2016-05-12 | DOF 5436851Added
The National Banking and Securities Commission amends Articles 1, 93, 201, and 214 of the General Provisions applicable to Brokerage Houses and replaces Annex 9 to require the submission of order and assignment data for operations registered in electronic trading systems. Brokerage houses must now report assignment details (Report J-0316) daily and order details (Report J-0317) upon request by the third business day following notification. These changes enhance supervisory oversight by providing the Commission with necessary information on client instructions and executed trades in the equity market.
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DOF: 12/05/2016
RESOLUTION that modifies the General Provisions applicable to Brokerage Houses
At the margin, a seal with the National Coat of Arms, which says: United Mexican States.- Ministry of Finance and Public Credit.- National Banking and Securities Commission.
The National Banking and Securities Commission, based on the provisions of articles 173 Bis and 350, third paragraph of the Securities Market Law, as well as 4, fractions V, XXXVI and XXXVIII, 16, fraction I and 19 of the Law of the National Banking and Securities Commission, and
CONSIDERING
That it is necessary to add to the information that brokerage houses must periodically send to the National Banking and Securities Commission, the list of orders and assignments of operations registered in their reception and assignment systems, so that this authority has the necessary information for supervisory purposes, it has resolved to issue the following:
RESOLUTION MODIFYING THE GENERAL PROVISIONS APPLICABLE TO
BROKERAGE HOUSES
SOLE.- Articles 1, fraction IX, 201 and 214, last paragraph; are REFORMED; Article 202 is ADDED with fraction III and a last paragraph; Article 93 is REPEALED; and Annex 9 of the "General Provisions applicable to brokerage houses", published in the Official Gazette of the Federation on September 6, 2004, modified through Resolutions published in the said Official Gazette on March 9, 2005, March 29, June 26, December 6 and 22, 2006, January 17, 2007, August 11, September 19 and October 23, 2008, April 30 and December 30, 2009, February 4, July 29 and November 26, 2010, August 23, 2011, February 16, March 23 and December 17, 2012, January 31, July 2 and 11, 2013, January 30, June 5 and 30, December 19, 2014, January 6, 8 and 9, March 13, September 18 and December 31, 2015, respectively, are SUBSTITUTED, to read as follows:
TITLES FIRST to SEVENTH . . .
Annexes
A to D . . .
Annexes
1 to 8 . . .
Annex 9
Regulatory Reports
Annexes
10 to 17 . . .
" Article 1.- . . .
I. to
VIII. . . .
IX.
Evaluation of capital sufficiency under supervisory scenarios: the process integrated into the comprehensive risk management of brokerage houses, through which they evaluate if their net capital would be sufficient to cover possible losses, if any, derived from the risks to which these entities will be exposed in each of the supervisory scenarios and that comply with the requirements established in Annex 17 of these provisions.
X. to XXXII. . . .
. . . "
" Article 93.- It is repealed. "
" Article 201.- Brokerage houses must provide the Commission, with the periodicity established in the following articles, the financial information attached to these provisions as Annex 9, which is identified with the series and types of reports listed below:
Series R01
Minimum Catalog
A-0111
Minimum Catalog
Series R03
Investments in securities
J-0316
Assignments
J-0317
Orders
Series R05
Accounts receivable
A-0511
Accounts receivable
B-0521
Disaggregated accounts receivable
Series R07
Deferred taxes
A-0711
Deferred taxes
Series R10
Reclassifications
A-1011
Reclassifications in the balance sheet
A-1012
Reclassifications in the income statement
Series R12
Consolidation
A-1219
Consolidation of the brokerage house's balance sheet with its subsidiaries
A-1220
Consolidation of the brokerage house's income statement with its subsidiaries
Series R13
Financial statements
A-1311
Statement of changes in the brokerage house's equity capital
A-1316
Cash flow statement of the brokerage house
B-1321
Balance sheet of the brokerage house
B-1322
Income statement of the brokerage house
Series R14
Qualitative information
A-1413
Number of accounts
A-1414
Number of employees
Series R18
Accounts payable
A-1811
Other accounts payable
B-1821
Disaggregated various creditors and other accounts payable
Brokerage houses will require prior authorization from the Commission for the opening of new concepts or levels not included in the corresponding series, exclusively for the submission of information regarding new operations authorized for this purpose by the Secretariat, in accordance with the relevant legislation. Likewise, in the event that changes in applicable regulations require establishing additional concepts or levels beyond those provided in these provisions, the Commission will inform brokerage houses of the opening of the respective new concepts or levels.
In the two cases provided for in the previous paragraph, the Commission through the Interinstitutional Information Transfer System (SITI), will notify brokerage houses of the registration and submission mechanism for the corresponding information.
Article 202.- . . .
I. and II. . . .
III.
Daily, the information related to series R03, exclusively with respect to report J-0316, on the settlement date of operations with securities carried out in the electronic trading systems of the stock exchanges.
The Commission may request at any time the information related to series R03, exclusively with respect to report J-0317. Such information must be presented no later than the third business day following the one in which the notification of the request made for this purpose takes effect. "
" Article 214.- . . .
I. to III. . . .
For the purposes of the foregoing, brokerage houses must perform an evaluation of capital sufficiency under supervisory scenarios, adhering to the guidelines established in Annex 17 of these provisions. Likewise, the verification of the assumptions contained in the fractions of this article must be determined for each of the quarters comprising the aforementioned evaluation, in accordance with the provisions of this instrument. "
TRANSITORY
SOLE.- This Resolution will enter into force the day following its publication in the Official Gazette of the Federation.
Respectfully,
Mexico City, April 27, 2016. - The President of the National Banking and Securities Commission, Jaime González Aguadé.- Signature.
Annex 9
Brokerage Houses Regulatory Reports
Index
Periodicity
Series R01 Minimum Catalog
A-0111
Minimum Catalog
Monthly
Series R03 Investments in securities
J-0316
Assignments
Daily
J-0317
Orders
Upon
Notification (1)
Series R05 Accounts receivable
A-0511
Accounts receivable
Monthly
B-0521
Disaggregated accounts receivable
Monthly
Series R07 Deferred taxes
A-0711
Deferred taxes
Quarterly
Series R10 Reclassifications
A-1011
Reclassifications in the balance sheet
Monthly
A-1012
Reclassifications in the income statement
Monthly
Series R12 Consolidation
A-1219
Consolidation of the brokerage house's balance sheet with its
subsidiaries
Quarterly
A-1220
Consolidation of the brokerage house's income statement with its
Subsidiaries
Quarterly
Series R13 Financial statements
A-1311
Statement of changes in the brokerage house's equity capital
Quarterly
A-1316
Cash flow statement of the brokerage house
Quarterly
B-1321
Balance sheet of the brokerage house
Monthly
B-1322
Income statement of the brokerage house
Monthly
Series R14 Qualitative information
A-1413
Number of accounts
Monthly
A-1414
Number of employees
Monthly
Series R18 Accounts Payable
A-1811
Other accounts payable
Monthly
B-1821
Disaggregated various creditors and other accounts payable
Monthly
SERIES R01 MINIMUM CATALOG
This series is integrated by one (1) report, whose frequency of preparation and presentation must be monthly.
REPORT
A-0111
Minimum Catalog
In this report, the balances at the end of the period are requested for all concepts that
form part of the balance sheet and the income statement of the brokerage house. The
report is requested in two subtotals:
·
National currency, VSM and UDIs valued in pesos.
·
Foreign currency valued in pesos.
To fill out the regulatory report A-0111 Minimum Catalog, the following aspects must be considered:
In the report, the balances at the end of the period of the accounting concepts of the unconsolidated brokerage house must be presented.
The balances of all concepts presented in the Minimum Catalog must match those
provided in the rest of the regulatory reports, that is, for the case of the balances or amounts of the concepts of the Minimum Catalog denominated in national currency, they must match the sum of the balances
of the concepts provided in the regulatory reports in national currency; while the balances or amounts of the concepts of the Minimum Catalog denominated in foreign currency valued in pesos,
must match the sum of the balances of the concepts provided in the reports under the same
currency (foreign currency valued in pesos).
CAPTURE FORMAT
Brokerage houses will carry out the submission of the information related to report A-0111 Minimum Catalog
described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER SECTION
PERIOD
ENTITY KEY
FINANCIAL INFORMATION SECTION
CONCEPT
REPORT
CURRENCY
DATA
Brokerage houses will report the information indicated in this series adjusting to the
characteristics and specifications for filling out and submitting information presented in the
Interinstitutional Information Transfer System (SITI) or in that which the
National Banking and Securities Commission (CNBV) makes known in due course.
SERIES R03 INVESTMENTS IN SECURITIES
This series is integrated by two (2) reports, J-0316 Assignments with daily frequency of preparation and
J-0317 Orders which must be presented no later than the third business day following the one in which the
notification of the request made for this purpose takes effect.
REPORT
J-0316
Assignments
In this report, the necessary information will be detailed to know the assignments of the
operations carried out in the electronic trading systems of the stock
exchanges that brokerage houses have registered in their reception and assignment system.
It contains the necessary information to know the operations carried out by clients
that were effectively executed in the equity market according to Title
Third of the Provisions
J-0317
Orders
In this report, the necessary information will be detailed to know the characteristics
general of the orders that brokerage houses have registered in their system of
reception and assignment. This report contains the necessary information to know the
instructions given by the clients of the brokerage houses during each day of operation
in the equity market according to Title Third of the Provisions.
