTHER IN THF TABLE. 04/13/76 PAGE 66 INCL'JOES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYA8LE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM GOVERNMENTS CREDITOR COUNTRY POLAND YEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHER CHANGES BEGINNING OF PERIOD : DISBURSED INCLUOING COMMIT- DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- ONLY :UNDISBURSED: MENTS MENTS ----------- -----------:--------- LATIONS MENT * : PRINCIPAL INTEREST TOTAL : 11) (2) (3) (4) (5) (6) (7) (8) (9) 1968 - _ _ 1969 - - - - - - - 1970 - - - - - - - 1971 - - - - - - - 1972 - - - - - - - 1973 - - - - - _ _ 1974 - - 82 82 - - - 1975 82 82 - - 55 5 60 1976 27 27 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * *.* * * * 1976 27 27 - - zr 1 28 * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUOING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 67 INCLUDES ONLY DEBT COMMITTED JAN. 1I 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. COLLARS) TYPE OF CREDITOR LOANS FROM GOVERNMENTS CREDITOR COUNTRY ROMANIA YEAR : OEBT OUTSTANOING AT : T P A N S A C T I 0 N S 0 U R I N G P E P I 0 D OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUOING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-^---------:-----------:-----------: LATIONS MENT * : PRINCIPAL : INTEREST : TOTAL (13 (2) 13) : 4) : 53 (6) (73 (8) (9) 1968 - - - - 1969 - - - - - - - 1970 - - - - _ _ _ 1971 - - - - - - - 1972 - - - - _ _ _ 1973 - - - - _ _ _ 1974 - - 170 170 83 5 88 1975 87 87 - - 58 5 63 1976 29 29 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 29 29 - - 29' 1 30 * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/1 ?/76 ,'AGF 68 INCLUDIES ONLY DFBT COMMITTED JAN. 1, 1900 - DFC. 31, 1975 ODET REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U..S. DOLLARS) TYPE OF CREDITOR L'CANS FRC'! GOVERNMENTS CREDITOR COUNTRY UNITED STATFS YEAR ODEBT OUTSTANoING AT T R A N S A C T I 0 N S 0 U P I N G P F R I 0 D .3THEP CHANGES : BEGINNING OF PERIOD : OISBURSEC: INCLUnING COMMIT- nISBuRSf- S E PR V I C F P A Y M C N T s CANCEL- ADJUST- ONLY :UNOISBLRsED: MENTS MENTS ---_------:-----------:----------- LATIONS MENT u PRi NC IPAL INTEREST TOTAL : (13 : (2',) : (3) :4 5) (6) (17) (: ) (9) 1968 335,320 454,418 87,833 100,007 14,011 5,398 19,409 12,723 3 1969 420,910 515,520 125,208 92,233 10,742 7,071 17,813 2,461 -1 1970 502,265 627,524 97,467 109,783 10,321 9,236 19,557 1,955 1 11it 6 01,726 712,716 94,421 73,736 15,636 9,469 25,1t105 3,838 1972 659,875 787, 663 108,370 57,366 13,123 12,768 25,891 564 -63 1973 704,101 882,283 40,954 101,160 17,294 14,641 31,935 6,5?5 143 1974 786,031 899,561 21,580) 54,105 20,283 13,615 33,898 4,701 3 1975 822,045 896,160 35,080 30,525 s9,913 16,561 36,474 21,858 223 1976 832,603 889,692 n * 7' * * * T-THE FOLLOWING FIGJPES ARE PROJECTED * * * * h 1976 832,603 889,692 - 24,876 25,754 17,832 43,586 1977 831,725 863,938 - 12,306 26,570 18,203 44,773 - 1978 817,460 837,368 - 8,160 26,519 18,340 44,859 - 1 1979 799,102 810,8so - 5,459 24,420 18,203 42,623 - -1 1980 780,140 786,429 - 3,216 26,071 16,317 44,388 - 3 1981 757,287 760,361 - 2,434 28,622 18,344 46,966 1 1982 731,100 731,740 - 640 26,450 17,914 44,364 - 2 1983 705,292 705,292 - - 28,964 18,071 47,035 - 1984 676,328 676,328 - - 29,062 17,431 46,493 - 3 1985 647,269 647,269 - - 30,187 16,911 47,098 - 5 1986 617,087 617,087 - - 30,130 16,089 46,219 - 1987 586,957 586,957 - - 30,003 15,258 45,261 - 2 1988 5 56,956 556,956 - - 28,960 14,448 43,408 - 3 1989 5z7,999 527,999 - - 28,699 13,676 42,375 - 3 1990 499,303 499,303 - - 28,439 12,913 41,352 - I 1991 470,865 470,865 - - 28,458 12,150 40,608 - 4 1992 442,411 442,411 - - 27,066 11,411 38,477 - - 1993 415,345 415,345 - - 26,932 10,734 37,666 - 1 1994 388,414 388,414 - - 26,800 10,062 36,862 - 4 1995 361,618 361,618 - 257517 9,396 34,913 -3 * f THIIS COLUON'I SHOWS THEI A4OU)NT CS ARIfTFMETIC I1AA .\NCE IN THE AOUUNT OUTS fA,d iNC 2NCDII . UNGI0 ,8URS0 0 ,"0,' ONE YEAR TO THE ,NEXT, 1,1E NO0SF COMfON CAUS ES 0'F 1,2ALANCES ARE ClIANGIGES (P LXCnIANGC RAI,S Ai,'iD TRANSFEP 0 DE8TS F,RO ONE CATEGOR' TO ANOtHER IN THE TA8LE, 04/13/76 PAGE 69 INCLUDES ONLY DE8T COMMITTED JAN. 1, 1900 - OEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOOOS (IN THOUSANOS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM GOVERNMENTS CREDITOR COUNTRY VENELUELA YEAR DEBT OUTSTANOING AT : T R A N S A C T 1 0 N S 0 UJ R I N G P E R I 0 0 OTHER CHANGES BEGINNING OF PERIOD : DISBU9SEO : INCLUOING COMMIT- OISBURSE- : S E R V I C E P A Y M E N T S CANCFL- ACJUST- ONLY :UNOIS0 URSEO: MENTS MEN?TS __________- __----------:------^---- LATIONS MFNT : PRINCIPAL INTEREST : TOTAL (1) (2) (31 (4) (5: (6) (7) (8 : (91 1968 1,750 1,750 - - 1,750 83 1,833 - - 1969 - - -- - - _ _ 1970 - - - - - _ _ _ _ 1971 - - - - - - - - - 1972 - - - - - - - _ _ 1973 - - - - - - - _ _ 1974 - - - - - - - _ 1975 - - - - - - _ _ _ 1976 _ _ * * 4 4 * +rTHE FOLLOWING FIGURES ARF PROJECTED * * * * * 4 * THIS COLUVMN SHOWS THE AMODUNT CF ARITHMETIC IMBALANCE IN THE Et!OWNT OUTSTWNEING INCLUDING UNOISBURSED FROMA ONE YfAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGFS IN EXCHANGE RATES AND tRANISFER CF OEBTS FROM ONE CATFGORY TC ANOTHFR IN THE TABLE. 04/13/76 PAGE 70 INCLUDES ONLY DEf COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS FROM GOVERNMENTS TOTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISOURSED: MENTS MENTS :----------- :----------- :----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : {I}(1) (2) (3) : 4) (5) (6) (71) (8) (91 1968 341,729 468,426 98,724 104,654 16,332 5,820 22,152 12,723 3 1969 429,645 538,098 154,227 98,416 11,218 7,833 19,051 2,491 89 1970 516,797 678,705 112,762 121,724 11,317 10,247 21,564 2,294 1,166 1971 627,317 779,022 11O249 82,405 17,212 10,899 28,111 4,143 1,730 1972 692,715 869,646 113,688 78,592 15,912 14,506 30,418 3,175 981 1973 755,903 965,228 49,073 116,330 21,016 16,814 37,830 8,938 3,741 1974 854,353 988,088 52,046 64,791 28,690 17,254 45,944 5,638 6,472 1975 895,644 1,O12,278 62,700 47,696 27,093 20,188 47,281 21,858 -11,698 1976 911,891 1,014,329 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 911,891 1,014,329 - 48,460 32,858 21,604 54,462 - -I 1977 927,493 981,470 - 25,710 33,045 22,126 55,171 - 3 1978 920,156 948,428 - 13,031 33,233 22,140 55,373 - -1 1979 899,952 915,194 - 7,791 31,443 21,683 53,126 - -1 1980 876,301 883,750 - 4,067 33,702 21,408 55,110 - 2 1981 846,666 850,050 - 2,692 34,969 21,027 55,996 - 2 1982 814,392 815,083 - 691 32,219 20,269 52,488 - - 1983 782,864 782,864 - - 34,797 20,142 54,939 - 4 1984 748,071 748,071 - - 33,966 19,227 53,193 - 5 1985 714,110 714,110 - - 35,168 18,506 53,674 - 8 1986 678,950 678,950 - - 35,352 17,490 52,842 - -2 1987 643,596 643,596 - - 35,056 16,463 51,519 - -4 1988 608,536 608,536 - - 32,560 15,494 48,054 - 4 1989 575,980 575,980 - - 31,953 14,618 46,571 - 5 1990 544,032 544,032 - - 31,368 13,770 45,138 - 2 1991 512,666 512,666 - - 31,180 12,933 44,113 - 3 1992 481,489 481,489 - - 24,679 12,126 41,805 - I 1993 451,811 451,811 - - 29,499 11,385 40,884 - - 1994 422,312 422,312 - - 29,367 10,650 40,017 - 5 1995 392,950 392,950 - - 28,084 9,920. 38,004 - -4 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISaURSEO FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF OEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 11 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 FOOTNOTE. DFBTS EXCLUDED BECAUSE REPAYMENT TERMS UNKNOWN. TYPE OF CREDITOR LOANS FROM GOVERNMENTS YEAR : DEBT OUTSTANDING AT : BEGINNING OF PERIOD ________ ____________ __________ DISBURSEO : INCLUDING ONLY :UNDISBURSEO 1975 0 5,534 * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THF AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YFAR TO THE NFXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATrGORY TC ANCTHER IN THE TABLE. 04/13/7b PA4 G 72 INCLUDES ONLY DEBT COMMITTED JAN. Li 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. OOLLARS) TOTAL YEAR : DEBT OUTSTANOING AT : T R A N S A C T I 0 N S 0 u R I N G P E R I 0 D OTHER CHANGFS : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- DISBURSE- : S E R V I C E P A Y M F N T S : CANCEL- : ADJUST- : ONLY :'JNDISBURSED: MENTS MENTS -----------:-----------:-----------: LATIONS : MENT # P: RINCIPAL INTEREST : TOTAL : {(1) (2) (3) (4) (5) (6) (7) : 8) (9) 1968 812,207 1,190,420 279,444 219,815 73,785 29,716 103,501 44,427 -199 1969 957,601 1,351,453 305,634 199,242 66,799 35,363 102,162 6,145 -1,625 1970 1,088.529 1,582,518 358,069 234,998 74,993 43,637 118,630 12,070 1,346 1971 1,249,942 1,854,870 377,491 222,255 91,979 48,778 140,757 26,397 7,211 1972 1,385,646 2,121,196 356,699 351,373 95,877 57,893 153,770 7,657 6,020 1973 1,647,819 2,380,381 503,513 414,041 131,482 78,377 209,859 43,483 17,169 1974 1,936,013 2,726,098 231,890 364,462 206,234 103,254 309,488 10,476 8,060 1975 2,101,137 2,749,338 366,047 363,127 138,471 114,575 253,046 23,217 -25,703 1976 2,314,377 2,927,994 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 2,314,377 2,927,994 - 241,392 141,476 129,586 271,062 - -30,351 1977 2,383,941 2,756,167 - 164,048 158,950 134,473 293,423 - 6 1978 2,389,040 2,597,223 - 102,507 190,702 132,750 323,452 - -3 1979 2,300,842 2,406,518 - 51,403 190,550 125,233 315,183 - -4 1980 2,161,693 2,215,964 - 24,138 187,118 114,829 301,947 - 5 1981 1,998,716 2,028,851 - 12,316 176,753 103,648 280,401 - 8 1982 1,834,288 1,852,106 - 5,503 157,472 92,157 249,629 - 10 1983 1,682,329 1,694,644 - 10,563 145,263 82,984 228,247 - 3 1984 1,547,632 1,549,384 - 1,705 124,760 74,587 199,347 - 12 1985 1,424,589 1,424,636 - 47 114,277 67,586 181,863 - 6 1986 1,310,365 1,310,365 - - 108,626 60,899 169,525 - -2 1987 1,201,737 1,201,737 - - 103,466 54,616 158,082 - -3 1988 1,098,268 1,098,268 - - 93,669 48,648 142,317 - 8 1989 1,004,607 1,004,h67 - - 82,414 43,430 125,844 - 3 1990 922,196 922,196 - - 83,436 38,961 122,397 - 5 1991 838,765 838,765 - - 75,038 34,479 109,517 - 3 1992 763,730 763,730 - - 71,694 30,596 102,290 - 2 1993 692,038 692,038 - - 70,492 26,898 97,390 - 1994 621,546 621,546 - - 62,345 23,400 85,745 - 5 1995 559,206 559,206 - - 57,664 20,384 78,048 - 4 * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANOTHER IN THE TABLE. 04/13/ T PAGE 73 INCLUDES ONLY DEBT.COMMITTED JAN. 1. 1900 - DEC. 31, 1975 FOOTNOTE: DEBTS EXCLUDED BECAUSE REPAYMENT TERMS UNKNOWN. YEAR : DEBT OUTSTANDING AT : BEGINNING OF PERIOD DISBURSED : INCLUDING ONLY :UNDISBURSED 1975 0 10,003 I HVS COLuIMN 'nHCw,S THF AMOUNIT CiF ARITHMETIC iMBALANCE IN THF AMOUNT OUTSTANDING INCLUDING UNOIS8S)RSED FRDm ONE YFAK TI THfi NFXT. THr MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFEL F DEBTS PPOM nNE CkTFGnpY TG ANOTHER IN THE TABLE. U4/14/ 76 Table 4.3 - CODLOMBIA: EXTERNAL DEBT OUTSTANDING AS OF DECEMBER 31, 1975 DEBT REPAYABLE IN LOCAL CURRENCY PAGr I INCLUDES CNLY CEBT CCMMITTED JAN. 1, 19CC - DEC. 31. 1975 DFBT fEPAYAELE IN LCCAL CURRENCY (IN THOUSANDS OF U.S. DCLLARS) TYPE OF CREDITOR D E B T 5 L T S T A N C I N G : I r;4 A n-^ E A R S CPEOITIC CcUNTRY ------------- - ------------------- _______________________ CURRFNCY CF CRAWINGS DISBURSELU :UNCI5BURSED: TOTAL : PRIINCIPAL INTEREST LOANS FRCM INTERNATIONAL CRC. IDB N.A. 57,S16 18,719 76,635 - - DkAhINGS IN FOREIGN CURRENCY 119,659 24,453 144,11Z - - TOTAL IOB 177,575 43,172 220,747 - - T(TAL LCANS FROM INTEkNATICNAL CRG. 177,575 42,172 220,747 - - LOANS FRCM GCVEINMENTS UNITEr) STATES N.A. 4,275 - 4,275 - - TOTAL UNITEC STATES 4,275 - 4,275 - - TOTAL LOANS FRCM GCVERNMENTS 4,275 - 4,275 - - TOTAL EXTERNAL PUBLIC CE8T 181,850 43,172 225,022 - - NOTES: (1) CNLY CE8TS wITH AN ORIGINAL CR EXTENDED MATURITY OF CVER ONE YEAR ARE INCLUDED IN THIS TABLE. (21 DEBT OUTSTANDING INCLUDES PRINCIPAL IN ARREARS BUT EXCLUDES INTEREST IN ARREARS. 04/13/76 Table 4.2 - (OLOMBIA: EXTERNAL PUBLIC DEBT TRANSACYXONS FOR 1968-1975 AND PROJECTED PIPELINE 1976-1994, PAGE DEBT REPAYABLE IN FOREIGN CURRENCY INCLUOES ONLY DEBT COMMITTED JAN. 1 1900 - DEC. 31, 1975 DEBT REPAYA8LE IN FOREIGN CURRENCY AND GOODS IIN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS. CREDITS CREDITOR COUNTRY ARGENTINA YEAR : DEBT OUTSTANDING AT : T R A N S A C T I a N S D U R I N G P E R I 0 D OTHEP CHANGES BEGINNING OF PERIOD : -- --- - -- - - - -- - -- - ------ - -- -- -- --. --- - --- -- - -------------- DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C F P A Y M F N T S CANCEL- ADJUST- ONLY :UNDISBURSED: MENTS : MENTS : ----: ------ -- ---: ------- LATIONS :MENT * : : : : : PRINCIPAL : INTEREST: TOTAL (I) (2Z (3) (4) (5) (6: (7) (8) : (9) 1968 - 1969 - - - _ _ _ - - 1970 - - - - _ _ _ 1971 - - - - _ _ _ 1972 - - _ _ _ _ _ 1973 - - ZOO - 12 12 _ 1974 - 200 627 827 57 - 57 - 114 1975 884 884 - - 127 51 178 -- 1976 757 757 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1916 757 757 - - 127 43 170 - 1977 631 631 - - 127 36 163 - 1978 505 505 - - 127 28 155 - 1979 379 379 - - 127 20 147 - 1980 252 252 - - 127 13 140 - 1981 125 125 - - 84 6 90 - 1982 42 42 - - 42 1 43 e THIS CO1LUMN SHOWS THF AMOUNT CF ARITHMFTIC IMHALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBtJWSEC Fer;M ',NF YEAR TO THE NFXr. THE MOST COMMON CAUSES OF IMBALANCES AfYE CHANGES IN EXCHANGE RATES AND TRANSFEF CF DEBTS rRCM ONF CATEGORY TC ANOTHER IN THE TABLE. 04/13/76 PALGE 2 INCLUDES ONLY DFBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRFNCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY AUSTRIA YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G p F R I a 0 OTHER CHANGFS : BEGINNING OF PERIOD : : DISRIJRSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCFL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MENT 4 : PRINCIPAL : INTEREST : TOTAL : ()1 : (2) (3) (4) (5) (6) (7) (8) (9) 1968 - - 1,586 - - - - - - 1969 - 1,586 - 1,586 - - - - - 1970 1,586 1,586 700 700 - - - - 1971 2,286 2,2 86 - - - - - - - 1972 2,286 2,286 - - 114 148 262 - - 1973 2,172 2,172 - - 229 127 356 - - 1974 1,943 1,943 - - 114 53 167 - - 1975 1,829 1,829 - - 229 97 326 - - 1976 1,600 1,600 * * * * * * THE FOLLOWING FIGURES ARF PROJECTED * * * * * * 1976 1,600 1,600 - - 229 85 314 - 1977 1,372 1,372 - - 229 72 301 - - 1978 1,143 1,143 - - 229 60 289 I 1979 915 915 - - 229 47 276 - - 1980 686 686 - - 229 35 264 - - 1981 457 457 - - 229 22 251 - 1 1982 229 229 - - 229 9 238 - - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER tN THE TABLE. 04/13176 PAGE 3 INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREOITOR SUPPLIERS, CREDITS CREDITOR COUNTRY BAHAMAS YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S F R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS -----------:-----------:----------- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL (1) (2 : (3 : (43 (53 : 63 (73 (8) (9) 1968 - - 1969 - - 99 99 _ _ _ 1970 99 99 - - _ _ _ 1971 99 99 - - - - - 1972 99 99 - - 5 - 5 1973 94 94 - - - _ - 1974 94 94 - - 94 - 94 1975 - - - - - - 1976 - - * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 4 INCLODES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY BELGIUM YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDIS8URSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MENT* : : : : : PRINCIPAL : INTEREST : TOTAL : (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 1,232 1,232 115 115 142 35 177 - 1969 1,205 1,205 - - 151 65 216 - 1970 1,054 1,054 - - 195 62 257 - 1971 859 859 219 219 126 32 158 - 1972 952 952 890 176 323 59 382 - 1973 805 1,519 - 714 409 67 476 - 60 1974 1,170 1,170 - - 341 80 421 - 49 1975 878 878 - - 480 49 529 - -13 1976 385 385 * * * * * * THE FOLLOWING FIGURES ARE PROJFCTED * * * * * * 1976 385 385 - - 192 25 217 - -1 1977 192 192 - - 192 11 203 -- 8 THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THF AMOUNT OUJTSTANDING INCLUDING UJNDISBURSED FRoM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFEP OF OEBTS FROM ONE CATEGORY TC ANCTHER IN THE TABLE. 04/13/76 PAGE 5 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY ANO GOODS (IN THOUSANOS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY BRAZIL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOD : __ _ __ _ __ -- - -- -_ - - ---_-_ -- --- - - -- - -- - - - - - --- --- - -- - - -- -- --__ _ _ __ _ __ _ __ --_ __ _ _ _ __ _ __ __ _ __ _ __ _ DISBURSED : INCLUDING COMMIT- : DISBURSE- S E R V I C E P A Y M E N T S : CANCEL- : AOJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:----------- LATIONS : MENT * PRINCIPAL : INTEREST : TOTAL : {13 1 (2) (3 : (43 : (5) : (63 (7) (8) (9) 1968 1969 - 1970 - - - - - - - 1971 - - - - - - - 1972 - _ _ _ _ 1973 - - - - _ _ 1974 - - 3,300 - _ _ _ 1975 - 3,300 1,180 1,551 - 100 100 - 1976 1,551 4,480 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 1,551 4,480 - 1,857 66 207 273 - - 1977 3,342 4,414 - 705 161 285 446 - 1978 3,881 4,254 - 325 364 298 662 - - 1979 3,848 3,890 - 42 537 269 806 - - 1980 3,353 3,353 - - 53? 230 767 - - 1981 2,816 2,816 - - 406 194 600 - -I 1982 2,409 2,409 - - 406 165 571 - - 1983 2,003 2,003 - - 406 136 542 - -1 1984 1,596 1,596 - - 406 106 512 - - 1985 1,190 1,190 - - 406 78 484 - - 1986 784 784 - - 406 49 455 - -I 1987 377 377 - - 377 19 396 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 6 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITCR COUNTRY FRANCE YEAR : DEBT OUTSTANDING AT : T P A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : : DISBIJRSED : INCLUDtNG COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :-----------:----------- - -- LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 377 2,269 2,283 1,144 342 21 363 - -1 1969 1,179 4,209 3,098 1,755 310 163 473 141 1970 2,625 79138 51,160 3,389 1,024 53 1,077 -1 1971 4,989 57,273 96 6,410 6,466 170 6,636 - -4 1972 4,929 50,899 - 15,722 8i977 120 9,097 - -1 1973 119674 41,921 4,400 24,265 8,701 1,163 9,864 2,113 234 1974 24,761 35,741 225 756 5,533 2,173 7,706 72 679 1975 21,113 31,040 - 9,040 5,630 2,092 7,722 - -30 1976 24,395 25,380 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 24,395 25,380 - 644 5,529 1,822 7,351 - 1 1977 19,510 19,852 - 238 5,357 1,440 6,797 - 2 1978 14,393 14,497 - 104 5,357 1,050 6,407 - -2 1979 9,138 9,138 - - 5,011 657 5,668 - 2 1980 4,129 4,129 - - 1,679 288 1,967 -- 1981 2,450 2,450 - - 1,448 166 1,614 - 1982 1,002 1,002 - - 749 56 805 - -- 1983 253 253 - - 253 15 268 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNOISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGF 7 INCLUDES ONLY DEBT COMMITTED JAN. 1 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS IIN THOUSANDS OF U.S. DOLLARSI TYPF OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY GERMANY, FED.REP. OF YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P F R I 0 0 OTHFQ CHANGES : BEGINNING OF PERIOD : __ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ __- _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _- _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ DISBURSED : INCLUDING : COMMIT- : DISBURSE- : S E R V I C F P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDIS8URSED: MENTS : MENTS :------ --: :----- -----: LATIONS : MFNT : PRINCIPAL : INTEREST : TOTAL : (I) : 2) : t3) : 4) 15) : 6) (7) : 3 : 9 1968 9,601 14,097 839 1,634 2,941 511 3,452 3,165 -3 1969 8,291 6,827 2,742 1,513 2,461 337 2,798 273 -148 1970 7,098 8,687 36,040 3,040 11791 451 2,242 - 181 1971 8,352 43,117 9,013 10,127 7,324 494 7,818 194 -4 1972 11,151 44,608 18 10,703 13,484 427 13,911 84 143 1973 8,435 31,201 3,603 9,950 9,825 348 10,173 15 71 1974 8,615 25,035 23,593 6,967 9,885 624 10,509 - 87 1975 5,753 38,830 10,737 39,322 10,469 524 10t993 - -794 1976 34,234 38,304 * * c * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 34,234 38,304 - 3,997 2,771 514 3,285 - -33,353 1977 59106 5,180 - 42 2,889 351 3,240 - -1 1978 2,258 2,290 - 32 972 158 1,130 - 2 1979 1,320 1,320 - - 673 90 763 - -2 1980 645 645 - - 514 38 552 - I 1981 132 132 - - 119 8 127 - 1982 13 13 - - 13 - 13 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/13/76 PAGE 8 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLtERS, CREDITS CREDITOR COUNTRY ITALY YEAR DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S :CANCEL- : ADJUST- : ONLY :UNOISeURSED: MENTS : MENTS :-----------:-----------:-----------: LATtONS : MENT * z PRINCIPAL : INTEREST : TOTAL : (1) (2) (3) (4) (5) (6) : (7) (B) 2 (9) 1968 129 372 400 - 37 7 44 - -2 1969 90 733 2,611 400 37 3 40 - 1 1970 454 3,308 5,093 2,697 725 23 748 - 1 1971 2,427 7,677 13 4,847 253 59 312 - -1 1972 79020 7,436 - 416 616 453 1,069 - 17 1973 6,837 6,837 - - 652 378 1,030 - 1 1974 6,186 6,186 675 675 1,109 353 1,462 - -9 1975 5,743 5,743 34,000 - 975 361 1,336 - -185 1976 4,768 38,583 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 4,768 38,583 - 15,893 923 894 1,817 -- 1977 19,738 37,660 - 10,145 923 2,063 2,986 -- 1978 28,959 36,737 - 5,410 3,036 2,467 5,503 - -2 1979 31,332 33,699 - 2,367 4,945 2,384 7,329 -- 1980 28,754 28,754 - - 4,739 2,055 6,794 - 1 1981 24,016 24,016 - - 4,739 1,706 6,445 - -1 1982 19,276 19,216 - - 4,483 1,356 5,839 - 1 1983 14,794 14,794 - - 4,227 1,030 5,257 -- 1984 10,567 10,567 - - 4,227 713 4,940 - 1985 6,340 6,340 - - 4,227 396 4,623 - 1986 2,113 2,113 - - 2,113 79 2,192 - ' THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSEO FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IflOALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFFR OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. O4/13/76 PAGE 9 INCLUDES ONLY DEST COMMITTED JAN. 1. 