CAPTURE FORMAT
Brokerage houses will carry out the submission of the information related to report J-0316
Assignments, described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER SECTION
REPORT
ENTITY KEY
SEQUENCE
REPORT DATA SECTION
ORDER DATE
ORDER FOLIO
ASSIGNMENT TIME
BMV EVENT DATE
BMV EVENT FOLIO
BMV EVENT TIME
OPERATION
CONTRACT NUMBER
VOLUME OR NUMBER OF TITLES ASSIGNED
ASSIGNMENT PRICE
ISSUER
SERIES
TYPE OF SECURITY
CLIENT NAME
CLIENT PATERNAL SURNAME
CLIENT MATERNAL SURNAME
Brokerage houses will carry out the submission of the information related to report J-0317 Orders,
described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER SECTION
OFFICE NUMBER
REPORT
ENTITY KEY
SEQUENCE
REPORT DATA SECTION
ORDER DATE
ORDER TIME
ORDER FOLIO
OPERATION
EXECUTION TYPE
ORDER VALIDITY
CONTRACT NUMBER
TITLES OF THE ORDER
ORDER PRICE
ISSUER
SERIES
TYPE OF SECURITY
TYPE OF ORDER
TYPE OF INSTRUCTION
ORDER CANCELLATION TIME
ORDER STATUS
VOLUME OR NUMBER OF TITLES ASSIGNED
CLIENT NAME
CLIENT PATERNAL SURNAME
CLIENT MATERNAL SURNAME
Brokerage houses will report the information indicated in this series adjusting to the
characteristics and specifications for filling out and submitting information presented in the
Interinstitutional Information Transfer System (SITI) or in that which the
National Banking and Securities Commission (CNBV) makes known in due course.
SERIES R05 ACCOUNTS RECEIVABLE
This series is integrated by two (2) reports, whose frequency of preparation and presentation must be
monthly.
REPORT
A-0511
Accounts receivable
In this report, the balances at the end of the month are requested in national currency, UDIs
valued in pesos and in foreign currency valued in pesos, of the concepts that
integrate the item "Accounts receivable" of the regulatory report of Minimum Catalog. The
balances mentioned, are requested identified by their age, for which the period must be considered
comprised between the origin of the operation and the reported period, likewise, information related to the estimation for uncollectibility or
difficult collection is required.
The data referring to balances and amounts must be presented in national currency, UDIs
valued in pesos and foreign currency valued in pesos, using the exchange rate
indicated in the accounting criteria. Such balances and amounts must be presented in pesos
rounded, without decimals, without commas, without dots and with positive figures, except for the
preventive estimate for credit risks which must be presented with a negative sign.
For example: Preventive estimate for credit risks for $20,585.70 would be -20586.
B-0521
Disaggregated accounts receivable
In this report, operation by operation, the initial balance, debtor movements,
creditor movements and the final balance, that the Brokerage House has registered
in the concepts of "Current accounts and margin clients", "Loans and other debts of
personnel" and "Other debtors", in the regulatory report of Minimum Catalog must be reported.
The data referring to balances and amounts must be presented in national currency, UDIs
valued in pesos and foreign currency valued in pesos, using the exchange rate
indicated in the accounting criteria. Such balances and amounts must be presented in pesos
rounded, without decimals, without commas, without dots and with positive figures, except for the
preventive estimate for credit risks which must be presented with a negative sign.
For example: Preventive estimate for credit risks for $20,585.70 would be -20586.
CAPTURE FORMAT
Brokerage houses will carry out the submission of the information related to report A-0511 Accounts
receivable, described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER SECTION
PERIOD
ENTITY KEY
FINANCIAL INFORMATION SECTION
CONCEPT
REPORT
BALANCE TYPE
DATA
Brokerage houses will carry out the submission of the information related to report B-0521
Disaggregated accounts receivable, described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER SECTION
PERIOD
ENTITY KEY
REPORT
ACCOUNTING INFORMATION SECTION
SEQUENCE NUMBER
MOVEMENT DATE
ACCOUNTING CLASSIFICATION
DEBTOR INFORMATION SECTION
PERSON
DEBTOR KEY
RFC
DEBTOR NAME
FINANCIAL CONDITION SECTION
AGE OF BALANCES
INITIAL BALANCE
DEBIT MOVEMENT
CREDIT MOVEMENT
FINAL BALANCE
ESTIMATE FOR UNCOLLECTIBILITY OR DIFFICULT COLLECTION
Brokerage houses will report the information indicated in this series adjusting to the
characteristics and specifications for filling out and submitting information presented in the
Interinstitutional Information Transfer System (SITI) or in that which the
National Banking and Securities Commission (CNBV) makes known in due course.
SERIES R07 DEFERRED TAXES
This series is integrated by one (1) report, whose frequency of preparation and presentation must be
quarterly.
REPORT
A-0711
Deferred taxes
The objective of this report is to show, the main concepts by which the brokerage
house generated deferred taxes, as well as to identify by type of tax, the
following: the calculation base used, the final balance of the previous quarter, the
movements of the quarter by increases, updates and materializations against
results and/or against capital, as well as the final balance at the quarter.
This regulatory report requests the figures of the unconsolidated brokerage house, so the balances at the end of
the quarter must match the total balances of the items and concepts corresponding to the regulatory
report R01 Minimum Catalog.
CAPTURE FORMAT
Brokerage houses will carry out the submission of the information related to report R07 A-0711
Deferred taxes through the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER SECTION
PERIOD
ENTITY KEY
CONCEPT
REPORT
TAX IDENTIFIER SECTION
TYPE OF TAX
BALANCE TYPE
MOVEMENT TYPE
DATA
Brokerage houses will report the information indicated in this series adjusting to the
characteristics and specifications for filling out and submitting information presented in the
Interinstitutional Information Transfer System (SITI) or in that which the
National Banking and Securities Commission (CNBV) makes known in due course.
Note:
In the event that there are deferred taxes on PTU (Profit Sharing) on fiscal losses, the Brokerage House must
send to the CNBV the particular judicial resolution in which it is confirmed that it can homologate the base of
calculation of the Participation of Workers in Profits with the calculation base of the Income Tax.
Regulatory Report: Deferred Taxes
R07 A
Report: R07 A Deferred taxes
Figures in Pesos
Description
Calculation
Base
Movements of the Month against Results
Movements of the Month against Capital
Deferred Tax
Initial Balance
Increases
Materialization
Net
Movement
Increases
Update
Materialization
Net
Movement
ISR
PTU
TOTAL
ISR
PTU
ISR
PTU
TOTAL
ISR
PTU
ISR
PTU
ISR
PTU
ISR
PTU
ISR
PTU
ISR
PTU
ISR
PTU
Total Deferred Taxes
Favorable Items
Valuation Losses at Fair
Value
For Securities Lending and
Securities Borrowing
For Derivatives
Non-Deductible Provisions
From Various Debtors
Other Non-Deductible Provisions
For Fiscal Losses:
From Previous Years of
Up to 5 Years of Age
From Previous Years of 6
Years of Age
From Previous Years of 7
Years of Age
From Previous Years of 8
Years of Age
From Previous Years of 9
Years of Age
From Previous Years of
10 Years of Age
For Sale of Shares
Unused Tax Credits
Other Temporary Differences
Chargeable Items
Profit in Valuation at Fair
Value
For Securities Lending and
Securities Borrowing
For Derivatives
Other Temporary Differences
SERIES R10 RECLASSIFICATIONS
This series is integrated by two (2) reports, whose frequency of preparation and presentation must be
monthly.
REPORTS
A-1011
Reclassifications in the balance sheet
In this report, balances at the end of the period are requested for the concepts of the regulatory
report A-0111 Minimum Catalog, as well as the respective adjustments or reclassifications
made for the purpose of presenting the items of the balance sheet of the unconsolidated brokerage
house.
A-1012
Reclassifications in the income statement
In this report, balances at the end of the period are requested for the concepts of the regulatory
report A-0111 Minimum Catalog, as well as the respective adjustments or reclassifications
made for the purpose of presenting the items of the income statement of the unconsolidated brokerage
house.
CAPTURE FORMAT
Brokerage houses will carry out the submission of the information related to reports A-1011
Reclassifications in the balance sheet and A-1012 Reclassifications in the income statement,
described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER SECTION
PERIOD
ENTITY KEY
FINANCIAL INFORMATION SECTION
CONCEPT
REPORT
BALANCE TYPE
MOVEMENT TYPE
DATA
Brokerage houses will report the information indicated in this series adjusting to the
characteristics and specifications for filling out and submitting information presented in the
Interinstitutional Information Transfer System (SITI) or in that which the
National Banking and Securities Commission (CNBV) makes known in due course.
Brokerage Houses
Series R 10 Reclassifications
Report A- 1011 Reclassifications in the balance sheet
Includes figures in national currency, foreign currency and UDIs valued in pesos
Figures in pesos
Concept
Minimum catalog
balance
Derivatives
swaps for
trading purposes
Derivatives
swaps for
hedging purposes
Adjustments for discontinued
operations
Other compensations
Financial statement of the brokerage house
N.C. and UDIs
F.C.
Total
Debit
Credit
Debit
Credit
Debit
Credit
Debit
Credit
OFF-BALANCE SHEET ACCOUNTS
CLIENT CURRENT ACCOUNTS
CLIENT BANKS
NATIONAL CURRENCY
FOREIGN CURRENCY
CASH IN GUARANTEE FOR SECURITIES LENDING
DIVIDENDS COLLECTED FROM CLIENTS
INTERESTS COLLECTED FROM CLIENTS
SETTLEMENT OF CLIENT OPERATIONS
FOR SALE OF SECURITIES
FOR ARBITRAGE
FOR FUTURES OPERATIONS
FOR TRUSTS
S.D. INDEVAL
PREMIUMS COLLECTED FROM CLIENTS
CLIENTS SETTLEMENTS WITH CURRENCIES
MARGIN ACCOUNTS
CREDIT LINES GRANTED TO CLIENTS FOR GUARANTEE FOR SECURITIES LENDING
CREDIT LINES GRANTED TO CLIENTS FOR GUARANTEE FOR FUTURES OPERATIONS
CREDIT LINES GRANTED TO CLIENTS FOR GUARANTEE FOR OPTIONS
OTHER CURRENT ACCOUNTS
CLIENT INVESTMENTS DEPOSITED IN BANKS
CUSTODY OPERATIONS
CLIENT SECURITIES RECEIVED IN CUSTODY
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT SECURITIES
EQUITY INSTRUMENTS
Commercial, industrial and service equity instruments
Equity instruments of investment companies
COUPONS
GOLD AND SILVER INVENTORY
SECURITIES IN TRUST
CLIENT SECURITIES ABROAD
ADMINISTRATION OPERATIONS
OPERATIONS FOR CLIENT ACCOUNTS
RECEIVABLES FOR CLIENT ACCOUNT REPOS
CREDITOR FOR CLIENT ACCOUNT REPOS
SECURITIES LENDING OPERATIONS FOR CLIENT ACCOUNTS
SECURITIES SUBJECT TO THE OPERATION DELIVERED
Government debt
Bank debt
Other debt instruments
Equity instruments
SECURITIES SUBJECT TO THE OPERATION RECEIVED
Government debt
Bank debt
Other debt instruments
Equity instruments
COLLATERAL RECEIVED AS GUARANTEE FOR CLIENT ACCOUNTS
IN REPOS
Government debt
Bank debt
Other debt instruments
IN SECURITIES LENDING
Cash
Government debt
Bank debt
Other debt instruments
Equity instruments
Letters of credit
IN DERIVATIVES
Government debt
Bank debt
Other debt instruments
Equity instruments
Others
OTHER COLLATERAL RECEIVED AS GUARANTEE FOR OTHER CLIENT OPERATIONS
COLLATERAL DELIVERED AS GUARANTEE FOR CLIENT ACCOUNTS
IN REPOS
Government debt
Bank debt
Other debt instruments
IN SECURITIES LENDING
Cash
Government debt
Bank debt
Other debt instruments
Equity instruments
Letters of credit
IN DERIVATIVES
Government debt
Bank debt
Other debt instruments
Equity instruments
Others
OTHER COLLATERAL DELIVERED AS GUARANTEE FOR OTHER CLIENT OPERATIONS
DERIVATIVES PURCHASE OPERATIONS
OF CLIENT FUTURES AND FORWARD CONTRACTS (NOTIONAL AMOUNT)
Futures
Forward contracts
OF OPTIONS
OF SWAPS
OF CLIENT DERIVATIVE INSTRUMENT PACKAGES
DERIVATIVES SALE OPERATIONS
OF CLIENT FUTURES AND FORWARD CONTRACTS (NOTIONAL AMOUNT)
Futures
Forward contracts
OF OPTIONS
OF SWAPS
OF CLIENT DERIVATIVE INSTRUMENT PACKAGES
ADMINISTERED TRUSTS
OPERATIONS FOR OWN ACCOUNT
CONTINGENT ASSETS AND LIABILITIES
COLLATERAL RECEIVED BY THE ENTITY
CASH ADMINISTERED IN TRUST
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT INSTRUMENTS
EQUITY INSTRUMENTS
OTHERS
COLLATERAL RECEIVED AND SOLD OR DELIVERED AS GUARANTEE BY THE ENTITY
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT INSTRUMENTS
EQUITY INSTRUMENTS
OTHERS
OTHER REGISTRATION ACCOUNTS
ASSET
LIQUIDITIES
CASH
BANKS
DEPOSITS IN FINANCIAL ENTITIES
CURRENCIES TO BE DELIVERED
OTHER LIQUIDITIES
COINED PRECIOUS METALS
OTHER LIQUIDITIES
RESTRICTED LIQUIDITIES OR GIVEN AS GUARANTEE
CURRENCIES TO BE RECEIVED
CASH ADMINISTERED IN TRUST
OTHER RESTRICTED LIQUIDITIES OR GIVEN AS GUARANTEE
MARGIN ACCOUNTS (DERIVATIVES)
CASH
SECURITIES
OTHER ASSETS
INVESTMENTS IN SECURITIES
TRADING SECURITIES
TRADING SECURITIES WITHOUT RESTRICTION
Government debt
In position
To be delivered
Bank debt
In position
To be delivered
Other debt instruments
In position
To be delivered
Equity instruments
In position
To be delivered
TRADING SECURITIES RESTRICTED OR GIVEN AS GUARANTEE IN REPO OPERATIONS
Government debt
Bank debt
Other debt instruments
TRADING SECURITIES RESTRICTED OR GIVEN AS GUARANTEE IN SECURITIES LENDING OPERATIONS
Government debt
Bank debt
Other debt instruments
Equity instruments
TRADING SECURITIES RESTRICTED OR GIVEN AS GUARANTEE (OTHERS)
Government debt
In position
To be received
Bank debt
In position
To be received
Other debt instruments
In position
To be received
Equity instruments
In position
To be received
AVAILABLE FOR SALE SECURITIES
AVAILABLE FOR SALE SECURITIES WITHOUT RESTRICTION
Government debt
In position
To be delivered
Bank debt
In position
To be delivered
Other debt instruments
In position
To be delivered
Equity instruments
In position
To be delivered
AVAILABLE FOR SALE SECURITIES RESTRICTED OR GIVEN AS GUARANTEE IN REPO OPERATIONS
Government debt
Bank debt
Other debt instruments
AVAILABLE FOR SALE SECURITIES RESTRICTED OR GIVEN AS GUARANTEE IN SECURITIES LENDING OPERATIONS
Government debt
Bank debt
Other debt instruments
Equity instruments
AVAILABLE FOR SALE SECURITIES RESTRICTED OR GIVEN AS GUARANTEE (OTHERS)
Government debt
In position
To be received
Bank debt
In position
To be received
Other debt instruments
In position
To be received
Equity instruments
In position
To be received
HELD-TO-MATURITY SECURITIES
HELD-TO-MATURITY SECURITIES WITHOUT RESTRICTION
Government debt
In position
To be delivered
Bank debt
In position
To be delivered
Other debt instruments
In position
To be delivered
HELD-TO-MATURITY SECURITIES RESTRICTED OR GIVEN AS GUARANTEE IN REPO OPERATIONS
Government debt
Bank debt
Other debt instruments
HELD-TO-MATURITY SECURITIES RESTRICTED OR GIVEN AS GUARANTEE IN SECURITIES LENDING OPERATIONS
Government debt
Bank debt
Other debt instruments
HELD-TO-MATURITY SECURITIES RESTRICTED OR GIVEN AS GUARANTEE (OTHERS)
Government debt
In position
To be received
Bank debt
In position
To be received
Other debt instruments
In position
To be received
RECEIVABLES FOR REPOS
SECURITIES LENDING
PREMIUMS TO BE RECEIVED
DERIVATIVES
FOR TRADING PURPOSES
FUTURES TO BE RECEIVED
Valuation
FORWARDS TO BE RECEIVED
Valuation
Impairment
OPTIONS
Valuation
Impairment
SWAPS
Valuation
Impairment
DERIVATIVE INSTRUMENT PACKAGES
Valuation
Impairment
FOR HEDGING PURPOSES
FUTURES TO BE RECEIVED
Valuation
Primary position valuation
FORWARDS TO BE RECEIVED
Valuation
Primary position valuation
Impairment
OPTIONS
Valuation
Primary position valuation
Impairment
SWAPS
Valuation
Primary position valuation
Impairment
DERIVATIVE INSTRUMENT PACKAGES
Valuation
Primary position valuation
Impairment
FAIR VALUE ADJUSTMENTS FOR FINANCIAL ASSET HEDGING
BENEFITS TO BE RECEIVED IN SECURITIZATION OPERATIONS
BENEFITS ON THE REMAINDER IN SECURITIZATION OPERATIONS
ASSET FOR ADMINISTRATION OF TRANSFERRED FINANCIAL ASSETS
ACCOUNTS RECEIVABLE
RECEIVABLES FOR SETTLEMENT OF OPERATIONS
CURRENCY TRADING
INVESTMENTS IN SECURITIES
REPOS
SECURITIES LENDING
DERIVATIVES
FOR ISSUANCE OF SECURITIES
RECEIVABLES FOR MARGIN ACCOUNTS (DERIVATIVES)
RECEIVABLES FOR CASH COLLATERAL GRANTED
TRUST RIGHTS
OTHER RECEIVABLES
ESTIMATE FOR UNCOLLECTABILITY OR DIFFICULT COLLECTION
REAL ESTATE, FURNITURE AND EQUIPMENT
REAL ESTATE, FURNITURE AND EQUIPMENT
LAND
BUILDINGS
CONSTRUCTIONS IN PROCESS
TRANSPORTATION EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER REAL ESTATE, FURNITURE AND EQUIPMENT
REVALUATION OF REAL ESTATE, FURNITURE AND EQUIPMENT (1)
LAND
BUILDINGS
CONSTRUCTIONS IN PROCESS
TRANSPORTATION EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER REVALUATIONS OF REAL ESTATE, FURNITURE AND EQUIPMENT
ACCUMULATED DEPRECIATION OF REAL ESTATE, FURNITURE AND EQUIPMENT
BUILDINGS
TRANSPORTATION EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER ACCUMULATED DEPRECIATIONS OF REAL ESTATE, FURNITURE AND EQUIPMENT
REVALUATION OF ACCUMULATED DEPRECIATION OF REAL ESTATE, FURNITURE AND EQUIPMENT (1)
BUILDINGS
TRANSPORTATION EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER REVALUATIONS OF ACCUMULATED DEPRECIATION OF REAL ESTATE, FURNITURE AND EQUIPMENT
PERMANENT INVESTMENTS
SUBSIDIARIES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
ASSOCIATES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
OTHER PERMANENT INVESTMENTS
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
LONG-TERM ASSETS AVAILABLE FOR SALE
SUBSIDIARIES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