1900 - DEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS, CREDITS CREDITOR COUNTRY JAPAN YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : __ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _- _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ -_ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ DISBURSED : INCLUOlNG COMMIT- : OISBURSE- : S E P V I C E P A Y M F N T S CANCEL- : ADJUST- ONLY :UNDIS8URSED: MENTS : MENTS ___________ ----------- ----------- LATIONS MENT : PRINCIPAL : INTEREST TOTAL (1) 12) (3) (4) (5) (6) (7) (8) : 9) 1968 1,626 5,974 4,281 334 492 76 568 4,088 1969 1,471 5,678 638 106 558 85 643 - 2 1970 1,020 5,760 1,209 3,973 800 80 880 - -l 1971 4,192 6,168 771 2,297 1,194 107 1,301 24 - 1972 5,271 5,721 13,537 3,487 1.036 404 1,440 45 102 1973 7,824 18,279 - 3,055 1,454 722 2,176 - 275 1974 9,700 17,100 4,732 9,092 1,757 600 2,357 - 143 1975 17,203 20,218 5,290 1,491 3,340 1,209 4,549 - -133 1976 15,233 22,035 t * * * * * THE FOLLOWING FIGURES ARF PROJECTED * t * * t * 1976 15,233 22,035 - 4,164 3,977 1,163 5,140 - 2 1977 15,422 18,060 - 2,479 4,454 1,142 5,596 - -1 1978 13,446 13,605 - 159 3,229 898 4,127 - I 1979 10,377 10,377 - - 2,678 678 3,356 - I 1980 7,700 7,700 - - 2,543 487 3,030 - 1 1981 5,158 5,158 - - 1.988 300 2,288 - 1 1982 3,171 3,171 - - 1,110 186 1,296 - 2 1983 2,063 2,063 - - 516 122 638 - - 1984 1,547 1,547 - - 516 87 603 - 1985 1,031 1,031 - - 516 52 568 - - 1986 515 515 - - 516 17 533 - t * THIS COLUMN SH0NIS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFEP OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04113/7e PAGE 10 INCLUDES ONLY DEST COMMITTED JAN. 1, 1900 - OEC. 31, 1975 DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS (IN THOUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR SUPPLIERS,-CREDITS CREDITOR COUNTRY MEXICO YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R 1 0 D OTHER CHANGES : BEGINNING OF PERIOD : __ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ - -- - - -- - - - - - - -- - - - --- -- - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - -- - - - - _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ D DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S : CANCEL- : ADJUST- : ONLY :UNDIS8URSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL : {(1) (2) (31 (41 (51 (6 : (7 : (8) : 9) 1968 6,235 13,933 11,104 7,802 1,318 419 1.737 - 1969 12,719 23,719 - 10,726 1,070 363 1,433 - 1970 22,375 22,649 1,139 1,139 2,655 909 3,564 - -1 1971 20.858 21,132 1,776 1,776 2,544 994 3,538 - 1 1972 20,091 20,365 1,726 1,243 2,933 B1D 3,743 - 1973 18,401 19,158 - - 4,153 723 4,876 - - 1974 14,248 15,005 598 1,355 1,912 937 2,849 - -43 1975 13,648 13,648 - - 2,761 880 3,641 - - 1976 10,887 10,887 * * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * * 1976 10,887 10,887 - - 2,761 689 3,450 - -2 1977 8,124 8,124 - - 2,761 497 3,258 _ 1978 5,363 5,363 - - 2,761 306 3,067 - -3 1979 2,599 2,599 - - 1,656 137 1,793 -- 1980 943 943 - - 892 36 928 - 1981 51 51 - - 51 2 53 - * THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/14/76 Table 4 - aJLOM3BTA: EXTERNAL PUBLIC DEBT TRANSACTIONS FCR 196a_1975 AND PROJECTFD PIPELINE, 1976-84, PAGE REPAYABLE IN LOCAL CURRENCY INCLUDES ONLY DEST COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYA8LE IN LOCAL CURRENCY (IN THCUSANDS OF U.S. DOLLARS) TYPE OF CREDITOR LOANS fROM INTERNATIONAL ORG. CREDITOR CCUNTRY ICB CURRENCY CF DRAWINGS N.A. YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 0 OTHER CHANGES * BEGINNING OF PERIOC : DISBURSFD : INCLUDING : CCMMIT- : CISBURSE- : S E R V I C E P A Y M E N T S : CANCEL- : ADJUST- - ONLY :UNDISBURSED: MENTS : MENTS :----------- :-------:----------- LATIONS : MENT * : : : : : PRINCIPAL : INTEREST : TOTAL : l1) : (2) (3) (4) (5) (6) : (1) (8) : (9) 1968 7,820 16,957 15,20c 5,333 662 351 1,013 - -116 1969 12,388 31,379 6,650 6,161 582 910 1,492 - -91 1970 17,883 37,356 5,360 14,079 727 776 1,503 - 1,931 1971 31,167 43,920 15,60C 11,242 1,090 1,195 2,285 - 2,442 1972 41,261 6O,872 9,300 5,858 1,771 1,655 3,426 1,416 -44 1973 45,304 66,941 2,100 3,988 1,969 1,808 3,777 - 63 1974 47,288 68,135 9,680 6,333 2,128 1,880 4,008 21 -48 1975 51,446 75,618 - 8,926 2,422 2,085 4,507 126 3,565 1976 57,916 76,635 * * * * * * ThE FCLLh ING FIGURES ARE PROJECTEC * * * * * * 1916 57t,16 16,635 - 8,668 3,978 2,375 6,353 - 1 1977 62,607 72,658 - 4,503 4,101 2,493 6,594 - - 1978 63,009 68,557 - 2,625 4t439 2,507 6,946 - 1 1979 61,96 64,11S - 1,891 4,488 2,386 6,874 - - 1980 58,599 59,631 - 882 4,961 2,230 7,191 - 1 1981 54,521 54,671 - 150 5,051 2,042 7,093 - -Z 1982 49,618 49,618 - - 4,918 1,828 6,746 - 1 1983 44,701 44,701 - - 4,659 1,628 6,287 - -1 1984 40,041 40,041 - - 4,373 1t442 5,815 - -2 1985 35,666 35,666 - - 4,333 1,262 5,595 - -1 1986 31,332 31,332 - - 4,221 1,081 5,302 - -1 1987 27,110 27,110 - - 4,115 900 5,015 - - 1988 22,995 22,995 - - 3,650 724 4,374 - -1 1989 19,344 19,344 - - 3,276 582 3,858 - -2 1990 16,066 16,066 - - 2,950 457 3,407 - -1 1951 13,115 13,115 - - 2,590 341 2,931 - -1 1992 10,524 10,524 - - 1,745 259 2,004 - -1 1993 b,778 8,778 - - 1,590 194 1,784 - -Z 1994 7,186 7,186 - - 1,179 149 1,328 - -1 1995 6,006 6,006 - - 889 117 1,006 - -1 * THIS COLUMN SHOWS THE AMOUNT CF ARITFMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UND1S8URSEC FRCM JNE YEAR TO THE NEXT. THE MCST CCMMCN CAUSES OF ItA8ALANCES ARF CHANGES IN FXCHANGE RATES AND TRANSFtR CF DEBTS FROM ONE CATFGORY TC ANCTHER IN THE TABtE. 04 /14/76 PAGE 2 INCLUDES ONLY OEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN LOCAL CURRENCY (IN THOUSANDS OF U.S. DOLLARS) TYPE CF CREDITOR LOANS FROM INTERNATICNAL ORG. CREDITCR CCUNTRY IC8 CURRENCY OF ORAWINGS DRAWINGS IN FOkEIGN CURRENCY YEAR OEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : bFGINNING OF PERIOC : DISBURSED : INCLUVING CCMMIT- : DISBURSE- S E R V I C E P A Y M E N T S : CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MENT * PRINCIPAL : INTEREST : TOTAL : {(1) 12(2) (3) (4) (5) (6) (7) (8) (9) 1968 36,446 65,329 27,000 9,392 1,245 1,309 2,554 404 -1,549 1969 44,596 89,131 27,150 11,023 1,887 1,460 3,347 262 -1,171 1970 53,730 112,961 42,940 13,917 2,256 2,071 4,327 - -1,999 1971 65,392 151,646 29,200 16,609 2,901 2,583 5,484 - -Z,500 1972 79,100 175,445 - 15,061 3,973 3,310 7,283 4,194 1 1973 90,188 167,279 - 18,375 5,098 3,874 8,972 - 4U 1974 1C3,465 162,221 - 18,674 4,749 3,922 8,671 3,170 -389 1975 116,998 153,913 - 8,176 5,515 4,253 9,768 2,286 -2,000 1976 119,659 144,112 * * * * * * THE FCLLWING FIGURES ARE PROJECTED * * * * * * 1976 119,655 144,112 - 12,827 10,092 4,215 14,307 - 1 1977 122,395 134,021 - 4,124 10,134 4,138 14,272 - 4 1978 116,389 123,891 - 3,076 10,174 4,012 14,186 - 1 1979 109,292 113,718 - 1,938 10,211 3,762 13,973 - -1 1980 101,018 103,506 - 1,549 10,556 3,480 14,036 - 4 1981 92,C15 92,954 - 939 10,434 3,175 13,609 - 2 1982 82,522 82,522 - - 10,271 2,859 13,130 - -1 1983 72,250 72,250 - - 8,580 2,529 11,109 - 2 1984 63,672 63,672 - - 8,399 2,233 10,632 - 2 1985 55,275 55,275 - - 8,284 1,946 10,230 - -3 1986 46,988 46,988 - - 7,321 1,660 8,981 - 3 1987 39,670 39,670 - - 6,940 1,395 8,335 - -3 1988 32,727 32,727 - - 6,288 1,144 7,432 - 1 1989 26,440 26,440 - - 5,808 924 6,732 - 1 1990 20,633 20,633 - - 5,452 717 6,169 - -1 1991 15,18C 15,180 - - 5,032 519 5,551 - -2 1992 10,146 10,146 - - 3,434 359 3,793 - -1 1993 6,711 6,711 - - 2,878 231 3,109 - -2 1994 3,831 3,831 - - 2,445 123 2,568 - - 1995 1,386 1,386 - - 1,386 36 1,422 - - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISEURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DE8TS FROM ONE CATEGORY TO ANOTHER IN THE TABLE. 04/14/76 PAGE 3 INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN LOCAL CURRENCY (IN THOUSANDS OF U.S. DOLLARS) TYPE CF CREDITOR LOANS FROM INTERNATIONAL ORG. CREDITCR CCUNTRY ICe TCTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S D U R I N G P E R I 0 D OTHER CHANGES : BEGINNING OF PERIOC : DIS8URSED : INCLUDING CCMMIT- : CISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:-----------:-----------: LATIONS : MENT * : PRINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 44,266 82,286 42,200 14,725 1,907 1,660 3,567 404 -1,665 1969 56,984 120,510 33,800 17,184 2,469 2,370 4,839 262 -1,262 1970 71,613 150,317 48,300 27,996 2,983 2,847 5,830 - -68 1971 96,559 195,566 44,800 27,851 3,991 3,778 7,769 - -58 1972 120,361 236,317 9,300 20,919 5,744 4,965 10,709 5,610 -43 1973 135,492 234,220 3,100 22,363 7,067 5,682 12,749 - 103 1974 150,753 230,356 9,680 25,007 6,877 5,802 12,679 3,11 -437 1975 168,444 229,531 - 17,102 7,937 6,338 14,275 2,412 1,565 1976 177,575 220,747 * * * * * * THE FCLLCWING FIGURES ARE PROJECTEC * * * * * * 1976 177,575 220,747 - 21,495 14,070 6,590 20,660 - 2 1977 185,002 206,679 - 8,627 14,235 6,631 20,866 - 4 1978 179,398 192,448 - 5,701 14,613 6,519 21,132 - 2 1979 170,488 177,E37 - 3,829 14,699 6,148 20,847 - -1 1980 159,617 163,137 - 2,431 15,517 5,710 21,227 - 5 1981 146,536 147,625 - 1,089 15,485 5,217 20,702 - - 1982 132,140 132,140 - - 15,189 4,687 19,876 - 1983 116,951 116,951 - - 13,239 4,157 17,396 - 1 1984 103,713 103,713 - - 12,772 3,675 16,447 - - 1985 90,941 90,941 - - 12,617 3,208 15,825 - -4 1986 78,32C 7d,320 - - 11,542 2,741 14,283 - 2 1987 66,780 66,780 - - 11,055 2,295 13,350 - -3 1988 55,722 55,722 - - 9,938 1,868 11,806 - - 1989 4-,784 45,784 - - 9,084 1,506 10,590 - 1990 36,699 36,699 - - 8,402 1,174 9,576 - -2 1991 28,295 28,2S5 - - 7,622 860 8,482 - -3 1992 20,670 20,670 -- - 5,179 618 5,79t7 - -2 1993 15,489 15,489 - - 4,468 425 4.893 - -4 1994 11,017 li,017 - - 3,624 272 3,8Ijb - -1 1995 7,392 7,392 - - 2,275 153 2,428 - -1 - HIdS COLiUdN SH-lhS THF AMCUN4 -f ,^r ARi!HY-T1C iMESAJANCE IN'~ THE AM'UJNT OUTSTANNlAG INCLUDlAG UNOISBURSEL FR9O ONE YrAR TO TH; NFXre TiiF MOSl CUVl,CN CrWSrS iF IMBALANCES ARE CHANGES IN EXCHANGF RATES AND TRANSFkPR CF oEBTS FROM ONE CALEGORY Tr AN81HER i. THE TABLE. 04/L4/76 PAGE 4 INCLLDES CNLY DEBT CCMVITTEO JAN. 1, 1900 - DEC. 31, 1975 CEBT REPAYABLE IN LCCAL CURRENCY (IN TFCUSANDS OF U.S. DOLLARS) TYPE CF CkEDITOR LOANS FROM INTERNATIONAL ORU. TOTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I a N S 0 U R I N G P E k I 0 D OTHER CHANGES : IiEGINNING CF PERICC : : DISBURSED : INCLUCING COMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS : MENTS :- - - -:--------- - :------ - --: LATIONS : MENT * : PRINCIPAL INTEREST : TOTAL : (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 44,266 82,286 42,200 14,725 1,907 1,660 3,567 404 -1,665 1969 56,984 120,510 33,800 17,184 ?,469 2,370 4,839 262 -1,262 1970 71,613 150,317 48,300 27,996 2,;83 2,847 5,830 - -68 1971 96,559 195,566 44,800 27,851 3,991 3,778 7,769 - -58 1972 120,361 236,317 9,300 20,919 5,744 4,965 10,709 5,610 -43 1973 135,492 234,220 3,100 22,363 7,067 5,682 12,749 - 103 1974 150,753 230,356 9,68U 25,007 6,877 5,802 12,679 3,191 -437 1975 168,444 229,531 - 17,10Z 7,937 6,338 14,275 2,412 1,565 1976 177,575 220,747 * * * * * * TFE FCLLCWING FIGURES ARE PROJECTED * * * * 197T 177,575 220,747 - 21,495 14,070 6,590 20,660 - 2 1977 185,002 206,679 - 8,627 14,235 6,631 20,866 - 4 1978 179,398 192,448 - 5,701 14,613 6,519 21,132 2 1979 170,488 177,837 - 3,829 14,69S 6,148 20,847 - -1 1980 159,617 163,137 - 2,431 15,517 5,710 21,227 - 5 1981 146,536 147,625 - 1,089 15,485 5,217 20,702 - - 1982 132,140 132,140 - - 15,189 4,687 19,876 - - 1983 116,951 116,951 - - 13,239 4,157 17,396 - 1 1984 103,713 103,713 - - 12,772 3,675 16,447 - - 1985 90,941 90,941 - - 12,617 3,208 15,825 - -4 1986 78,320 78,320 - - 11,542 2,741 14,283 - 2 1987 66,780 66,780 - - 11,055 2,295 13,350 - -3 1988 55,722 55,122 - - 9,938 1,868 11,806 - - 1989 45,784 45,784 - - 9,084 1,506 10,590 - -1 1990 36,699 36,699 - - 8,402 1,174 9,576 - -2 1991 289295 28,295 - - 7,622 860 8,482 - -3 1992 20,670 20,670 - - 5,179 618 5,797 - -2 1993 15,489 15,489 - - 4,468 425 4,893 - -4 1994 11,017 11,017 - - 3,624 272 3,896 - -1 1995 7,392 7,392 - - 2,275 153 2,428 - -1 * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TC ANCTHER IN THE TABLE. 04/14176 PAGE 5 INCLUDES ONLY DEBT CCOMITTED JAN. 1, 1900 - DEC. 31, 1975 CEBT REPAYABLE IN LOCAL CURRENCY (IN THOUSANDS OF U.S. DOLLARS) TYPE CF CREDITOR LOANS FRCM GOVERNMENTS CREDITCR CCLNTRY UNITED STATES CUWRENCY OF DRAWINGS N.A. YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 : THER CHANGES : BEGINNING OF PERIOD : _ _- - - -- - ---- ---- ---- - -- -- -_ _ _ _ -- - -- - __ _ _ _ _ _ DISBURSED : INCLUDING COMMIT- : DISBURSE- S E R V I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :----------- :- - -------- LATIONS : MENT t PRINCIPAL : INTEREST : TOTAL : (1) : {(2) (3) (4) (5) (6) (7) (8) (9) 1968 13,854 13,912 - - 238 497 735 - -1,116 1969 12,504 lZ,558 - - 317 461 778 - -978 1970 11,213 11,263 - - 378 412 790 - -828 1971 10,011 10,057 - 2 416 387 803 - -875 1972 89726 8,1766 - - 415 335 750 - -704 1973 7,610 7,647 - 423 293 716 - -635 1974 6,589 6,589 - 417 251 668 - -836 1975 5,336 5,336 - - 373 197 570 - -688 1976 4,275 4,275 * * * * * THE FCLLOWING FIGURES ARE PROJECTED * * * * * * 1976 4,275 4,275 - - 534 169 703 - I 1977 3,742 3,742 - - 534 147 681 - -1 1978 3,207 3,207 - - 534 126 660 - 1 1979 2,674 2,674 - - 534 103 637 - 1 1980 2,141 2,141 - - 534 82 616 - - 1981 1,607 1,607 - - 534 60 594 - - 1982 1,073 1,073 - - 482 38 520 - - 1983 591 591 - - '339 19 358 - -I 1984 251 251 - - 251 7 258 - - THIS COLUMN SHOhS ThE AMOUNT CF ARITIPETIC IMEALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISEURSEC FRCM ONE YEAR TO THE NEXT. THE MOST COMMCN CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONF CATEGORY TO ANOTHER IN THE TABLE. 04/14/76 PAGE 6 INCLUDES ONLY DEBT CCMMITTED JAN. 1, 1900 - DEC. 31. 1975 DEBT REPAYABLE IN LCCAL CURRENCY (IN THOUSANDS OF U.S. DOLLARS) TYPE CF CREDITOR LCANS FRCM GOVERNMENTS CREDITCR COUNTRY UNITED STATES TCTAL YEAR : DEBT OUTSTANDING AT T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOC DISBURSED : INCLUDING CCMMIT- DISBURSE- : S E R V I C E P A Y M E N T S CANCEL- : ADJUST- : ONLY :UNDISBURSED: MENTS MENTS ---------- --------: LATIONS : MENT* PRINCIPAL : INTEREST TOTAL : ll) (2) 13) (4) (5) (6) : (7) (8) (9) 1968 13,854 13,912 - - 238 497 735 - -1,116 1969 12,504 12,558 - - 317 461 778 - -978 1970 11,213 11,263 - - 378 412 790 - -828 1971 10,011 10,057 - 2 416 387 803 - -875 1972 8,726 8,766 - - 415 335 750 - -704 1973 7,610 7,647 - - 423 293 716 - -635 1974 6,589 6,589 - - 417 251 668 - -836 1975 59336 5,336 - - 373 197 570 - -688 1976 4,275 4,275 * * * * * * THE FCLLOWING FIGURES ARE PROJECTED * * * * * * 1976 4,275 4,275 - - 534 169 703 - I 1977 3,742 3,742 - - 534 147 681 - -1 1978 3,207 3,207 - - 534 126 660 - 1 1979 2,674 2,674 - - 534 103 637 - 1 1980 2,141 2,141 - - 534 82 616 - - 1981 1,607 1,607 - - 534 60 594 - - 1982 1,073 1,073 - - 482 38 520 - - 1983 591 591 - - 339 19 358 - -1 1984 251 251 - - 251 7 258 - - * THIS COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONE YEAR TO THE NEXT. THE MOST COMMCN CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS FROM ONE CATEGORY TO ANCTHER IN THE TABLE. 04/14/76 PAGE 7 INCLUDES ONLY DEBT CCMMITTED JAN. 1, 1900 - DEC. 31, 1975 DEBT REPAYABLE IN LOCAL CURRENCY (1A THOUSANDS OF U.S. DCLLARS) TYPE CF CREDITOR LOANS FROM GOVERNMENTS TCTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N 5 0 U R I N G P E R 1 0 D OTHER CHANGES : BEGINNING OF PERIOD : DISBURSED : INCLUDING COMMIT- : DISBURSE- : S E R d I C E P A Y M E N T S CANCEL- : ADJUST- ONLY :UNDISBURSED: MENTS : MENTS :-----------:----------:--- ---- LATICNS : -MENT * : PkINCIPAL : INTEREST : TOTAL (1) (2) (3) (4) (5) (6) (7) (8) (9) 1968 13,854 13,912 - - 238 497 735 - -1,1I6 1969 12,504 12,558 - - '17 461 778 - -978 1970 11,213 11,263 - - 378 412 790 - -828 1971 10,011 10,057 - 2 416 387 803 - -875 1972 8,726 8,766 - - 415 335 750 - -704 1973 7,610 7,647 - - 423 293 716 - -635 1974 6,589 6,589 - - 417 251 668 - -836 1975 5,336 5,336 - - 373 197 570 - -688 1976 4,275 4,275 * * It * TFE FCLLCWING FIGURES ARE PROJECTED * * t * * * 1976 4,275 4,275 - - 534 169 703 - 1 1977 3,742 3,742 - - 534 147 681 - -1 1978 3,207 3,207 - - 534 126 660 - 1 1979 2,674 2,674 - - 534 103 637 - 1 1980 2,141 2,141 - - 534 82 616 - - 1981 1,607 1,607 - - 534 60 594 - 1982 1,073 1,073 - - 482 38 520 - - 1983 591 591 - - 339 19 358 - -1 1984 251 251 - - 251 7 258 - - * TH1S COLUMN SHOWS THE AMOUNT CF ARITHMETIC IMBALANCE IN THE AMeUNT OUTSTANDING INCLUOING UNOISBURSEC FROM ONE YEAR TO THE NEXT. THE MOST CCMMCN CAUSES UF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER CF DEBTS fROM ONE CAIEGORY TC ANCTHER IN THE TAHLE. 04/14/76 PAGE 8 INCLLOES ONLY DEBT CCI'MITTED JAN. 1, 1900 - DEC. 31, 1975 CEBT REPAYABLE IN LOCAL CURRENCY (IN TFCUSANDS OF U.S. DOLLARSI TOTAL YEAR : DEBT OUTSTANDING AT : T R A N S A C T I 0 N S 0 U R I N G P E R I 0 0 OTHER CHANGES : BEGINNING OF PERIOD : : DISBURSED : INCLUDING CCMMIT- : DISBURSE- : S E R V I C E P A Y M E N T S : CANCEL- : AOJLST- : ONLY :UNDISBURSED: MENTS : MENTS :---- ------: ----------:--- -------: LATIONS : MENT * : PRINCIPAL INTEREST : TOTAL : (1) (2) (3 : (41 (5) (61 (7) (8) (9) 1968 58,120 96,198 42,200 14,725 2,145 2,157 4,302 404 -2,1781 1969 69,488 133,068 33,800 17,184 2,786 2,831 5,617 262 -2,240 1970 82,826 161,580 48,300 27,996 3,361 3,259 6,620 - -896 1971 1C6,570 205,623 44,800 27,853 4,407 4,165 8,572 - -933 1972 129,087 245,083 9,300 20,919 6,159 5,300 11,459 5,610 -747 1973 143,102 241,867 3,100 22,363 7,490 5,975 13,465 - -532 1974 157,342 236,945 9,680 25,007 7,294 6,053 13,347 3,191 -1,Z73 1975 173,780 234,867 - 17,102 8,310 6,535 14,845 2,412 877 1976 181,850 225,022 * * * * * THE FCLLGWING FIGURES ARE PROJECTED * * * * * * 1976 181,850 225,022 - 21,495 14,604 6,759 Z1,363 - 3 1977 188,744 210,421 - 8,627 14,769 6,778 21,547 - 3 1978 182,605 195,655 - 5,701 15,147 6,645 21,792 - 3 1979 173,162 180,511 - 3,829 15,233 6,251 21,484 - - 1980 161,758 165,278 - 2,431 16,051 5,792 21,843 - 5 1981 148,143 149,232 - 1,089 16,019 5,277 21,296 - - 1982 133,213 133,213 - - 15,671 4,725 20,396 - - 1983 117,542 117,542 - - 13,578 4,176 17,754 - - 1984 103,964 103,964. - - 13,023 3,682 16,705 - - 1985 90,941 90,941 - - 12,617 3,208 15,825 - -4 1986 78,320 78,320 - - 11,542 2,741 14,283 - 2 1987 66,780 66,780 - - 11,055 2,295 13,350 - -3 1988 55,722 55,722 - - 9,938 1,868 11,806 - - 1989 45,784 45,784 - - 9,084 1,506 10,590 - -1 1990 36,699 36,699 - - 8,402 1,174 9,576 - -2 1991 28,295 28,295 - - 7,622 860 8,482 - -3 1992 20,670 20,670 - - 5,179 618 5,797 - -2 1993 15,489 15,489 - - 4,468 425 4,893 - -4 1994 11,017 11,017 - - 3,624 272 3,896 - -1 1995 7,392 7,392 - - 2,275 153 2,428 - -1 * THIS COLUMN SHOWS THE AMOUNT CF ARIThMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSEC FRCM ONE YEAR TO THE NEXT. THE MOST COMMCN CAUSES CF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER CF DEBTS FROM ONE CATEGORY TC ANCTHER IN T7-E TABLE. Table 5.1 -COLOMBIA: PUBLIC SECTOR RESOURCES FOR INVESTMENT,1970-75 (In millions of Colombian pesos) Act al Estimated 1970 1971 1; 1973 1974 1975 I. SOURCES A. Current Account Surplus l/ 9.282 9,.872 10,050 10,648 18.365 26,102 1. Central Government 6.404 _7.3 8.351 10.389 14,442 23,870 National Government 5,953 7,154 7,829 9,598 12,138 21,302 National Highway Fund 48 50 100 69 1,286 1,495 Social Security 403 589 422 722 1,018 1,070 2. Decentralized Agencies 1.333 884 1,009 - 88 3.794 2,039 (a) National Decentralized Agencies 609 - 75 - 125 -1,515 2 380 ECOPETROL 568 980 1,375 1,406 3,734 2,052 IDEMA 113 - 328 - 474 -1,436 -2,115 -2,743 TELECOM 229 296 461 470 708 973 Others - 301 -1,023 -1,487 -1,955 169 98 (b) Municipal Decentralized Agencies 724 959 1,134 1,427 1,298 1,659 EAAB 109 256 278 304 240 335 EEEB 209 254 316 440 348 553 EPM 294 318 375 488 563 641 Others 112 131 165 195 147 130 3. Departments 238 11 - 168 - 964 -1.087 -1.075 4. Municipalities 1,307 1,184 858 1,311 1.216 1,268 B. Capital Account Revenues 762 672 766 1,178 2,578 3,355 C. Borrowing (Disbursements) 7,400 9,140 13,335 15,454 16 881 16 567 1. External 3,512 4,219 6,912 7,892 8,6 2. Domestic 3,888 4,921 6,423 7,562 8,519 9,040 TOTAL 17,444 19.684 24.151 27,280 37,824 46,024 1I. USES A. Investment Expenditures 13,326 15,128 17,379 20,737 31,927 34.839 1. Gross Fixed Investment 12,168 13,501 15.967 19,170 29,351 32.868 a. Central Government 2.394 3.058 3.283 3,307 5,091 5,919 National Government 737 995 1,030 1,020 2,428 3,207 National Highway Fund 1,555 1,957 2,146 2,182 2,439 2,454 Social Security 102 106 107 105 224 258 b. Decentralized Agencies 5,882 5,926 8,013 9.674 16.846 18,497 (I) National Decentralized Agencies 4.302 4.559 6.357 7,724 14.537 15 016 ECOPETROL 824 862 1,558 1,601 5,334 3,5 INSCREDIAL 633 734 854 1,002 1,398 1,409 ICCE 240 308 435 678 814 318 CVC - 305 604 1,041 949 636 ISA 460 402 487 1,044 1,150 1,265 Others 2,145 1,948 2,419 2,358 4,892 7,820 (II) Municipal Decentralized Agencies 1,580 1,367 1.656 1,950 2,309 3.481 EAAB 573 410 579 594 483 1,201 EPM 372 434 460 500 1,090 1,307 Others 635 523 617 856 736 973 c. Departments 1,169 1,490 1.442 1,650 1,921 2,518 d. Municipalities 2,723 3,027 3.229 4,539 5,493 5,934 2. Financial Investment 1,158 1,627 1,412 1,567 2,576 1,971 ICSS 595 857 741 985 1,024 1,274 Others 563 770 671 582 1,551 697 B. Amortization Payments 4,031 3.930 5.984 6,009 7,015 8.193 1. External 1,139 1,214 1,970 2,498 2,872 3,304 2. Domestic 2,892 2,716 4,014 3,511 4,143 4,889 C. Cash Balances 2/ 87 626 788 534 -1,118 2,992 TOTAL I ., 37824 4jiO24 1/ Before transfers. 2/ Balancing item. tource: Informe Financiero of the Controller G,eneral's Office; Financial Reports of Public Enterprises; Planning Department; Banco de la RepublicaF and Mission estimates. Table 5.2 - COLOMBIA: PUBLIC SECTOR RESOURCES FOR INVESTMENT, 1970- 75 (As percent of G.D.P. at m.p.) ACTUAL ESTIMATED 1970 1971 1972 1973 1974 -7975 I. SOURCES A. Current Account Surplus 1 6.4 5.4 4.4 5.6 6.6 1. Central Government 7579 Y 77 Z7 4.4 6.0 National Government 4.6 43.7 4.2 4.0 377 5Z National Highway Fund - - - - 0.4 0.4 Social Security 0.3 0.4 0.2 0.3 0.3 0.3 2. Decentralized Agencies 1.0 0.6 0.5 - 1.7 0.5 (a) National Decentralized Agencies 0.5 - - 0.1 - 0.6 0.8 0.1 ECOPETROL 0.4 0.6 0.7 0.6 1.1 0.5 IDEMA 0.1 - 0.2 - 0.3 - 0.6 -0.7 -0.7 TELECOM - 0.2 0.2 0.2 0.2 0.2 0.2 Others - 0.2 - 0.7 - 0.8 - 0.8 0.1 0.1 (b) Municipal Decentralized Agencies 0.6 0.6 0.6 0.6 0.4 0.4 EAAB 0.1 0.2 0.1 0.1 0.1 0.1 EEEB 0.2 0.2 0.2 0.2 0.1 0.1 EPM 0.2 0.2 0.2 0.2 0.2 0.2 Others 0.1 - 0.1 0.1 0.1 - 3. Departments 0.2 - - 0.1 - 0.4 -0.3 -0.3 4. Municipalities 1.0 0.8 0.5 0.5 0.4 0.3 B. Capital Account Revenues 0.6 0.4 0.4 0.5 0.8 0.8 C. Borrowing (Disbursements) 5.7 5.9 7.2 6.4 5.2 4.2 1. External 2.7 2.7 3.7 3.3 2.6 1.9 2. Domestic 3.0 3.2 3.5 3.1 2.6 2.3 TOTAL 13.4 12.8 13.0 11.3 1.5, 11.6 1I. USES A. Investment Expenditures 10.2 9.8 9.4 8.6 9.7 8.8 1. Gross Fixed Investment 9.3 8.8 8.6 7.9 9.0 8.3 a. Central Government 1.8 2.0 1.8 1.4 1.6 1.5 National Government 0.6 0.6 0.6 0.4 0.7 0.8 National Highway Fund 1.2 1.3 1.2 0.9 0.7 0.6 Social Security - 0.1 - - 0.1 0.1 b. Decentralized Agencies 4.5 3.9 4.3 4.0 5.1 4.7 (I) National Decentralized Agencies 3.3 3.0 3.4 3.2 4.4 3.8 ECOPETROL 0.6 0.6 0.8 0.7 1.6 0.9 INSCREDIAL 0.5 0.5 0.5 0.4 0.4 0.4 ICCE 0.2 0.2 0.2 0.3 0.3 0.1 CVC - 0.2 0.3 0.4 0.3 0.2 ISA 0.4 0.3 0.3 0.4 0.4 0.3 Others 1.6 1.3 1.3 1.0 1.4 2.0 (II) Municipal Decentralized Agencies 1.2 0.9 0.9 0.8 0.7 0.9 EAAB 0.4 0.3 0.3 0.2 0.2 0.3 EPM 0.3 0.3 0.3 0.2 0.3 0.3 Others 0.5 0.3 0.3 0.4 0.2 0.2 c. Departments 0.9 1.0 0.8 0.7 0.6 0.6 d. Municipalities 2.1 2.0 1.7 1.9 1.7 1.5 2. Financial Investment 0.9 1.1 0.8 0.6 0.8 0.5 ICSS 0.5 0.6 0.4 0.4 0.3 0.3 Others 0.4 0.5 0.4 0.2 0.5 0.2 B. Amortization Payments 3.1 2.6 3.2 2.5 2.1 2.1 1. External 0.9 0.8 1.1 1.0 0.9 0.8 2. Domestic 2.2 1.8 2.1 1.4 1.3 1.2 C. Cash Balances - 0.4 0.4 0.2 -0.3 0.7 TOTAL I4 12.8 13.0 11.3 11.5 1l6 Source: Same as Table 5.1. Table 5.3 -COLOKBIA: PUBLIC SECTOR RESOURCES FOR INVESTMENT, 1970- 75 (peroentag. distribution) ACTUAL ESTIMATED 1970 1971 1972 1973 _1t974 1975 I. SOURCES A. Current Account Surplus 53.2 50.2 41.6 39.0 48.6 56.7 1. Central Government 36.7 39.6 34.6 38.1 s National Government 34.1 36.3 32.4 35.2 32.1 46.3 National Highway Fund 0.3 0.3 0.4 0.3 3.4 3.2 Social Security 2.3 3.0 1.8 2.7 2.7 2.3 2. Decentralized Agencies 7.6 4.5 4.2 - .3 10.0 4.4 (a) National Decentralized Agencies 3.5 - .4 - .5 -5.6 6.6 0.8 ECOPETROL 3.3 .0 5.7 9.9 4.5 IDEMA 0.7 -1.7 -2.0 -5.3 -5.6 -6.0 TELECOM 1.3 1.5 1.9 1.7 1.9 2.1 Others -1.7 -5.2 -6.2 -7.2 0.4 0.2 (b) Mhnicipal Decentralized Agencies 4.2 4.9 4.7 5.2 3. 