ASSOCIATES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
OTHER LONG-TERM ASSETS AVAILABLE FOR SALE
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
DEFERRED TAXES AND PTU (IN FAVOR)
DEFERRED INCOME TAXES (IN FAVOR)
DEFERRED EMPLOYEE PARTICIPATION IN PROFITS (IN FAVOR)
ESTIMATE FOR NON-RECOVERABLE DEFERRED TAXES AND PTU
OTHER ASSETS
DEFERRED CHARGES, PREPAID EXPENSES AND INTANGIBLES
DEFERRED CHARGES
Discount to be amortized on issued securities
Financial cost to be amortized in capitalizable lease operations
Expenses for issuance of securities
Insurance to be amortized
Other deferred charges
PREPAID EXPENSES
Interest paid in advance
Commissions paid in advance
Advances or provisional payments of taxes
Rent paid in advance
Other prepaid expenses
INTANGIBLES
Goodwill
From subsidiaries
From associates
Revaluation of goodwill (1)
From subsidiaries
From associates
Organization expenses
Revaluation of organization expenses (1)
Accumulated amortization of organization expenses
Revaluation of accumulated amortization of organization expenses (1)
Other intangibles
Revaluation of other intangibles (1)
Accumulated amortization of other intangibles
Revaluation of accumulated amortization of other intangibles (1)
OTHER SHORT AND LONG-TERM ASSETS
ASSETS OF THE PLAN TO COVER EMPLOYEE BENEFITS
Long-term direct benefits
Termination benefits
Termination benefits for reasons other than restructuring
Termination benefits due to restructuring
Post-employment benefits
Pensions
Seniority bonus
Other post-employment benefits
OTHERS
LIABILITY
MARKET LIABILITIES
BANK LOANS AND LOANS FROM OTHER ENTITIES
SHORT-TERM
LOANS FROM MULTIPLE BANKING INSTITUTIONS
LOANS FROM DEVELOPMENT BANKING INSTITUTIONS
LOANS FROM OTHER ENTITIES
LONG-TERM
LOANS FROM MULTIPLE BANKING INSTITUTIONS
LOANS FROM DEVELOPMENT BANKING INSTITUTIONS
LOANS FROM OTHER ENTITIES
SECURITIES ASSIGNED FOR SETTLEMENT
CREDITOR FOR REPOS
SECURITIES LENDING
PREMIUMS TO BE DELIVERED
COLLATERAL SOLD OR GIVEN AS GUARANTEE
REPOS
OBLIGATION OF THE REPO PARTY TO RETURN THE COLLATERAL TO THE REPO PARTY
Sold collateral
Government debt
Bank debt
Other debt instruments
Collateral given as guarantee
SECURITIES LENDING
OBLIGATION OF THE BORROWER TO RETURN THE SECURITIES SUBJECT TO THE OPERATION TO THE LENDER
Sold collateral
Government debt
Bank debt
Other debt instruments
Equity instruments
OBLIGATION OF THE LENDER TO RETURN THE COLLATERAL TO THE BORROWER
Sold collateral
Government debt
Bank debt
Other debt instruments
Equity instruments
DERIVATIVES
SOLD COLLATERAL
Government debt
Bank debt
Other debt instruments
Equity instruments
Others
OTHER SOLD COLLATERAL
DERIVATIVES
FOR TRADING PURPOSES
FUTURES TO BE DELIVERED
Valuation
FORWARDS TO BE DELIVERED
Valuation
Impairment
OPTIONS
Valuation
Impairment
SWAPS
Valuation
Impairment
DERIVATIVE INSTRUMENT PACKAGES
Valuation
Impairment
FOR HEDGING PURPOSES
FUTURES TO BE DELIVERED
Valuation
Primary position valuation
FORWARDS TO BE DELIVERED
Valuation
Primary position valuation
Impairment
OPTIONS
Valuation
Primary position valuation
Impairment
SWAPS
Valuation
Primary position valuation
Impairment
DERIVATIVE INSTRUMENT PACKAGES
Valuation
Primary position valuation
Impairment
FAIR VALUE ADJUSTMENTS FOR FINANCIAL LIABILITY HEDGING
LIABILITIES IN SECURITIZATION OPERATIONS
LIABILITIES FOR ADMINISTRATION OF TRANSFERRED FINANCIAL ASSETS
OTHER ACCOUNTS PAYABLE
INCOME TAXES PAYABLE
INCOME TAXES (PROVISIONAL PAYMENTS)
INCOME TAXES (REAL CALCULATION)
EMPLOYEE PARTICIPATION IN PROFITS PAYABLE
CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES PENDING FORMALIZATION IN SHAREHOLDERS' MEETING
CREDITOR FOR SETTLEMENT OF OPERATIONS
CURRENCY TRADING
INVESTMENTS IN SECURITIES
REPOS
SECURITIES LENDING
DERIVATIVES
CREDITOR FOR MARGIN ACCOUNTS
CREDITOR FOR CASH COLLATERAL RECEIVED
OTHER CREDITORS AND OTHER ACCOUNTS PAYABLE
COMMISSIONS PAYABLE ON ONGOING OPERATIONS
LIABILITY FOR CAPITALIZABLE LEASE
DEPOSITS AS GUARANTEE
CREDITOR FOR ASSET ACQUISITION
DIVIDENDS PAYABLE
CREDITOR FOR MAINTENANCE SERVICE
VALUE ADDED TAX
OTHER TAXES AND DUTIES PAYABLE
TAXES AND SOCIAL SECURITY CONTRIBUTIONS WITHHELD FOR REMITTANCE
SHORT-TERM DIRECT BENEFITS
PROVISION FOR EMPLOYEE BENEFITS
Long-term direct benefits
Post-employment benefits
Pensions
Seniority bonus
Other post-employment benefits
Termination benefits
Termination benefits for reasons other than restructuring
Termination benefits due to restructuring
PROVISIONS FOR DIVERSE OBLIGATIONS
Fees
Rent
Promotion and advertising expenses
Technology expenses
Other provisions
OTHER DIVERSE CREDITORS
SUBORDINATED OBLIGATIONS IN CIRCULATION
SUBORDINATED OBLIGATIONS
OF FORCED CONVERSION
OF HOLDER'S DECISION CONVERSION
OF ISSUER ENTITY'S DECISION CONVERSION
NON-CONVERTIBLE
DEFERRED TAXES AND PTU (AT CHARGE)
DEFERRED INCOME TAXES (AT CHARGE)
DEFERRED EMPLOYEE PARTICIPATION IN PROFITS (AT CHARGE)
DEFERRED CREDITS AND ADVANCED CHARGES
DEFERRED CREDITS
OTHER INCOMES TO BE APPLIED
PREMIUM TO AMORTIZE FOR DEBT PLACEMENT
OTHER DEFERRED CREDITS
ADVANCED CHARGES
Interest collected in advance
Commissions collected in advance
Advanced charges of goods promised for sale or with reservation of ownership
Other advanced charges
ACCOUNTING CAPITAL
CONTRIBUTED CAPITAL
SOCIAL CAPITAL
FIXED
VARIABLE
UNPAID SOCIAL CAPITAL
FIXED
VARIABLE
INCREASE BY UPDATING PAID SOCIAL CAPITAL (1)
FIXED
VARIABLE
CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES FORMALIZED IN SHAREHOLDERS' MEETING
INCREASE BY UPDATING CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES FORMALIZED IN SHAREHOLDERS' MEETING (1)
PREMIUM ON SHARE SALE
INCREASE BY UPDATING PREMIUM ON SHARE SALE (1)
SUBORDINATED OBLIGATIONS IN CIRCULATION
INCREASE BY UPDATING SUBORDINATED OBLIGATIONS IN CIRCULATION (1)
EARNED CAPITAL
CAPITAL RESERVES
LEGAL RESERVE
OTHER RESERVES
INCREASE BY UPDATING CAPITAL RESERVES (1)
RESULTS OF PRIOR PERIODS
RESULT TO BE APPLIED
RESULT FROM ACCOUNTING CHANGES AND ERROR CORRECTIONS
INCREASE BY UPDATING RESULTS OF PRIOR PERIODS (1)
RESULT FROM VALUATION OF AVAILABLE FOR SALE SECURITIES
VALUATION
MONETARY POSITION RESULT (1)
EFFECT OF DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE DEFERRED INCOME TAXES
INCREASE BY UPDATING RESULT FROM VALUATION OF AVAILABLE FOR SALE SECURITIES (1)
RESULT FROM VALUATION OF CASH FLOW HEDGING INSTRUMENTS
VALUATION
MONETARY POSITION RESULT (1)
EFFECT OF DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE DEFERRED INCOME TAXES
INCREASE BY UPDATING RESULT FROM VALUATION OF CASH FLOW HEDGING INSTRUMENTS (1)
ACCUMULATED EFFECT FROM CONVERSION
VALUATION
MONETARY POSITION RESULT (1)
EFFECT OF DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE DEFERRED INCOME TAXES
INCREASE BY UPDATING ACCUMULATED EFFECT FROM CONVERSION (1)
REMEDIATIONS FOR DEFINED EMPLOYEE BENEFITS
ACTUARIAL RESULTS IN OBLIGATIONS
Valuation
Monetary position result (1)
Effect of deferred income taxes
Estimate for non-recoverable deferred income taxes
RESULT IN THE RETURN OF PLAN ASSETS
Valuation
Monetary position result (1)
Effect of deferred income taxes
Estimate for non-recoverable deferred income taxes
INCREASE BY UPDATING REMEDIATIONS FOR DEFINED EMPLOYEE BENEFITS (1)
RESULT FROM HOLDING NON-MONETARY ASSETS
FROM VALUATION OF FIXED ASSET
INCREASE BY UPDATING RESULT FROM HOLDING NON-MONETARY ASSETS (1)
NET RESULT
(1) These concepts will be applicable under an inflationary economic environment based on what is established in the Financial Reporting Standard B-10 "Effects of Inflation", issued by the Mexican Council of Financial Reporting Standards, A.C. (CINIF).
Brokerage Houses
Series R10 Reclassifications
Report A-1012 Reclassifications in the income statement
Includes figures in national currency, foreign currency and UDIS valued in pesos
Figures in pesos
Concept
Minimum catalog balance
Derivatives expensed for trading purposes
Derivatives expensed for hedging purposes
Adjustments for discontinued operations
Other compensations
Financial statement of the brokerage house
N.U. and UDIS
F.C.
Total
Debit
Credit
Debit
Credit
Debit
Credit
Debit
Credit
COMMISSIONS AND FEES CHARGED
SECURITIES TRADING
TRUST ACTIVITIES
CUSTODY OR ADMINISTRATION OF ASSETS
PUBLIC OFFERINGS
OF SECURITIES REGISTERED IN THE RNV
OF OTHER SECURITIES
OPERATIONS WITH GOLD AND SILVER
FINANCIAL INTERMEDIATION
OPERATIONS WITH INVESTMENT COMPANIES
OTHER COMMISSIONS AND FEES CHARGED
INCREASE BY UPDATING COMMISSIONS AND FEES CHARGED (1)
COMMISSIONS AND FEES PAID
SECURITIES TRADING
FUND TRANSFER
LOANS RECEIVED
DEBT PLACEMENT
MEXICAN STOCK EXCHANGE
FINANCIAL INTERMEDIARIES
INDEVAL
OTHER COMMISSIONS AND FEES PAID
INCREASE BY UPDATING COMMISSIONS AND FEES PAID (1)
FINANCIAL ADVISORY INCOME
FINANCIAL ADVISORY INCOME
INCREASE BY UPDATING FINANCIAL ADVISORY INCOME (1)
RESULT FROM SERVICES
PROFIT FROM TRADING
TRADING SECURITIES
AVAILABLE FOR SALE SECURITIES
HELD-TO-MATURITY SECURITIES
DERIVATIVES FOR TRADING PURPOSES
DERIVATIVES FOR HEDGING PURPOSES
SALE OF RECEIVED COLLATERAL
CURRENCIES
COINED PRECIOUS METALS
INCREASE BY UPDATING PROFIT FROM TRADING (1)
LOSS FROM TRADING
TRADING SECURITIES
AVAILABLE FOR SALE SECURITIES
HELD-TO-MATURITY SECURITIES
DERIVATIVES FOR TRADING PURPOSES
DERIVATIVES FOR HEDGING PURPOSES
SALE OF RECEIVED COLLATERAL
CURRENCIES
COINED PRECIOUS METALS
TRANSACTION COSTS
FOR TRADING SECURITIES
FOR DERIVATIVES TRADING
INCREASE BY UPDATING LOSS FROM TRADING (1)
INTEREST INCOME
INTEREST ON LIQUIDITIES
BANKS
RESTRICTED LIQUIDITIES OR GIVEN AS GUARANTEE
INTERESTS AND YIELDS IN FAVOR ARISING FROM MARGIN ACCOUNTS
CASH
SECURITIES
OTHER ASSETS
INTERESTS AND YIELDS IN FAVOR ARISING FROM INVESTMENTS IN SECURITIES
FOR TRADING SECURITIES
FOR AVAILABLE FOR SALE SECURITIES
FOR HELD-TO-MATURITY SECURITIES
INTERESTS AND YIELDS IN FAVOR IN REPO OPERATIONS
INCOME ARISING FROM HEDGING OPERATIONS
PREMIUMS IN FAVOR IN SECURITIES LENDING OPERATIONS
PREMIUMS FOR DEBT PLACEMENT
MARKET LIABILITIES
SUBORDINATED OBLIGATIONS
DIVIDENDS FROM EQUITY INSTRUMENTS
PROFIT FROM VALUATION
PROFIT FROM VALUATION CHANGES
VALUATION OF INDEXED INSTRUMENTS
VALUATION OF UDIS ITEMS
INCREASE BY UPDATING INTEREST INCOME (1)
INTEREST EXPENSES
INTERESTS ON MARKET LIABILITIES
INTERESTS ON BANK LOANS AND LOANS FROM OTHER ENTITIES
INTERESTS ON SUBORDINATED OBLIGATIONS
OF FORCED CONVERSION
OF HOLDER'S DECISION CONVERSION
OF ISSUER ENTITY'S DECISION CONVERSION
NON-CONVERTIBLE
INTERESTS AND YIELDS AT CHARGE IN REPO OPERATIONS
EXPENSES ARISING FROM HEDGING OPERATIONS
PREMIUMS AT CHARGE IN SECURITIES LENDING OPERATIONS
DISCOUNTS FOR DEBT PLACEMENT
MARKET LIABILITIES
SUBORDINATED OBLIGATIONS
EMISSION EXPENSES FOR DEBT PLACEMENT
LOSS FROM VALUATION
LOSS FROM VALUATION CHANGES
VALUATION OF INDEXED INSTRUMENTS
VALUATION OF UDIS ITEMS
INCREASE BY UPDATING INTEREST EXPENSES (1)
RESULT FROM FAIR VALUE VALUATION
RESULT FROM FAIR VALUE VALUATION
TRADING SECURITIES
DERIVATIVES FOR TRADING PURPOSES
DERIVATIVES FOR HEDGING PURPOSES
OF AVAILABLE FOR SALE SECURITIES IN FAIR VALUE HEDGES
SOLD COLLATERAL
LOSS FROM IMPAIRMENT OR EFFECT FROM REVERSAL OF IMPAIRMENT OF SECURITIES AND DERIVATIVES
AVAILABLE FOR SALE SECURITIES
HELD-TO-MATURITY SECURITIES
DERIVATIVES
RESULT FROM CURRENCY VALUATION
RESULT FROM VALUATION OF COINED PRECIOUS METALS
INCREASE BY UPDATING RESULT FROM FAIR VALUE VALUATION (1)
NET MONETARY POSITION RESULT (FINANCIAL MARGIN FROM INTERMEDIATION)
MONETARY POSITION RESULT ARISING FROM POSITIONS THAT GENERATE FINANCIAL MARGIN (DEBIT BALANCE)
MONETARY POSITION RESULT ARISING FROM POSITIONS THAT GENERATE FINANCIAL MARGIN (CREDIT BALANCE)
INCREASE BY UPDATING NET MONETARY POSITION RESULT (FINANCIAL MARGIN) (1)
FINANCIAL MARGIN FROM INTERMEDIATION
OTHER INCOME (EXPENSES) FROM OPERATIONS
RECOVERIES
TAXES
EXCESS IN BENEFITS TO BE RECEIVED IN SECURITIZATION OPERATIONS
OTHER RECOVERIES
FINANCIAL COST FOR CAPITALIZABLE LEASE
AFFECTATIONS TO THE ESTIMATE FOR UNCOLLECTABILITY OR DIFFICULT COLLECTION
LOSSES
FRAUDS
DISASTERS
OTHER LOSSES
DIVIDENDS FROM PERMANENT INVESTMENTS
DIVIDENDS FROM OTHER PERMANENT INVESTMENTS
DIVIDENDS FROM PERMANENT INVESTMENTS IN ASSOCIATES AVAILABLE FOR SALE
DONATIONS
LOSS IN CUSTODY AND ADMINISTRATION OF ASSETS
LOSS IN TRUST OPERATIONS
LOSS FROM IMPAIRMENT OR EFFECT FROM REVERSAL OF IMPAIRMENT
OF REAL ESTATE
OF GOODWILL
OF OTHER PERMANENT INVESTMENTS VALUED AT COST
OF OTHER LONG-TERM ASSETS
OF OTHER ASSETS
INTERESTS AT CHARGE IN FINANCING FOR ASSET ACQUISITION
PROFIT FROM SALE OF REAL ESTATE FURNITURE AND EQUIPMENT
CANCELLATION OF THE ESTIMATE FOR UNCOLLECTABILITY OR DIFFICULT COLLECTION
CANCELLATION OF OTHER LIABILITY ACCOUNTS
INTERESTS IN FAVOR ARISING FROM LOANS TO OFFICIALS AND EMPLOYEES
INCOME FROM LEASING
PROFIT FROM VALUATION OF BENEFITS TO BE RECEIVED IN SECURITIZATION OPERATIONS
PROFIT FROM VALUATION OF ASSET FOR ADMINISTRATION OF TRANSFERRED ASSETS
PROFIT FROM VALUATION OF LIABILITY FOR
TRANSFERRED ASSET MANAGEMENT
LOSS ON SALE OF REAL ESTATE, FURNITURE, AND EQUIPMENT
LOSS FROM VALUATION OF BENEFITS RECEIVABLE IN SECURITIZATION OPERATIONS
LOSS FROM VALUATION OF ASSET FOR
MANAGEMENT OF TRANSFERRED FINANCIAL ASSETS
LOSS FROM VALUATION OF LIABILITY FOR
MANAGEMENT OF TRANSFERRED FINANCIAL ASSETS
LOSS ON BENEFITS RECEIVABLE IN SECURITIZATION OPERATIONS
OTHER ITEMS OF OPERATING INCOME (EXPENSES)
MONETARY POSITION RESULT ORIGINATED BY
ITEMS NOT RELATED TO THE FINANCIAL MARGIN (1)
RESULT FROM VALUATION OF ITEMS NOT
RELATED TO THE FINANCIAL MARGIN
INCREASE FROM UPDATING OF OTHER OPERATING INCOME (EXPENSES) (1)
ADMINISTRATION AND PROMOTION EXPENSES
SHORT-TERM DIRECT BENEFITS
NET COST OF THE PERIOD DERIVED FROM EMPLOYEE BENEFITS
LONG-TERM DIRECT BENEFITS
POST-EMPLOYMENT BENEFITS
Pensions
Seniority premium
Other post-employment benefits
TERMINATION BENEFITS
Termination benefits for reasons other than restructuring
Termination benefits due to restructuring
EMPLOYEES' PARTICIPATION IN PROFITS
EMPLOYEES' PARTICIPATION IN PROFITS ACCRUED
EMPLOYEES' PARTICIPATION IN PROFITS DEFERRED
ESTIMATE FOR NON-RECOVERABLE DEFERRED PTU
FEES
RENTS
PROMOTION AND ADVERTISING EXPENSES
FEES TO THE AMIB
VARIOUS TAXES AND FEES
NON-DEDUCTIBLE EXPENSES
TECHNOLOGY EXPENSES
DEPRECIATIONS
AMORTIZATIONS
TELEPHONES AND COMMUNICATION EXPENSES
INSPECTION AND SUPERVISION FEES CNBV
CONSERVATION AND MAINTENANCE EXPENSES
OTHER ADMINISTRATION AND PROMOTION EXPENSES
INCREASE FROM UPDATING OF ADMINISTRATION AND PROMOTION EXPENSES (1)
OPERATING RESULT
PARTICIPATION IN THE RESULT OF UNCONSOLIDATED SUBSIDIARIES AND ASSOCIATES
RESULT OF THE PERIOD OF UNCONSOLIDATED SUBSIDIARIES AND ASSOCIATES
IN UNCONSOLIDATED SUBSIDIARIES
Belonging to the financial sector
Not belonging to the financial sector
IN ASSOCIATES
Belonging to the financial sector
Not belonging to the financial sector
INCREASE FROM UPDATING OF PARTICIPATION IN THE RESULT OF UNCONSOLIDATED SUBSIDIARIES AND ASSOCIATES (1)
RESULT BEFORE TAXES ON INCOME
TAXES ON INCOME ACCRUED
TAXES ON INCOME ACCRUED
INCREASE FROM UPDATING OF TAXES ON INCOME ACCRUED (1)
DEFERRED INCOME TAXES
DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE INCOME TAXES
INCREASE FROM UPDATING OF DEFERRED INCOME TAXES (1)
RESULT BEFORE DISCONTINUED OPERATIONS
DISCONTINUED OPERATIONS
DISCONTINUED OPERATIONS
INCREASE FROM UPDATING OF DISCONTINUED OPERATIONS (1)
NET RESULT
(1) These concepts will be applicable under an inflationary economic environment based on what is established in Financial Reporting Standard B-10 "Effects of Inflation", issued by the Mexican Council of Financial Reporting Standards, A.C. (CINIF).