3.6 EAAB .6 1.3 1.2 1.1 0.6 0.7 EEEB 1.2 1.3 1.3 1.6 0.9 1.2 EPM 1.7 1.6 1.6 1.8 1.5 1.4 Others 0.6 0.7 0.7 0.7 0.4 0.3 3. Departments 1.4 -0.7 -3.5 -2.9 -2.3 4. Municipalities 7.5 6.0 3.6 4.8 3.2 2.8 B. Capital Account Revenues 4.4 3.4 3.2 4.3 6.8 7.3 C. Borrowing 42.4 46.4 76.4 56.7 44.6 36.0 1. External 20.1 21.4 28.6 28.9 22.1 16.4 2. Domestic 22.3 25.0 26.6 27.7 22.5 19.6 TOTAL 100.0 100.0 100.01 100.0 10 .0 100.0 II. USES A. Investment Expenditures 76.4 76.9 72.0 76.0 84.4 75.7 1. Gross Fixed Investment 69.8 68.6 66.1 70.3 77.6 71.4 a. Central Government 13.7 15.5 13.6 12.1 13.5 12.9 National Government 4.2 5.1 4.3 3.7 6.4 7.0 National Highway Fund 8.9 9.9 8.9 8.0 6.4 5.3 Social Security 0.6 0.5 0.4 0.4 0.6 0.6 b. Decentralized Agencies 33.7 30.1 33.2 35.5 44.5 40.2 (I) National Decentralized Agencies 24.7 23.2 26.3 28.3 38.4 32.7 ECOPETROL 4.7 4.4 6.5 5.9 14.1 7.8 INSCREDIAL 3.6 3.7 3.5 3.7 3.7 3.1 ICCE 1.4 1.6 1.8 2.5 2.2 0.7 CVC - 1.6 2.5 3.8 2.5 1.4 ISA 2.6 2.0 2.0 3.8 3.0 2.8 Others 12X3 9.9 10.0 S.6 12,9 17.0 (II) Municipal Decentralized Agencies 9.1 6.9 6.9 7.2 6.1 7.5 EAAB 3.3 2.1 2.4 2.2 1.3 2.6 EPM 2.1 2.2 1.9 1.8 2.9 2.8 Others 3.6 2.7 2.6 3.1 1.9 2.1 C. Departments 6.7 7.6 6.0 6.1 5.1 5.5 D. Municipalities 15.6 15.4 13.4 16.6 14.5 12.9 2. Financial Investment 6.6 8.3 5.9 5.7 6.8 4.3 ICSS 3.4 4.4 3.1 3.6 2.7 2.8 Others 3.2 3.9 2.8 2.1 4.1 1.5 B. Amortization Payments 23.1 20.0 24.8 22.0 18.6 17.8 1. External 6.5 6.2 8.2 9.2 7.6 7.2 2. Domestic 16.6 13.8 16.6 12.9 11.0 10.6 C. Cash Balances 0.5 3.2 3.3 2. -3.0 6.5 TOVAL 100.0 100.0 100.0 100.0 100.0 100.0 Source : Same as Table 5.1. Table 5.4 - COLoMBIA: ANALYSIS OF CONSOLIDATED PUBLIC SECTOR FINANCSS, 1 l70- 75 (In millions of Colombian pesos) ACTUAL ESTIMATED 1970 1971 1972 1973 1974 1975 Central Government Current revenues 13,748 16,814 18,994 __ 24,130 31,129 46,537 Current expenditures -/ 7,394 9,021 10,643 13,741 16,687 22,667 Current account surplus/deficit i/ 6,404 7,793 8,351 10,389 14,442 23,870 Savings ratio 21 .464 .463 .440 .431 .464 .513 Investment 2,394 3,058 3,283 3,307 5,091 5,919 Savings as percent of investment 267.5 254.8 254.4 314.2 283.7 403.3 Decentralized Agencies Current revenues 6,605 7,863 9,306 10,512 22,271 26,683 Current expenditures 5,272 6,979 8,297 10,600 18,477 24,644 Current account surplus/deficit 1/ 1,333 884 1,009 - 88 3,794 2,039 Savings ratJi .202 .112 .108 - .008 .170 .076 Investment 3 5,882 5,926 8,013 9,674 16,846 18,497 Savings as percent of investment 22.7 14.9 12.6 - 0.9 22.5 11.0 Departments Current revenues 2,432 2,834 3,202 3,486 4,231 5,340 Current expenditures 2,194 2,823 3,370 4,450 5,318 6,415 Current account surplus/deficit 1/ 238 11 - 168 - 964 -1,087 -1,075 Savings ratiQ 2/ .098 .004 - .052 - .277 - .257 - .201 Investment 1,169 1,490 1,442 1,650 1,921 2,518 Savings as percent of investment 20.4 0.7 - 11.7 - 58.4 - 56.6 - 42.7 Municipalities Current revenues 4,077 4,426 4,678 5,931 6,536 7,893 Current expenditures 2,770 3,242 3,820 4,620 5,320 6,625 Current account surplus/deficit 1/ 1,307 1,184 858 1,311 1,216 1,268 Savings ratio 2/ .321 .268 .183 .221 .186 .161 Investment -/ 2,723 3,027 3,229 4,539 5,493 5,934 Savings as percent of investment 48.0 39.1 26.6 28.9 22.1 21.4 CONSOLIDATED PUBLIC SECTOR Current revenues 26,912 31,937 36,180 44,059 64,167 86,453 Current expenditures 17,630 22,065 26,130 33,411 45,802 60,351 Current account surplus/deficit 9,282 9,872 10,050 10,648 18,365 26,102 Savings ratio .345 .309 .278 .242 .286 .302 Gross fixed investment 12,168 13,501 15,967 19,170 29,351 32,868 Savings as percent of investment 76.3 73.1 62.9 55.5 62.6 79.4 Capital revenue 762 672 766 1,178 2,578 3,355 Financial investment 1,158 1,627 1,412 1,567 2,576 1,971 Overall surplus/deficit - 3,282 -_ 4,584 - 6,563 - 8,911 -10,984 -5,383 Financing 3.282 4,584 6,563 8,911 10,984 5,383 External (net) 2,373 3,005 4,942 5,394 5,490 4,223 Borrowing ( 3,512) ( 4,219) ( 6,912) (. 7,892) ( 8,362) ( 7,527) Amortization (- 1,139) (- 1,214) (-11,970) (- 2,498) (-2,872) (-3,304) Domestic (net) 996 2,205 2,409 4,051 4,376 4,151 Borrowing ( ,3,888) ( 4,921) ( b,4Z.) C 7562) ( 8,519) ( 9,040) Amortization (- 2,892) (- 2,716) (- 4,014) (- 3,511) (-4,143) (-4,889) Short-term financing and cash balances - 87 - 626 _ 788 - 534 +1,118 -2,991 1/ Before transfers. 2/ Current account surplus/deficit + current revenues. 3/ Gross fixed investment. Source: Same as Table 5..1 Table 5.5 - COIOMBIA: NATIDNAL GOVhMENT OPERATIONS, (In millions of Colombian pesos) ACTUAL 1970 1971 1972 1973 1974 1975$L I. Current Revenues 11.967 14.388 16.108 20,361 26.356 38,328 1. Total revenue including CATs and CDTs 12,391 14,931 17,208 21,017 28,639 40,646 a. Income and net wealth tax (5,617) ( 6,484) ( 7,624) ( 8,766) (10,725) (18,063) b. Sales tax ( 1,074) ( 1,614) ( 1,933) ( 2,460) ( 3,944) ( 7,757) c. Customs revenues ( 2,542) ( 2,952) ( 3,079) ( 4,156) ( 5,646) ( 5,751) d. Special exchange account ( 785) ( 840) ( 940) ( 2,001) ( 3,041) ( 3,640) 2. Less (-): Taxes paid through redemptiorn of CATs and CDTs - 424 - 543 -1,100 -1,456 -2,283 -2,318 II. Current Expenditures 8.2069 11.583 14735 18.212 5 1. Personal Services 2,203 5237 6,022 7,503 9,532 12,465 a. Wages and salaries ( 3,474) ( 4,135) ( 4,761) ( 5,390) ( 7,102) ( 9,490) b. Contributions to social security institutions ( 729) ( 1,102) ( 1,261) ( 2,113) ( 2,430) ( 2,975) 2. Goods and services 735 726 745 788 1,248 1,440 3. Current transfers 2,501 3,483 3,817 5,029 5,765 9,407 a. To decentralized agencies ( 864) C 1,197) ( 942) ( 1,063) ( 1,025) ( 2,066) b. To departments and municipalities ( 1,257) ( 1,908) ( 2,515) ( 3,158) ( 4,468) ( 6,913) c. To private sector ( 323) ( 323) ( 290) ( 712) ( 122) ( 312) d. To international agencies ( 57) ( 55) ( 70) ( 96) ( 150) ( 116) 24. Interest payments 630 732 999 1,415 1,667 2,282 a. Internal debt ( 380) ( 431) ( 620) ( 679) ( 681) ( 847) b. External debt ( 250) ( 301) ( 379) ( 736) ( 986) C 1,435) III. Current Account Surplus 2.98 4.210 4.525 j 5626 8,144 12.734 IV. Investment Expenditures -5442 5903 8,362 L2 10.912 12867 1. Gross fixed investment 737 995 1,030 997 1,512 913 2. Capital transfers 4,705 4,908 7,332 7,427 9,400 11,954 a. Decentralized agencies ( 4,324) ( 4,616) ( 7,104) ( 6,926) ( 8,836) (11,015) b. Departments and municipalities ( 381) ( 292) ( 228) ( 501) ( 564) ( 939) V. Overall SurDlus Deficit (-) -L1.hL -La -.= -LD8 -2.768 - VI. Flawcnia& noi 1.632 L= L28 2.768 la A. Foreign financing (net) 1.463 1.22 239231 - 6591 1. Drawings 1838 1,605 24,102 4,082 1, 26 681 U.S. AID (1,641) (1,217) (1,711) (1,801) ( 928) ( 478) IBRD ( 137) ( 212) ( 374) ( 375) ( 78) ( 46) IDB ( 60) ( 176) ( 242) ( 149) ( 139) ( 131) Other ( - ) - ) (1,775) (1,757) C 101) ( 20' 2. Amortization - 380 - 369 - 811 -1,030 - 932 -1,272 U.S. AID (- 77) (- 103) (- 120) (- 171) - 178) ( 212) IBRD (- 101) (- 96) (- 110) (- 130) (- 172) ( 193) IDB 4- 5) (- 66) (- 85) (- 49) (- 108) ( 125) Other t- 157) C- 104) (- 496) (- 680) (- 474) ( 740) B. Domestic financing (net) 86 7 5 - e 72+ 1. Monetary authorities (net) 1 3 0 T 71 91 2. Other domestic lenders (net) 82 - 403 269 720 1,880 - 264 3. Change in cash balances (increase -) 3 16 - 3 - 8 30 4. Change in deposits of regional offices (increase -) ... ... ... - 124 - 14,0 + 72 5. Eloat (decrease -) 15 57 40 - 2 6. AdjUstnent -4 95 25 - 29 A Because of minor reclassification of the fiscal accounts, the 1973-7;5 period is not strictly comparable with those of previous years. /2 Preliminary. Source: MiLnistry of Finance, National Treasur'y, Controller General's Office, National Plann-ig Department, Banco de la Republica and Mission estimates. TABLE 5.6 -COLOMBIA: NATIONAL GOVERNMENT REVENUES 1970-75 (In millions of Colombian pesos) ACTUAL - 1970 1971 1972 1973 1974 1975 3 Total Revenue Including CATs and CDTs 12,391 14,931 17,208 21.817 28,639 40,646 A. Taxes on Income and Property 5,958 6,941 8,022 9,188 11.259 18.315 1. Income and net wealth tax 5,617 6,484 7,624 8,766 10,725 18,063 2. Other 341 457 398 422 534 252 a. Inheritance and gift taxes ( 170) ( 257) ( 216) ( 257) ( 380) ( 218) b. Cattle tax ( 153) ( 176) ( 159) ( 137) ( 125) ( ) c. Ten percent tax on land property ( 18) C 24) ( 23) ( 28) ( 29) ( 34) B. Taxes on Foreign Trade 3,337 3,798 4.023 6,163 8,692 9 391 1. Customs 2,246 2,619 2,741 3,705 4,845 2. Three percent import surcharge - 296 333 338 451 801 341 3. Special exchange account operations (including coffee export tax) 785 840 940 2,001 3,041 3,640 4. Other 10 6 4 6 5 2 C. Taxes on Domestic Consumption and Transactions 2.532 3,536 4,358 5,333 7,340 11.608 1. Sales tax 1,074 1,614 1,933 2,460 3,944 7,757 2. Gasoline tax 836 1,018 1,353 1,455 1,546 1,726 3. Stamp taxes 599 876 1,040 1,375 1,791 1,658 4. Service tax (Proturismo) 23 28 32 43 59 77 5. Liquor sales tax - - - - 390 D. Nontax Revenue 564 656 805 1,134 1,348 1.332 1. Fees and fines 403 446 525 828 818 950 2. Royalties and contractual income 161 210 280 306 530 382 a. Share in petroleum exploration ( 139) ( 147) ( 140) ( 140) ( 212) ( 85) b. Other ( 22) ( 63) ( 140) ( 166) ( 318) ( 297) Less: Tax Credit Certificates - 424 - 543 -1,100 -1,456 -2,283 -2,3l8 / Total Current Revenue 11,967 14,388 16.108 20,361 26,356 38,328 1/ Beginning in 1975, resources earmarked for PROEXPO will be transferred directly. 2/ CAT and PAS. PAS in 1975 $538. 3/ Preliminary. Source: Same as Table 5.5. Table 5.7 - COLOMBIA: TAX BURDEN, 1970-75 As percent of G.D.P. 1970 1971 1972 1973 1974 1975 Total Revenue Including CATs and CDTs 9.5 9:7 -1 9.0 8.7 10.2 A. Taxes on Income and Property B. 4. = L3. 6 1. Income and net wealth tax 4.3 14.2 4.1 3.6 3.3 4.5 2. Other 0.3 0.3 0.2 0.2 0.2 0.1 B. Taxes on Foreign Trade 2.6 2.5 . 6 2.e 1. Customs 1.7 1.7 1.5 1. 1 1. 2. 3 percent import surcharge 0.2 0.2 0.2 0.2 0.2 0.1 3. Special exchange account operations (including coffee export tax) 0.6 0.6 0.5 0.8 0.9 0.9 4. Other - - - - - - C. Taxes on Domestic Consumption and Transactions 1,5 1.7 1.8 2.2 2.9 1. Sales tax 0.8 1.0 1.0 1.0 1.2 2.0 2. Gasoline tax 0.6 0.7 0.7 0.6 0.5 0.4 3. Stamp taxes 0.5 0.6 0.7 0.6 0.6 0-4 4. Service tax (Proturismo) - - - - - - 5. Liquor sales tax - - - - - 0.1 D. Nontax Revenue 01 0.3 Less: Tax Credit Certificates -0.4 -O -02 .-t7 -_0.6 Total Current Revenue 2 - A 2.6 Source: Same as Table 5.6 Table .8- COLOMBIA: BUOYANCIES WITH RESPECT TO G.D.P. 1970-75 1970 1971 1972 1973 1974 1975 Totb.1 Revenue Including CATs and CDTs 1.44 1.16 0.74 0.87 0.99 1.16 A. Taxes on Income and Property 1.38 0.93 0.75 0.47 0.71 1.33 1. Income and net wealth tax 1.41 0.87 0.85 0.9 0.71 1.38 2. Other a. Inheritance and gift taxes 0.41 2.89 -0.77 0.62 1.51 -0.35 b. Cattle tax 0.95 0.85 -0.47 -0.45 -0.28 - c. 10 percent tax on land property 4.73 1.88 0.20 0.71 0.11 0.96 B. Taxes on Foreign Trade 2.14 0.78 0.29 1.73 1.30 0.88 1. Customs 2.04 0-94 0.23 1.15 0.97 0.91 2. 3 percent import surcharge 1.87 0.70 0.07 1.09 2.46 -0.47 3. Special exchange account 0.98 (including coffee export 0.98 tax ) 2.61 0.40 0.58 3.68 1.64 -0.49 4. Other -0-59 -2.25 -1.61 1.63 -0.53 1.29 C. Taxes on Domestic Consumption and Transactions 0.61 2.12 1.20 0.63 27.22 1.61 1. Sales tax 1.03 2.83 o.96 o.89 1.91 0.91 2. Gasoline tax 0.87 1.23 1.59 0.25 0.20 -0.06 3. Stamp taxes 0.81 2.61 0.91 1.05 0.96 1.07 4. Service tax (Proturismo) -8.11 1.23 0.69 1.12 1.18 - D. Nontax Revenue 1.69 0.92 1.10 1.33 O.60 -0.01 1. Fees and fines 1.76 0.86 -0.02 1.79 0.95 2. Royalties and contractual income 1.50 1.72 1.61 0.30 2.32 -0.23 a. Share in petroleum exploration 0.95 0.32 -0.23 - 1.63 -0.49 b. Other 6.36 10.51 5.92 0.61 2.90 -0.05 Less: Tax Credit Certificates 1.52 1.58 4.97 1.05 1.80 0.83 Total Current Revenue 1.43 1.14 o.58 0.86 0.93 1.19 Source: Table 5.6 TABLE 5.9 - COLOMBIA: PUBLIC SECTOR TRANSFERS, 1970-75 (In millions of Colombian pesos) ACTUAL ST. 19T70 1971 1972 1973 1974 Current Transfers From: National Government To: Rest of Public Sector 2,121 3,105 3,457 4,221 5,493 8,979 Decentralized Agencies ( 864) (1,197) ( 942) (1,063) (1,025) (2,066) Departments and Municipalities (1,257) (1,908) (2,515) (3,158) (4,468) (6,913) From: Rest of Public Sector (Decentralized Agencies) To: National Government 66 161 153 249 332 405 Capital Transfers From: National Government To: Rest of Public Sector 4,705 4,908 7,332 7,427 9,400 11,954 Decentralized Agencies (4,324) (4,616) (7,104) (6,926) (8,836) (11,015) Departments and Municipalities ( 381) ( 292) ( 228) ( 501) ( 564) ( 939) Total Transfers From: National Government To: Rest of Public Sector 6,826 8,013 10,789 11,648 14,893 20,933 Decentralized Agencies (5,188) (5,813) (8,o46) (7,989) (9,861) (13,081) Departments and Municipalities (1,638) (2,200) (2,743) (3,659) (5,032) ( 7,852) Transfer payments as percentage of National Government Current Revenue 1. Current Transfers 17.7 21.6 215 20.7 20.8 23.4 2. Capital Transfers 39.3 34.1 45.5 36.5 35.7 31.2 3. Total Transfer Payments 57.0 55.7 67.0 57.2 56.5 54.6 Source s Planning Department and Mission Estimates Table 5.10 - COLONBIAs SUMMARY ACCOUNTS OF MAJOR DECENTRALIZED AOENCIJS, 1970-75 Page 1 of 6 (In millions of Colombian pesos at current prices) ACTUAL _STTMATMF 1970 1971 1972 1973 1974 1975 I. EMPRESA COLOM1BANA DE PETROLEOS - ECOPETROL t. Own Current Revenues 1,262.5 1.821.4 2.487.3 3,012.5 6,823.7 8,289.8 Sale of goods and services 1,216.8 1,652.0 2,466.1 2,944.5 6,759.1 8,211.8 Other current revenues 45.7 169.4 26.2 68.0 64.6 78.0 II. Direct Current Expenditures 694.9 841.6 1,112.0 1,606.3 3,089.5 6,040.3 Remuneration 240.8 320.5 359.8 450.9 679.2 - Purchases of goods and services 333.6 404.1 561.5 688.7 1,743.3 - Interest payments 30.1 1.0 41.3 - Current transfers to private sector 85.7 110.9 184.2 460.5 620.2 - Others 4.7 5.1 6.5 6.2 5.5 - IIIa. Savings Generated 567.6 979.8 1,375.3 1,406.2 3,734.2 2,249.5 IIlb. Current Public Sector Transfer (net) -28.2 -105.9 -87.4 -170.6 -254.6 -198.0 IIlc. Current Account Surplus/Deficit 539.4 873.9 1,287.9 1,235.7 3.479.6 2,051.5 IV. Other Revenues 87.4 91.9 1.8 - - - Capital transfers from public sector 87.4 91.9 - - - - V. Capital Expenditures 823.7 861.5 1,558.4 1,600.9 5,333,7 3,567.8 Fixed capital formation 823.7 861.5 1,558.4 1,600.9 5,333.7 3,567.8 Financial investment - - - - VI. Overall Surplus/Deficit -196.9 104.2 -268.7 -365.2 -1.854.1 -1.516.3 VII. Long-Term Financing 185.6 141.9 -23.8 27.3 1.060.7 616.3 Loans granted (net) 34.2 - 0.8 63.6 126.7 145.6 Loans received 151.4 -141.9 -24.7 -36.2 934.0 470.7 a. foreign, net 142.5 -91.0 -54.3 -Z2.0 970.0 515.7 b. domestic, net 8.9 -50.9 29.6 -14.2 -36.0 -45.0 VIII. Short-Term Financing and Cash Balances 11.3 37.7 292.5 337.9 793.4 900.0 II. INSTITUTO DE CREDITO TERRITORIAL - INSCREDIAL I. Own Current Revenues 221.7 208.1 314.6 428.4 631.2 770.3 Sale of goods and services 10.6 ( 8.2) 7.0 8.8 19.0 51.6 Other current revenues 211.1 ( 199.9) 307.6 419.6 612.2 718.7 II. Direct Current Expenditures 168.0 235.9 271.2 361.5 433.4 701.0 Remuneration 46.2 60.3 40.9 48.3 - - Purchases of goods and services 36.9 40.6 40.9 48.3 - - Interest payments 76.1 120.0 142.8 197.5 - - Current transfers to private sector 2.5 3.7 5.4 6.9 - - Social security contributions 5.8 10.9 7.9 20.8 - - Others 0.5 0.4 33.3 39.7 - - IIIa. Savings Generated 53.7 -27.8 43.3 66.9 197.8 69.3 IlIb. Current Public Sector Transfers (net) - 4.3 - 8.2 - 8.6 - 8.2 -11.7 -14.2 IlIc. Current Account Surplus/Deficit 49.4 -36.0 34.7 58.6 186.1 55.1 IV. Other Revenues 128.2 124.0 600.4 433.4 492.6 390.5 Capital transfers from public sector 128.1 124.0 599.7 433.0 492.6 390.5 V. Capital Expenditures 633.4 733.6 854.0 1.001,8 1.397.6 1,409.2 Fixed capital formation 633.4 733.6 854.0 1,001.8 1,397.6 1,409.2 Financial investment - - - - VI. Overall Surplus/Deficit -455.8 -645.5 -218.9 -509.6 -718.9 -963.6 VII. Long-Term Financing 538.3 646.1 286.4 747.2 538.3 984.1 Loans granted 205.0 248.5 61.2 169.4 230.7 291.2 Loans received 307.6 692.9 a. foreign, net 47.7 33.8 -28.6 -66.6 -82.7 -88.3 b. domestic, net 285.6 363.8 253.8 644.4 390.3 781.2 VIII. Short-Term Financing and Cash Balances -82.5 - .6 -67.5 -237.5 180.6 -20.5 1/ List of decentralized agencies included in the consolidated public sector accounts are listed on page 6 of Table 5.10. Table 5.10 - COLOMBIA: SUNMARY ACCOUNTS OF MAJOR DECENTRALIZED AGENCIES, 1970-75 (In mi. ions of Colombian pesos at current prices) Page 2 of 6 ACTUAL ESTIMATED 1970 1971 1972 1973 1974 - 1975 III. INTERCONEXION ELECTRICA S.A. - ISA I. Own Current Revenues 35.9 3.2 23.4 67.8 84.7 99.1 Sale of goods and services - - - - - - Other current revenues 35.9 3.2 23.4 67.8 84.7 99.1 II. Direct Current Expenditures 13.1 17.1 38.7 59.9 71.9 82.7 IIIa. Savings Generated 22.8 -13.9 -15.3 7.9 12.8 16.4 IIIb. Current Public Sector Transfer (net) 9.0 17.4 - - - - IlIc. Current Account Surplus/Deficit 31.8 3.5 -15.3 7.9 12.8 16.4 IV. Other Revenues 63.3 87.4 155.9 176.9 - 310.0 Capital transfers from public sector 63.3 87.4 155.9 176.9 235.3 310.0 V. Capital Expenditures 463.6 402.1 486.5 1,043.8 1 10.4 1.265.0 Fixed capital formation 459.9 402.1 486.5 1,043.8 1,150.4 1,265.0 Financial investment 3.7 - - - - - VI. Overall Surplus/Deficit -368.5 -311.2 -345.9 -859.0 -902.3 -938.6 VII. Long-Term Financing 327.2 325.1 339.9 725.1 670.5 773.3 Loans granted, net - 0.2 - - - _ _ Loans received 670.5 773.3 a. foreign, net 306.6 289.9 269.8 597.2 510.3 586.8 b. domestic, net 20.8 35.2 70.1 127.9 160.2 186.5 VIII. Short-Term Financing and Cash Balances 41.3 -13.9 6.0 133.9 231.8 165.3 IV. EMPRESAS PUBLICAS DE MEDELLIN - EPM I. Own Current Revenues 509.6 567.7 654.5 844.1 995.7 1.159.8 Sale of goods and services 446.9 508.4 604.7 764.6 882.6 1,018.5 Other current revenues 62.7 59.3 49.8 79.5 113.1 141.3 II. Direct Current Expenditures 216.1 249.8 279.3 356.1 505.4 596.4 IIIa. Savings Generated 293.5 317.9 375.2 488.0 490.3 563.4 IIIb. Current Public Sector Transfer (net) -16.9 -14.1 -23.0 -28.9 -34.9 -43.9 IlIc. Current Account Surplus/Deficit 276.6 303.8 352.2 459.1 455.519.5 IV. Other Revenues 3.6 132.4 111.0 9.5 - - Capital transfers from public sector - - - - V. Capital Expenditures 385.7 461.9 520.7 572.0 -,8.9 1,421.7 Fixed capital formation 371.8 433.9 460.2 499.5 1,089. 1,307.4 Financial investment 13.9 28.0 60.5 72.5 91.4 114.3 VI. Overall Surplus/Deficit -105.5 -25.7 -57.5 -103.4 -725.5 -902.2 VII. Long-Term Financing 92.7 34.6 58.1 75.7 391.6 490.9 Loans granted, net - - - - 10.8 13.6 Loans received 380.8 477.3 a. foreign, net 92.7 34.6 58.1 75.7 131.7 165.1 b. domestic, net - - - - 249.1 312.2 VIII. Short-Term Financing and Cash Balances 12.8 -8.9 -0.6 27.7 333.9 Table 5.10 - COIOMBIks SUMMRY ACCODUTS OF MAJOR DEc2mTuLIZED AGfENCIS, 1970-75 (In nmillions of Colombian pesos at C'rrent prices) Page 3 of 6 ACTUAL ESTIMATEfD 1970 1971 1972 1973 197Th 1975 V. INSTITUTO COLOMBIANO DE CONSTRUCCIONES ESCOLARES - ICCE I. Own Current Revenues 4.0 5.1 8.0 10.5 10.7 10.5 Sale of goods and services - - - - - Other current revenues 4.0 5.1 8.0 10.5 10.7 10.5 II. Direct Current Expenditures 26.5 132.4 201.4 235.6 381 323.1 Remuneration 16.7 108.9 167.7 197.5 325. 371.4 Purchases of goods and services 8.5 22.6 27.2 34.8 46.2 - Interest payments - - - - - - Current transfers to private sector - - - - - Social security contributions 1.3 .9 6.6 3.4 6.1 21.7 IIIa. Savings Generated -22.4 -127.3 -193.4 -225.1 -36. -382.6 IIIb. Current Public Sector Transfer (net) - 1.2 - 1.2 - 1.6 - 1.8 - 3.0 - 17.6 lIIc. Current Account Surplus/Deficit -23.6 -128.5 -195.0 -227.0 -370.4 -4OO.2 IV. Other Revenues 168.6 214.2 538.5 323.8 9.1 96. Capital transfers from public sector 168.6 214.2 538.5 323.8 V. Capital Expenditures 240.2 308.2 434.6 677.6 814.4 84 Fixed capital formation 240.2 308.2 434.6 677.7 81.1. Financial investment - - - - - VI. Overall Surplus/Deficit -95.3 -222.5 -91.2 -580.9 825.7 -122.5 VII. Long-Term Financing 48.0 _ - - Loans granted - - - _ Loans received a. foreign, net 48.0 - - - b. domestic, net - - - - VIII. Short-Term Financing and Cash Balances 47.2 222.5 91.2 580.9 825.7 122.5 VI. CORPORACION AUTONOMA REGIONAL DEL CAUCA - CVC I. Own Current Revenues 102.4 96.5 140.0 162.2 666.6 Sale cf goods and services 41.0 47.9 90.2 102.8 336.5 58h.9 Other current revenues 61.4 48.6 49.8 59.4 77.4 81.7 II. Direct Current Expenditures 47.7 96.1 82.6 112.5 1623 311. Remuneration 6.5 8.2 9.2 10.2 12.9 Purchases of goods and services 4.0 3.9 4.3 5.7 6.8 6.9 Interest payments 37.2 38.5 58.1 89.7 133.7 277.1 Current transfers to private sector - - - - 1.4 Others - 45.5 11.0 6.9 8.9 9.2 IIIa. Savings Generated 54.7 0.4 57.3 49.7 251.6 355.2 IIIb. Current Public Sector Transfer (net) - IIIc. Current Account Surplus/Deficit 54.7 0.4 57.3 49.7 251.6 355.2 IIV. Other Revenues 116.8 78.0 101.2 267.5 6 5.i 323.3 Capital transfers from public sector 115.1 72.0 98.6 266.6 65.5 323.3 Others 1.8 6.0 2.6 0.9 V. Capital Expenditures - 304.9 604.3 1,040.6 962.9 653.4 Fixed capital formation - 59.5 604.3 1,026.2 948.9 636.4 Financial investment - 245.4 - 14.4 14.0 17.0 VI. Overall Surplus/Deficit 171.6 -226.5 -445.7 -723.4 -645.8 + 25.1 VII. Long-Term Financing 118.3 255.4 361.9 532.1 630.6 71.0 Loans granted - - - - - - Loans received 630.6 71.0 a. foreign, net 123.0 233.7 346.2 472.0 641.5 82.2 b. domestic, net - 4.7 21.7 15.7 60.1 -10.9 -11.2 VIII. Short-Term Financing and Cash Balances -289.8 -29.0 83.8 191.4 15.2 -96.1 Table 5.10 - COWOMBIA SUMMARY ACCOUNTS OF MAJOR DECENTRALIZED AflENCIES, 1970-75 (In millions of Colombian pesos at current prices) Page 4 of 6 ACTlUAL ESTIMATED 1970 1971 ,1972 1973 1974 1975 VII. EMPRESA DE ACUEDUCTO Y ALCANTARILLADO DE BOGOTA D.E. - EAAB 1. Own Current Revenues 245.0 414.1 464.5 577.5 70.0 743.6 Sale of goods and services 245.0 318.1 369.2 458.1 488.0 626.0 Other current revenues - 96.0 95.3 119.4 82.0 117.6 II. Direct Current Expenditures 136.4 158.0 186.3 273.4 329.7 4 1. Operating expenditures 127.1 148.6 171.3 223.4 209.0 3 >. 2. Interest payments 9.3 9.4 15.0 50.0 4O.7 42.9 IlIa. Savings Generated 108.6 256.1 278.2 304.1 2 IlIb. Current Public Sector Transfer (net) - 16.3 4.2 _ IlIc. Current Account Surplus/Deficit 108.6 272.4 282.4 304.1 240.3 335.1 IV. Other Revenues - 0.9 0.4 27.1 36.0 8.0 V. Capital Expenditures 572.9 439.7 595.5 600.4 43. 