SERIES R12 CONSOLIDATION
This series is integrated by two (2) reports, whose frequency of preparation and presentation must be quarterly.
REPORTS
A-1219
Consolidation of the general balance sheet of the brokerage house with its subsidiaries
It refers to the eliminations that must be made in order to consolidate the information of the brokerage house, with the information of its subsidiaries. The report presents the general balance sheet of the brokerage house, the sum of the general balance sheets of the subsidiaries, the sum disaggregated of the balances and the eliminations.
A-1220
Consolidation of the income statement of the brokerage house with its subsidiaries
It refers to the eliminations that must be made in order to consolidate the information of the brokerage house with the information of its subsidiaries. The report presents the income statement of the brokerage house, the sum of the income statements of the subsidiaries, the disaggregated sum of the income statements and the eliminations.
The data referring to balances and amounts must be presented in national currency, VSM and UDIs valued in pesos and foreign currency valued in pesos using the exchange rate indicated in the current accounting criteria. These amounts and balances must be presented in pesos rounded, without decimals, without commas, without periods and with positive figures. For example: $20,585.70 would be 20586.
CAPTURE FORMAT
Brokerage houses will carry out the sending of the information related to reports A-1219 Consolidation of the general balance sheet of the brokerage house with its subsidiaries, A-1220 Consolidation of the income statement of the brokerage house with its subsidiaries, described above, by means of the use of the following capture format:
REQUESTED INFORMATION
SECTION REPORT IDENTIFIER
PERIOD
ENTITY KEY
NUMBER OF SUBSIDIARIES
SECTION FINANCIAL INFORMATION
SUBSIDIARY KEY
CONCEPT
REPORT
BALANCE TYPE
MOVEMENT TYPE
DATA
Brokerage houses will report the information indicated in this series adjusting to the characteristics and specifications for filling out and sending information presented in the Interinstitutional System for Information Transfer (SITI) or in that which in its case is made known by the National Banking and Securities Commission (CNBV).
Brokerage Houses
Series R12 Consolidation
Report A-1219 Consolidation of the general balance sheet of the brokerage house with its subsidiaries
Includes figures in national currency, foreign currency and UDIs valued in pesos
Figures in pesos
Concept
General Balance of the B.H.
Sum of the General Balance of the subsidiaries
Sum of the General Balance of the B.H. and the subsidiaries
Eliminations
General Balance of the B.H. Consolidated with its subsidiaries
Debit Credit
OFF-BALANCE SHEET ACCOUNTS
CLIENTS CURRENT ACCOUNTS
CLIENTS BANKS
NATIONAL CURRENCY
FOREIGN CURRENCY
CASH IN GUARANTEE FOR LOAN OF SECURITIES
DIVIDENDS COLLECTED FROM CLIENTS
INTERESTS COLLECTED FROM CLIENTS
SETTLEMENT OF CLIENT OPERATIONS
FOR SALE OF SECURITIES
FOR ARBITRAGE
FOR FUTURES OPERATIONS
FOR TRUSTS
S.D. INDEVAL
PREMIUMS COLLECTED FROM CLIENTS
CLIENTS SETTLEMENTS WITH CURRENCIES
MARGIN ACCOUNTS
CREDIT LINES GRANTED TO CLIENTS FOR GUARANTEE
FOR LOAN OF SECURITIES
CREDIT LINES GRANTED TO CLIENTS FOR GUARANTEE
FOR FUTURES OPERATIONS
CREDIT LINES GRANTED TO CLIENTS FOR GUARANTEE
FOR OPTIONS
OTHER CURRENT ACCOUNTS
CLIENT INVESTMENTS DEPOSITED IN BANKS
CUSTODY OPERATIONS
CLIENT SECURITIES RECEIVED IN CUSTODY
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT INSTRUMENTS
EQUITY INSTRUMENTS
Commercial, industrial and service equity instruments
Equity instruments of investment companies
COUPONS
GOLD AND SILVER INVENTORY
SECURITIES IN TRUST
CLIENT SECURITIES ABROAD
MANAGEMENT OPERATIONS
REPO OPERATIONS FOR CLIENT ACCOUNT
DEBTORS FOR REPO FOR CLIENT ACCOUNT
CREDITORS FOR REPO FOR CLIENT ACCOUNT
SECURITIES LOAN OPERATIONS FOR CLIENT ACCOUNT
SECURITIES SUBJECT TO THE OPERATION DELIVERED
Government debt
Bank debt
Other debt instruments
Equity instruments
SECURITIES SUBJECT TO THE OPERATION RECEIVED
Government debt
Bank debt
Other debt instruments
Equity instruments
COLLATERALS RECEIVED AS GUARANTEE FOR CLIENT ACCOUNT
IN REPOS
Government debt
Bank debt
Other debt instruments
IN SECURITIES LOAN
Cash
Government debt
Bank debt
Other debt instruments
Equity instruments
Letters of credit
IN DERIVATIVES
Government debt
Bank debt
Other debt instruments
Equity instruments
Others
OTHER COLLATERALS RECEIVED AS GUARANTEE FOR OTHER OPERATIONS FOR CLIENT ACCOUNT
COLLATERALS DELIVERED AS GUARANTEE FOR CLIENT ACCOUNT
IN REPOS
Government debt
Bank debt
Other debt instruments
IN SECURITIES LOAN
Cash
Government debt
Bank debt
Other debt instruments
Equity instruments
Letters of credit
IN DERIVATIVES
Government debt
Bank debt
Other debt instruments
Equity instruments
Others
OTHER COLLATERALS DELIVERED AS GUARANTEE FOR OTHER OPERATIONS FOR CLIENT ACCOUNT
CLIENT DERIVATIVES PURCHASE OPERATIONS
OF FUTURES AND FORWARDED CONTRACTS OF CLIENTS (NOMINAL AMOUNT)
Futures
Forwarded contracts
OF OPTIONS
OF SWAPS
OF PACKAGES OF CLIENT DERIVATIVE INSTRUMENTS
CLIENT DERIVATIVES SALE OPERATIONS
OF FUTURES AND FORWARDED CONTRACTS OF CLIENTS (NOMINAL AMOUNT)
Futures
Forwarded contracts
OF OPTIONS
OF SWAPS
OF CLIENT DERIVATIVE INSTRUMENT PACKAGES
MANAGED TRUSTS
OPERATIONS FOR OWN ACCOUNT
CONTINGENT ASSETS AND LIABILITIES
COLLATERALS RECEIVED BY THE ENTITY
CASH MANAGED IN TRUST
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT INSTRUMENTS
EQUITY INSTRUMENTS
OTHERS
COLLATERALS RECEIVED AND SOLD OR DELIVERED AS GUARANTEE BY THE ENTITY
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT INSTRUMENTS
EQUITY INSTRUMENTS
OTHERS
OTHER REGISTRATION ACCOUNTS
ASSET
AVAILABILITIES
CASH
BANKS
DEPOSITS IN FINANCIAL ENTITIES
CURRENCIES TO BE DELIVERED
OTHER AVAILABILITIES
COINED PRECIOUS METALS
OTHER AVAILABILITIES
RESTRICTED AVAILABILITIES OR GIVEN AS GUARANTEE
CURRENCIES TO BE RECEIVED
CASH MANAGED IN TRUST
OTHER RESTRICTED AVAILABILITIES OR GIVEN AS GUARANTEE
MARGIN ACCOUNTS (DERIVATIVES)
CASH
SECURITIES
OTHER ASSETS
SECURITIES INVESTMENTS
SECURITIES FOR TRADING
SECURITIES FOR TRADING WITHOUT RESTRICTION
Government debt
In position
To be delivered
Bank debt
In position
To be delivered
Other debt instruments
In position
To be delivered
Equity instruments
In position
To be delivered
SECURITIES FOR TRADING RESTRICTED OR GIVEN AS GUARANTEE IN REPO OPERATIONS
Government debt
Bank debt
Other debt instruments
SECURITIES FOR TRADING RESTRICTED OR GIVEN AS GUARANTEE IN SECURITIES LOAN OPERATIONS
Government debt
Bank debt
Other debt instruments
Equity instruments
SECURITIES FOR TRADING RESTRICTED OR GIVEN AS GUARANTEE (OTHERS)
Government debt
In position
To be received
Bank debt
In position
To be received
Other debt instruments
In position
To be received
Equity instruments
In position
To be received
SECURITIES AVAILABLE FOR SALE
SECURITIES AVAILABLE FOR SALE WITHOUT RESTRICTION
Government debt
In position
To be delivered
Bank debt
In position
To be delivered
Other debt instruments
In position
To be delivered
Equity instruments
In position
To be delivered
SECURITIES AVAILABLE FOR SALE RESTRICTED OR GIVEN AS GUARANTEE IN REPO OPERATIONS
Government debt
Bank debt
Other debt instruments
SECURITIES AVAILABLE FOR SALE RESTRICTED OR GIVEN AS GUARANTEE IN SECURITIES LOAN OPERATIONS
Government debt
Bank debt
Other debt instruments
Equity instruments
SECURITIES AVAILABLE FOR SALE RESTRICTED OR GIVEN AS GUARANTEE (OTHERS)