1 200.6 Fixed capital formation 572.9 409.8 579.2 593.5 483.0 1,200.6 Financial investment - 29.9 16.3 6.9 - VI. Overall Surplus/Deficit -464.3 -166.4 -312.7 -269.2 -20. -857 VII. Long-Term Financing 159.8 141.7 258.2 147.0 96.7 629.3 Loans granted, net - - - - - - Loans received 96.7 629.3 a. foreign, net 113.3 141.7 258.2 147.00 81.7 580.3 b. domestic, net 46.5 - - - 15.0 49.O VIII. Short-Term Financing and Cash Balances 304.5 24.7 54.5 122.2 110.0 228.2 VIII EMPRESA DE ENERGIA ELECTRICA DE BOGOTA I. Own Current Revenues 413.4 501.1 646.5 816.5 909.8 1.246.6 Sale of goods and services 408.7 493.6 619.5 784.2 767.3 1,044.0 Other current revenues 4.6 7.5 27.0 32.3 142.5 202.6 II. Direct Current Expenditures 204.3 247.6 330.8 376.6 562.0 693.8 Operating expenses 110.3 140.4 184.2 205.9 357.6 404.7 Interest payments 92.4 89.9 107.9 128.8 157.8 184.2 Other 1.6 17.3 38.7 41.9 46.6 104.9 IIIa. Savings Generated 209.1 253.5 315.7 439.9 347.8 552.8 IlIb. Current Public Sector Transfer (net) - _ _ - - IlIc. Current Account Surplus/Deficit 209.1 253.5 315.7 439.9 347.8 552.8 IV. Other Revenues Capital transfers from public sector - - - - - - V. Capital Expenditures 517.9 394.6 446.0 852.3 5 859 Fixed capital formation 526.6 344.4 383.5 677.1 31.3 492.l Financial investment 91.3 50.2 62.5 175.2 193.2 363.5 VI. Overall Surplus/Deficit -308.8 -141.1 -130.3 -412.4 -161.7 -,303.1 VII. Long-Term Financing 63.4 1B1.3 96.5 234.9 8.8 336.8 Loans granted, net - - - - 17.6 37 Loans received 41.2 305.3 a. foreign, net 107.6 211.8 106.1 221.9 - 6.9 306.7 b. domestic, net -44.2 -30.5 - 9.6 13.0 48.1 - 1.4 VIII. Short-Term Financing and Cash Balances 245.4 -40.2 33.8 177.5 102.9 -33.7 Table 5.10 - COLOMBIA, SUMW.LRY ACCOUNTS OF MAJOR DECENTRALIZED AGENCIES, 1970-75 (In millions of Colombian pesos at current prices) Page 5 of 6 ACTUAL ESTflATED 1970 1973 1974 1975 IX. EMPRESA NACIONAL DE TELECOMUNICACIONES - TELECOM I. Own Current Revenues 772.7 1,029.1 1,323,5 1,507.7 1.991.5 2,323.0 Sale of goods and services 681.6 912.8 1,125.9 1,277.6 1,707.8 2,052.9 Other current revenues 91.1 116.3 197.6 230.1 283.7 270.1 II. Direct Current Expenditures 543.3 732.8 862.2 1,038.1 1,284.0 1,350.5 Remuneration 329.0 400.9 475.7 569.0 681.1 Purchases of goods and services 84.9 167.0 148.7 173.7 231.4 Interest payments 12.5 22.1 43.3 38.1 70.3 Current transfers to private sector 30.1 22.2 41.9 47.1 59.6 Social security contributions 15.2 19.0 25.1 12.8 14.2 Others 71.6 101.6 127.5 197.4 227.4 IIIa. Savings Generated 229.4 296.3 461.3 469.6 7ML.5 97. IIIb. Current Public Sector Transfer (net) -98.1 -145.5 -168.8 -178.9 -225.1 -262.5 IIIc. Current Account Surplus/Deficit 131.3 150.8 292.4 290.8 _82.8 710.0 IV. Other Revenues 12.0 - - - Capital transfers from public sector 12.0 - - - - - V. Capital Expenditures 228.4 293.2 224.5 290.2 48|.2 Fixed capital formation 228.4 134.2 224.5 290.2 338.7 481,2 Financial investment - 159.0 - - - - VI. Overall Surplus/Deficit -85.1 -142.4 67.9 .6 + 228.8 VII. Long-Term Financing 104.9 124.7 22.7 58.7 3.4 2.0 Loans granted 11.7 - - - 2 Loans received 23.4 12.0 a. foreign, net 89.8 103.9 56.8 79.5 40.6 2.1 b. domestic, net 3.5 20.8 -34.1 -20.8 -17.2 39.9 VIII. Short-Term Financing and Cash Balances -19.8 17.7 -90.6 -59.2 -167.1 -270.8 X - INSTITUTO DE MERCADEO ACROPFCUARIO - IDEIIA - I. Own Current Revenues 550.9 542.6 458.1 -482.7 -l.033.7 -1,5t.7 Sale of goods and services 411.7 458.9 375.2 -654.9 -1,127.7 -1,618.4 Other current revenues 139.2 83.7 82.8 172.2 94.0 62.7 II. Direct Current Expenditures 438.3 870.6 932.5 953.6 1,081.7 1.187L Remuneration 113.8 152.6 193.5 181.6 273.5 Purchases of goods and services 117.8 108.8 203.7 401.9 252.5 Interest payments 42.2 35.3 104.0 319.0 483.0 Current transfers to private sector 11.4 15.3 16.7 30.1 56.1 Social security contributions 3.1 3.6 7.0 8.4 16.6 Others 150.0 555.0 407.6 12.6 - IIIa. Savings Generated 112.6 -328.0 -474.5 -1,436.3 -2.115.4 -2,743.1 IIIb. Current Public Sector Transfer (net) - 8.4 - 6.8 16.9 - 9.9 -23.0 -21.6 IIIc. Current Account Surplus/Deficit 104.2 -334.8 -457.6 -1,446.3 -2,138.4 -2.764.7 IV. Other Revenues 54.0 44.5 77.6 13.0 1,719.0 3.839.5 Capital transfers from public sector 54.0 44.5 77.6 13.0 - 3,839.5 V. Capital Expenditures 123.9 109.0 109.8 117.2 228.6 278.2 Fixed capital 123.9 109.0 109.8 117.2 224.6 278.2 Financial investment - - - - VI. Overall Surplus/Deficit 34.3 -399.3 -489.8 -1,550.5 -64.0 + .6 VII. Long-Term Financing -132.2 295.4 324.7 1,386.2 675.0 903.8 Loans granted - 0.4 62.0 48.4 227.3 84.6 250.0 Loans received 590.4 653.8 a. foreign, net -10.8 14.5 32.2 21.9 21.9 - b. domestic, net -121.0 218.9 244.0 1,137.0 568.5 653.8 VIII. Short-Term Financing and Cash Balances 98.0 103.9 165.1 164.3 -31.0 -1,700.4 Table 5.10 - COLOMBIA: SUMMARY ACCOUNTS OF MAJOR DECENTRALIZED AGENCIES, 1970-75 (In millions of Colombian pesos at current prices) Page 6 of 6 ACTUAL _ PREL4fliARY _/ 1970 1971 1972 1973 1974 ' _'_1975 XI. OTHER DECENTRALIZED AGENCIES CONSOLIDATED I. Own Current Revenues 2,487.2 2,673.9 2,785.8 10873 .8 12,929.6 II. Direct Current Expenditures 2,783.2 3,396.9 _4,00.6 5,230.7 10,579.4 12,878.8 IIIa. Savings Generated -296.0 -723.0 -1,214.8 -1.660.1 294.4 50.8 IlIb. Current Public Sector Transfer (net) 600.2 693.5 848.5 573.7 279.7 312.4 IiIc. Current Account Surplus/Deficit 304.2 -29.5 -366.3 -1,086.4 574.1 363.2 IV. Other Revenues 1,275.9 1,547.9 1,982.0 2,371.1 4,260.0 5,333.8 Capital transfers from public sector 1,269.1 1,544.9 1,913.7 2,217.0 - _ Other 6.8 3.0 68.3 154.1 - - V. Capital Expenditures 2,202.8 2,174.8 2,335.1 2,148.9 7,026.0 9,016.6 Fixed capital formation 2,001.5 2,129.7 2,317.4 2,146.6 4,749.0 7,540.3 Financial investment 201.3 45.1 17.7 2.3 2,277.0 1,476.3 VI. Overall Surplus/Deficit -622.7 -656.4 -719.4 -864.2 -2,191.9 -3,319.6 Colombia - Public Sector Decentralized Agencies Included in the Consolidated Public Sector Accounts, Tables 5.1-5.4 Abbreviation Name 1. ADPOSTAL Administraci6n Postal Nacional 2. CAJANAL* Caja Nacional de Previsi6n Social 3. CAR Corporaci6n Aut6nosa Regional de la Sabana de Bogots y de los Valles de Ubatg y Chiquinquire 4. CHEC Central Hidroelectrica de Csldas, S.A. 5. COFITRA Corporaci6n FinEnciera del Transporte 6. COLPUERTOS Empresa Puertos de Colombia T. COPELCA Corporaci6n Electrica de la Costa Atlintica 8. CVC Corporaci6n Aut6noms Regional del Cauca 9. AAB. Empresa de Acueducto y Alcantarillado de Bogotl 10. ECOP3TROL Escresa Colombians de. Pfttr6leoa 11. E3EB EmDresa de Energla E16ztrics de Bogoti 12. EMCALI moressas Municipales de Cali 13. EPM Empresas Pdblicas de Medellin 14. FAN Fcndo Aeronfutico Nacional 15. FNC Ferrocarriles Nacionales de Colombia 16. FONADE Fondo Nacional is Proyectos de Desarrollo 17. FONDO VIAL* Fondo Vial Nacional 18. ICA Instituto Colombiano Agropecuario 19. ICBF Instituto Colombiano de Bienestar Familiar 20. ICCE Instituto Colombiano de Construcciones Escolares 21. ICEL Instituto Colombisno de Energia Electrica 22. ICSS* Instituto Colombiano de Seguros Sociales 23. IDEMA Instituto de Mercadeo Agropecuaric 24. INCORA Instituto Colosbieno de la Reforma Agraria 25. INDERENA Instituto de Desarrollo de loB Recursos Naturales Renovables 26. INPES Instituto Colombiano pars Progremas Especiales de Salud 27. INSCREDIAL Instituto ie Credito Territorial 28. INSFOPAL Instituto Nacional ie Fomento Municipal 29. ISA Interconexi6n El4ctrica S.A. 30. NAVENAL Compa2fa Nacional de Navegaci6n, S.A. 31 SENA Servicio Nacional ie Aprendizaje 32. TELECOM F2presa Nacional de Teleconunicaciones * Classified as part of the Central Government in the Consolidated Public Sector Accounts. j/ Preliminary Sourcet Same as source of Table 5.1 TABLE 5.11 COLOMBIA: SOCIAL SECURITY SYSTEM REVENUES AND EXPENDITURES, 1970-1975 ACTUAL 1/ (In millions of Colombian pesos) 1970 1971 1972 1973 1974 1975 Own Current Revenues 1,849.1 2,536.7 2,939.4 3,949.2 4. 898.4 6 1. Sale of goods and services 1,765.6 2,357.2 2,718.4 3,677.0 4,555.4 ,2 12.5 2. Other current revenues 83.5 179.4 221.1 272.2 343.0 475.2 Direct Current Expenditures 1,446.5 1,947.6 2.51l6.9 .226.9 3,880.3 4,618.0 1. Remuneration 701.3 781.2 1,012.4 1,300.7 1,461.6 1,837.2 2. Purchases of goods and services 417.4 519.1 733.7 947.3 1,094.8 1,134.6 3. Interest payments 2.0 1.5 1.3 3.9 0.6 a. external debt ( - ) ( - ) ( - ) ( - ) ( -) b. domestic debt C 2.0) ( 1.5) ( 1.3) ( 3.9) - - ) ( 0.6) 4. Current transfers to private sector 325.7 597.4 760.5 940.9 1,280.4 1,605.6 5. Current transfers to abroad - - - - - 6. Social security contributions - 48.4 8.8 33.1 43.5 40.0 7. Marketing expenditures - - - - - - 8. Agricultural extension work - - - - - - Savings Generated 402.6 589.0 422.6 722.4 1.018.1 1,069.7 Current Public Sector Transfers (Net) 46.8 88.0 69.4 167.0 158.6 182.0 1. Transfer revenues 190.1 100.0 83.3 179.2 178.7 200.0 a. from Central Government ( 75.0) ( 100.0) ( 83.3) ( 179.2) (178.7) ( 200.0) b. from rest of public sector ( 115.1) ( - ) C - ) C - ) ( - ) 2. Transfer expenditures 143.3 12.0 13.9 12.2 20.1 18.0 a. direct taxes ( -) C -) C -) ( ) C ) b. indirect taxes C-) (-) ( - ) (-) ( - c. other current transfers to Central Government ( 7.7) ( 12.0) ( 13.9) ( 12.2) ( 19.6) ( 18.0) d. other current transfers to rest of public sector ( 135.6) ( - ) ( - ) ( - ) ( 0.5) C - Ic. Current Account Surplus/Deficit 449.4 677.0 492.0 889.3 1.176.7 1.251.7 IV. Other Revenues 41.7 123.3 192.6 203.5 454.2 358.0 1. Capital transfers from public sector - - - - - a. from Central C-overnment ( -) ( _) ( _) ( _) ( -) b. from rest of public sector C - ) C - ) C - ) C - ) C - ) 2. Other capital revenue 41.7 123.3 192.6 203.5 454.2 358.0 V. Capital Expenditures 697.0 963.7 867.5 1,098.5 1,248.7 1,531.5 1. Capital transfers to public sector - - - - a. to Central Government ( - ) C - ) C - ) ( - ) ( - ) b. to rest of public sector ( - ) C - ) C - ) C - ) ( - ) 2. Fixed capital formation 102.4 106.4 107.4 105.5 224.3 257.6 a. studies ( .4) - ) ( - ) ( - ) ( - ) b. construction ( 87.6) ( 106.4) ( 107.4) ( 105.5) ( 224.3) 257.6) c. machinery and equipment ( 14.4) ( - ) ( - ) C - ) - 3. Financial investment 594.7 857.3 760.1 993.1 1,024.4 1,273.9 a. buildings, land, etc. ( 5.8) - ) - ) - ) ( -) b. government bonds (net) ( 588.9) ( 857.3) ( 760.1) ( 993.1) (1,024.4) (1,273.9) c. other public securities (net) ( - ) C - ) ( - ) C - ) ( - d. other investment C -) C -) ( - C -) ( _ :. Overall Surplus/Deficit - 205.9 - 163.4 - 183.0 - 5.7 +382.2 + 75.2 Long-Term Financing 93.3 138.5 11.8 - 97.4 - 20.9 112.2 1. Loans granted 83.2 - - - - - a. disbursements made - ) - ) ( - ) - ) ( - ) b. amortization received ( 83.2) ( - ) C - ) - ) - ) 2. Loans re6eived 112.2 a. foreign - - - - - 2.8 (i) used funds C -) C -) C -) C -) C -) (ii) amortization payments ( -) ( -) ( -) C -) ( -) b. domestic 10.2 138.5 12.2 - 96.9 - 20.9 115.0 (i) used funds ( 13.0) ( 142.8) ( 24.8) ( 11.2) ( 4.5) ( - (ii) amortization payments (- 2.8) (- 4.3) (- 13.3) (-108.6) - 25.4) ( - Short-Term Financing and Cash Balances 112.6 24.9 171.2 103.1 -361.3 - 190.4 CAJANAL and ICSS combined. --ce: Informe Financiero: 1970-First Semester of 1975, Controller General's Office. Table 6.1 - COLOMBIA: SUMMARY ACCOUNTS OF THE BANKING SYSTEM, 1969-74 (In Millions of Colombian Pesos) ------------------- ----------------------------------- End of Year---------------------------------------------------------------- Rev. 1969-1/ 1970-/ 197O2/ 19714-/ 19713/1 1971 1972-3 19724-/ 1973-/ 1973-/ 1 / Foreign assets (net) -1,564 -1,642 -1,745 -3,79 -4,134 -4,134 -242 -264 5,017 5,40 - 4,040 Assets 4,634 4,640 4,877 4,989 5,433 5,433 8,149 8,897 12,757 13,743 11,556 Liabilities (-) -6,198 -6,282 -6,622 -8,784 -9,567 -9,567 -8,391 -9,161 -7,740. -8,339 -15,596 Domestic credit (net) 36,579 45,033 45,231 53,706 54,303 54,918 63,264 63?757 77,822 78,167 105,948 National Government (net) 4,655 4,569 4,439 6,068 5,892 7,367 8,405 7,318 7,274 5,715 9,252 Credit (6,159) (6,i63) (6,078) (7,516) (7,393) ( 8,848) (10,164) ( 9,158) ( 9,847) ( 8,312) ( 12,745) Deposits (-1,504) (-1,594) (-1,639) (-1,448) (-1,501) (-1,501) (-1,799) (-1,840) (-2,573) (-2,597) ( 3,493) Other official entities (net) 1,139 1,178 1,178 716 716 203 - 108 - 108 - 49 - 50 - 681 Credit (2,069) (2,747) (2,747) (3,025) (3,025) (2,512) ( 3,037). ( 3,037) ( 4,717) | ( 4,716) ( 5,015) Deposits (-930) (-1,569) (-1,569) (-2,309) (-2,309) (-2,309) (-3,145) (-3,145) (-4,766) 1 (-4,766) ( 5,696) Private sector 30,721 39,669 40,025 47,239 47,998 47,132 55,725 56,579 71,258 71,907 95,853 Coffee (1,543) (2,502) (2,502) (1,965) (1,965) (1,965) ( 2,087) ( 2,087) ( 1,526) ( 1,526) ( 104) Other (29,178) (37,167) (37,523) (45,274) (46,033) (45,167) (53,638) (54,492) (69,732) (70,381) ( 95,749) Counterpart funds -1,261 -1,353 -1,353 -1,439 -1,439 -1,439 -1,409 -1,409 -1,494 -1,494 - 1,659 Unclassified assets (net) 1,304 955 885 1,082 937 647 - 547 - 43 456 836 3,901 Interbank float 21 15 57 40 199 1,027 1,230 1,420 378 970 - 718 Medium- and long-term foreign liabilities 1.321 2,252 2,310 2,812 2,970 2,970 3.826 4,048 4,135 4,350 4,581 Liabilities to private sector 32.601 39.534 39,552 44,968 45,005 45,620 56.460 56,600 75.584 75,717 93,583 Money 18,414 21,603 21,603 23,951 23,951 23,951 29,807 29,807 38,484 38,484 46,058 Currency (6,531) (7,856) (7,856) (8,620) (8,620) (8,620) (10,844) (10,844) (12,707) (12,707) ( 16,074) Sight deposits (11,883) (13,747) (13,747) (15,331) (15,331) (15,331) (18,963) (18,963) (25,777) (25,777) ( 29,984) Quasi-money 7,354 9,140 9,158 11,163 11,200 11,200 14,834 14,917 21,521 21,600 29,781 Time, savings, and certificates of deposits 7/ (2,892) (3,681) (3,681) (4,303) (4,303) (4,303) ( 6,157) ( 6,157) (12,850) (12,850) ( 20,310) Bonds (4,122) (5,125) (5,125) (6,451) (6,451) (6,451) ( 7,774) ( 7,774) ( 7,643) ( 7,643) ( 7,827) Deposits in foreign exchange (540) (334) (352) (409) (446) (446) ( 903) ( 986) ( 1,028) ( 1,107) ( 1,644) Private bank capital and surplus 2,918 4,143 4,143 4,847 4,847 4,847 5,749 5,749 6,685 6,685 8,085 Import deposits 2,159 2,402 2,402 2,210 2,210 2,210 2,496 2,496 3,661 3,661 3,836 Other peso deposits 1,756 2,246 2,246 2,797 2,797 3,412 3,574 3,631 5,233 5,286 5,823 SDR allocation __ 370 389 699 762 762 1,191 1,300 1,300 1,401 1,401 Official bank capital and surplus 1,093 1,235 1,235 1,432 1,432 1,432 1,545 1,545 1,820 1,820 2,343 1/ Accounts denominated in foreign exchange are valued at a rate of Col$17.60 per U.S. dollar. 2/ Accounts denominated in foreign exchange are valued at a rate of Col$18.50 per U.S. dollar. 3/ Accounts denominated in foreign exchange are valued at a rate of Col$20.15 per U.S. dollar. 4/ Accounts denominated in foreign exchange are valued at a rate of Col$22.00 per U.S. dollar. 5/ Accounts denominated in foreign exchange are valued at a rate of Col$23.70 per U.S. dollar. 6/ Because of a reclassification of the accounts of the Banco de la Republica in 1972, revised accounts for 1971 are included for comparison with those of 1972, 1973 and 1974. 7/ Includes UPAC deposits. Source: Banco de la Republica and IMF. Table: 6.2 - COLOMBIA: SUMMARY ACOoUNTS OF THE MONETARY AUTHORITIES, 1969-1975 (Banco de la Republica, Stabilization Fund and the Treasury) (In Millions of Colombian Pesos) 1969 1' 1970 1' 1970 2/ 1971 2/ 1971 3/ 1971 3&4/ 1972 3/ 1972 5/ 1973 5/ 1973 6/ 1974 6/ 1974 Z/ 1975 2/ Foreign Assets (Net) 1,701 2,675 2.811 3,153 3.434 3,433 6.956 7,595 11,351 12,228 10,179 11,167 14,229 Assets 4,528 4,532 4,763 4,908 5,345 5,345 7,914 8,641 11,524 12,415 10,613 11,643 14,368 Liabilities -2,827 -1,857 -1,952 -1,755 -1,912 -1,912 -958 -1,046 -173 -187 -434 476 139 Domestic Credit (Net) 8,601 9,943 9,887 10,988 10,923 11,539 11,568 11,313 10.957 1D.442 16,551 15,477 17,761 National Government (Net) 3T,9 T1T 1 3,90 8 57Z 6,444 7,398 6,343 5,864 4,305 7,394 7,698 11,990 Credit (4,282) (4,233) (4,233) (5,366) (5,366) (7,542) (8,291) (7,793) (7,533) (6,659) (8,825) (9,428) (11,314) Deposits (-289) (-322) (-325) (-318) (-318) (-1,390) (-1,617) (-1,666) (-2,459) (-2,483) (-2,388) (-1,928) (-1,986) Special Exchange Account (292) (724) (216) (790) (129) (957) (198) (2,662) Other Official Entities (Net) 686 503 376 871 695 241 199 199 117 117 50 49 40 Credit (1,884) (1,768) (1,683) (1,933) (1,810) (284) (269) (269) (261) (261) (225) (335) (309) Deposits (-1,198) (-1,265) (-1,307) (-1,062) (-1,115) (-43) (-70) (-70) (-144) (-144) (-175) (-286) (-269) Commercial Banks (Net) -1,754 -1,733 -1,693 -2,022 -1,955 -1,350 -2,974 -2,847 -4,611 -4,492 -4,064 -4,129 -7,347 Credit (2,414) (3,204) (3,249) (3,529) (3,618) (4,223) (3,723) (3,877) '(5,971) (6,124) (7,998) (7,979) (7,608) Deposits (-4,168) (-4,937) (-4,942) (-5,551) (-5,573) (-5,573) (-6,697) (-6,724) (-10,582) (-10,616) (-12,062) (-12,108) (-14,955) Specialized Banks (Net) 2,379 2,986 2,986 3,768 3,768 3,897 4,712 4,760 5,797 6,236 9,210 8,519 7,853 Credit (3,162) (3,538) (3,538) (4,606) (4,606) (4,762) (6,195) (6,243) (7,890) (8,329) (11,611) 16,187 19,184 Deposits (-783) (-552) (-552) (-838) (-838) (-865) (-1,483) (-1,483) (-2,093) (-2,093) (-2,401) 7,668 11,331 Private Sector 3,211 3,937 3,987 2,685 2,745 1,879 2,238 2,241 3,134 3,134 1,768 1,771 3,333 Coffee (1,133) (1,499) (1,499) (816) (816) (816) (972) (972) (1,207) (1,207) (104) (104) (44) Other (2,078) (2,438) (2,488) (1,869) (1,929) (1,063) (1,266) (1,269) (1,927) (1,927) (1,604) (1,667) (3,289) Unclassified Assets (Net) 86 339 323 638 621 428 -5 617 656 1,142 2,193 1,569 1,892 Medium and Long-term Foreign Liabilities 762 995 1,046 1,488 1,621 1,621 2,073 2,264 2,464 2,654 2,960 2,684 3,036 Liabilities to Private Sector 9,464 11,173 11,183 11,865 ll,d85 12,500 15,166 15,250 18.457 18,528 22,280 22,334 27,327 Currency Issue and Treasury Coins 6,998 8,342 8,342 9,115 9,115 9,115 11,377 11,377 13,383 13,383 16,882 16,882 22,043 Held by Commercial Banks (356) (367) 37) (495) )(533) ) (533) (504) (504) (601) (600) (993) Held by Specialized Banks (111) (119) (119)) 49) (495) )(45 )53 )(7)512) (07320) (31 (119)) (495) (495) ~~~~~~ ~~~~(172) (172) (207) (208) (301) Held by Private Sector (6,531) (7,856) (7,856) (8,620) (8,620) (8,620) (10,844) (10,844) (12,707) (12,707) (16,074) 16,074 20,749 Checking Deposits of the Private Sector 169 226 236 274 294 294 332 359 275 292 780 850 876 In Pesos (29) (33) (33) (46) (46) (46) (34) (34) (56) (56) (45) (44) (81) In Foreign Exchange (140) (193) (203) (228) (248) (248) (298) (325) (219) (236) (735) (806) (315) Import Deposits 2,159 2,402 2,402 2,210 2,210 2,210 2,496 2,496 3,661 3,661 3,836 3,839 1,974 Other Liabilities 138 203 203 266 266 881 961 1,018 1,138 1,192 782 763 7,434 SDR Allocation - 370 389 699 762 762 1.191 1.300 1,300 1,401 1,401 1,537 1,537 Official Capital and Reserves 76 80 80 89 89 89 94 94 87 87 89 89 90 1/ Accounts denominated in foreign exchange are valued at a rate of Col$17.60 per US dollar. 2/ Accounts denominated in foreign exchange are valued at a rate of Col$18.50 per US dollar. 3/ Accounts denominated in foreign exchange are valued at a rate of Col$20.15 per US dollar. 4/ Because of a reclassification of the accounts of the Banco de la Republica in 1972, revised accounts for 1971 are included for comparison with those of 1972. 5/ Accounts in foreign exchange are valued at a rate of Col$22.00 per US dollar. 6/ Accounts in foreign exchange are valued at a rate of Col$23.70 per US dollar. 7/ Accounts in foreign exchange are valued at a rate of Col$26.00 per US dollar. Source: Banco de la Republica and IMF. Table: 6.3 - COLOMBIA: SUMMARY ACCOUNTS OF THE COMMERCIAL BANKS, 1969-1975 (In Millions of Colombian Pesos) 1969 1/ 1970 . 1970 2/ 1971 2/ 1971 3 1972 3/ 1972 4/ 1973 4/ 1973 5/ 1974 5/ 1974 6/ 1975 - Foreign Assets (Net) -2,892 -3922 -4.153 -5,957 -6,488 -6.373 -6,958 -6,100 -_6572 -12,621 -13,846 -13,360 Assets 105 109 114 81 88 101 110 457 492 923 1,011 1,624 Liabilities -2,997 -4,031 -4,267 -6,038 -6,576 -6,474 -7,068 -6,557 -7,064 -13,544 14,858 14,900 Claims Against Monetary Authorities (Net) 2,118 2.230 2,233 2,707 2.713 4.496 4,512 6,769 6.803 6.708 6,758 9.987 Cash in Vaults 358 369 369 380 380 413 413 504 504 600 600 999 Other'Claims in Pesos 4,044 4,840 4,840 5,029 5,031 6,342 6,345 10,182 10,185 12,103 12,133 15,181 Other Claims in Foreign Exchange 95 39 42 49 53 135 148 403 434 189 208 229 Rediscounts and Peso Deposits (-) -1,642 -2,312 -2,312 -2,432 -2,432 -1,999 -1,999 -3,962 -3,962 -5,518 -5,518 -5,571 Liabilities in Foreign Exchange (-) -737 -706 -706 -319 -319 -395 -395 -358 -358 -666 -666 -845 Claims Against Specialized Banks (Net) 918 969 969 1,Z47 1.247 1,080 1,080 766 766 -107 -107 1,981 Credit 1,632 1,840 1,840 2,240 2,240 3,081 3,081 4,465 4,465 7,042 7,042 10,459 Liabilities -714 -871 -871 -993 -993 -2,001 -2,001 -3,699 -3,699 -7,149 -7,149 8,478 Domestic Credit (Net) 15,857 19,516 19,751 23,488 24,317 28,045 28.660 35,054 35,554 51,002 52,225 60,398 National Government (Net) 618 717 717 805 805 959 959 1,194 1,194 1,900 1,900 1,609 Credit (625) (724) (724) (812) (812) (959) (959) (1,194) (1,194) (2,692) 2,692 1,828 Deposits (-7) (-7) (-7) (-7) (-7) (--) c ) (-) (-) (-792) 792 159 Other Official Entities (Net) 809 1,114 1,114 1,372 1,372 1,854 1,854 3,446 3,446 3,997 3,997 4,911 Credit (934) (1,266) (1,266) (1,540) (1,540) (2,009) (2,009) (3,628) (3,628) (4,193) 4,193 5,100 Deposits (-125) (-152) (-152) (-168) (-168) (-155) ( 155) (-182) (-182) (-196) 196 189 Private Sector 13,924 17,351 17,582 20,978 21,515 24,443 25,095 29,155 29,672 43,918 45,141 53,533 Vnclassified Assets (Net) 495 438 415 575 496 617 581 1,272 1,255 1,200 1,200 298 Interbank Float 11 -104 -77 -242 129 172 171 -13 -13 -13 -13 -13 Medium and Long-Term Foreign Liabilities 218 287 287 338 338 331 331 334 334 336 336 266 Liabilities to Private Sector 15,463 18,102 18.109 20,612 20,916 26.225 26,271 35.347 35,409 43,687 43,735 57,647 Sight Deposits 11,241 12,981 12,981 14,487 14,487 17,899 17,899 24,271 24,271 28,189 28,189 35,429 -Time and Savings Deposits 1,346 1,792 1,792 2,170 2,170 3,160 3,160 4,380 4,380 7,545 7,545 14,327 Bonds 17 24 24 27 3 1 1 -- -- -- -- -- Deposits in Foreign Exchange 118 33 35 38 198 497 543 808 870 798 846 607 Other Peso Deposits 708 812 817 1,009 1,177 1,425 1,425 2,122 2,122 2,516 2,516 1,533 Private Bank Capital and Surplus 2,033 2,460 2,460 2,881 2,881 3,243 3,243 3,766 3,766 4,639 4,639 5,741 Official Bank Capital and Surplus 320 404 404 535 535 692 692 808 808 959 959 1,093 1/ Accounts denominated in foreign exchange are valued at a rate of Col$17.60 per US dollar. 2/ Accounts denominated in foreign exchange are valued at a rate of Col$18.50 per US dollar. 3/ Accounts denominated in foreign exchange are valued at a rate of Col$20.15 per US dollar. 4/ Accounts in foreign exchange are valued at a rate of Col$22.00 per us dollar. V Accounts in foreign exchange are valued at a rate of Col$23.70 per US dollar. / Accounts in foreign exchange are valued at a rate of Col$26.00 per US dollar. Source: Banco de la Republica, IMF. Talp 6.4 - COLOMBIA: Summary Accounts of the Specialized Banks,/ 1969-1974 (In millions of Colombian pesos) 2/g 3/ 3/ 41 4/ 5/ 2/ 6/ 6/ 1969 1970 1970 1971 1971 1972 1972 1973 1973 1974 Foreign assets (net) -373 -366 -403 -991 -1,079 -825 -901 -234 -252 -1,599 Assets -1 - - - 134 146 776 836 20 Liabilities -374 -366 -403 -991 -1,079 -959 -1,047 -1,010 -1,088 -1,619 Claims against monetary authorities (net) -2,221 -2,823 -2,822 -3,442 -3,442 -3,878 -3,878 -5,557 -5,557 -11,490 Claims against commercial banks (net) -765 -774 -774 -1,068 -972 -1,035 -1,035 -1,136 -1,136 -729 Domestic credit (net) 12,310 16.121 16,165 19,995 20.011 23,521 23.638 31.645 31.688 44.822 National Government (net) 48 120 120 98 98 16 16 216 216 -42 Credit (124) (194) (194) (202) (202) (190) (190) (330) (330) (271) Deposits (-76) (-74) (-74) (-104) (-104) (-174) (-174) (-114) (-114) (-313) Other official entities (net) -360 -618 -618 -1,410 -1,410 -2,161 -2,161 -3,613 -3,613 -4,728 Credit (378) (725) (725) (688) (688) (759) (759) (827) (827) (597) Deposits (-738) (-1,343) (-1,343) (-2,098) (-2,098) (-2,920) (-2,920) (-4,440) (-4,440) (-5,325) Private sector 13,586 18,381 18,456 23,576 23,738 29,044 29,243 38,969 39,101 50,167 Counterpart funds -1,261 -1,353 -1,353 -1,439 -1,439 -1,409 -1,409 -1,494 -1,494 -1,659 Unclassified assets (net) 723 178 147 -131 -277 -1,159 -1,241 -1,472 -1,561 508 Interbank float -426 -587 -587 -699 -699 -810 -810 -961 -961 576 Medium- and long-tern foreign liabilities 341 970 977 986 1.011 1.422 1,337 1.362 1.285 Liabilities to private sector 7.907 10.437 10,437 12.699 12,699 15.602 15.612 22,456 22.456 28,424 Sight deposits 613 733 733 798 798 1,030 1,030 1,450 1,450 1,750 Time, savings and certificates of deposit 1,546 1,891 1,891 2,133 2,133 2,997 2,997 8,470 8,470 12,765 Bonds 4,117 5,122 5,122 6,448 6,448 7,773 7,773 7,643 7,643 7,827 Deposits in foreign exchange 2 - - - - 108 118 1 1 111 Other deposits 744 1,008 1,008 1,354 1,354 1,188 1,188 1,973 1,973 2,525 Private bank capital and surplus 885 1,683 1,683 1,966 1,966 2,506 2,506 2,919 2,919 34446 Official bank capital and surplus 704 751 751 808 808 759 759 925 925 1.295 / Comprised of Agricultural Bank, Mortgage Bank, Savings Bank, investment banks, Administered Funds, and Savings and Loan Corporations. / Accounts denominated in foreign exchange are valued at a rate of Col$17.60 per U.S. dollar. / Accounts denominated in foreign exchange are valued at a rate of Col$18.50 per U.S. dollar. 41 Accounts denominated in foreign exchange are valued at a rate of Col$20.15 per U.S. dollar. / Accounts denominated in foreign exchange are valued at a rate of Col$22.00 per U.S. dollar. 