Government debt
In position
To be received
Bank debt
In position
To be received
Other debt instruments
In position
To be received
Equity instruments
In position
To be received
SECURITIES HELD TO MATURITY
SECURITIES HELD TO MATURITY WITHOUT RESTRICTION
Government debt
In position
To be delivered
Bank debt
In position
To be delivered
Other debt instruments
In position
To be delivered
SECURITIES HELD TO MATURITY RESTRICTED OR GIVEN AS GUARANTEE IN REPO OPERATIONS
Government debt
Bank debt
Other debt instruments
SECURITIES HELD TO MATURITY RESTRICTED OR GIVEN AS GUARANTEE IN SECURITIES LOAN OPERATIONS
Government debt
Bank debt
Other debt instruments
SECURITIES HELD TO MATURITY RESTRICTED OR GIVEN AS GUARANTEE (OTHERS)
Government debt
In position
To be received
Bank debt
In position
To be received
Other debt instruments
In position
To be received
DEBTORS FOR REPO
SECURITIES LOAN
PREMIUMS TO BE RECEIVED
DERIVATIVES
FOR TRADING PURPOSES
FUTURES TO BE RECEIVED
Valuation
FORWARDED CONTRACTS TO BE RECEIVED
Valuation
Impairment
OPTIONS
Valuation
Impairment
SWAPS
Valuation
Impairment
PACKAGES OF DERIVATIVE INSTRUMENTS
Valuation
Impairment
FOR HEDGING PURPOSES
FUTURES TO BE RECEIVED
Valuation
Valuation of the primary position
FORWARDED CONTRACTS TO BE RECEIVED
Valuation
Valuation of the primary position
Impairment
OPTIONS
Valuation
Valuation of the primary position
Impairment
SWAPS
Valuation
Valuation of the primary position
Impairment
PACKAGES OF DERIVATIVE INSTRUMENTS
Valuation
Valuation of the primary position
Impairment
VALUATION ADJUSTMENTS FOR HEDGING OF FINANCIAL ASSETS
BENEFITS RECEIVABLE IN SECURITIZATION OPERATIONS
BENEFITS ON THE REMAINDER IN SECURITIZATION OPERATIONS
ASSET FOR MANAGEMENT OF TRANSFERRED FINANCIAL ASSETS
ACCOUNTS RECEIVABLE
DEBTORS FOR SETTLEMENT OF OPERATIONS
CURRENCY EXCHANGE
SECURITIES INVESTMENTS
REPOS
SECURITIES LOAN
DERIVATIVES
FOR ISSUANCE OF SECURITIES
DEBTORS FOR MARGIN ACCOUNTS (DERIVATIVES)
DEBTORS FOR COLLATERALS GRANTED IN CASH
FIDUCIARY RIGHTS
VARIOUS DEBTORS
PREMIUMS, COMMISSIONS AND FEES TO BE RECEIVED
CURRENT ACCOUNT AND MARGIN CLIENTS
BALANCES IN FAVOR OF TAXES AND CREDITABLE TAXES
LOANS AND OTHER DEBTS OF PERSONNEL
OTHER DEBTORS
ESTIMATE FOR UNRECOVERABILITY OR DIFFICULT COLLECTION
REAL ESTATE, FURNITURE, AND EQUIPMENT
REAL ESTATE, FURNITURE, AND EQUIPMENT
LAND
BUILDINGS
BUILDINGS IN PROCESS
TRANSPORT EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER REAL ESTATE, FURNITURE, AND EQUIPMENT
REVALUATION OF REAL ESTATE, FURNITURE, AND EQUIPMENT (1)
LAND
BUILDINGS
BUILDINGS IN PROCESS
TRANSPORT EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER REVALUATIONS OF REAL ESTATE, FURNITURE, AND EQUIPMENT
ACCUMULATED DEPRECIATION OF REAL ESTATE, FURNITURE, AND EQUIPMENT
BUILDINGS
TRANSPORT EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER ACCUMULATED DEPRECIATIONS OF REAL ESTATE, FURNITURE, AND EQUIPMENT
REVALUATION OF ACCUMULATED DEPRECIATION OF REAL ESTATE, FURNITURE, AND EQUIPMENT (1)
BUILDINGS
TRANSPORT EQUIPMENT
COMPUTER EQUIPMENT
FURNITURE
ADAPTATIONS AND IMPROVEMENTS
OTHER REVALUATIONS OF ACCUMULATED DEPRECIATION OF REAL ESTATE, FURNITURE, AND EQUIPMENT
PERMANENT INVESTMENTS
SUBSIDIARIES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
ASSOCIATES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
OTHER PERMANENT INVESTMENTS
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
LONG-TERM ASSETS AVAILABLE FOR SALE
SUBSIDIARIES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
ASSOCIATES
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
OTHER LONG-TERM ASSETS AVAILABLE FOR SALE
BELONGING TO THE FINANCIAL SECTOR
NOT BELONGING TO THE FINANCIAL SECTOR
DEFERRED TAXES AND PTU (IN FAVOR)
DEFERRED INCOME TAXES (IN FAVOR)
DEFERRED EMPLOYEES' PARTICIPATION IN PROFITS (IN FAVOR)
ESTIMATE FOR NON-RECOVERABLE DEFERRED TAXES AND PTU
OTHER ASSETS
DEFERRED CHARGES, PREPAID EXPENSES AND INTANGIBLES
DEFERRED CHARGES
Discount to be amortized on issued securities
Financial cost to be amortized in capitalizable lease operations
Expenses for issuance of securities
Insurance to be amortized
Other deferred charges
PREPAID EXPENSES
Interest paid in advance
Commissions paid in advance
Advances or provisional payments of taxes
Rents paid in advance
Other prepaid expenses
INTANGIBLES
Goodwill
From subsidiaries
From associates
Revaluation of goodwill (1)
From subsidiaries
From associates
Organization expenses
Revaluation of organization expenses (1)
Accumulated amortization of organization expenses
Revaluation of accumulated amortization of organization expenses (1)
Other intangibles
Revaluation of other intangibles (1)
Accumulated amortization of other intangibles
Revaluation of accumulated amortization of other intangibles (1)
OTHER SHORT AND LONG-TERM ASSETS
ASSETS OF THE PLAN TO COVER EMPLOYEE BENEFITS
Long-term direct benefits
Termination benefits
Termination benefits for reasons other than restructuring
Termination benefits due to restructuring
Post-employment benefits
Pensions
Seniority premium
Other post-employment benefits
OTHERS
LIABILITY
MARKET LIABILITIES
BANK LOANS AND LOANS FROM OTHER ENTITIES
SHORT-TERM
LOANS FROM MULTIPLE BANKING INSTITUTIONS
LOANS FROM DEVELOPMENT BANKING INSTITUTIONS
LOANS FROM OTHER ENTITIES
LONG-TERM
LOANS FROM MULTIPLE BANKING INSTITUTIONS
LOANS FROM DEVELOPMENT BANKING INSTITUTIONS
LOANS FROM OTHER ENTITIES
SECURITIES ALLOCATED FOR SETTLEMENT
CREDITORS FOR REPO
SECURITIES LOAN
PREMIUMS TO BE DELIVERED
COLLATERALS SOLD OR GIVEN AS GUARANTEE
REPOS
REPORTING ENTITY'S OBLIGATION TO RESTITUTE THE COLLATERAL TO THE REPORTING PARTY
Collaterals sold
Government debt
Bank debt
Other debt instruments
Collaterals given as guarantee
SECURITIES LOAN
BORROWER'S OBLIGATION TO RESTITUTE SECURITIES SUBJECT TO THE OPERATION TO THE LENDER
Collaterals sold
Government debt
Bank debt
Other debt instruments
Equity instruments
LENDER'S OBLIGATION TO RESTITUTE THE COLLATERAL TO THE BORROWER
Collaterals sold
Government debt
Bank debt
Other debt instruments
Equity instruments
DERIVATIVES
COLLATERALS SOLD
Government debt
Bank debt
Other debt instruments
Equity instruments
Others
OTHER COLLATERALS SOLD
DERIVATIVES
FOR TRADING PURPOSES
FUTURES TO BE DELIVERED
Valuation
FORWARDED CONTRACTS TO BE DELIVERED
Valuation
Impairment
OPTIONS
Valuation
Impairment
SWAPS
Valuation
Impairment
PACKAGES OF DERIVATIVE INSTRUMENTS
Valuation
Impairment
FOR HEDGING PURPOSES
FUTURES TO BE DELIVERED
Valuation
Valuation of the primary position
FORWARDED CONTRACTS TO BE DELIVERED
Valuation
Valuation of the primary position
Impairment
OPTIONS
Valuation
Valuation of the primary position
Impairment
SWAPS
Valuation
Valuation of the primary position
Impairment
PACKAGES OF DERIVATIVE INSTRUMENTS
Valuation
Valuation of the primary position
Impairment
VALUATION ADJUSTMENTS FOR HEDGING OF FINANCIAL LIABILITIES
OBLIGATIONS IN SECURITIZATION OPERATIONS
LIABILITIES FOR MANAGEMENT OF TRANSFERRED FINANCIAL ASSETS
OTHER ACCOUNTS PAYABLE
INCOME TAXES TO BE PAID
INCOME TAXES (PROVISIONAL PAYMENTS)
INCOME TAXES (REAL CALCULATION)
EMPLOYEES' PARTICIPATION IN PROFITS TO BE PAID
CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES
PENDING TO BE FORMALIZED IN SHAREHOLDERS' MEETING
CREDITORS FOR SETTLEMENT OF OPERATIONS
CURRENCY EXCHANGE
SECURITIES INVESTMENTS
REPOS
SECURITIES LOAN
DERIVATIVES
CREDITORS FOR MARGIN ACCOUNTS
CREDITORS FOR COLLATERALS RECEIVED IN CASH
VARIOUS CREDITORS AND OTHER ACCOUNTS PAYABLE
COMMISSIONS TO BE PAID ON ONGOING OPERATIONS