6/ Accounts denominated in foreign exchange are valued at a rate of Col$23.70 per U.S. dollar. Source: Banco de la Republica Table 6.5 - COLOMBIA: ORIGIN, DESTINATION, AND FINANCING OF BANK CREDIT, 1967-1974 (In millions of Colombian pesos) 1967 1968 1969 1970 1971 1972 1973 1974 Origin of domestic credit 25.119 30,743 37.537 46,436 56,357 65.166 79,377 107,607 Monetary authorities 6,202 6,484 7,694 8,503 10,020 10,820 9,667 10,687 Commercial banks 11,236 13,379 15,846 19,828 24,188 28,489 35,567 51,015 Specialized banks 7,681 10,880 13,997 18,105 22,149 25,857 34,143 45,905 Destination of credit 25,119 30,743 37.537 46,436 56,357 65,166 79,377 107,607 Public sector (net) 6,066 5,997 5,794 5,617 7,570 7,210 5,665 8,571 Private sector 18,545 24,120 30,721 40,025 47,132 56,579 71,907 95,853 Unclassified (net) 508 626 1,022 794 1,655 1,377 1,805 3,183 Financing 25.119 30.743 37,537 46.436 56,357 65.166 79.377 107,607 Domestic resources 22,701 27,282 33,388 40,639 47,052 58,145 77,536 95,926 Money (currency and sight deposits) (13,438) (15,416) (18,414) (21,603) (23,951) (29,807) (38,484) ( 46,058) Time, savings, and certificates of deposits ( 2,083) ( 2,456) ( 2,892) ( 3,683) ( 4,303) ( 6,157) (12,850) ( 20,310) Bonds ( 1,578) ( 2,764) ( 4,134) ( 5,146) ( 6,451) ( 7,774) ( 7,643) ( 7,827) Deposits in foreign exchange ( 92) ( 159) ( 260) ( 238) ( 446) ( 986) ( 1,107) ( 1,644) Bank capital and surplus ( 2,851) ( 3,409) ( 3,942) ( 5,378) ( 6,279) ( 7,294) ( 8,505) ( 10,428) Import deposits ( 1,134) ( 1,443) ( 1,666) ( 2,402) ( 2,210) ( 2,496) ( 3,661) ( 3,836) Other peso deposits ( 1,525) ( 1,635) ( 2,083) ( 2,189) ( 3,412) ( 3,631) ( 5,286) ( 5,823) Foreign resources 2,418 3,461 4,146 5,797 9,305 7,021 1,841 11,681 Net foreign assets ( 1,457) ( 1,503) ( 1,564) ( 1,745) ( 4,134) ( 264) (-5,404) ( 4,040) Counterpart funds ( 492) ( 1,007) ( 1,261) ( 1,353) ( 1,439) ( 1,409) ( 1,494) ( 1,659) Medium- and long-term foreign liabilities ( 469) ( 951) ( 1,321) ( 2,310) ( 2,970) ( 4,048) ( 4,350) ( 4,581) SDR allocation ( - ) ( - ) ( - ) ( 389) ( 762) ( 1,300) (1,401) ( 1,401) Memo: Accounts denominated in foreign exchange of Colombian pesos per US dollar are as follows: 1967 - Col$13.50 per US dollar 1968 - Col$16.30 per US dollar 1969 - Col$17.60 per US dollar 1970 - Col$18.50 per US dollar 1971 - Col$20.15 per US dollar 1972 - Col$22.00 per US dollar 1973 and 1974 - Col$23.70 per US dollar S Source: Banco de ls Republics and IMF Table 6.6 - COLOMBIA: MONEY SUPPLY AND FINANCIAL SAVINGS, 1967- 75 End of Period 1967 1968 1969 1970 1971 1972 1973 1974 1975 In Millions of Colombian Pesos Money and quasi-money (M3) 17,291 20,975 25,700 30,670 35,151 44,641 60,005 75.839 100.049 Money (M1) 13.438 15,416 18,414 21,603 23,951 29,807 38.484 46.058 58,965 Cuifency 4,755 5,541 6,531 7,856 8,620 10,844 12,707 16,074 20,708 Demand deposits 8,633 9,875 11,883 13,747 15,331 18,963 25,777 29,984 38,257 Quasi-money 3,753 5t379 7,286 9.067 11.200 14,834 21.521 29.781 41.084 Savirgs and time deposits 2,083 2,456 2,892 3,683 4,303 5,973 7,619 8,899 12,239 UPAC deposits - - - - - 184 4,649 8,320 13,775 Certificates of deposits - - - - - - 582 3,091 5,243 Bonds 1,578 2,764 5,134 5,146 6,451 7,774 7,643 7,827 8,300 Deposits in foreign exchange 92 /1 159L2 260/3 238/4 446/5 903/7 1,644/7 1,644 1,527 Total liabilities of banking system other than capital 18,636 23,873 29,449 35,096 40,773 50,711 68,899 85,498 110,039 Total liabilities of banking system including private capital 21,501 26,437 32,367 39,239 45,620 56,460 75,584 95,926 120,056 GDP 83,083 96,422 110,953 130.361 152,263 186,092 243,236 327,786 401,481 As Per Cent of GDP Money and quasi-money (M3) 20.8 21.6 23.2 23.6 23.1 24.0 24.7 23.2 24.9 Money (Mj) 16.2 16.0 16.6 16.6 15.7 16.0 15.8 14.1 14.17 Quasi-money 4.6 5.6 6.6 7.0 7.4 8.0 8.9 9.1 10.2 Total liabilities of banking system other than capital 22.4 24.8 26.5 26.9 26.8 27.3 28.3 26.1 27.4 Total liabilities of banking system including private capital 25.9 27.4 29.2 30.1 30.0 30.3 31.1 29.3 29.9 1I Accounts denominated in foreign exchange are valued at a rate of Col$13.50 per US dollar. /2 Accounts denominated in foreign exchange are valued at a rate of Col$16.30 per US dollar. /3 Accounts denominated in foreign exchange are valued at a rate of Col$17.60 per US dollar 4 Accounts denominated in foreign exchange are valued at a rate of Col$18.50 per US dollar. /5 Accounts denominated in foreign exchange are valued at a rate of Col$20.15 per US dollar. /6 Accounts denomirm ted in foreign exchange are valued at a rate of Col$22.00 per US dollar. /7 Accounts denominated in foreign exchange are valued at a rate of Col$23.70 per US dollar. /8 Accounts denominated in foreign exchange are valued at a rate of Col$26.00 per US dollar. Source- Banco de la Republica and IMF. Table 6.7 - COLOMBIA: MONEY SUPPLY AND VELOCITY, 1969-75 1969 1970 1971 1972 1973 1974 1975 In Millions of Colombian Pesos Money Supply (Monthly Average) 16,584 19,699 22,324 26,088 32,944 40,819 49,914 Velocity 6.69 6.62 6.82 7.13 7.38 8.03 8.04 K 0.149 0.151 0.147 0.140 0.135 0.125 .124 GDP Deflator 90.7 100.0 110.4 125.2 152.8 194.4 232.8 Nominal GDP 110,953 130,361 152,263 186,092 243,236 327,786 401,481 Annual Changes (In Percent) Money Supply Average Average 16.7 18.8 13.3 16.9 26.3 33.9 23.3 End of Year 19.5 17.2 10.9 24A4 29.3 19.6 28.0 Velocity -1.3 -0.1 3.0 4.6 3.5 8.8 - GDP Deflator 8.2 10.3 10.4 13.4 22.0 27.2 - Real GDP 6.4 6.8 5.8 7.8 7.1 5.9 3.8 Source.: Banco de la Republica and Fund staff estimates Table 5.8 - COLOMBIA: TIPhL MO,TY SUPPLY ANID TIE -IMOFNEY MULTIPLIERS, 1969-75 1969 1970 1971 1972 1973 1974 1975 In Millions of Colombian Pesos Private sector monetary holdings Currency in hands of public 6,531 7,586 8,620 10,844 12,707 16,074 20,708 Demand deposits 11,883 13,747 15,331 18,963 25,777 29,984 38,257 Money (M1) 18,414 21,603 23,951 29,807 38,484 46,058 58,965 Quasi-money 7,354 9,158 11,200 14,904 21,521 29,781 41,084 Money and quasi-money (M3) 25,768 30,761 35,151 44,711 60,005 75,839 100,049 Actual reserves held by commercial banks 4,524 5,309 5,953 7,137 11,086 12,892 16,244 Base money (currency in hands of public plus actual reserves held by commercial banks) 11,055 13,165 14,573 17,981 23,793 28,966 36,952 Monev Multiplier Ratios Money multipliers Ratio of M1 to base money 1.666 1.641 1.644 1.658 1.617 1.612 1.596 Ratio of M3 to base money 2.331 2.337 2.412 2.487 2.522 2.654 2.708 Ratios affecting money multiplier Bank behavior Ratio of required reserves to total deposits 0.413 0.336 0.282 0.294 0.341 0.283 0.290 Ratio of actual reserves to total deposits 0.400 0.336 0.282 0.298 0.338- 0.301 0.295 Private sector behavior Ratio of currency to E 0.355 0.365 0.360 0.364 0.330 0.349 0.351 Ratio of M1 to M3 0.715 0.702 0.681 0.667 0.641 o.607 0.589 Source: Banco de la Republica and IMF. Table 6.9 - COLOMBIA: BASE MONEY AND THE OPERATIONS OF THE MONETARY AUTHORITIES 1971 - 1975 Changes in Millions of Colombian Pesos 1971 1972 1973 1974 1975 Currency in Hands of Public 764 2224 1863 3367 4675 Commercial Bank Reserves 622 1157 3858 1446 2847 Base of Money 1386 3381 5721 4813 7532 Net Domestic Assets of the Monetary Authorities 1044 -142 1965 6862 4470 National Government (net) 1563 986 -479 2914 4292 Other Official Entities (net) 72 -42 -82 -67 _9 Credits to Commercial Banks 280 -500 2094 1874 -371 Credit to Specialized Banks (net) 782 815 1037 2974 -666 Private Sector -1302 359 893 -1366 1562 Import Deposits 192 -286 -1165 -176 1865 Medidum and Large-Term Foreign Liabilities -442 -452 -200 -306 -352 SDR Allocation -310 -429 - Other (net) 209 -593 -133 1014 -1851 Net Foreign Assets 342 3523 3756 -2049 3062 Source: Banco de la Repuiblica and IMF. Table 6.10 - COLOMBIA: COMPOSITION AND GROWTH OF THE MONEY SUPPLY, 1960-1975 (Millions of Pesos) End Currency Total Percentage Currency with of Currency with the Demand Money Increase Public as % of Period Outstanding Public Deposits Supply/a During Period Money Supply 1960 1,724 1,606 2,497 4,103 10.4 39.1 1961 1,983 1,846 3,267 5,112 24.6 36.1 1962 2,287 2,115 4,054 6,169 20.7 34.3 1963 2,743 2,537 4,386 6,923 12.2 36.6 1964 3,385 3,115 5,255 8,370 20.9 37.2 1965 3,872 3,595 6,085 9,680 15.6 37.1 1966 4,358 4,104 6,931 11,035 14.0 37.2 1967 5,051 4,759 8,691 13,450 21.9 35.4 1968 5,898 5,548 9,887 15,435 14.8 35.9 1969 7,015 6,554 11,894 18,448 19.5 35.5 1970 8,357 7,866 13,761 21,627 17.2 36.4 1971 9,137 8,620 15,331 23,951 10.9 36.0 1972 11,400 10,844 18,963 29,807 24.4 36.4 1973 13,431 12,707 25,777 38,484 29.3 33.1 1974 16,895 16,074 29,984 46,058 19.6 34.9 1975 22,044 20,708 38,257 58,965 28.0 35.1 1972-I 7,016 6,390 18,234 24,623 2.8 26.0 1972-TT 7,348 6,627 18,862 25,489 3.5 26.0 1972-TII 7,394 6,668 20,017 26,685 4.7 25.0 1972-IV 11,400 10,844 18,963 29,807 11.7 36.4 1973-I 8,065 7,576 22,969 30,545 2.5 24.8 1973-II 8,811 8,284 24,238 32,522 6.5 25.5 1973-III 8,250 7,691 26,160 33,851 4.1 22.7 1973-IV 13,150 12,707 25,777 38,484 13.7 33.0 1974-I 9,338 8,751 30,660 39,1411 2.4 22.2 1974-II 9,813 9,206 30,809 40,015 1.5 23.0 1974-III 10,150 8,993 31,760 40,753 1.8 22.1 1974-TV 16,895 16,074 29,984 46,058 13.2 34.9 1975-I 12,282 10,632 36,591 47,223 2.5 22.5 1975-II 12,448 11,373 36,924 48,297 2.3 23.5 1975-III 12,477 10,919 40,533 51,452 6.5 21.2 1975-IV 22,044 20,708 38,257 58,965 14.6 35.1 a Currency Outstanding less cash holdings of banks equals Currency with the Public. Adding Demand Deposits to Currency with the Public gives Total Money Supply, defined to exclude deposits of the government and official entities in the central bank. Source: Banco de la Republica. Table 6.11 a COLOMBIAt NEW CONMERCIAL BANK LOANS, BY QUARTER, 1960-74 i (Millions of Pesos) Agriculture Coffee Other h/ Total Livestock Commerce Industry Mining Construction Government Other Total 1960 87.2 246.3 333.5 444.7 1,933.6 1,098.8 25.3 144.0 119.6 178.6 4,278.2 1961 136.5 294.3 430.8 585.3 2,083.1 1,414.5 39.2 140.0 99.1 335.8 5,127.8 1962 95.6 331.9 427.5 580.4 2,233.0 1,445.3 30.2 188.4 136.2 379.6 5,420.5 1963 130.8 532.8 663.6 670.6 2,499.3 2,039.5 24.6 227.4 150.3 456.9 6,732.3 1964 192.6 522.4 715.0 751.0 2,468.1 2,588.0 32.7 275.9 108.8 516.2 7,455.6 1965 197.4 539.9 737.3 743.3 2,667.6 2,781.2 42.6 308.3 122.2 578.9 7,981.4 1966 255.9 781.0 1,036.9 884.1 2,904.5 3,234.2 43.2 384.8 142.7 666.4 9,296.8 1967 277.0 900.4 1,177.4 991.7 3,264.5 3,958.4 67.7 466.2 242.1 858.6 11,026.7 1968 293.8 903.5 1,197.3 1,097.4 3,856.8 4,206.2 84.2 518.0 297.8 895.6 12,153.4 1969 337.7 991.6 1,329.3 1,226.4 4,333.2 4,604.6 46.3 466.4 609.7 1,016.8 13,632.7 1970 297.3 2,153.5 2,450.8 1,325.2 4,881.2 4,711.0 62.3 578.1 810.6 1,239.6 16,058.7 1971 I 58.9 1,077.6 1,136.5 291.6 1,237.0 964.1 24.2 157.2 137.6 419.3 4,367.5 II 60.8 754.5 815.3 343.2 1,300.7 946.9 19.5 140.8 203.3 471.7 4,241.4 III 72.0 1,118.3 1,190.3 351.2 1,626.6 1,111.2 26.5 154.1 122.4 550.3 5,132.6 IV 41.9 775.6 817.5 373.2 1,781.1 1,014.2 23.3 173.8 243.3 743.7 5,070.1 Total 223.6 3.726.0 "3959.6 1,359.2 5.945.4 3,936.4 93.5 625.9 706.6 2,185.0 18,811.6 1972 I 62.6 1,387.4 1,450.0 298.0 1,474.3 1,124.6 13.4 223.3 189.3 1,163.0 5,935.8 II 52.9 946.5. 999.4 365.3 1,939.5 962.5 31.2. 209.5 360.1 701.7 5,569.2 III 71.9 1,551.4 1,623.3 286.4 1,733.8 903.2 27.8 217.1 315.2 669.0 5,774.9 IV 51.1 1,030.8 1,o8l.9 345.0 2,263.8 1,369.2 2LL 207.0 312.1 634.2 6,248.5 Total 238.5 4,916.1 5,154.6 1,294.7 7,411.4 4,359.5 107.7 855.9 1,176.7 3,167.9 23,528.4 1973 I 85.4 416.9 502.3 436.0 2,716.7 1,587.0 27.4 276.6 329.0 717.2 6,592.2 II 70.0 2,309.1 2,379.1 329.1 2,179.3 1,647.0 63.4 237.1 272.2 718.5 7,$25.7 III 119.9 1,796.8 1,916.7 339.9 2,390.1 2,651.9 45.1. 259.6 295.6 735.3 8,634.2 IV 128.6 1,230.1 1,358.7 295.1 3,494.3 2,434.2 33.5 304.7 1,287.1 667.2 9,874.8 Total 403.9 5,752.9 6,156.8 1,400.1 10,780.4 8,320.1 169.4 1,078.0 2,183.9 2,838.2 32,926.9 1974 I 193.0 2,164.4 2,357.5 213.1 2,718.5 2,519.6 24.9 351.9 562.9 907.3 9,655.7 II 191.9 1,118.8 1,310.7 237.5 2,824.1 3,026.1 29.4 331.5 486.2 1,484.5 9,730.0 i Quarterly figures may not sum to annual totals because of rounding. / Includes warehouse bonds after second quarter of 1970. Source: Banco de la Rep&blica. Table 6.12 - COLOMBIA: COMMERCIAL BANK LOANS, BY QUARTER, 1960-1975 4/ (Loans outstanding at end of quarter, Millions of Pesos) Agriculture Coffee Otherbi Total Livestock Coxerce Industry Mining Construction Government Other Total 1960 1 68.6 207.7 276.3 333.9 820.1 442.0 32.1 82.9 93.6 170.5 2,251.3 II 74.0 229.3 303.3 368.7 865.7 482.9 32.8 85.8 97.5 170.2 2,406.9 III 75.8 207.8 283.6 385.8 907.4 630.0 37.0 88.2 95.3 179.2 2,606.4 IV 70.7 200.1 270.8 413.9 963.4 646.3 38.0 94.1 101.2 190.9 2,718.7 1961 I 73.8 198.3 272.1 442.4 1,000.0 678.7 35.0 94.2 97.6 205.9 2,825.8 II 96.6 225.0 321.6 478.7 1,002.1 715.9 27.6 100.5 105.1 202.1 2,953.6 III 96.2 236.0 322.2 517.6 1,066.9 748.4 42.4 107.0 114.0 221.0 3,149.5 IV 82.5 251.1 333.6 561.6 1,127.9 836.8 33.6 114.3 129.4 253.2 3,390.5 1962 I 79.0 251.2 330.2 588.6 1,147.8 812.7 33.9 125.0 143.6 317.9 3,499.7 II 82.6 262.4 345.0 593.3 1,147.7 849.9 30.2 126.1 142.0 259.0 3,493.2 III 87.1 273.4 360.5 595.2 1,209.5 866.5 30.9 144.4 154.1 277.2 3,638.2 IV 85.8 275.4 361.2 620.6 1,275.5 896.3 22.7 148.7 172.3 309.1 3,806.5 1963 I 87.7 282.9 370.6 610.2 1,236.4 913.5 22.4 157.4 165.0 296.3 3,771.7 II 87.7 349.9 437.6 617.7 1,314.5 968.1 26.7 162.8 168.6 303.9 3,999.9 III 105.8 357.2 463.0 673.9 1,398.2 1,272.2 31.6 170.9 181.7 330.1 4,521.7 IV 115.5 432.0 547.5 695.9 1,452.1 1,290.5 28.6 180.4 206.9 364.9 4,766.9 1964 I 130.9 447.0 577.9 725.1 1,454.7 1,448.5 30.6 197.1 222.2 368.9 5,025.2 II 142.1 456.6 598.7 796.1 1,364.2 1,350.6 31.8 194.3 210.8 396.3 4,942.9 III 164.5 480.0 644.5 841.5 1,421.8 1,491.3 35.7 202.1 211.5 410.5 5,259.2 IV 155.8 445.3 601.1 803.5 1,397.2 1,492.4 37.2 194.7 194.3 396.3 5,117.3 1965 I 169.2 414.6 583.8 793.9 1,439.3 1,612.5 49.0 202.5 189.6 407.2 5,277.8 II 177.4 438.7 616.1 807.9 1,480.6 1,541.7 37.2 209.2 177.8 430.6 5,301.2 III 190.7 479.4 670.1 832.4 1,589.1 1,593.0 32.8 224.4 182.0 448.2 5,572.1 IV 188.2 537.5 725.7 850.2 1,635.4 1,580.1 57.1 237.8 192.7 492.4 5,771.4 1966 1 188.4 532.1 720.5 891.3 1,760.2 1,977.0 26.2 264.8 184.3 519.5 6,343.9 II 204.2 549.3 753.5 896.6 1,743.6 1,755.9 28.0 287.6 169.9 520.9 6,155.9 III 231.4 618.4 849.8 902.8 1,859.6 2,020.8 39.6 310.0 160.5 561.7 6,704.9 IV 237.2 678.8 916.0 960.2 1,787.3 1,867.0 30.5 311.6 198.9 534.8 6,606.3 1967 I 227.1 659.6 886.7 1,003.4 1,852.5 2,192.7 30.5 321.4 182.9 552.2 7,022.3 II 242.4 687.8 930.2 1,086.3 1,935.0 2,079.9 35.7 333.1 220.1 620.0 7,240.4 III 259.7 676.4 936.1 1,114.6 1,985.2 2,275.5 44.8 352.4 228.3 696.5 7,633.6 IV 261.5 680.1 941.6 1,189.0 2,134.3 2,181.5 39.1 369.9 257.4 750.7 7,863.5 1968 I 254.7 627.2 881.9 1,221.7 2,151.9 2,444.0 50.4 381.3 277.5 769.5 8,178.2 II 262.7 705.8 968.5 1,272.8 2,208.3 2,104.0 40.9 396.6 314.0 759.6 8,064.7 III 277.6 638.9 916.5 1,274.5 2,372.7 2,394.8 43.4 399.0 333.3 780.3 8,514.3 IV 284.7 670.1 954.8 1,352.4 2,547.3 2,344.2 49.6 436.1 351.9 790.7 8,826.9 1969 I 281.7 631.1 912.8 1,380.3 2,599.5 2,598.6 43.9 422.8 416.6 796.0 9,170.5 II 296.0 666.0 962.0 1,448.4 2,607.5 2,468.3 41.4 419.7 469.0 804.0 9,220.4 III 327.1 686.1 1,013.2 1,510.7 2,588.8 2,699.7 44.8 432.2 497.7 842.8 9,630.6 IV 319.7 782.6 1,102.3 1,573.7 2,676.4 2,619.8 44.5 441.1 578.9 860.3 9,897.0 1970 I 310.7 667.1 977.8 1,567.8 2,646.8 2,953.6 45.9 446.9 673.2 875.0 10,186.8 II 339.5 740.6 1,080.1 1,622.3 2,817.0 2,947.0 40.1 471.1 721.3 902.0 10,600.9 III 360.8 1,468.5 1,829.3 1,675.2 2,907.2 2,659.0 39.2 421.3 774.1 930.4 11,235.8 IV 383.8 1,409.5 1,793.3 1,788.3 3,137.2 2,727.6 48.1 483.1 849.8 1,010.3 11,837.7 1971 I 362.6 1,629.6 1,992.2 1,811.6 3,147.3 2,796.3 54.4 459.9 872.8 1,098.8 12,269.5 II 412.6 1,473.6 1,886.2 1,869.8 3,237.0 2,799.3 54.3 493.9 942.2 1,210.8 12,493.5 III 460.6 1,682.5 2,143.1 1,927.6 3,477.7 2,894.0 57.4 497.6 948.4 1,340.3 13,286.2 IV 485.3 1,635.4 2,120.7 1,999.9 3,657.9 2,355.5 60.1 519.1 701.3 2,396.1 13,810.6 1972 I 476.0 1,981.5 2,457.5 2,004.8 3,431.6 2,925.6 45.7 557.1 1,034.2 2,234.2 14,690.7 11 497.5 1,774.9 2,272.4 2,055.0 3,699.1 3,015.1 61.2 603.4 1,195.9 2,254.5 15,156.6 III 526.5 2,168.1 2,694.6 2,035.5 3,613.6 2,946.0 58.4 620.3 1,306.0 2,337.6 15,612.0 IV 543.2 2,036.2 2,579.4 2,065.5 3,949.0 3,310.5 76.6 644.6 1,436.2 2,166.6 16,228.4 1973 I 188.2 2,678.1 2,886.3 2,096.1 4,215.0 3,583.3 59.8 663.0 1,513.0 1,701.8 16,698.3 II 200.8 2,327.3 2,528.1 2,069.9 4,070.4 3,907.3 77.0 662.8 1,531.6 2,004.9 16,852.0 III 247.2 2,720.9 2,698.1 2,073.8 4,276.9 5,174.8 90.6 674.0 1,536.4 1,870.3 18,691.9 IV 318.4 2,683.9 3,002.3 2,026.6 4,807.3 5,983.2 96.5 753.9 2,545.2 1,944.2 21,159.2 1974 I 367.6 3,064.2 3,431.8 1,871.2 5,078.7 6,396.0 93.5 802.4 2,680.5 2,178.8 22,533.2 II 481.6 3,427.1 3,908.7 1,754.6 5,275.3 6,762.6 85.7 822.9 2,948.0 2,081.8 23,639.7 III 605.1 4,910.5 5,515.6 1,638.4 5,701.2 7,075.4 106.6 875.2 2,919.1 2,204.7 26,036.3 IV 839.9 4,099.7 4,939.6 1,567.8 5,857.3 8,250.4 138.5 895.4 2,397.6 5,434.6 29,481.2 1975 I 800.1 4,017.4 4,817.5 1,470.5 5,987.4 8,494.0 155.0 911.0 2,522.5 6,936.1 31,294.1 II 871.4 4,450.9 5,322.3 1,455.8 6,518.9 8,827.8 190.3 945.6 2,688.7 6,795.9 32,745.3 III 1,007.2 4,797.4 5,804.6 1,464.8 7,684.1 9,757.7 222.6 1,014.4 2,871.5 8,094.7 36,914.4 IV 1,024.5 5,311.2 6,335.7 1,432.6 8,611.4 10,260.0 223.1 1,027.9 2,872.7 7,300.1 38,063.5 */ Figures may not add to row totals because of roundings. b/ Includes warehouse bonds after second quarter of 1970. Source: Banco de la RepAblica. Table 6.13 - COLOMBIA: BANKING SYSTEM LOANS, BY QJART3R 1960-75 a/ (Loans outstanding at end of quarter, millions of pesos) Commercial Bank Loans / Total Banking System Loans S/ Short -/ Medium. Long / Total Short V Medium 3/ Long L/ Total 1960 June 1,930.5 377.7 98.6 2,406.8 2,277.8 863.0 872.9 4,013.7 Dec. 2,183.3 430.4 105.0 2,718.7 2,571.0 931.4 942.0 4,444.4 1961 June 2,335.9 509.9 107.7 2,953.5 2,761.0 1,037.8 978.4 4,777.2 Dec. 2,621.5 644.8 124.2 3,390.5 3,096.2 1,228.7 1,044.8 5,369.7 1962 June 2,657.6 702.6 133.0 3,493.2 3,206.5 1,348.5 1,100.9 5,655.9 Dec. 2,910.2 754.7 141.6 3,806.5 3,468.9 1,458.4 1,182.2 6,109.5 1963 June 3,065.8 767.3 166.8 3,999.9 3,671.7 1,509.7 1,295.9 6,477.3 Dec. 3,662.9 903.5 200.5 4,766.9 4,348.0 1,755.2 1,566.8 7,670.0 1964 June 3,653.0 1,024.3 265.6 4,942.9 4,446.5 1,919.8 1,709.5 8,075.8 Dec. 3,746.6 1,049.0 321.7 5,117.3 4,580.6 1,993.5 1,812.3 8,386.4 1965 June 3,923.8 1,026.9 350.5 5,301.2 4,739.2 1,994.2 1,899.9 8,633.3 Dec. 4,315.2 1,069.7 386.5 5,771.4 5,172.5 2,093.2 2,028.4 9.294.1 1966 June 4,674.6 1,075.7 405.6 6,155.9 5,576.5 2,171.2 2,112.6 9,860.3 Dec. 4,964.2 1,168.8 473.3 6,606.3 5,968.6 2,325.6 2,328.9 10,623.1 1967 June 5,372.2 1,271.6 596.7 7,240.5 6,387.0 2,437.0 2,583.5 11,407.5 Dec. 5,805.3 1,391.3 666.9 7,863.5 7,031.6 2,778.5 2,815.9 12,626.0 1968 s-I 6,023.8 1,437.2 7.2 8,178.2 7,261.6 2,940.2 3,004.8 13,206.6 II 5,858.5 1,486.7 719.5 8,064.7 7,143.8 3,120.1 3,125.9 13,389.8 III 6,279.4 1,463.0 771.9 8,514.3 7,813.7 3,277.5 3,331.5 14,222.7 IV 6,491.4 1,503.8 831.7 8,826.9 8,090.1 3,500.2 3,578.6 15,168.9 1969 I 6,708.1 1,558.3 904.1 9,170.5 8,398.4 3,725.8 3,831.5 15,965.7 II 6,604.3 1,587.4 1,028.7 9,220.4 8,337.6 3,912.0 4,138.8 16,388.4 III 6,915.2 1,614.4 1,100.4 9,630.0 8,851.9 4,164.3 4,492.7 17,508.8 IV 6,986.3 1,685.5 1,225.1 9,896.9 8,885.3 4,379.0 4,932.9 18,197.2 1970 I 7,208.5 1,714.2 1,264.1 10,186.8 9,054.7 4,629.3 5,281.1 18,965.1 II 7,530.1 1,741.7 1,329.1 10,600.9 9,315.1 4,730.8 5,703.8 19,469.7 III 8,173.1 1,677.1 1,395.6 11,235.8 10,100.4 4,819.0 6,198.8 21,118.2 IV 8,490.9 1,752.5 1,594.3 11,837.7 10,518.7 5,070.5 6,916.7 22,505.9 1971 I 8,715.5 1,771.9 1,782.1 12,269.5 10,715.4 5,240.9 7,650.1 23,606.4 II 8,830.8 1,909.7 1,753.0 12,493.5 10,811.4 5,505.8 8,264.1 24,581.3 III 9,440.7 2,041.1 1,804.4 13,286.2 11,676.6 5,840.8 9,023.5 26,540.9 IV 9,844.1 2,078.6 1,887.8 13,810.5 12,187.4 6,045.0 9,739.5 29,413.5 1972 I 10,578.1 2,107.6 2,005.1 14,680.8 13,062.3 6,044.7 10,306.5 29,413.5 II 10,836.9 2,214.1 2,105.5 15,156.5 13,276.9 6,362.4 10,880.4 30,519.7 III 11,106.3 2,310.6 2,195.2 15,612.1 13,760.8 6,513.2 11,427.8 31,701.8 IV 11,559.7 2,338.9 2,392.6 16,228.3 14,169.5 6,598.4 12,043.4 32,811.3 1973 I 12,067.6 2,409.3 2,221.2 16,698.1 14,704.5 6,720.7 12,361.6 33,786.8 II 12,075.6 2,476.4 2,299.7 16,851.7 14,770.5 6,884.6 12,905.6 34.560.7 III 13,804.5 2,514.4 2,372.8 18,691.7 16,858.2 7,092.7 13,328.3 37,219.2 IV 15,876.7 2,688.4 2,604.2 21,169.3 18,944.7 7,247.4 13,866.8 40,058.8 1974 I 17,103.0 2,521.3 2,908.9 22,532.2 20,323.6 7,076.9 14,282.0 41,682.4 II 17,406.4 2,734.4 3,498.8 23,639.7 20,637.0 7,223.2 14,981.8 42,842.0 III 19,046.0 3,007.4 3,982.9 26,036.3 22,641.3 7,513.5 15,502.9 45.657.7 IV 21,444.4 3,555.3 4,481.5 29,461.2 24,802.9 7,993.9 16,198.2 48,995.0 1975 I 23,040.4 3,487.5 4,766.2 .31,294.1 27,057.7 7,865.3 16,587.0 51,510.0 II 24,050.3 3,814.3 4,880.7 32,745.3 28,143.7 8,099.4 16,839.6 53,082.7 III 28,095.4 3,788.3 5,030.6 36,914.3 32,339,6 8,225.6 17,036.4 57,601.6 IV 29,016.8 3,796.8 5,249.9 38,063.5 a/ Figures may not add to row totals because of rounding, 1960-1967 by semester (June and December). b/ Includes Popular Bank and Livestock Bank. c/ Includes Commercial Banks, Mortgage Banks and Agricultural Credit Bank. d/ Less than one year. e/ One to five years. f/ More than five years. ,&/ Latest data is for May, 1975 only. Source: Banco de la Republica Table 6.14 - CoLOMBIA: BOGOTA AND MEDELLIN STOCK EXCHANGES, 1969-75 1969 1970 1971 1972 1973 1974 1975 Total transactions (millions of Colombian pesos) 1.808 1,973 1,524 2.173 3,237 4.877 3.720 Bogota 1,304 1,416 1,104 1,527 2,252 3,367 2,528 Medellin 504 557 420 646 985 1,510 1,192 Percentage of transactions , loo 100 100 100 100 100 100 100 Banking and financial shares 20 18 17 9 11 9 8 Industrial shares 44 39 30 20 22 15 16 Bonds 12 21 14 16 18 29 23 CATs and CDTs/i 23 21 38 55 49 47 53 Other 1 1 1 -- -- -- Percentage change in prices (Bogota'- end of year) Banking and financial shares 12.4 12.3 -24.6 -16.1 11.1 -13.6 -2.5 Industrial shares 40.7 12.7 -30.3 -2,7 12.8 -13.6 -4.3 Cost of living (national - white collar) 8.5 7.2 12.6 14.1 22.1 25.2 17.5 A Tax credit certificates granted by the Government for minor exports and tourist development projects. Source: Banco de la Republica. Table 6.13 COLOMBIA: DESCRIPTION OF THE ADMINISTERED FUNDS Size of Fiind o Mimm Maturity Dec. 31, A of Iet Tean Inaugration (millions of Rate on Ians Rediscamt Bate (in nbers Funds Date Colebisn pesos) Origin of Funds' Resources Destination of Funds' Resources (in Ver cent) (in Per cent) of Years) Agricultural Financing March l973g/ 3,1136 Plscement of Agricultural develqu2nt titles Provides financing for the agricul- 20 12.5-19 1-15 Fund (FFAP) within the banking system rediacunt facility tural and livestock sector within the Banco de la Repdblica; and loans contracted by the Govermnt for the FFAP. Svi a and Loan JLMay 1972 2,003 Placeoent of three-month credit titled with Functions as a qussi-central bank to 8-93/ 7-8J' 3 and 15 =n(g ) ,the Savings and Loan Corporations and line the Savings and Loan Corporations, of credit with the Banco de la Repiblica. prawiding then with credit when resource deficiencies arise Public Works Fund December 1971 182 Line of credit frcs the Banco de la Repdblica Provides loan for contractors of 14 11 5 (PCOM) pablic works to finance vorking capital requirmenta and imports of mc-iery; Fund expires in August 1979. idustrial Financing August 1971 861 Placement of external debt titles, the a. Provides financing for small end a. 18-24 a. 14-21 a. 5 Fund (FEI) transfer of counterpart funds fron the medium-size mining and usaufactar- Government generated by U.S. AlF loans ing industries, subject to the eon- and transfer of required reserves of the dition that 30 per cent of production extra-bank market is devoted to exports b. Provides financing for the sale of b. 21 b. 17-18 b. 7 capital goods to the public sector c. Provides financing for nonprofit c. 16 14 c. 5 foundations and corporations Urban Development November 1968 664 Placement of urban developent titles and Provides financing to municipalities 14-15 11-12 10 Fund (FDU) transfers frcn the Government for urban developuent projects Export Prnmotion March 1967 2,574 Direct lines of credit and rediscounting a. Provides financing to exporters a. 18 a. 13 a. I and 1 Fund (PROEXPO) facilities in the Banco de la Republica, for working capital as well as earmarked funds frcu isport b. Provides financing of export sales b. 4i b. 2-4 b. s surchge by discounting letters of credit and other documents, as vell as loans for pracotion purposes and Narket studies Private Investment February 196, 1,798 Loans frnm international agencies, transfers Finances investent projects aimed at 18-26 17-23 15 Fund (YIP) from the Government, and reinvested profits import substitution and export diversi- from awn operation fication as well as Al(Xt multinational corporations operating within Colambia /Includes available resources plus lines of credit extended from the Banco de la Repdblica; in the case of FAVI, includes required reeerves of CAVs totaling Col$54L2 million at the en, of9 1974. In c&rch 1973, the FFA, vhich was originally set up in May 1966, was reorganized. 5j SubJect to full monetary correction for changes in the national cost of living indices, up to a maxinum 20 per cent ceiling. Source: Banco de la Republica. l/ Table 7.1 -COLOMBIA: PRODUCTION OF PRINCIPAL CROPS, 1962-76 000 Metric tons. ) 1962-64 1966-68 1975 1976 Av. Av. 1970 1971 1972 1973 1974 (Preliminary) (Program) CEREALS Rice (Paddy) 582 707 702 852 997 1,151 1,540 1614 1,705 Barley 113 88 87 107 98 82 97 122 167 Wheat 112 110 54 53 69 72 59, 39 57 Corn 831 862 877 818 806 739 792 723 792 Sorghum 27 87 118 240 210 280 337 335 459 COTTON AND OILSEEDS Seed cotton 190 241 376 322 412 335 420 401 422 Soybeans 28 78 132 101 105 97 114 169 136 Sesame 34 28 18 31 28 18 17 21 26 African palm oil 27 36 41 44 51 47 57 OTHER EXPORT CROPS Coffee 450 474 492 462 420 510 468 510 - ,Sugar 3/ 399 599 672 744 824 810 895 994 1,048 Bananas -i3/ ' 553 752 335 351 282 301 470 621 790 Tobacco 40 40 42 39 36 40 41 54 61 Caraotas 3/ - - 8 13 18 9 16 28 26 OTHER FOODCROPS Yuca 760 859 1, 200 1,240 1,280 1,450 1,540 1,540 1,540 Potatoes 770 820 913 825 782 983 903 920 997 Platano 1,315 1,538 1,690 n.a. n.a n.a. n.a. - _ Panela 3/ 643 677 444 457 508 524 557 697 803 Beans (common) 44 38 39 36 43 48 52 62 70 Cacao 16 18 18 19 20 22 23 24 27 1/ Calendar year data efore 1970; crop year thereafter. 2/- Series may not-be comparabli- between th&A1960's and 1970's-. 3/ Refers to calendar year. Source: OPSA, Ministerio de Agricultura. Table 7.2 - COLOMBIA: AREA UNDER.CULTIVATION PRINCIPAL CROPS, 1962-76 (000 Hectares) 1962-64 1966-68 1975 1976 Av. Av. 1970 1971 1972 1973 1974 (Preliminary) (Program) CEPEALS Rice 279 302 257 242 258 291 355 373 390 Barley 55 54 51 56 63 52 59 76 89 Wheat 121 95 45 47 61 56 45 30 45 Corn 719 808 661 666 624 580 570 572 610 SorBhum 11 40 54 92 84 135 151 134 170 COTTON AND OILSEEDS Cotton 159 179 267 219 242 251 258 281 280 Soybeans 20 44 66 55 54 54 57 88 60 Sesame - - 56 42 27 47 43 37 32 42 53 African palm -&/ 20 19 20 22 18 17 19 OTHER EXPORT CROPS Cane for xar 2&3/ 67 90 92 98 107 114 75 79 87 Bananas - 54 58 21 18 19 16 15 18 19 Tbbacco 7 21 23 23 23 26 26 26 31 36 Caraotas - - 5 9 16 9 11 25 13 OTHER FOODCROPS Yuca 135 146 150 155 160 181 165 165 165 Potatoes 73 76 84 84 85 94 87 90 90 Platano 192 228 n.a. n.a. n.a. n.a. 325 - - Cane for panela 3/ 248 237 296 305 314 323 197 182 182 Beans (coninon) 79 68 66 60 69 78 80 96 105 Cacao 35 38 53 55 58 61 58 61 73 1/ Calendar Year date before 1970, Crop Year data thereafter. 2/ Includes-non-bearing,area.---- -3/ Refers to Calendar Year. SQurce: OPSA, Ministerio de Agricultura, Federacion de Cafeteros. Table 7.3 - COLOMBIA: CROP YIELDS PER HECTARE, 1962-76 (Metric tons/ha) 1962-64 1966-68 1975 1976 Av. Av. 1970 1971 1972 1973 1974 (Preliminary) (Program) CEREALS Rice (paddy) 2.1 2.3 2.7 3.5 3.9 4.0 4.3 4.3 4.4 Barley 2.1 1.6 1.7 1.9 1.5 1.6 1.6 1.6 1.9 Wheat 0.9 1.2 1.2 1.1 1.1 1.3 1.3 1.3 1.3 Corn 1.1 1.1 1.3 1.2 1.3 1.3 1.4 1.3 1.3 Sorghum 2.4 2.2 2.2 2.6 2.5 2.1 2.2 2.5 2.7 COTTON AMD OILSEEDS Cotton 1.2 -1.3 1.4 1.5 1.7 1.3 1.6 1.4 1.5 Soybeans 1.4 1.8 2.0 1.8 1.9 1.8 2.0 1.9 2.3 Sesame 0.6 0.7 0.65 0.67 0.66 0.49 0.53 0.50 0.50 African palm oil 1/ 2/ 2/ 1.3 1.9 2.1 2.0 2.8 2.7 3.0 OTHER EXPORT CROPS Sugar 1/ 6.0 6.7 7.3 7.6 7.7 7.1 11.9 12.6 12.0 Bananas 1/ 10.2 13.0 16.0 19.5 15.2 18.5 31.5 35.3 42.2 Tobacco 1.9 1.8 1.8 1.7 1.4 1.5 1.6 1.7 1.7 Caraotas - - 1.8 1.5 1.2 1.1 1.5 1.2 1.7 OTHER PODCROPS Yuda 5.6 5.9 8.0 8.0 8.0 8.0 9.3 9.3 9.3 Potatoes 10.5 10.8 10.9 9.8 9.2 10.4 10.3 10.2 11.1 Platano 6.8 6.7 n.a. n.a. n.a. n.a. n.a. - - Panela 3/ 2.6 2.9 1.5 1.5 1.6 1.6 2.8 3.8 4.4 Beans (common) 0.56 0.56 0.58 0.59 0.62 0.61 0.64 0.65 0.66 Cacao 0.46 0.47 0.35 0.35 0.35 0.36 0.40 0.40 0.37 i/ Yield per planted acre including non-bearing. 2/ Plantations mainly in non-bearing stage. 3/ Series subject to revision. Source : Calculated from data in tables 7.1 and 7.2. Table 7.4.- COLOMBIA: CATTLE POPULATION AND EXTRACTION, 1963-75 1975 1963 - 1967 1970 1971 1972 1973 1974 (Preliminary) CATILE ON HAND, JAN 1 (million Head) Males 6.5 6.8 7.0 7.3 Female.s ... 13.7 14.2 14.7 15.3 .... Total T6.2 18.1 20.2 21.0 21.7 22.6 22.5 3.2 BIOTOS (Million Head) 4.1 4.6 4.7 4.6 4.7 4.8 DEATHS (Million Head) 0.8 0.8 0.9 0.9 1.0 1.0 EXTRACTION Registered slaughters - males (mi- ilion Head) * .. 1.4 1.5 1.4 1.2 ... Females (million Read) ... 1.0 1.1 1.0 0.7 Subtotal 2.0 1.8 2.4 2.6 2.5 1.92.2 2.3 Registered expozts (million Head) /1 /1 0.1 0.1 0.1 0.1 ... 0.1 Unregistered extraction (million - Head) 0.3 0.4 0.3 0.3 0.4 0.4 0.8 0.7 Total 2.4 2.2 2.8 3.0 2.9 2.4 3.0 3.2 Rate (Percent) 15 12 14 14 13 11 13 14 Source + OPSA, Ministerio de Agricultura. Table 7.5 - COLOMBIA: GROSS VALUE OF AGRICULTURAL PRODUCTION, 1950-75 (In millions of 1970 Col. pesos) Year Crops Livestock Other Total 1950 9,011.5 7,72)4.5 2,843.1 19,579.1 1951 10,225.7 6,704.7 2,410.7 19,341.1 1952 11,080.8 6,879.6 2,621.9 20,582.3 1953 11,250.7 6,856.8 2,)4)49.0 20,556.5 1954 11,411.2 7,056.7 2,793.7 21,261.6 1955 11,252.3 7,912.3 2,8)41.6 22,006.2 1956 11,569.0 8,32)4.5 2,738.4 22,631.9 1957 12,357.2 8,695.8 2,801.8 23,85)4.8 1958 12,920.5 8,9)46.3 2,7147.6 24,614.4 1959 13,874.6 9,125.2 2,767.1 25,766.9 1960 13,461.o 9,631.5 2,954.0 26,0)46.5 1961 13,916.9 9,841.8 3,302.)4 27,061.1 1962 1l4,432.9 10,hxOO.l 3,211.7 28,044.7 1963 1)4,082.3 11,168.h 2,945.5 28,196.2 1964 15,18L4.7 11,358.7 3,17)4.1 29,717.5 1965 15,037.7 11,398.6 3,396.3 29,832.6 1966 15,727.2 11,428.1 3,716.3 30,871.6 1967 16,825.9 12,175.7 4,lo0.44 33,106.0 1968 18,181.1 12,758.3 4,356.6 35,296.0 1969 18,399.9 13,615.6 )4,483.7 36,499.2 1970 19,23)4.2 1)4,326.5 14,82)4.7 38,385.)4 1971 19,6)40.7 1)4,681.0 )4,975.6 39,297.3 1972 20,947.2 15,364.0 5,377.9 41,689.1 1973 22,192.8 15,993.6 5,414.6 43,6o1.o 1974 23,165.2 17,120.2 5,807.0 )46,092.)4 1975 24.439.3 17.375.5 6,213.5 48,028.3 Source: Banco de la Republica. Table 7.6 - COLOIBIA: INDICES OF PHYSICAL VOLUME OF AGRICULTURAL PRODUCTION, 1950-74 / (1970 = 100) Year All Crops Coffee Only Livestock Other . Total 1950 146.9 68.h 53.9 58.9 51.0 1951 53.2 71 .9 46.8 50.0 50.4 1952 57.6 83.6 48.0 54.3 53.6 1953 58.5 84.0 147.9 50.8 53.6 1954 59.3 82.5 49.3 57.9 55.4 1955 58.5 75.2 55.2 58.9 57.3 1956 60.1 81.6 58.1 56.8 59.o 1957 61h.2 96.8 60.7 58.1 62.1 1958 67.2 97.7 62.4 56.9 64.1 1959 72.1 102.6 63.7 57.4 67.1 1960 70.0 93.3 67.2 61.2 67.9 1961 72.11 102.5 68.7 68.4 70.5 1962 75.0 97.3 72.6 66.6 73.1 1963 73.2 97.6 78.0 61.1 73.5 1964 78.9 104.1 79.3 65.8 77.4 1965 78.2 98.4 79.6 70.14 77.7 1966 81.8 101.7 79.8 77.0 80.4 1967 87.5 96.3 85.0 85.1 86.2 1968 914.5 100.0 89.1 90.3 92.0 1969 95.7 100.0 95.0 92.9 95.1 1970 100.0 100.0 100.0 100.0 100.0 1971 102.1 94.14 102.5 103.1 102.4 1972 108.9 100.2 107.2 111.5 108.6 1973 115.14 110.3 111.6 112.2 113.6 1974 120.4 ... 119.5 120.4 120.1 /1 Gross value of production at 1970 unit prices. Source : Banco de la RepAblica Table 7.7 - COLOMBIA: AGRICULTURAL GROSS VALUE ADDED, IN CONSTANT 1970 PRICES, 1950-75 (At market prices, millions of pesos) Year Crops Livestock Other Total 1950 8,345.3 6,740.8 2,270.1 17,356.2 1951 9,400.8 5,850.4 1,944.3 17.195.5 1952 10,199.4 6,OO6.5 2,104.9 18,310.8 1953 10,328.9 5,983.0 1,987.0 18,298.9 1954 10,449.7 6,162.6 2,2144.1 18,856.4 1955 10,286.6 6,904.6 2,274.5 19,465.7 1956 10,608.1 7,271.8 2,197.1 20,077.0 1957 11,407.7 7,592.0 2,246.5 21,246.2 1958 11,860.4 7,811.2 2,201.3 21,872.9 1959 12,693.4 7,966.9 2,216.1 22,876.4 1960 12,287.0 8,412.5 2,365.9 23,065.4 1961 12,772.0 8,592.4 2,615.2 23,979.6 1962 13,149.3 9,076.4 2,543.2 24,768.9 1963 12,867.7 9,748.5 2,414.1 25,030.3 1964 13,885.7 9,920.3 2,523.0 26,329.0 1965 13,742.8 9,951.5 2,680.9 26,375.2 1966 14,329.9 9,974.9 2,918.5 27,223.3 1967 15,187.1 10,184.9 3,208.3 28,580.3 1968 16,271.2 10,833.8 3,399.3 30,504.3 1969 16,375.4 11,667.1 3,529.6 31,635.1 1970 17,059.3 12,222.6 3,720.9 33,002.8 1971 17,463.0 12,512.4 3,842.7 33,818.1 1972 18,534.5 13,113.2 4,149.4 35,797.1 1973 19,464.8 13,613.6 4,168.1 37,246.5 1974 20,450.0 14,722.7 4,491.4 39,664.1 1975 21,625.7 14,942.1 4,762.2 41,330.0 Source : Banco de la Repdblica Table 7.8 - COLOIBIA: PRICE DEFLATORS FOR AGRICULTURE, NON-AGRICULTURE, AND TOTAL GDP) 1950-75 (1970 = 100) Agriculture Non- Total Year Crops Livestock Total Agriculture GDP 1950 17.2 14.8 16.0 15.8 15.8 1951 19.9 15.4 18.0 17.3 17.4 1952 19.0 17.9 18.2 17.6 17.7 1953 20.5 19.5 19.7 18.1 18.5 1954. 25.9 21.6 23.7 19.3 20.6 1955 23.1 22.7 22.5 19.9 20.6 1956 27.8 22.4 25.2 21.0 22.2 1957 32.6 25.7 29.3 24.7 26.0 1958 33.5 30.0 31.6 28.7 29.5 1959 32.5 35.8 32.9 31.0 31.4 1960 314.4 39.8 35.6 33.6 34.3 1961 37.8 Ito.o 38.1 36.6 37.0 1962 38.4 40.9 39.2 39.6 39.5 1963 49.8 45.9 48.2 48.8 48.8 1964 66.14 54.0 60.7 54.9 56.5 1965 65.6 62.8 64.3 60.6 62.2 1966 73.9 74.7 73.4 69.9 71.2 1967 76.8 82.8 78.2 76.2 77.2 1968 81X.8 86.3 84.7 83.7 84.2 1969 92.2 90.4 91.7 90.4 91.1 1970 100.0 100.0 100.0 100.0 100.0 1971 110.4 113.9 111.1 110.2 110.4 1972 128.7 137.3 130.4 123.5 125.2 1973 168.9 183.8 171.0 147.2 152.8 1974 205.5 229.7 211.4 190.3 1914.4 1975 250.5 267.2 255.1 221.9 229.4 Source : Banco de la RepO.blica Table 79 COLD4BIAi NEW WiA1 UTID TO-'THE AGRaCULTURAL SECTOR,. 1969-75 (Nillions of Pesos) Institution and Sub Sector 1969 1970 1971 1972 197j 1974 17 Caja AATraia Crops 2,1465 2,1460 2,,859 2,,923 3,353 3,208 3,084 Livestoek 860 69? 64.6 1,0814 1,383 1,2414 1,070 Coauercial Banks A Crops ~~~~1,312 1,286 1,1482 1,9822 2.,582 2,40/ Livestock 1,068 1,0514 1,382 1,1262 1,385 -827D . INcORA 193 188 152 197 252 146. 144 TOTAL 5,8 6.21 T-32 906 7,823 a' Includes Baxico PopLulr and Banco oanadero. 1 Preliminary% Souro.s, Caja Agraria,* Banco de l.a Repiiblca., INCORL. Table 7.10 _ COLOIA: ESTIMATED FARM PRICES MAD SUPPORT PRICES FOR PRINCIPAL COMODITIES, 1950-1974-/ 1950 1955 1960 1965 1970 1971 1972 1973 1974 -(Pesos oar metr-ic ton)___ Corn - farm 290 300 474 903 1,490 1,696 2,170 3,329 - support (yellow corn) 925 1,350 1,600 1 760 - 1,900 2,400 - 2,900 3,300 - 3,900 _( Grain Sorghum - farm 369 857 1,592 1,685 2,057 3,000 o - support 700 1,170 1,200 1,260 - 1,550 2,080 - 2,400 3,000 - 3,600 Rice (paddy)- farm 350 475 883 1,703 1,850 1,931 1,882 2,514 - support (type 1-A/3) 1,090 1,600 1,990 1,990 2,270 - 2,490 3,194 - 4,400 lWheat - farz 610 650 880 1,525 1,933 1,933 2,514 2,795 - support 1,429 2,100 2,100 2,400 - 2,700 3,200 - 3,520 5,000 - 5,980 Barley - farm 300 400 624 999 1,592 1,885 2,057 3,019 - support 2,000 2,150 2,150 - 2,300 2,550 - 3,000 4,000 - 5,000 Soybeans - farm 800 1,700 2,945 3,050 3,202 5,950 I - support 1,460 2,000 2,600 2,600 - 2,800 3,000 - 4,000 7,000 Tobacco - farm 1,290 1,360 1,989 4,858 5,897 7,267 8,300 15,245 Sesame - farm 588 686 1,519 3,283 4,799 4,901 5,219 6,109 - support 2,100 3,700 4,000 4,700 - 5,000 5,300 - 6,100 9,500 - 11,700 Beans - fam 1,180 1,070 2,000 3,477 4,774 8,259 8,251 8,251 - support (Type II/1) 4,500 4,500 5,835 - 7,240 9,200 11,500- 14,500 Seed Cotton - farm 807 858 1,726 3,506 3,929 4,687 5,114 8,808 Banana - fam 120 150 306 653 905 964 1,000 1,000 S/ - farm (export) 1,266 1,266 1,416 1,508 Cacao - farm 2,150 2,700 5,759 7,179 14,613 13,926 14,409 19,524 Coffee - farm 1,476 2,472 3,105 5,004 9,886 9,618 11,571 15,497 Potatoes - farm 337 211 350 612 1,045 1,042 1,447 2,047 Tuca - farm 110 193 303 658 891 1,361 1,467 1,467 Platano - fam 128 185 224 698 762 1,033 1,228 1,362 Onions - farm 2,286 2,671 2,601 3,404 Cane for Sugar - fam 7 12 30 63 93 97 116 135 Panela - farm 184 217 392 885 1,487 1,384 2,243 n.a. a/ Support prices are shown by semesters from 1972 - 1974, but the applicable time period does not wholly correspond to the year for which farm prices are shown and interim adjustments are sometimes made. Also the farm prices represent the entire crop whereas the support prices apply for designated categories or grades at specified buying points. b/ The price of 3,900 pesos applies at IDEIAis agencies and silos,but at buying stations in field the support price is 3,700 pesos. a/ Estimates of OPSA. Source : Farm prices from Banco de la Repablica except as noted. Support prices are from IDEKA, as supplied by OpSA. Table 7.11 - COLOMBIA: FERTILIZER PRODUCTION AND PLANT NUTRIENT SUPPLY 1970-75 1970 1971 1972 1973 1974 1975 Prel. Proj. (Thousand metric tons) NATIONAL. FERTILIZER PRODUCTION Mixed 221 264 284 353 410 440 Nitrogenous (mainly urea & ammonium nitrate) 102 109 112 110 114 130 Phosphates (mainly Escorias Thomas) 59 58 42 70 70 0 Others _ 3 5 Subtotal 379 434 )441 536 600 650 IMPORTS FOR DIRECT APPLICATION Mixed - 15 27 76 20 Urea 5 19 71 128 130 Total Supply 354 468 540 740 750 801 NUTRIENT SUPPLY Nitrogen (N) 64 78 113 154 1642/ 193 Phosphorus (P205) 48 65 57 85 84e/ 83 Potassium (K) 32 41 4C 53 q7; f IP0RTED NUTRIENTS AS PERCENT OF TOTAL SUPPLY (Percent) Nitrogen (N) 45 58 Phosphorus (P205) 88 87 Potassium (K) 100 100 Weighted All 68 75 7/The difference between total national production and projected use could be supplied by 130,000 tons of urea, 40,000 tons of mixed fertilizers, and 10,000 tons of potassium sulphate orchlorate, resulting in a total supply somevhat larger than the projected 801,000 tons appearing above. Source : Martin Echavarria: "Elements para un diagnostico de los fertilizantes Quimicos en Colombian Ministerio de Agricultura, OPSA, Sept. 1974. Table 7,12 - C0LOBIA: CENSUS FARMS BY SIZE, 1960 and 1970/71 / Size 1 1 Kelative Class 1960 1970/71 Change (hectaresT .Thousands) (Peroent) Less than 1 298.1 268.7 _9.9 1 to 1.9 191.3 177.8 -7.1 2 to 2.9 117.0 112.5 -3.8 3 3.9 92.0 84.7 -7.9 4 4.9 58.2 56.4 -3.0 5 9.9 169.1 159.7 -5.6 10 19.9 114.2 117.8 3.2 20 49.9 86.8 100.0 15.2 50 99.9 40.0 47.8 19.4 100 199.9 22.3 26.6 19.0 200 499.9 13.7 16.3 19.4 500 999.9 4.1 4.9 19.0 1,000 2,499.9 2.0 2.4 19.6 2,500 or more 0.8 1.1 40.5 All Farms 1,209.7 1,176.8 -2.7 a/ Data do not include La Guajira and Choco. Source : DANE: Censo Nacional Agropecuario, 1970-71: Resumen Nacional (Bogota: Dec. 19714), Part B, Table 1. It  S   000CC BSCCCC- C 58S3O,0- Coo .. C Co 30000 CCCC0000  0;0CCCCC; 2SC0CC  . * C 0 %'oo-- C SCO- 0 C00 o'oo'oo-- S coo'o"o- S C'C'C-CCOC S. SS OCCOOCO S 5 I - C 0 C.- 0 - - - -  C4ooo-CCCO- .0 0CCC C 00 C C C 03 -4C-4CCCC-4 3.CO4C .--4CCOOO--C-4 000--40CCO-. CC.-003.0 S CCC -4C 0.00 -4 CCCC 00 - 0 OCCCC. -440 -4 0CCZOC- 0 CO C0CO0C C0-4400COC -C-.- C I Jg0C C OC a   5404C40.44444-4C-4 40 000000.4CC - F 8' CCC CC J IIOCFOCSCCO.C 555550-40-- CCSSSOoS.- 0.00-FCC 40C04555 Ii 0CC 00.000SS.t55  COO Table 7.14 - COLOMBIA: REGIONAL GROIJPINGS OF MUNICIPIOS WITH HIGH CONCENTRATIONS OF SMAIL FARM,. By COFEE N NON-COFFE AREAS Depts. Group Grouping Point Ner OF All Famrs Over Contiguous Monicipios Farms 20 hae. COFEE AREAS Caldas 1 Manizales 2 4,024 516 2 Anseema 3 6,152 594 3 Riosucio 5 10,408 534 4 Pendilvania & Samana 3 6,586 1,218 Quindio 1 Circasia 1 1,415 65 Riseralda 1 Pereira & Ste. Rosa de Cabal 4 10,425 991 Antioquia 1 Sonson 4 11.519 1,110 Subtotal 7 22 50,529 5,028 NON-COFFEE AREAS Antioquia 1 Medellin, Envigado, Itagui, La Estrella 17 20,543 1,120 2 Yarunsl 4 6,937 1,152 3 Andes 2 4,144 397 4 Rionegro 8 20,008 1,212 5 Caldas 6 8,037 483 6 Urrao 2 4,259 1,208 Bolivar 1 Carmen de Bolivar 1 2,970 716 Boyaca 1 Tunja 31 54,332 1,688 2 Chiquinquira 17 24,574 1,021 3 Duitama, Paipa 29 43,687 1,289 J4 Sogomoso 14 20,079 507 Cauca 1 Popayan, El Tambo 141/ 32,632 2,744 2 Bolivar 5 17,889 954 Cordoba 1 4lonteria, Cerete 2 11,225 1,708 2 Sahagun 2 7,575 1,178 3 Lorica 2 7,763 1,130 Cundinamarca 1 Bogota 43 2/ 62,950 2,473 2 Zipaquira 15 25,674 2,117 3 Facatativa 15 17,123 866 4 Fuaagasuga 5 6,873 426 5 Giradot 5 5,055 356 Huila 1 Garzon 3 7,758 1,322 Narino 1 Pasto, Sardona 18 27,994 1,539 2 Tuquares 3 5,421 118 3 Ipiales, Tumaco 12 21,715 2,342 Santander 1 Cbarta 2 2 2,199 149 2 San Andres 9 11,470 589 3 San Oil 7 5,608 465 4 Velez 13 V 25,235 3,126 Tolima 1 Ibague and Guano 6 17,663 2,324 Valls 1 Cali and Palmira 11 / 23,926 2,420 Subtotal 37 323 557,113 39,265 TOTAL 44 345 607.642 44,293 / Includee 2 in Narino. I Includes 5 in Boyaoa' 2/ Includes 1 in Norte de Santander. V Includes 3 in Boyaoa'. I/ Includes 6 in Cauca. Source, Leonard Kornfeld, New Departures in RArs. Development in Colombia. Prepared for AID under Contract 511 1S14T (Bogota; December 1974). Sussxarized from Table 11 of Annex 1. Table 7.15 - COLOMBIAt TRENDS IN VALUES OF SELECTED AGRICULTURAL EXPORTS, AS DESIGNATED AT THREE STAGES, 1970-74 a/ Product and Stage 1970 1971 1972 1973 1974 Cotton (C) 29.8 26.6 49.9 66.5 67.7 (R) 34.7 33.2 50.4 39.8 85.3 (S) 38.6 35.0 46.5 33.1 71.7 Sugar (C) 14.0 15.7 28.4 24.0 68.5 (R) 14.3 18.9 30.7 27.5 87.9 (S) 21.8 26.6 33.2 17.2 56.8 Bananas (c) 18.1 14.6 13.7 13.2 25.o (R) 17.1 22.1 21.8 22.0 28.7 (S) 17.7 17.9 19.9 10.1 17.4 Tobacco (C) 7.2 9.1 9.9 8.3 12.9 (R) 7.4 10.5 9.9 21.3 22.7 (S) 8.8 13.2 11.6 10.4 19.6 Rice (0) 0.6 0.1 0.7 2.7 0.3 (R) Flowers (R) 1.0 1.8 3.5 11.3 15.9 (S) 1.2 2.3 5.0 9.7 14.3 Frozen beef (C) 4.6 12.1 24.0 40.1 30.7 Beef 4 Cattle (R) 25.6 32.6 40.7 46.5 46.8 (S) 29.3 42.9 40.9 42.5 18.7 Total 5 items (C)b/ 44.5 91.7 76.7 103.7 138.1 Total 6 items (R) / 100.1 119.1 157.0 168.4 256.9 Total 6 items (S)( . 116.9 147.9 157.1 122.9 198.1 Coffee (C) 467 395 430 577 621 (R) 461 400 428 595 623 (S) 406 359 434 535 543 a/ Values used for custom clearance (C); Registration of Intent (R), and Surrender of Exchange (S). b/ Includes sugar, bananas, tobacco, rice, and frozen beef. j/ Includes cotton, sugar, bananas, tobacco, flowers, and beef plus cattle. Source : OPSA, DANE, INCOMEX, and Banco de la Republica. Table 7.16 - COLOMBIA: TRENDS IN QUANTITIES OF SELECTED EXPORTS, 1970-74 (In Thousands of Metric Tons) 1970 1971 1972 1973 1974 Cotton 57.6 42.1 67.8 42.6 49.7 Sugar 142.6 138.4 176.1 142.5 113.5 Bananas 261.9 229.0 205.3 202.2 332.4 Tobacco 12.7 15.5 13.0 14.0 14.5 Rice 5.2 0.3 3.0 15.8 0.8 Frozen Beef 7.8 17.3 27.7 31.8 22.6 Coffee 363.5 394.1 391.7 406.0 407.8 Year ending July. Source: OPSA, DANE Table 7.17 - COLOMBIA; PER-CAPITA AVAILABILITIES OF FOODS AND PRINCIPAL NUTRIENTS, 1948, 1957, and 1970 Item 1948 1957 -96t1/66 1970 (Kilos per person per year) Cereals 72 75 79 85 Starchy Roots and Vegetables 98 63 132 118 Sugars 62 51 48 61 Pulses 8 5 6 8 Other Veg. 12 18 18 11 Fuits 105 55 40 99 -Meat and Eggs 33 37 33 35 Fish 1 2 1.5 n.i Milk (equiv.) 127 73 99 67 Fats and Oils 3 5 4.7 5 (Number per person per day) Calories 2,220 2,050 2,190 2,196 (Grams per person per day) Protein 56 48 50 47 Source t FAO for 1948, 1957 and 1964/66; ICBF for 1970. Table 8.1 - COLOMBIA: INCREASES IN FACTORY EMPLOYMENT, 1953-1972 Employment Contribution to increased emploZment Employment - 1953 1953-6o 1960-67 1967-72 1953-67 1972 Consumer goods 126817 19844 8722 52909 81475 208292 Intermediate good., 43794 26426 19661 31687 77774 121568 Capital goods 8084 13098 7211 7169 27478 35562 Other 2045 3469 3212 13112 19793 22438 TOTAL 18134o 62837 38806 104877 206520 387860 Source: DANE and CEDE Table 8.2 -COLOMBIA: INDICATORS OF II5PORT SUBSTITUTION AND SOURCES OF INDUSTRIAL GROWTH, 1953-1 973 (Values in US$ Million) 1953 1963 1968 1973 1) Indicators of Import Substitution Sm 1. Imports cif (Mm) 544 506 643 876 2. Gross value of manufacturing output 994 1938 2585 4055 3, Supply (1 plus 2) (&n) 1538 2444 3228 4931 4. Industrial exports 5 19 54 329 5. Availability 6f manufactures (3-4) (Am) 1533 2425 3174 4602 6. Percentage imports in availability of 35.5 20.9 20.3 19.0 manufactures 1953-1963 1263_1968 3928-12 1963-1973 2) Sources of Industrial growth a) Defined In terms of lm/&n (%) Domestic demand 61.01 91.66 77.82 81.53 Import substitution. 38.04 4.01 7.21 6.84 Export demand 0.95 4.33 14.97 11.63 TOTAL . 100.00 100.00 100.00 100.00 b) Defined.in terms of Mm/Am (%) Domestic demand 61.18 92.58 79.16 82.19' Import substitution 37.64 2.9' 3.81 3.96 Export demand 1.18 4.48 17.03 13.85 TOTAL 100.00 100.00 '100.00 100.00 1/ Production figures have been converted at 1968 prices and converted into US dollars at the principal selling rate of the peso. Sources DANE, Banco de la Republics; IBRD. Table 8.3 - COLOMBIA: STURCTURE OF MANUFACTURING INDUSTRY BY SIZE, 1970-72 (In Percent) -1 2 1270 1971'- 1972?/ No. of Gross go. of Gr-oss No. of Gross Employment Establish- Employ- Value Invest- Establish- Employ- Value Invest- Establish- Employ- Value Invest- by Size ment ment Added ment ment ment Added ment ment ment Added ment 1-4 3.5 0.3 0.1 0.1 ... ... ... ... 0.8 5-9 34.1 5.0 1.7 1.1 ... ... ... ... 6.9 0.7 0.3 0.2 10-14 14.9 3.7 1.6 1.0 19.6 3.2 1.1 ... 17.8 2.9 1.1 0.7 15-19 8.7 3.1 1.4 1.4 14.0 3.4 1.4 ... 11.8 2.6 1.0 0.6 20-24 6.1 2.8 1.2 0.9 10.7 3.3 1.2 ... 9.9 3.0 1.6 1.2 25-49 15.0 11.0 6.1 5.2 26.0 11.5 6.0 ... 23.5 11.2 5.7 3.7 50-74 5.9 7.7 5.2 3.6 9.7 8.3 5.1 .. 9.2 7.7 4.6 3.2 75-99 3.0 5.5 4.4 3.0 5.0 5.9 4.1 ... 5.0 5.9 4.0 2.9 100-199 4.7 14.1 16.5 10.8 8.0 15.9 16.6 ... 7.8 15.1 15.1 6.7 200 and over 4.1 46.8 61.8 72.9 7.0 48.5 64.5 7.3 50.7 66.6 80.8 Total 100.0 100.0 100.0 100.0 100.0 100.0 100.0 ... 100.0 100.0 100.0 100.0 ./The 1971 Manufacturing survey had a sample of 10 or more persons employed. L1Preliminary - Nil .. .Not Available Source: DANE - Industrial Censuses. Table 8.4 - COLOMBIA, PAID MBrLOYMENT IN MANUFACTURING INDUSTR,IES , 1953-1974h (percent) 1953 1958 1960 1965 1967 1968 1969 1970 1971 1972 1973L 1974 Non durable consumer goods Food 20.3 15.0 14.7 14.1 14.4 14.1 13.5 14.7 13.8 14.0 13.5 14.1 Beverages 5.9 5.9 5.9 5.9 5.4 5.4 4.7 4.5 . 4.6 4.7 4.7 4.8 Tobacco products .3 1.9 -g _l 1.2 1.2 1.0 1.1 1.1 0.2 0.8 1.2 Sub total 29.5 22.8 22.4 21.,3 21.0 20.7 19.2 20.3 19.5 19.6 19.1 20.1 Textiles 19.5 17.2 17.9 15.6 16.3 16.5 16.9 17.4 18.2 17.2 18.3 16.5 Clothlng, footwear 13.4 12.5 11.2 ll.( 9.5 9.8 9.9 9.5 10.3 10.0 10.5 10.4 Printing 4.0 4. 4.3 4.0 4.0 4.2 4.1 3.8 ..7 3.8 3.4 Sub total 66.5 56.7 55.8 51.9 50.8 51.2 50.1 51-0 51.9 50.4 51.7 50.2 Durable consumer goods Furniture, fixture 1.9 2.2 1.9 1.7 1.7 1.7 1.6 1.9 1.8 1.7 1.6 1.7 Rubber products 1.5 2.2 2.4 2 2.4 2.2 2.2 2.0 2.0 1.6 1.8 2.0 Sub total 3.4 4.4 4.3 4,2 4.1 3.9 3.8 3.9 3.8 3.3 3.5 3.7 liftermediate goods Wooden products 1.9 2.3 2.3 2.1 2.1 2.0 1.9 2.3 2.0 P.0 1.9 1.9 Paper and products 1.1 1.5 1.6 2.0 2.2 2.1 2.2 2.3 2.4 2.6 2.3 3.0 Leat'ner and products 2.0 2.1 1.7 1.6 1.4 1.5 1.4 1.3 1.5 1.3 1.3 1.4 Chemicals 5.1 6.o 6.6 7. ' 3.3 8.2 7.9 7.1 7.7 7.2 7.4 7.7 Oil products 0.9 1.1 o.8 0.7 0.7 0.8 0.8 0.7 0.8 0.7 0.6 1.0 Non-iretallic minerals' 9.0 8.7 9.0 8.9 8.4 8.4 7.9 7.3 7.2 7.0 7.0 6.7 Basic metals 0.7 2.4 1.3 1.4 1.7 1.6 1.8 3.8 1.9 3.5 3.5 3.4 Metal products 3.4 4.3 _5.4 4.0 7.0 7.2 7.8 7.0 6.9 6.9 6.4 6.5 Sub total. 24.1 28.4 28.7 30.9 31.8 31.8 31.7 31.8 30.4 31.2 30.4 31.6 Capital goods Mechanical machinery 0.8 1.3 1.3 1.7 2.0 1.9 2.3 3.7 4.0 3.5 3.5 3.4 Electrical machinery 0.9 2.0 2.5 3r5 3.3 3.1 3.6 2.5 2.6 2.9 3.0 2.9 Tradnport equipment 2.8 452_ 4 4.7 5.3 4.8 2.9 2.8 2.8 3.2 3.7 Sub total 4.5 8.2 8.7 10.3 10.0 10.3 10.7 9.1 9.4 9.2 9.7 9.9 Other 1.5 2.3 2.5 2.7 3.3 2.4 3.7 4.2 4.5 5.8 4.7 4.6 TOTAL' 100.0 *.100.0 100.0 3.00.0 100.O 1Q.Q - .D0 /1 Provisional Source: DANE Table 8.5 - COLOMBIA: DOMESTIC MANUFACTURING OUTPUT AND IMPORTS, 1958-1973 (Million US $) 1958 1963 1966 1968 1969 1970 1971 1972 (1st.) 1973 Consumer goods Output 9143 1366 11185 1577 1592 1691 1855 2095 2597 Imports 22 28 47 3?2 71 89 98 107 na Total 965 1394 1532 1609 1663 1780 1953 2202 na % imports in total 2.3 2.0 3.1 2.0 4.3 5.0 5.0 4.9 na Intermediate-goods Output 378 677 816 875 973 1159 1288 1443 1710 Imports 173 259 350 232 32 375 417 411 na Total 551 936 1166 1107 1275 1534 1705 1854 na % imports in total 31.4 27.7 30.9 21.0 23.7 24.4 24.5 22.2 na Capital goods Output 57 134 157 161 235 269 296 347 418 Imports J3 157 208 234 30 6I8 na Total 140 291 365 395 541 640 694 679 na % imports in total 59.3 54.0 57.0 59.2 56.6 58.0 57.3 48.9- na Total 1! Outputs 1397 2217 2509 2681 2868 3194 3522 3A9,6 4838 Imports 400 506 64 643 685 843 929 _976 Total 1797 2723 3183 3324 3553 4037 4451 4835 57i4 % Imports in total 22.3 18.6 21.2 19.3 19.3 20.9 20.9 17.8 15.3 Exchange rate (Peso/US$) 6.40 9.00 13.49 16.33 17.36 18.49 19.98 21.92 23.98 l/ Includes miscellaneous production and imports *Source: DANE Table 8.6 - COLOMBIA: COMMERCIAL BANK CREDIT TO THE MANUFACTURING SECTOR 1953-75 New Loans Loans Outstanding Total Manufacturing % of Manufacturing Total Manufacturing %of Manufacturing (In Million Pesos) in Total (In Million Pesos) in Total 1953 1619.8 354.9 21.9 890.0 210.5 23.7 1958 3127.2 769.5 24.5 1879.1 523.6 27.9 1963 5962.6 1902.1 31.9 4126.2 1193.1 28.9 1964 6667.2 2445.7 36.7 4447.9 1396.2 31.4 1965 7098.9 2653.9 37.4 4996.7 1487.6 29.8 1966 7955.2 3011.2 37.9 5475.8 1705.7 31.1 1967 9103.9 3628.1 39.9 6211.9 1942.2 31.3 1968 12153.4 4206.2 34.6 8826.9 2344.2 26.6 1969 13632.7 4604.6 33.8 9897.0 2619.8 26.5 1970 16058.7 4711.0 29.3 11837.7 2727.6 23.0 1971 18809.3 4500.4 23.9 13810.6 3004.8 21.8 1972 23528.3 4359.5 18.5 16228.4 3310.5 20.4 1973 32926.8 8320.1 25.3 21159.2 5983.2 28.3 1974 19386.7 1/ 5545.7 1/ 28.6 1/ 29481.2 8250.4 28.0 1975 38063.5 10260.0 27.0 -1/ January-June. Source: Banco de la Republica Table 8.7 - COLOMBIA: CORPORACIONES FINANCIERAS, CAJA AGRARIA AND CORPORACION POPULAR - IQANS TO THE INDUSTRIAL SECTOR, 1968-74 (Million Colombian Pesos) Corporaciones Finanoieras CaJa Agraria Corporacion Popular (outstanding at end of year) (new loans) 7 loan por'tfolio) 1968 2270.5 n,a. 8.4- 1969 2906.1 115.9 47.3 1970 4177.5 139.7 94.7 1971 5109.5 183.8 190.0 1972 66417.7 559.6 290.2 1973 7464.7 790.9 364.9 1974 8566.0 620.8 1/ Including lending to small mining operations. Source: DANE, Banco de la Republica and Corporacion Financiera Popular. Table 8.8 - COLOMBIA; INDUSTRIAL EXPORTS 1963-1973 (Thousand US Dollars) 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 Food products 182.8 653.7 3897.5 5546.7 4971.4 7496.8 7712.2 10795.3 11447.8 15608.0 8014.0 Beeerages 20.8 19.0 13.3 10.9 4.9 16.3 33.9 38.9 32.0 93.0 110.0 Tobaccq products 19.8 84.2 47.2 35.3 26.4 15.4 18.4 24.8 25.1 n.a. n.a. Textiles 5286.1 7543.8 8521.1 9017.8 8219.3 11610.1 160073 19237.8 23821.7 32460.0 64467.0 Clothing, footwear 117.7 235.1' 489.9 467.3 406.8 1078.8 1823.0 3036.2 3701.3 13933.0 42060.0 Wood and products 2537.7 3522.0 1244.4 718.9 582.1 4459.7 7003.3 6046.1 6379.0 8017.0 14080.0 Furniture, fixtures - 3.3 - - 9.2 432.1 732.5 806.7 1015.5 2089.0 11200.0 Paper and products 38.6 191.4 810.5f' 5659.0 9277.4 7553.9 7770.7 7522.4 6629.1 6955.0 8990.0 Printing 524.1 891.1 456.3 626.8 728.1 647.6 1712.8 2432.4 3302.0 4614.0 6814.0 Leather products 2616.8 4212.8 2271.8 4512.3 3676.8 2123.6 6859.5 5422.3 5450.4 17222,0 22565.0 Rubber products - 1536.9 4637.6 3948.6 2181.3 1473.0 1542.8 1520.9 1556.4 1757.0 2955.0 Chemical products 3166.1 5555.9 2936.4 5302.3 3997.0 5313.3 7905.7 8573.1 10316.2 18532.0 32927.0 Oil products 1196.7 1123.2 1.4 12.9 55.9 61.7 200.9 465.1 -358.1 n.a. n.a. Non metallic minerals 2310.0 3007.9 3602.0 5367.1 6299.7 6706.5 9084.3 9903.9 8190.2 11533.0 16658.0 Basio metals 16.2 217.8 212.2 508.8 434.1 628.6 898.8 1316.8 1697.5 ( - ~~12302.0 24990.0 Metal products 119.3 508.6 1467.8 2378.5 2099.4 1404.6 2732.3 3032.5 3887.8 ( Mechanical machinery 143.3 550.4 444.7 362.8 415.9 617.2 1849.9 2868.1 3511.1 5549.0 9895.0 Electrical machinery 670.4 795.1 246.7 743.2 648.8 754.1 837.o 1240.3 1384.0 1794.0 2380.0 Transport equipmient 73.4 94.7 27.2 89.9 38.1 141.8 311.5 -.1484.3 2132.4 2005.0 2401.0 Other 231.4 1034.0 127.4 891.2 _718.9 2523.5 4088.1 5815.7 9L145.5 21066.0 58905.0 19263.1 30899.8 33055.5 46208.6 44o63.6 54311.0 79125.1 89151.1 104593.1 176529.0 329411.0 Equal to Colcobian $ 192.6 278.1 446.2 623.8 641.7 886.9 1373.5 1648.4 2089.8 3867.5 7826.8 (millions) l/ Including 4585 thousand US $ caprolactam exports. 2/ Of which 11 million US $ of reptile and other animal processed leather. Source: Incomex Table 8.9 - COLOMBIA: PROPORTION OF INDUSTRIAL EXPORTS IN GRO.SS VALUE OF INDUSTRIAL OUTPUT ,1967-1973 (In percent) 1967 1970 1971 1972 1973 -7c products 0.70 1.51 1.55 1.93 0.78 ,erages - 0.01 0.01 0.03 0.-03. 77.>beaco products 0.05; 0.04 0.05 n.a. n.a. Tss:tiles 2.72 5.01 5.11 6.14 8.71 CThQthinfl footwear 0.38 2.21 .2.24 7.68 18.51 W--od and products 2.56 19.52 18.50 19.03 33.45 ?miture, fixtures - 4.92 5.73 9.56 44.146 -aper and products 11.46 6.9o 4.99 4.62 4.77 -.int ing 0.12 3.28 3.68 4.15 4.98 .~,>.ther products 2.2.39 15.71 15.42 4o0.42 41.84 .-civ;-er products 3-77 2.2^3 2.14 2.02 3.14 Thzemi cals 1.38 2.24 2.84 4.54 6.33 ?IL products 0.55 0.43 0.26 n,.a. Il.a. ,.can metallic minerals 5.63 6.29 4.57 6.16 7.44 'Zic Tnetals o.44 0.87 1.14 (,.7 ( ^- products 2.16 2.o6 2.,35 4, (5.99 ,-~ehanical machinery 1.83 7.59 8.07 11.53 16.09 7?~'eDctrlca1 machinery o.84 1.22 1.69 1.44 1.49 ~x-rsi.n;port equipment 0.06 1.63 1.46 1.15 1.19 1e33 12.22 11.C7 22.98 51.65 1.72 2.79 2.97 4.43 6.75 _ E,ports include wood (madera bruta) which may not be included in corresponding data for production of wood and products, thus exaggerating the % of exports in total production. :.cotal production - including reptile leather which is almost entirely exported. - Banco de la Republica (gross value of output estimates) and Incomex (exports registrations). Table 9.1 - COLOMBIA: CONSUMER PRICE INDICES FOR BOGOTA MEDELLIN, AND THE NATION, 1960-1976 (July 1954-June 1955 = 100) Bogot b/ MedellTnS/ Nation Period/ Empleados Obreros Empleados Obreros Empleados Obreros 1960 155.3 157.3 160.0 161.2 158.6 160.5 1961 167.4 171.0 171.9 175.1 171.1 174.1 1962 176.4 175.2 182.9 185.9 180.6 181.6 1963 221.9 231.2 227.8 236.2 224.9 231.1 1964 252.6 272.0 259.3 274.3 260.1 272.1 1965 269.1 281.6 280.4 288.1 282.8 291.3 1966 318.3 337.5 327.3 33.5 330.2 339.9 1967 348.9 365.0 359.8 364.2 359.6 367.3 1968 372.3 386.3 391.1 395.3 386.8 394.5 1969 402.4 425.5 422.7 423.7 414.0 421.9 1970 429.2 454.6 455.9 451.5 444.4 450.2 1971 470.3 495.7 501.1 510.3 492.8 503.4 1972 528.3 566.5 561.3 579.3 557.8 573.1 1973 630.5 695.4 662.3 697.1 667.4 699.0 1974 765.8 864.8 802.5 860.7 822.8 875.1 1975 940.2 12087.4 964.5 1,041.3 1,055.0 1,082.1 1974 January 684.9 760.0 728.3 781.7 739.2 782.3 February 702.4 783.8 738.2 793.4 757.0 802.6 March 728.2 828.8 764.1 822.0 779.6 830.1 April 741.1 853.2 782.4 848.7 797.8 854.1 May 747.8 857.1 793.1 858.1 807.1 864.3 June 756.7 862.4 799.5 860.1 818.0 872.1 July 763.1 851.8 811.2 866.0 829.6 878.5 August 770.2 855.2 815.7 867.9 833.8 880.3 September 789.4 882.7 819.6 872.3 844.7 894.9 October 818.6 926.0 848.5 904.9 877.6 933,8 November 837.5 950.2 855.3 916.6 886.5 945.0 December 849.5 967.0 872.9 936.4 903.0 963-` 1975 January 877.4 1,019.9 889.0 965.0 923.6 993.7 February 892.0 1,042.0 903.6 978.3 939.1 1,010.2 March 917.7 1,072.4 927.1 1,001.2 964.3 1,038.8 April 936.5 1,112.5 947.4 1,027.3 984.8 1,066.1 May 948.0 1,126.8 955.7 1,039.4 1,000.8 1,086.6 June 954.1 1,118.9 963.9 1,045.3 1,009.4 1,094.0 July 946.7 1,096.9 975.0 1,050.3 1,018.3 1,099.1 August 939.9 1,066.3 983.1 1,055.6 1,022.2 1,097.2 September 949.5 1 ,075.3 993.9 1,068.6 1,036.5 1,111.8 October 966.5 1,09g.O 1,001.5 1,077.6 1,046.4 1,122.7 November 973.2 t,100.1 1,011.1 1,087.2 1,053.2 1,128.9 December 981.0 1,114.6 1,022 8 1,100.2 1,060.9 1,136.0 1976 January 1,001.4 1,143.1 1,049.5 1,154.1 1,088.0 1,162.1 February 1,035.6 1,181.9 1,060.0 1,139.4 1,110.8 1,188.6 Et Annual figures are simple averages of monthly data. / BogotA has a weight of 20.2 percent in the national total. M Nedellin has a weight of 23.5 percent in the national total. Source: National Statistics Department (DANE). Table 9.2 - COLOMBIA: NATIONAL CONSUMER PRICE INDICES BY EXPENDITURE CATEGORY,, 1960-1976 (July 1954-June 1955 - 100) Foodstuffs Housine Clothing Miscellaneous Total Period A- A B A B B A _ 1960 161.5 163.5 145.7 151.7 159.0 160.0 166.1 165.3 158.6 160.5 1961 176.1 180.9 158.0 163.4 167.3 166.6 176.7 174.0 171.0 174.1 1962 181.1 182.8 170.5 176.7 175.5 173.8 191.7 189.5 180.6 181.6 1963 233.6 241.5 199.9 211.5 217.9 215.2 239.7 237.4 224.9 231.1 1964 285.7 299.9 223.3 236.8 231.3 228.6 269.4 266.4 260.1 272.1 1965 306.9 312.9 246.7 265.6 248.3 245.9 294.8 290.0 282.8 291.3 1966 361.2 369.7 279.0 297.6 304.5 306.1 342.3 331.2 330.2 339.9 1967 382.5 388.1 305.8 327.3 331.5 338.8 388.5 377.0 359.6 367.3 1968 409.6 416.1 327.9 353.2 353.7 361.0 418.5 407.0 386.8 394.5 1969 433.6 440.3 352.4 383.1 382.2 388.2 452.8 442.1 414.0 421.9 1970 459.3 465.0 379.9 413.6 419.5 424.5 489.9 473.5 444.4 450.2 1971 517.1 523.7 415.0 462.5 455.3 468.6 539.4 523.6 492.8 503.4 1972 592.4 604.5 470.6 522.3 522.9 532.5 600.1 578.5 557.8 573.1 1973 754.9 778.7 534.9 592.3 630.4 653.3 662.5 641.7 667.4 699.0 1974 977.2 1005.7 626.3 711.4 779.9 817.5 769.0 752.7 822.8 875.1 1973 1,227.9 1279.3 730.5 824;.7 906.2 953.0 940.5 933.2 1055.0 1082.1 January 864.1 886.3 585.0 666.1 797.0 728.3 694.7 673.8 739.2 782.3 February 894.8 917.5 586.7 668.0 720.8 757.3 700.9 680.7 757.0 802.6 March 921.1 952.7 596.8 679.7 733.0 766.5 736.7 717.9 779.6 830.1 April 953.2 991.4 601.6 684.3 748.3 785.1 744.9 727.0 797.8 854.1 May 961.5 1000.6 607.7 695.1 770.3 803.8 751.8 733.5 807.1 864.3 June 969.0 1004.2 624.9 707.7 783.8 821.7 761.8 741.6 818.0 872.1 July 981.8 1005.7 635.4 718.0 788.4 826.4 773.8 755.9 829.6 878.5 August 982.9 1002.7 640.3 723.8 796.0 834.4 782.4 763.1 833.8 880.3 I September 1001.9 1024.4 646.8 734.9 798.9 837.4 787.6 767.8 844.7 894.9 October 1058.0 1082.2 654.2 743.1 824.8 868.8 812.7 801.0 877.6 933.8 November 1058.7 1088.1 662.9 752.6 842.9 882.6 831.6 828.1 886.5 945.0 December 1079.7 1112.7 673.8 763.8 854.6 897.8 848.6 842.1 903.0 963.5 1975 January 1116.2 1163.6 685.6 777.6 857.5 900.2 861.4 853.7 923.6 993.7 February 1136.3 1184.1 686.9 779.8 865.1 910.1 887.9 881.1 939.1 1010.2 March 1171.6 1222.2 698.5 792.8 869.0 913.4 919.0 912.6 964.3 1038.8 April 1209.9 1269.2 703.4 796.7 881.2 932.5 930.9 924.3 984.8 1066.1 May 1233.7 1300.7 714.8 808.9 896.0 944.4 935.2 925.4 1000.8 1086.6 June 1245.2 1308.6 722.5 815.4 906.1 954.0 938.3 929.6 1009.4 1094.0 July 1247.4 1305.1 742.5 835.7 910.1 957.1 946.4 937.6 1018.3 1099.1 August 1246.5 1294.0 744.5 837.5 916.8 964.2 957.6 950.0 1022.2 1097.2 September 1271-3 1316.3 757.0 850.0 919.6 966.6 962.2 953.5 1036.5 1111.8 October 1282.3 1326.8 760.7 855.1 932.3 962.3 977.1 972.1 10C.4 1122,7 Novmber 1286.1 1329.4 768.o 867.2 952.4L 997.2 980.9 97T.6 1053.2 1128.9 December 1288.6 1331.9 782.0 879.8 967.9 1013.4 989.0 983.9 1060.9 1136.0 1976 Jnuary 1334.6 1374W.6 802.2 900.8 969.8 1016.1 993.6 967.1 1085.0 1162.1 February 1376.2 1411 .0 805.6 906.8 992.3 1046.0 1017.6 1009.1 1110.8 1188.6 Memo: The following weights apply to the expenditure categories in the seven urban areas covered (weights based on 1973 household survey). City Foodotuffo Housing Cloti Toooellaetal A B A B A B A B A A Bogoti (20.23) 36.70 48.71 30.04 21.71 12.81 12.12 20.45 17.46 100.00 100.00 Msd11:i( (23.54) 35.11 46.30 24.85 23.21 12.02 9.90 28.02 20.59 100.00 100.00 Cali (16.44) 35.02 46.58 28.65 25.38 12.92 11.45, 23.41 16.59 100.00 100.00 Berra=Pilla (26.13) 45.70 52.78 22.85 23.00 10.13 8.14 21.32 16.08 100.00 100.00 t 7.40) 47.64 53.73 27.18 27.14 10.05 6.91 15.13 12.22 100.00 100.00 Nenizaloe (4.07 ) 40.96 48.55 25.50 23.29 12.31 10.61 21.23 17.55 100.00 100.00 Pasto (9.19 )49.65 51.55 22.66 25.08 11.86 9.35 15.83 14.02 100.00 100.00 100 39.67 49.29 26.15 23.54 11.70 9.94 22.48 17.23 '100.00 100.00 a/ Annual figures are simple averages of montly data. b/ "A" refers to Empleados, "B" to Obreros. Sourosea National Statistics Department (DANE). Table 9 3 - COLOMBIA: WHOLESALE PRICE INDICES, BY MAIN COMMDDITY GROUP, 1960-1976 Beverages Raw Materials Fuels Manufac- Machinery Various Total Total Index and excludirg and Oils and Chemical tured and Transport Manufactured excluding Period Foodstuffs Tobacco Fuels Lubricants Fats Products Products equipment ProductB Irdex foodstuffs 1952n 100 1960 199.1 193.9 201.8 234.6 301.0 205.9 199.8 278.8 198.3 2Q5.9 214.9 1961 214.7 199.1 214.6 239.6 302.2 211.2 205.2 310.7 212.1 219.4 225.1 1962 217.2 211.5 226.8 244.5 344.1 219.4 214.7 320.1 220.3 225.2 235.7 1963 277.1 281.5 255.8 313.4 455.9 269.1 267.9 379.2 279.7 284.4 294.1 1964 344.0 329.4 272.3 334.8 537.0 289.6 288.1 412.3 294.7 334.1 320.7 1965 366.4 370.2 299.6 356.4 754.3 313.0 311.7 455.1 331.4 361.7 355.3 1966 426.9 420.9 349.8 393.6 1265.8 367.3 365.8 542.4 395.2 424.6 421.3 1967 449.2 466.6 405.7 446.6 1292.0 404.5 398.2 587.9 415.3 453.6 459.4 1968 479.4 491.4 456.5 464.5 1238.1 444.8 428.3 613.3 431.4 482.1 485.6 1969 505.3 506.6 490.3 497.1 1256.1 476.2 462.6 682.1 502.1 514.3 526.3 1970 536.2 531.8 508.7 551.8 1267.7 496.7 499.4 816.5 558.4 553.5 576.7 1971 593.5 574.0 542.4 607.0 1331.1 539.0 531.2 908.8 618.8 607.5 626.3 1972 678.3 648.9 636.7 674.2 1380.9 575.0 597.8 970.0 673.7 683.9 691.4 197C 100 -a 1970 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0 1971 111.7 114.7 115.1 117.7 108.1 108.4 107.1 110,6 110.4 111.5 1972 129.8 135.1 128.8 137.6 104.4 118.1 123.8 131.6 123.5 131.9 1973 171.4 156.9 170.8 157.1 144.7 143.1 154.0 151.2 149.3 168.7 1974 234.3 195.1 284.5 242.1 266.5 212.4 227 .4 195.6 197 9 229.5 1975 300.7 268.3 311.2 301.8 323.3 282.0 267.4 247.4 235.4 287.8 1974 January 196.7 181.6 233.2 221.4 218.0 168.9 191.9 173.5 172.1 199.6 February 215.0 182.6 272.4 224.6 226.9 176.1 204.5 177.2 183.8 2a9.2 March 218.8 183.2 265.4 234.1 261.0 183.1 210.9 178.8 187.0 213.4 April 228.4 183.0 271.3 233.6 262.0 198,8 218.7 185.3 190.0 221.4 May 227.6 183.4 273.8 241.5 262.5 203.5 222.8 187.5 191.9 227.7 June 231.5 183.2 296.4 239.8 262.7 207.8 226.2 190.2 197.2 227.3 July 231.2 189.2 290.0 241.5 261.0 211.8 228.8 193.1 197.8 228.0 Augcst 236.4 201.8 300.4 245.1 287.5 223.6 234.3 198.8 201.5 234.4 September 236.5 204.5 303,2 248.8 289.8 231.0 236.2 206.6 204.6 236.1 October 251.5 211.9 302.6 254.4 286.6 244.6 247.2 214.8 212.1 247.8 November 255.7 215.3 300.5 258.0 288.3 248.8 251.1 219.3 217.4 251.7 December 268.1 221.2 304.5 262.4 291.8 250.8 252.8 221.8 219.5 259.7 1975 January 280.0 248.8 294.9 267.3 307.1 258.6 254.2 223.8 222.4 267.8 February 284.8 250.4 280.7 269.4 336.1 259.6 2.56.5 226.5 224.6 270.4 March 289.5 254.4 292.7 274.9 336,3 261.9 259.8 231.0 225.5 275.0 April 291.2 265.6 297.0 275.8 327.6 266.5 261.9 236.5 226.7 277.5 May 294.3 266.0 297.2 283.0 324.5 266.7 266.1 240.7 231.3 280.5 June 296.4 268.0 305.6 290.3 325,7 274.9 267.3 244.6 231.1 283.6 July 300.1 275.1 310.4 294.0 324,4 286.4 268.6 247.8 233.2 287.6 August 306.7 275.8 324.2 307.3 324.4 289.6 270.9 252.4 237.2 293.9 September 310.9 278.0 327.7 312,9 315.0 293.6 273.7 257.8 243.,3 297.9 October 314.6 279.1 328.6 334.1 318.0 305.5 274.6 263.6 247.9 302.5 November 317 1 278.6 334.1 351.9 318.9 309.3 276.9 271.7 250.2 306.3 December 322.7 280.1 341.9 360.5 322,0 311.1 278.6 272.9 251.9 310.7 1976 January 331.6 280.9 360.9 369.5 328.8 309.5 291.2 277.8 256.8 319.1 a/ A new series was introduced in 1973 with January 1970 as a base. Total index excluding foodstuffs not available after 1972. Source: Banco de la Republica. Table 9.4 - COLOMBIA: CHANGES IN WHOLESALE AND CONSUMER PRICE INDICES, 1960-1976 Wholesale,Prices l/ Consumer. Prices Year and Month Index cum. Index Cum. % Chg. 2/ A A B 4 A / B g 1960 205.9 - 160.5 _ 1961 219.4 6.6 174.1 8.5 1962 225.2 9.L 181.6 13.1 1963 284.4 38.1 231.1 44.0 1964 334.1 62.3 272.1 69.5 1965 361.7 75.7 291.3 81.5 1966 424.6 106.2 339.9 118.8 1967 453.6 120.3 367.3 128.8 1968 482.1 134.1 394.5 145.8 1969 514.3 149.8 421.9 162.9 1970 553.5 1oo.0 168.8 - 450.2 180.5 1971 607.5 111.5 195.0 11.5 503.4 213.6 1972 131.8 31.8 573.1 257.1 1973 168.7 68.7 699.0 335.5 1974 229.5 129.5 875.1 445.2 1975 287.8 187.8 1973 December 190.7 759.4 January 199.6 4.7 782.3 3.0 February 209.7 10.0 802.6 5.7 Miarch 213.4 11.9 830.1 9.3 April 221.4 16.1 854.1 12.5 May 227.7 19.4 864.3 13.8 June 227.3 19.2 872.1 14.8 July 228.0 19.6 878.5 15.7 August 234.4 22.9 880.3 t5.9 September 236.1 23.8 894.9 17.8 October 247.8 29.9 933.8 29.0 November 251.7 32.0 945.0 24.4 December 259.7 36.2 963.5 26.9 125 January 267.8 3.1 993.7 3.1 February 270.4 4.1 1,010.2 4.2 March 275.0 5.9 1,038.8 7.8 April 277.5 6.9 1,066.1 10.6 Kay 280.5 8.0 1,086.6 12.8 June 283.6 9.2 1,094.0 13-5 July 287.6 10.7 1,099.1 14.1 August 293.9 13.2 1,097.2 13.9 September 297.9 14.7 1 .11.18 15-4 October 302.5 16.5 1,122.7 16.5 November 306.3 17.9 1,128.9 17.2 December 310.7 19.6 1,136.0 17.9 1976 January 319.1 2.7 1,162.1 2.3 ai Total wholesale prices Blue Collar workers (Obreros) LI Monthly cumnulative percentage change in index relative to previous December Annual aummulative percentage change in A and consumer prices relative to 1960 and B to 1970. 4 A : 1952 = 100 B : 1970 = 100 * Years are monthly averages Source: Banco de la Republica National Statistics Department (DANE) Table 9.5 _ COlOMBIA: AVERAG3E ANNUAL INCREASES IN SEIECTED PRICE INDIGATORS, 1960-75 i (Percentage Changes) INTERIOR Wholesale Prices Consumer Prices GDP PRICE COFFEE Year Total Excl. Food White Collar Blue Collar DEFrATOR PRICE AbZ~ Bb/ 1960 4.2 4.5 6.0 5.7 8.5 10.8 1961 6.6 4.7 7.9 8.5 7.9 9.7 1962 2.6 4.7 5.6 4.3 6.8 1.4 1963 26.3 24.8 24.5 27.3 23.5 16.3 1964 17.5 9.0 18.7 17.7 15.8 31.9 1965 8.3 10.8 8.7 7.1 10.1 - 1.8 1966 17.4 18.6 16.8 16.1 1L.5 5.1 1967 6.8 9.0 8.9 8.1 8.4 0.3 1968 6.3 5.7 7.6 7.4 9.1 17.1 1969 6.7 8.4 7.0 6.9 8.2 10.5 1970 7.6 9.6 7.3 6.7 9.8 32.7 1971- 9.8 11.5 8.6 10.9 11.8 10.4 - 4.5 1972 12.6 18.2 10.4 13.2 13.8 13.4 20.3 1973 28.0 19.6 22.0 22.0 29.3 1974 36.0 23.3 25.2 27.2 13.0 1975 25.4 28.2 23.6 20.0 23.6 a/ Simple arithmetic means of 12 monthly percentage changes b / A: 1952 100, B: 1970 = 100 c/ Total index excluding foodstuffs not available after 1972. ;ource: Banco de la RepuLblica National Department Statistics (DANE) Table 9.6 - COLOMBIA: PRICES OF CONSTRUCTION MATERIALS IN BOGOTA 196O-751/ (1951-53 100) Item 1960 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 1974 1975 Mon-Metallic Minerals & Products 165.8 181.0 204.8 268.7 309.9 330.0 386.2 416.7 436.4 503.7 558.0 622.5 717.5 813.8 1 034.0 1,271.1 (Gray Cement) () (.) (.) (.) () (.) (.) (T374 ) (368.6) (408.3) (436.5) (565.0) (635.0) (730,3) t977:6) (1,305.6) (Cormon Bricks) (,,,) (,,,) (..) (..) (..) (..) (.) (390.0) (423.8) (460.5) (520.5) (704.3) (911.2) (954.0) (1,170.1) (1,368.7) Iron and Metal Articles 232.1 224.0 220.1 292.0 319.2 338.1 414.3 417.7 517.9 542.9 609.7 615.0 698.6 900.0 1,677.4 1,951.8 Lumber 198.3 207.4 238.0 282.4 300.8 334.3 362.4 392.9 435.3 490.0 544.2 598.8 635.4 828.9 1,106.3 1.209.3 TOTAL 183.1 193.9 215.9 275.8 308.5 332.9 383.0 409.9 462.4 505.2 561.5 614.5 690.1 829.1 1,127.7 1,331.4 (1967=100) (44.7) (47.3) (52.7) (67.3) (75.3) (81.2) (93.4) (100.0) (112.8) (123.2) (137.0) (149.9) (168.4) (202.3) (275.1) (324.8) 1975 1976 Jan. Feb. Mar. Apr. May Jun. Jul. Aug. Sep. Oct. Nov. Dec. Jan. Feb. Non-Metallic Minerals & Products 1,155.5 1,167.0 1,176,4 1,219.4 1,265. 1,272,5 1,304.6 1,328,0 1,324.4 1,337.1 1 341.6 1.361.5 1,388.4 1 467.2 (Gray Cement) (1,144.7) (1,188.4) (1,267.0) (1,293.2) (1,485.5) (1,527.2) (1,398.1) (1,371.9) (1,247.8) (1.247.8) (1.247.8) (1,247.8) (1,268.8) (1,268.8) (Commn Bricks) (1,255.7) (1,208.1) (1,269.9) (1,290.4) (1,393.3) (1,352.1) (1,442.0) (1,451.7) (1,386.3) (1,458.2) (1,458.2) (1,458.2) (1,529.1) (1,519.6) Iron and Metal Articles 1,822.1 1,800.3 1,815.2 1,965,2 1.961.2 1,998.3 1,983.8 1,977 2,006.9 2070.1 2,020.1 2000.9 2004.9 1,986.0 Lumber 1,195.7 1,161.6 1,194.2 1,200.9 1,128.1 1,153.8 1,161.0 1197.7 1,189.0 1,320.4 1,308.1 1,300.8 1.313.0 1,312.4 TOTAL 1,245.2 1,239.1 1,257.0 1,298.9 1,303.7 1,319.8 1339.7 1,364.8 1,362.7 1,413.2 1,412.2 1,419. 1.440.0 1,484.0 (1967=100) (303.8) (302.3) (306.7) (316.9) (318.1) (322.0) (326.8) (333.0) (332.4) (344.8) (344.5) (346.4) (351.3) (362.0) a/ Figures for 1967-1974 refer to annual averages. Sources: Banco de la Republica Table 10.1- COLOMBIA: LOAN COMMITMENTS BY AGENCY, 1961-75 (In millions of U.S. dollars) 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 1974 i975 AID 20.0 97,3 18.7 65.5 63.8 16.5 98.2 72.9 95.0 72.1 82.3 89.0 19.4 17.5 24.5 EXIMBANK 54.4 3.4 2.5 24.2 4.0 3.4 25.5 15.5 21.4 2.1 22.8 0.3 14.3 7.8 10.6 IDB/ 35.2 12.0 25.0 30.3 27.8 22.7 27.9 115.4 55.5 23.1 78.9 49.9 32.2 73.7 - IBRD & IDA 61.0 50.0 73.8 45.0 - 41.7 25.0 105.6 60.3 109.3 153.1 44.1 162.2 8.0 88.0 OTHERS - - 8.6 20.5 15.1 41.4 49.3 65.6 30.3 79.7 62.0 155.0 268.4 92.7 243.4 -~~~~ SUBTOTAL 170.6 162.7 128.6 185.5 110.7 125.7 225.9 375.0 262.5 286.3 399.1 .338.3 496.5 199.7 366.5 PL-480-I - - 6.9 13.4 - 16.9 - 13.0 - 16.2 3.0 10.4 8.9 - - TOTAL 170.6 162.7 135.5 198.9 110.7 142.6 225.9 388.0 262.5 302.5 402.1 348.7 505.4 199.7 366.5 _~~~~~~ ~ - 1/ Includes amounts repayable in local currency. Source: Statements of Loans of respective agencies and National Planning Department data. Table 10.2 - COLOMBIA: LOAN COMMITMENTS BY AGENCY FOR INTERNATIONAL DEVELOPMENT, 1961-76 (In millions of U.S. dollars) Loan or Date of Original Prin- Cumulative Credit No. Purpose A,reement cinal Amount Orieinal Amounts 1961 514-A-015 Housing August 2 12.0 514-A-016 Agriculture August 2 8.0 Sub-total 20.0 20.0 1962 514-K-017 Program Loan April 12 30.0 514-L-024 Program Loan Dec. 6 59.8 514-L-026 Housing June 26 7.5 Sub-total 97.3 117.3 1963 514-L-025 Studies June 26 3.0 514-L-027 Agriculture June 26 10.0 514-L-029 Sewerage Sept. 20 3.7 514-L-030 Studies Sept. 18 2.0 Sub-total 18.7 136.0 1964 514-L-032 Program Loan March 11 15.0 514-L-035 Power May 11 1.3 514-L-036 Sewerage July 18 0.2 514-L-037 Water July 18 0.4 514-L-038 Agriculture July 18 4.0 514-L-039 Program Loan July 13 35.0 514-L-040 Industry Dec. 23 9.6 Sub-total 65.5 201.5 1965 514-L-044 Program Loan Dec. 20 63.8 265.3 1966 514-L-046 Agriculture March 16 8.5 514-L-048 Agriculture July 25 8.0 Sub-total 16.5 281.8 1967 514-L-049 Program Loan May 27 98.2 380.0 1968 514-L-052 Program Loan July 15 57.9 514-L-051 Agriculture July 15 15.0 Sub-total 72.9 452.9 1969 514-L-053 Agriculture May 19 15.0 514-L-054 Education May 19 10.0 514-L-055 Program Loan May 19 60.0 514-L-057 Industry Dec. 22 10.0 Sub-total 95.0 547.9 1970 514-L-056 Industry June 11 2.1 514-L-059 Education June 11 15.0 514-L-060 Agriculture June 11 15.0 514-L-061 Program Loan June 11 40.0 Sub-total 72.1 620.0 1971 514-L-058 Mineral Resources April 28 1.7 514-L-062 Cadastral Loan Nov. 4 3.6 514-L-063 Urban Development Aug. 19 29.0 514-L-064 Agriculture Aug. 19 28.0 514-L-065 Education Aug. 19 20.0 Sub-total 82.3 702.3 1972 514-L-066 Education July 13 20.5 514-L-067 Agriculture July 13 30.8 514-L-068 Urban Development July 13 37.7 Sub-total 89.0 791.3 1973 514-L-069 Health Feb. 28 19.4 810.7 1974 514-L-073 Education July 26 10.0 514-L-076 Water Supply and Sewerage Dec. 17 7.5 828.2 Sub-total 17.5 1975 514-L-074 Industry April 24 5.0 514-U-075 Health February 28 17.3 514-T-078 Fishery December 24 2.2 Sub-total 24.5 852.7 1976 514-T-079 Agriculture March 12 5.0 514-T-077 Agriculture April 28 5.0 Source: AID Table 10.3 - COLOMBIAz LOAN COMMITMENTS BY EXPORT-DIPORT BANK OF THE UNITED STATES, 1961-75 (In minlions of U.S. dollars) Original Cumulative Date of Principal Original Year Loan lo. Purpose Agreement Amount Amount 1961 1432 Aviation Jan. 19 7.6 1573 General Imports May 10 45.4 1644 Transportation June 28 1.4 Sub-total 54.4 54.4 1962 2070 Industry Dec. 13 3.4 57,8 1963 2140 Agriculture Dec. 31 2.5 60.3 1964 2161 Power Apr. 8 18.4 2165 Industry Apr. 23 3.5 2205 Water Sept. 24 2.3 Sub-total 24.2 84.5 1965 2234 Industry Apr. 8 4.0 88.5 1966 2292 Agriculture Jan. 17 3.4 91.9 1967 2410 Aviation Feb. 9 25.5 117.4 1968 2531 Water June 6 4.0 2532 Power June 6 2.0 2571 Industry Oct. 1 9.5 Sub-total 15.5 132.9 1969 2611 Industry Feb. 24 6.7 2641 Aviation June 5 3.8 2647 Power July 2 4.2 2674 Telecommunications Oct. 9 1.7 2679 Roads Oct. 16 5.0 sub-total 21.4 154.3 1970 2728 Housing Feb. 19 0.2 2814 Power June 1 1.0 2861 Industry July 20 0.9 Sub-total 2.1 156.4 3183 Power May 24 2.1 3254 Industry June 29 0.3 3256 Power June 29 1.9 3309 Transport Aug. 8 3.2 3345 Aviation Aug. 26 6.1 3527 Power Dec. 23 9.2 Sub-total 22.8 179.2 1972 1 9098 Industry Apr. 7 -- 9188 Industry Apr. 19 0.1 9189 Industry Apr. 19 0.1 9636 Industry Aug. 15 0.1 9820 Industry Oct. 11 - 31/ Sub-total 0.3 179.5 3256 Power May 5 1.9 3309 Road maintenance and July 5 3.2 equipment 3527 Power Aug. 22 9.2 Sub-total 14.3 190.6 1974 4834 Transportation Mar. 8 1.1 5179 Cement plant Sept. 30 6.3 Various relending credits 0.4 with banks Sub-total 7.8 198.4 1975 4842 Power April 2 10.6 Sub-total 10.6 209.0 1/ Less than US$50,000 Source: Eximbank Table 10.4 -COLOMBIA: LOAN COMMITMENTSBNY INTER-AMERICAN4 DEIVELOPMEN BANK, 196l-1974~_ (In millidns of U.S. dollar.) Loan or Date of ~~~~~~~~~Source of Financing Total Cutulativa Yaar Cradit No. Purpose Approval Ordinary Fund for Social Progrees Original Principal Capital Spactal Operations Truat Fund Amounts Aount 1961 5 Industry Apr. S 0.7 6 (Water, and Apr. 9 6.0 9 (Sewerage may 15 5.2 23 Studies Sep. 6 0.5 9 Water S. Saw. Oct. 26 2.4 10 Housing Nov. 16 15.2 11 Water & Sew. Nov. 22 5.2 Sob-totals 172.4 - 22.8 35-.2 35.2 1962 41 Industry Jan. 18 0.7 55 Water & Sew. July 12 0.4 21 Studies May 11 0.6 23 Water & SeW. July 12 2.3 37 Water & Sew. July 12 7-8 Sub-totals 1.1 3.1 7.8 12047.2 1963 64 Industry Apr. 9 12.0 72 Industry Oct. 10 3.0 77 Transportation Dec. 5 10.0 Sub-totals 25.0 - 5.0 71:1 1964 99 Agriculture Aug. 28 1.2 106 Power Nov. 19 8.0 107 Power Dec. 3 -3.2 77 Education Apr. 30 1.1 79 Agriculture Apr. 22 6.8 93 Mousing Oct. 8 7.5 98 Housing Dec. 24 2.5- Sub-totals 12.4 -7.9 30.3 102.5 1965 Ill Transpoctation Jan. 28 5.0 121 Industry Aug. 26 5.1 125 Power Nov. 18 8.1 55 Water & SeW. Apr. 15 4.8 65 Power Oct, 21 3.3 74 Education Dec. 16 1.0 112 Studies June 10 0.5 Sub-totals 18.2 9.1 0.5 27.8 130.0 1966 92 Agriculture Apr. 24 9.7 102 Education July 21 5.3 125 Education Dec. 8 7.7 Sub-torals - 22.7 -22.7 53.0 1967 145 Agriculture, Feb. 2 12.2 151 Industry Sep. 7 5.0 161 Agriculture Dec. 14 10.7 Sub-totals 17.2 10.7 -27.9 180.9 1968 173 Industry Den. 15 2.6 175 Power Dec. 30 45.2 174 Studies Apr. 4 3.1 175 Education Apr. 4 6.6 182 Transportation Apr. 21 12.7 187 Housing Aug. 15 9.11 197 Agriculture Nov. 29 10.8 200 Industry Dec. 13 7.5 1J/ Studies Apr. 4 1.1 1311 Power Dec. 30 16.7963 Sub-totals 4_7.8 49.8 177.8 110.4 11 1969 178 Agriculture June 26 4.4 179 Water & Sew. June 26 3.4 207 Studies mar. 20 0.2 222 Agriculture June 26 9.5 224 Water &. Saw. June 26 5.7 237 Transportation Nov. 12 17.0 246 Transportation Dec. 18 -15.2 Sub-tot&al 7.8 47.7 -55.5 131 112 263 Transportation Junes 18 16.1 276 Studies Oct. 22 6.0 rpi/ Agrioultuor Mar. 12 1.0 Sub-totals 7- 22.1 1.0 22.1 M74r9 1971 211 Power lob. 11 9.0 290 Power Feb. 11 16.0 7214 Power may 5 24.1 303 Power Aug. 12 19.8 Sub-totals W317 33.8 -78.9 45. 1972 234 Education Oct. 5 5.9 344 Sousinig Nov. 29 24.0 234 Mousing Nov. 29 20.0 -99 0-.7 Sub-totals 20.0 29.9-50. 1973 247 Transportation Apr. 25 11.0 249 Power Nov. 23 21.2 Sub-totals 22.2 - - 52,3i19 1974 251 Water Supply Nov. 23 3.8 and Sewerage 227 Agriculture Slat. 4 6.0 258 Power June 18 4.5 263 Pwowr Dec, 21 48.5 362 Water and Jan. 31 8.5 Sewerage 274 Power June 18 2.4 Sub-totals 62,8 20.9 - 7V7J 3: Total 300.0 241.8 678609.6 609.6 Share in Grand Total 49.2% 39.7% 1% 1/ Includes US$3.1 million repayable in local currency. If Includes US$9.2 million repayable in local curren,cy Sourue: IDB Table 10.5 - COOMBIAS BRRD LOANS AND IA CREDITS COMMITTED, 1949-75 (In millions of U.S. dollars) Loan or Date of Loan Original Prin- Cumulative Ori- Credit No, Purpose Agreement cipal Amount ginal Amount 1949-60 178.7 178.7 1961 282 Power May 12 22.0 295 Roads August 28 19.5 IDA-5 Roads August 28 19.5 Sub-total 61.0 239.7 1962 313 Power 50.0 289.7 1963 339 Power June 3 8.8 343 Railways June 21 30.0 345 Steel June 28 30.0 347 Power July 16 5.0 Sub-total 73.8 363.5 1964 369 Power 45.0 408.5 1965 1966 448 Agriculture May 16 16.7 451 Industry May 31 25.0 Sub-total 41.7 450.2 1967 499 Telecommunications June 15 16.0 502 Agriculture June 29 9.0 Sub-total 25.0 475.2 1968 534 Industry May 22 12.5 536 Water June 3 14.0 537 Power June 3 18.0 550 Roads July 25 17.2 551 Railways July 25 18.3 552 Education July 31 7.6 575 Power 18.0 Sub-total 105.6 580.8 1969 624 Agriculture June 27 17.0 625 Industry June 27 25.0 651 Agriculture Dec. 29 18.3 Sub-total 60.3 641.1 1970 679 Education June 4 6.5 680 Roads June 4 32.0 681 Power June 4 52.3 682 Water June 4 18.5 Sub-total 109.3 750.4 1971 738 Water May 28 2.0 739 Agriculture May 28 8.1 740 Telecommunications May 28 15.0 741 Water May 28 88.0 742 DFC May 28 40.0 Sub-total 153.1 903.5 1972 842 Program/Export June 28 30.0a/ 849 Agriculture June 30 5.0 860 Water Oct. 10 9.1 Sub-total 44.1 947.6 1973 874 Power Jan. 12 56.0 903 Industry June 11 60.0 920 Education July 19 21.2 926 Transportation August 8 25.0 Sub-total 162.2 1,109.8 1974 971 Preinvestment March 12 8.0 _ Sub-total 8.0 1,117.8 1975 1071 Industry Jan. 16 5.5 1072 Water Jan. 16 27.0 1073 Telecommunications Jan. 16 15.0 . 1118 Agriculture June 2 19.5 1163 Agriculture Sept. 12 21.0 Sub-total 88.0 1,205.8 a/ Excludes US$30 million second tranche cancelled in 1973. Source: IBRD Tabl 10.6 C:A; L-a C-ItwDt. by Sector *nd Mi. Ag4enc0, 1961-75 (lo oillons of U.S. dolla..) hg.y Seotor' ghea1. h a hea in __________ 1561 tY628 V963 1964 1Y65 1966 1967 t963 1969 1970 1971 1972 1973 1974 _1977 1961-75 _cto 7196i4e5 total bleadi AareIlt.- IIID _ _ _ - _ 16.7 9.0 - 35.3 - 8.1 5.0 - - 40.5 114.6 34.0 rim - - - 8.0 - 9.7 22.9 10.8 13.9 1.0 - - - 6.0 - 72.3 21.4 AID 8.0 - 10.0 4.0 16.5 2. 15.0 15.0 15.0 28.0 30.8 - 0 2.2 144.5 42.8 lX.sha - 2.5 - - 3.4 __ _ - - _ - - _- _ 5.- 1.8 Sabtotal 8.0 - 12.5 t2.0 _ 46.3 31.9 25.8 64.2 16.0 36.1 35.8 , 6.0 42.7 337.3 100.0 10- - - - 16.0 - - - 15.0 - - - 15.0 U .0 96.4 1r 38 - - - - - - _ . - _ _ _ _ _ _ AID _ - - _ - - _ - - _ _ _ _ _ _ -X-_|e _ _ _ _ - _ - __ _7 _ _ - _ _ -_ ; 1.7 3.67 S.btotl _ _ _ _ _ _ 16.0 - 1.7 - 15,0 - . . 15.0 47.7 100.0 1.8 lleaien DRD - - - _ - - _ 7.6 - 6.5 - _ 21.2 - - 35.3 25.5 ID8 I _ _ 1.1 1.0 13.0 _ 6.6 - - _ 5.9 . _ _ 27.6 D9.9 AID - - - . - - - 10.0 15.0 20.0 20.5 10.0 - 75.5 54.6 So-ototal - _ - 1.1 1.0 13.0 - 14.2 10.0 21.5 20.0 26.4 21.2 10.0 - 138.4 100.0 5.1 716D1 - - 30.0 - - 25.0 - 12.5 25.0 - 40.0 - 60.0 - 5.5 198.0 66.8 TM1 0.7 0.7 15.0 - 5.1 - 5.0 10.1 - - . - . 36.6 12A A4) - - - 9.6 - _ - 10.0 2.1 - - 5.5 26.7 9.0 ERbek - 3.4 _ 3.5 4.0 _ _ 9.5 6.7 0.9 0.3 0.3 - 6.3 . 34.9 1lJ8 Snbtot.l 0.7 4.1 45.0 13.1 9.1 25.0 5.0 32.1 41.7 3.0 40.3 0.3 60.0 6.3 10.5 296.2 100.0 11.0 hner II58 22.0 50.0 13.8 45.0 - - - 36.0 - 52.3 - - - 56.0 . - 275.1 47.7 IDS .. - - 11.2 11.4 - _ 61.9 - - 78.9 . 21.2 55.4 240.0 41.6 AID _ . - 1.3 - - - - _ _ _ _ 1.3 0.2 - _ _ 18.4 _ _ _ 2.0 4 2 1.0 13.2 11.1 . 10.8 65 8.5_ sobtotel 22.0 50.0 13.8 75.9 11.4 - - 99.9 4.2 53.3 92.1 - 88.3 55.4 10.6 576.9 100.0 21.4 TM & 1 D1 39.0 _ 30.0 - - _ _ 35.5 - 32.0 _ _ 25.0 . - 161.5 53.4 1B - - 10.0 _ 5.0 _ 12.7 32.2 16.1 - - 11.0 - _ 87.0 28.8 AUD - _ _ _ _ _ _ _ _ _ _ _ _ 9.0 _ - - _ 25.5 _ 8.8 _ 9.3 _ 3.2 1.1 _ 53.7 D.8 S9.tot.1 48.0 - 40.0 _ 5.0 - 25.5 48.2 41.0 48.1 9.3 - 39.2 1.1 - 302.2 100.0 11.2 - ater & S-ece Tn - - - - - 14.0 - 18.5 90.0 9.1 _ - 27.0 158.6 68.2 IDS 18.8 10.7 - - 4.8 _ 9.1 - - . _ 12.3 - 55.7 24.0 AID I - 3.7 0.6 - - - - - - - - 7.5 - 11.8 5.1 _- _ 4 - 2.3 _ - _ 6.0 - _ _ _ - _ _ 6.3 2.7 Subtotal 18.8 10.7 3.7 2.9 4.8 _ _ 18.0 9.1 18.5 90.0 9.1 19.8 27.0 232.4 100.0 8.6 Othsa Soceto,,a/ IllR - - -'J - - - - - - - - 30.0k/ - 8.0 - 38.0 5.0 Tom 15.7 0.6 - 10.0 0.5 _ _ 13.3 0.3 6.0 - 44.0 - - 90.4 11.8 AUD 1230 97.3 5.0 50.0 63.8 - 98.2 57.9 60.0 40.0 34.3 37.7 19.4 . 17.3 592.9 77.2 A 45.4 _ _ _ _ _ _ _ 0.32 _ _ 0.4 . 46.0 6.0 S.bhot.l 73.1 97.9 5.0 60.0 64.3 _ 98.2 71.2 60.3 46.2 34.3 111.7 19.4 8.4 17.3 767.3 100.0 28.4 T1m. ALL 515 11 & 013 61.0 50.0 73.8 45.0 4 41.7 25.0 105.6 60.3 109.3 153.1 44.1I/ 162.2 8.0 88.0 1,027.1 38.1 uD 35.2 12.0 25.0 30.3 27.8 22.7 27.9 115.4 55.5 23.1 78.9 49.9 32.2 73.7 - 609.6 22.6 AnD 20.0 97.3 18.7 65.5 63.8 16.5 98.2 72.9 95.0 72.1 82.3 89.0 19.4 17.5 24.5 852.7 31.6 _0I..k 54.4 3.4 2.5 23.2 4.0 3.4 25.5 15 5 21.4 2.1 22.8 0.3 14.3 7.8 10.6 209.0 7 - GMMD O18 170.6 162.7 120.0 165.0 95.6 84.3 176.6 309.4 232.2 206.6 337.1 183.3 228.1 107.0 !123.1 2,698.4 100.0 100.0 */J 7 ludsse- bin.ag, paeiosst sids afleelg hela d d sor hnl Sao ji(tg ploasible geoeal filT0rt loDsa ste aesigesi co dh_ro asor ple r_ 8Sd _ _ * hi -A""s 00830 al11o- seo. reihes Ptsg seA 85. atim = .et Ssae 18 TABLE 11.1 COLCMBIU: PUPIL ENROILMENT IN PRIMARY SCHOOL, 1963-74 (Thousands of Pupils) Annual Growth 1963 1968 1969 1970 1971 1972 1973 1974 1963_68 1968-74 All Schools Rural 781.8 955.0 1,023.3 1,071.6 1,120.8 1,192.3 1,239.9 1,290.2 4.1 5.1 Urban 1,314.6 1,826.7 2,085.1 2,214.5 2,345.5 2,411.7 2,511.6 2,554.1 6.8 5.7 Total 2,096.4 2,781.7 3,108.4 3,286.1 3,1466.3 3,604.0 3,751.5 3,844.3 5.8 5.5 Public Schools Rural 767.8 935.0 1,002.4 1,0o49.8 1,097.2 1,167.4 1,211.4 1,258.7 3.9 5.1 Urban 1,018.8 1,446.8 1,680.2 1,794.9 1,910.3 1,946.5 1,988.1 2,023.6 7.2 5.7 Total 1,786.6 2,381.8 2,682.6 2,844.7 3,007.5 3,113.8 3,199.5 3,282.3 5.9 5.5 Private Schools Rural 13.9 20.0 20.9 21.9 23.6 24.9 28.5 31.5 7.4 7.0 Urban 295.9 379.9 404.8 419.5 435.2 465.3 523.6 530.5 5.2 4.7 Total 309.8 399.9 42547 441.4 458.8 390.2 552.1 562.0 5.3 5.8 Source: DAME and Ministry of Education. Table 11.2 - COLOMBIA: PUPIL ENROLLMENT IN SECONDARY SCHOOL, 1963-1973 (Thousand of Pupils) Average Annual Course of Study 1963 1968 1973 Rate of Growth and Schools 1963-68 1968-73 All Schools 344.9 100 640.5 100 1,096.8W 100 13.2 9.4 Bachillerato 1/ 202.0 59 447.3 70 808.8 74 17.2 10.4 Industrial 15.1 4 27.7 4 41.9 4 12.9 7.1 Commercial 52.3 15 75.8 12 115.9 11 7.7 7.3 Agricultural 3.6 1 6.5 1 15.0 1 12.5 14.9 Education 2/ 47.7 14 59.5 9 65.9 6 4.5 1.7 INEMIs a - - - - 32.0 3 - Others 3/ 24.2 7 23.7 4 17.3 1 -0.4 -5.1 Public Schools 142.7 100 304.2 100 571.1 / 100 16.3 11.0 Bachillerato 1/ 75.7 53 204.2 67 396.1 69 21.9 11.7 Industrial 12.8 9 23.2 8 35.6 6 12.6 7.4 Commercial 9.1 7 20.4 7 38.4 7 17.5 11.1 Agricultural 3.3 2 5.6 2 12.3 2 11.1 14.0 Education 2/ 28.8 20 42.5 14 49.7 9 8.1 2.6 INEMS's - - - - 32.0 6 - - Others 3/ 13.0 9 8.3 3 7 0 1 -8.6 -2.8 Private Schools 202.2 100 336.3 100 525.7 / 100 10.7 7.7 Bachillerato 1/ 126.3 63 243.1 72 412.7 78 14.0 9.2 Industrial 2.3 1 4.5 1 6.3 1 14.4 5.8 Commercial 43.2 21 55.4 16 77.5 15 5.1 5.8 Agricultural 8.3 ... 0.9 2.7 1 24.6 20.5 Education 2/ 18.9 9 17.0 5 16.2 3 -2.1 -1.0 Others 3/ 11.2 6 15.4 5 10.3 2 6.6 -6.5 1/ General Curriculum 2/ Normalista - Preparation for teaching in primary schools 3/ Includes religious, artistic, home economics, nursing 4/ Does not include "others" . negligible Source: DANE, Ministry of Education Table 11.3- COLOMBIA: ENROLLMENT IN COLOMBIAN UNIVERSITIES (PUBLIC AND PRIVATE) 1963-1973 Percentage Increase 1963 1968 1973 1963-68 1968-73 Total 35,162 100 655,144' 105 12- ,236 l00 85 91 Administration and Economics 2,809 8 7,268 11 30,868 25 159 325 Agriculture 2,726 8 4,114 6 7,138 8 51 74 Architecture and Arts 3,275 9 4,806 7 6,109 5 47 27 Exact Sciences 806 2 1,210 2 3,062 2 50 153 Health 4,736 14 6,474 10 11,854 9' 37 83 Social Sciences 1,439 4 3,210 5 5,477 4 123 71 Law 4,977 14 7,051 11 14,929 12 42 112 Education 2,905 8 7,542 12 20,581 16 160 173 Humnanities 3,017 9 3,031 5 2,189 2 0 -3 Engineering 8,216 23 12,693 19 22,029 18 54 74 Others 256 1 7,745 12 - - - - Source: ICFES - Estadisticas Universitarias Table 11.4 COLOt1IA s ENROLLENT IN UNIVERSITIES ACCORDING TO TYPE OP PROGRAM AMD COURSE OF STUDIES 1973. Public Universities Private Universwit,es Total Universities Long2/ Short / Post-Grad Long Short Post-Grad. Long Short Post-Grad. Administration and Economics 7,781 440 454 21,325 642 126 29,106 1,082 30,188 Agriculture 6,846 40 _ 133 119 - 6,979 159 7,138 Architecture and Arts 2,183 355 - 3,0O54 517 - 5,237 872 6,109 Exact and Natural Sciences 1,708 279 .111 894 - 70 2,602 279 2,881 Health 8,351 890 266 2,238 72 37 10,589 962 11,551 Social Sciences 1,481 - 16 3,656 324 - 5,137 324 5,461 Law 2,359 - 154 12,159 - 257 14,518 - 14,518 Education- 13,278 506 189 6,608 - - 19,886 506 20,392 Humanities 544 28 19 1,348 199 51 1,892 227 2,119 Engineering 12,707 861 215 7,620 614 12 20,327 1,475 21,802 Total 57,338 3,399 1,424 59,035 2,487 553 116,373 5,886 122,259 1/ At least 4-years duration / Prom 3 semesters to 4 years Source: ICFES - Estadisticas Universitarias Table 11.5 - COLOMBIA: RATIO OF PUPILS/TEACHER AT EACH LWEEL, 1963-1973 ---1963 -----1968 ---- ---- 1973------ Public Private Public Private Public Private Primary School 40.4 22.8 35.5 13.6 36.2 21.9 Urban 41.7 22.8 33.5 12.9 37.5 n.a. Rural 38.8 26.7 38.7 22.6 34.5 n.a. Secondary School Bachillerato 15.1 11.9 13.8 8.9 23.9 17.4 Industrial 12.8 11.5 11.4 6.2 15.7 15.8 Commercial 12.8 11.7 12.1 8.2 20.8 15.4 Education 12.0 10.5 11.7 7.4 18.6 12.4 Agriculture 11.0 15.0 10.3 9.0 13.6 12.7 INEK - - -- 10.2 - Universities Pu41ic rivate Public97rivate Administration and Economics 34- 28 37 30 Agriculture 13 16 14 20 Architecture and Arts 6 16 8 18 Exact and Natural Sciences 3 10 3 9 Health 7, 7 1B Social Sciences 9 16 8 18 Law 18 24 16 30 Education 27 19 29 21 Humanities 2 12 1 11 Engineering 13 18 14 21 Total 10 19 11 22 Source: DANE - Boletin Mensual de Estadistica - April 1972 Ministry of Education ICFES Table 11. 6 - COLOMBIA: DROPOUT RATES AT ALL LEVELS Out of 1000 children arriving at age 7 - Drop out rates 1, 770 enroll in the first grade of primary school 23% never go to school (600 in rural areas) (40% in rural areas) (780 in urban areas) (22% in urban areas) 2. 357 will enroll in the third grade 54% drop out before the third grade 3. 216 will complete primary school 72% drop out from primary school (218 in urban areas) (72% in urban areas) (36 in rural areas) (94% in rural areas) 4. 119 will enroll in first grade of secondary school 45% leave the educational system after completion of primary school 5. 60 will complete the fourth grade 50% drop out before the fourth grade 6. 37 will graduate as "Bachilleres" (or equivalent) 39% drop out between the fourth and the sixth grade 70% drop out from secondary school 7. 25 will enter the university 33% leave the educational system after completion of secondary school 8 11 will graduate as "Licenciados" 44% drop out of university. Source: Prepared by Daniel Geballos Nieto, January 1974. Quoted in: Carreras Tecnologicas - Una Necesidad - ICFES, 1974, p 1. Table 11.7 - COLOMBIA: EDUCATIONAL LEVEL OF THE LABOR FORCE, 1951-1970 (Percentages) Educational Level Total Men Women 1951 Total 100.0 100.0 100.0 Primary 49.7 51.1 43.9 Secondary 7.1 6.6 9.2 University 0.9 1.0 0.3 Other levels 1.2 0.9 2.6 No instruction 41.0 40.1 43.9 _1964 Total 100.0 100.0 100.0 Primary 60.6 61.8 55.8 Secondary 9.1 8.9 9.9 University 1.4 1.5 0.8 Other levels 28.9 27.7 33.5 No instruction - - _ 1970 Total 100.0 100.0 100.0 Primary 60.3 62.6 53.6 Secondary 17.2 14.8 24.3 University 2.4 2.7 1.6 Other levels 1.0 0.7 1.9 No instruction 19.2 19.3 18.6 Source: 1951 and 1964 censuses, and 1970 DANE Encuesta de Hogares. Table 11.8 - COLOMBIA: TEN MAIN CAUSES OF DEATH AMONG PRE-SCHOOL CHILDREN AND TOTAL POPULATION - PERCENT OF ALL DEATHS Under 1 1-4 years Total Population Illnesses of the respiratory system 24.6 21.5 13.7 Perinatal illnesses of early childhood 21.5 - 5.4 Illnesses of the digestive system 19.6 24.7 12.4 Other infectious and parasitic diseases 9.4 13.0 6.1 nl-defined or unknown causes 9.2 11.4 10.6 Avitaminosis and other nutritional deficiencies; Anemia 7.8 13.9 6.4 Birth defects 2.8 - _ Cardio vascular diseases 1.0 1.5 19.5 Accidents, violence and intoxications 0.8 4.4 9.3 Ancylostoma and other Helminitiasis 0.6 3.4 - Illnesses of the genito-urinary system - 1.2 - Tuberculosis - 1.1 1.9 Tumors - - 7.3 Source: DNP - La Mortalidad en Colombia SegPn.Edad, Sexo y Grupo de Causa - 126-17Z.Octubre 1974y-Gn Table 11.9 - COLOMBIA: MAIN CAUSES OF DEATH AMONG CHILDREN UNDER AGE 4, 1972 (Rate for 10,000 Born Alive) Under 1 i to h Tllnesses of the respiratory system 174.7 15.7 Intestinal infectious diseases 153.1 18.3 Tllnesses of the early childhood 141.4 ... Ill-defined or unknown causes 66.0 8.5 Antaminosis and other nutritional deficiencies 57.2 10.4 Birth defects 20.8 ... Other infectious and parasitic diseases 20.7 2.0 Whooping cough 12.1 1.9 Tetanus 11.4 ... Accidents, violence and intoxications , 3.3 Measles ... 3.3 Ancylostoma and other Helmintiasis ... 2.6 Source: DANE (National Statistical Office) Table 11.10 - COLOMBIA: INDIRECT INDICATORS OF NUTRITIONAL STATUS, 1963-1971 Pre-school child P kercentage or Infant mortality rate** (A) under 5 year- Measles mortality Rate of mortality-by Years tortality (1-4 year-old) - old mortality rate among less intestinal infectious rate* (B) in general than 5 year-old diseases among under (A) (B) mortality children _5 year-old children*** 1963 88.2 13.8 6.4 50.3 5.7 6.7 1964 33.2 13.3 6.3 48.2 5.7 6.5 1965 d3.8 12.6 6.7 47.9 7.9 6.7 1966 80.0 10.6 7.5 46.5 4.0 6.1 1967 78.3 11.4 6.9 46.7 6.8 6.1 1968 76.0 9.7 7.8 46.4 7.0 4.9 1969 73.3 9.5 7.7 43.1 6.3 4.1 1970 (1) 70.3 9.4 7.5 40.1 4.5 3.1 1971 (1) 67.9 9.2 7.4 39.0 5.7 3.5 Mexico/69 (2) 68.4 8.9 7.7 44.1 1.4 1.3 Switzerland/69(2) 11.6 0.5 23.2 - 0.0 0.0 U.S.A./67 (3) 22.4 0.8 28.0 0.0 0.4 * Rate for 1000 born alive Rate for 1000 of the respective age groups *** Rate for 10,000 of under age 5 (1) Ministry of Public Health - Informe al Honorable Congreso de la Republica de Colombia, 1971-72. (2) WHO - Handbook of Sanitary Statistics, 1969 (3) WHO - Handbook of Sanitary Statistics, 1967 Source: I.C.B.F. - El Problema Nutricional y Alimentario de Colombia - Bogotd, 1974. TABLE 11.11 _ COLOMBIA: RECOMMENDATIONS AND AVAILABILITIES IN CALORIES AND NUTRIENTS FOR THE COLOMBIAN POPULATION, AND PERCENTAGE OF ADEQUACY, 1972 2/ Calories and Recommendations Availability Percentage of Nutrients Adequacy Calories 2,150 2,251 104 Proteins 56.3 g. 47.0 g. 83 Calcium 670 mg. 611 mg. 91 Iron 13.0 mg. 13.1 mg. 100 Vitamin A 4,150 U.I. 3,046 U.I. 73 Thiamin 0.8 mg. 0.8 mg. 100 Riboflavin 1.3 mg. 1.0 mg. 77 Niacin 14.3 mg. 11.1 mg. 78 Vitamin C 45 mg. 96 mg. 213 I/ Average daily per capita recommendation for the population Source: I.C.B.F. Table 11.12 - COLOMBIA: PERCENTAGE OF ADEQUACY OF CALORIES AND NUTRIENT CONSUMPTION IN THE DIET OF 1,400 FAMILIES FROM VARIOUS GEOQRAPHICAL AREASs 1972 Regions Calories Proteins Iron Vitamin A Calcium Thiamin Riboflavin Niacin Vitamin C 1. AtlAntico, C6rdoba GuaJira, Bolivar 97 87 72 49 48 70 54 58 132 2. Autioqula, Caldas, Quindio, Risaralda 89 76 103 45 57 32 71 68 449 3. Ch0c6, Valle del Cauca, Cauca 106 96 82 104 87 86 87 54 166 4. Bogota, Boyac&, Cundinamarea 99 98 127 59 69 15 93 84 255 5. Meta 106 111 154 87 72 13 98 80 223 6. Nariflo 92 93 102 76 44 96 63 75 219 7. Norte de Santander, Santander 96 94 110 68 70 96 81 84 223 8. Huila, Tolima 77 75 88 59 45 72 56 63 181 9. National Territories 97 96 185 67 83 76 92 68 198 TOTAL 94 88 102 64 63 100 75 75 256 Source: I.C.B.F. Table 11.13 - COLOMBIA: COMPARISON BETWEEN ANNUAL NEEDS FOR BASIC FOOD GROUPS FOR HUMAN CONSUMPTION AND THEIR AVAILABILITY, 1966-1972 (Thousand Metric Tons) MTLK -MEAT_ LEGUMES CEREALS Years Needs Avail. % Needse ds Avai X Needs Avail. _ 1966 2240.4 1227.0 50.3 814.7 532.7 65.4 202.7 139.8 69.0 1595.9 1572.3 98.5 1967 2522.9 1301.0 51.6 841.0 600.2 71.4 200.3 158.7 75.8 1647.4 1391.9 84.5 1968 2601.7 1372.0 52.7 867.2 641.1 78.0 215.8 174.9 81.0 1698.8 1629.0 95.9 1969 2680.6 1446.0 54.0 893.5 740.2 82.8 222.4 166.7 74.9 1798.3 1562.4 89.3 1970 2772.5 1412.0 50.9 924.2 745.7 80.7 230.0 170.4 74.1 1810.4 1629.8 90.0 1971 2856.0 1691.2 59.2 872.0 715.9 82.1 240.0 140.7 58.6 1831.0 1995.0 108.9 1972 2946.0 2641.3 89.6 900.0 683.5 75.9 247.0 100.5 40.7 1889.0 1977.0 104.6 VEGETABLES, FRUIT FATS Years Needs Avail. S Needs Aval1. % Needs Ava1. 1966 597.1 223.4 37.4 3740.5 1853.5 49.6 163.7 99.8 61.0 1967 616.3 230.4 37.4 3861.1 2034.3 52.7 169.0 74.1 43.8 1968 635.6 256.2 40.3 3981.8 1924.5 48.3 174.2 99.7 57.2 1969 654.8 264.4 40.4 4102.4 2114.6 52.2 179.5 103.4 57.6 1970 677.3 326.7 48.2 4243.2 2105.9 49.6 185.7 115.3 62.2 1971 610.0 335.4 58.3 2507.0 2588.2 103.2 196.0 164.2 83.8 1972 630.0 392.7 62.3 2586.0 2152.1 83.2 202.0 128.4 63.6 Source: I.C.B.F. Food balance sheets Note: Does not include the part of production for seeds, fodder, manufacturing and export. Table 11.14 - COLOMBIA: PERCENT ADEQUACY OF FAMILY DIETARY INTAKE OF CALORIES AND NUTRIENTS PER CAPITA IS TEN URBAN AND RURAL AREAS, BY SOCIO-ECONONaC LEVELS, 1963-1966 1 Area & Socio- Vitamin Vitamin Economic Level Families Calories Proteins Calcium Iron "A" Thiamine Riboflavin Niacin "C" Urban High 20 114 126 87 165 135 110 110 124 200 Middle 16 93 106 69 112 107 77 92 102 148 Low 9 80 8c 43 108 54 67 55 87 101 Very Low 44 76 67 39 109 56 82 47 77 91 Rural High 10 98 97 66 124 84 98 74 95 216 Middle 15 87 82 49 140 56 88 60 93 161 Low 47 90 82 54 125 68 77 68 94 192 Very Low 94 77 64 40 108 50 81 54 89 174 All levels 166 83 72 46 115 56 83 61 90 178 1/ Based on a comparative standard of 100 Source: ICBF Table 11.15 - COLOMBIA: SUPPLY AND DEMAND OF "CERTIFIED" AUXILIARY NURSES, 1975-1990 Supply 1975 1980 1985 1990 (A) with 5< annual 5,267 12,981 16,890 19,844 attrition rate (B) with 10% annual 7,750 10,449 12,313 13,414 attrition rate Demand (C) with one AN per 15,427 17,656 20,336 23,575 2,500 rural population (D) with one AN per 5,000 13,364 15,378 17,811 20,648 rural population Shortage (A) - (C) 7,160 4,675 3,446 3,731 (A) - (D) 5,097 2,397 1,921 804 (B) - (C) 7,857 7,207 8,023 10,161 (B) - (D) 4,039 2,915 3,065 4,397 Source: IBRD - Population and Nutrition Projects Department, A Report of a Population and Nutrition Reconnaissance Mission to Colombia, March 4-5. 1974.