LIABILITY FOR CAPITALIZABLE LEASE
GUARANTEE DEPOSITS
CREDITORS FOR ACQUISITION OF ASSETS
DIVIDENDS TO BE PAID
CREDITORS FOR MAINTENANCE SERVICE
VALUE ADDED TAX
OTHER TAXES AND FEES TO BE PAID
TAXES AND SOCIAL SECURITY CONTRIBUTIONS
WITHHELD FOR REMITTANCE
SHORT-TERM DIRECT BENEFITS
PROVISION FOR EMPLOYEE BENEFITS
Long-term direct benefits
Post-employment benefits
Pensions
Seniority premium
Other post-employment benefits
Termination benefits
Termination benefits for reasons other than restructuring
Termination benefits due to restructuring
PROVISIONS FOR DIVERSE OBLIGATIONS
Fees
Rents
Promotion and advertising expenses
Technology expenses
Other provisions
OTHER DIVERSE CREDITORS
SUBORDINATED OBLIGATIONS IN CIRCULATION
SUBORDINATED OBLIGATIONS
OF FORCED CONVERSION
OF CONVERSION BY HOLDER'S DECISION
OF CONVERSION BY ISSUING ENTITY'S DECISION
NON-CONVERTIBLE
DEFERRED TAXES AND PTU (AT CHARGE)
DEFERRED INCOME TAXES (AT CHARGE)
DEFERRED EMPLOYEES' PARTICIPATION IN PROFITS (AT CHARGE)
DEFERRED CREDITS AND ADVANCED CHARGES
DEFERRED CREDITS
OTHER INCOMES TO BE APPLIED
PREMIUM TO BE AMORTIZED BY PLACEMENT OF DEBT
OTHER DEFERRED CREDITS
ADVANCED CHARGES
INTERESTS COLLECTED IN ADVANCE
COMMISSIONS COLLECTED IN ADVANCE
ADVANCED CHARGES OF GOODS PROMISED FOR SALE OR WITH RESERVATION OF DOMINION
OTHER ADVANCED CHARGES
OWN EQUITY
CONTROLLING INTEREST
CONTRIBUTED CAPITAL
SOCIAL CAPITAL
FIXED
VARIABLE
UNPAID SOCIAL CAPITAL
FIXED
VARIABLE
INCREASE FROM UPDATING OF PAID SOCIAL CAPITAL (1)
FIXED
VARIABLE
CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES
FORMALIZED IN SHAREHOLDERS' MEETING
INCREASE FROM UPDATING OF CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES FORMALIZED IN SHAREHOLDERS' MEETING (1)
SHARE PREMIUM
INCREASE FROM UPDATING OF SHARE PREMIUM (1)
SUBORDINATED OBLIGATIONS IN CIRCULATION
INCREASE FROM UPDATING OF SUBORDINATED OBLIGATIONS IN CIRCULATION (1)
EARNED CAPITAL
CAPITAL RESERVES
LEGAL RESERVE
OTHER RESERVES
INCREASE FROM UPDATING OF CAPITAL RESERVES (1)
RESULT OF PRIOR PERIODS
RESULT TO BE APPLIED
RESULT FROM ACCOUNTING CHANGES AND CORRECTIONS OF ERRORS
INCREASE FROM UPDATING OF RESULT OF PRIOR PERIODS (1)
RESULT FROM VALUATION OF SECURITIES AVAILABLE FOR SALE
VALUATION
MONETARY POSITION RESULT (1)
EFFECT OF DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE DEFERRED INCOME TAXES
INCREASE FROM UPDATING OF RESULT FROM VALUATION OF SECURITIES AVAILABLE FOR SALE (1)
RESULT FROM VALUATION OF CASH FLOW HEDGING INSTRUMENTS
VALUATION
MONETARY POSITION RESULT (1)
EFFECT OF DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE DEFERRED INCOME TAXES
INCREASE FROM UPDATING OF RESULT FROM VALUATION OF CASH FLOW HEDGING INSTRUMENTS (1)
ACCUMULATED EFFECT FROM CONVERSION
VALUATION
MONETARY POSITION RESULT (1)
EFFECT OF DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE DEFERRED INCOME TAXES
INCREASE FROM UPDATING OF ACCUMULATED EFFECT FROM CONVERSION (1)
REMEDIATIONS FOR DEFINED EMPLOYEE BENEFITS
ACTUARIAL RESULTS IN OBLIGATIONS
Valuation
Result from monetary position (1)
Effect of deferred income taxes
Estimate for non-recoverable deferred income taxes
RESULT FROM THE RETURN OF THE PLAN'S ASSETS
Valuation
Result from monetary position (1)
Effect of deferred income taxes
Estimate for non-recoverable deferred income taxes
INCREASE FROM UPDATING REMEDIES FOR
DEFINED BENEFITS TO EMPLOYEES (1)
RESULT FROM HOLDING NON-MONETARY ASSETS
FROM VALUATION OF FIXED ASSETS
INCREASE FROM UPDATING THE RESULT FROM
HOLDING NON-MONETARY ASSETS (1)
NET RESULT
NON-CONTROLLING INTEREST
Net result corresponding to the non-controlling interest
Other non-controlling interest
(1) These items will be applicable under an inflationary economic environment based on what is established in Financial Reporting Standard B-10 "Effects of Inflation", issued by the Mexican Council of Financial Reporting Standards, A.C. (CINIF).
Brokerage Houses
Series R12 Consolidation
Report A-1220 Consolidation of the brokerage house's statement of results with its subsidiaries
Includes figures in national currency, foreign currency, and UDIS valued in pesos
Figures in pesos
Concept
Brokerage House Statement of Results
Sum of the Statement of Results of the Subsidiaries
Sum of the Statement of Results of the Brokerage House and the Subsidiaries
Eliminations
Consolidated Statement of Results of the Brokerage House with its Subsidiaries
Debit Credit
COMMISSIONS AND FEES CHARGED
SECURITIES TRADING
FIDUCIARY ACTIVITIES
CUSTODY OR ADMINISTRATION OF ASSETS
PUBLIC OFFERINGS
OF SECURITIES REGISTERED IN THE RNV
OF OTHER SECURITIES
OPERATIONS WITH GOLD AND SILVER
FINANCIAL INTERMEDIATION
OPERATIONS WITH INVESTMENT COMPANIES
OTHER COMMISSIONS AND FEES CHARGED
INCREASE FROM UPDATING COMMISSIONS AND FEES CHARGED (1)
COMMISSIONS AND FEES PAID
SECURITIES TRADING
FUND TRANSFERS
LOANS RECEIVED
DEBT PLACEMENT
MEXICAN STOCK EXCHANGE
FINANCIAL INTERMEDIARIES
INDEVAL
OTHER COMMISSIONS AND FEES PAID
INCREASE FROM UPDATING COMMISSIONS AND FEES PAID (1)
FINANCIAL ADVISORY INCOME
FINANCIAL ADVISORY INCOME
INCREASE FROM UPDATING FINANCIAL ADVISORY INCOME (1)
RESULT FROM SERVICES
GAIN FROM TRADING
TRADING SECURITIES
AVAILABLE FOR SALE SECURITIES
Held-to-Maturity Securities
DERIVATIVES FOR TRADING PURPOSES
DERIVATIVES FOR HEDGING PURPOSES
SALE OF RECEIVED COLLATERAL
CURRENCIES
COINED PRECIOUS METALS
INCREASE FROM UPDATING GAIN FROM TRADING (1)
LOSS FROM TRADING
TRADING SECURITIES
AVAILABLE FOR SALE SECURITIES
Held-to-Maturity Securities
DERIVATIVES FOR TRADING PURPOSES
DERIVATIVES FOR HEDGING PURPOSES
SALE OF RECEIVED COLLATERAL
CURRENCIES
COINED PRECIOUS METALS
TRANSACTION COSTS
FOR TRADING SECURITIES
FOR TRADING OF DERIVATIVES
INCREASE FROM UPDATING LOSS FROM TRADING (1)
INTEREST INCOME
INTEREST ON AVAILABILITIES
BANKS
RESTRICTED AVAILABILITIES OR GIVEN AS COLLATERAL
INTEREST AND YIELDS IN FAVOR ARISING FROM MARGIN ACCOUNTS
CASH
SECURITIES
OTHER ASSETS
INTEREST AND YIELDS IN FAVOR ARISING FROM INVESTMENTS IN SECURITIES
FOR TRADING SECURITIES
FOR AVAILABLE FOR SALE SECURITIES
FOR HELD-TO-MATURITY SECURITIES
INTEREST AND YIELDS IN FAVOR IN REPO OPERATIONS
INCOME ARISING FROM HEDGING OPERATIONS
PREMIUMS IN FAVOR IN SECURITIES LENDING OPERATIONS
PREMIUMS FROM DEBT PLACEMENT
MARKETABLE SECURITIES
SUBORDINATED BONDS
DIVIDENDS ON EQUITY INSTRUMENTS
GAIN FROM VALUATION
GAIN FROM VALUATION CHANGES
VALUATION OF INDEXED INSTRUMENTS
VALUATION OF ITEMS IN UDIS
INCREASE FROM UPDATING INTEREST INCOME (1)
INTEREST EXPENSES
INTEREST ON MARKETABLE SECURITIES
INTEREST ON BANK LOANS AND FROM OTHER ORGANISMS
INTEREST ON SUBORDINATED BONDS
OF FORCED CONVERSION
OF CONVERSION BY HOLDER'S DECISION
OF CONVERSION BY ISSUER ENTITY'S DECISION
NON-CONVERTIBLE
INTEREST AND YIELDS IN FAVOR IN REPO OPERATIONS
EXPENSES ARISING FROM HEDGING OPERATIONS
PREMIUMS IN FAVOR IN SECURITIES LENDING OPERATIONS
DISCOUNTS FROM DEBT PLACEMENT
MARKETABLE SECURITIES
SUBORDINATED BONDS
ISSUANCE EXPENSES FROM DEBT PLACEMENT
LOSS FROM VALUATION
LOSS FROM VALUATION CHANGES
VALUATION OF INDEXED INSTRUMENTS
VALUATION OF ITEMS IN UDIS
INCREASE FROM UPDATING INTEREST EXPENSES (1)
RESULT FROM VALUATION AT FAIR VALUE
RESULT FROM VALUATION AT FAIR VALUE
TRADING SECURITIES
DERIVATIVES FOR TRADING PURPOSES
DERIVATIVES FOR HEDGING PURPOSES
OF AVAILABLE FOR SALE SECURITIES IN FAIR VALUE HEDGES
SOLD COLLATERAL
LOSS FROM IMPAIRMENT OR EFFECT FROM REVERSAL OF IMPAIRMENT OF SECURITIES AND DERIVATIVES
AVAILABLE FOR SALE SECURITIES
HELD-TO-MATURITY SECURITIES
DERIVATIVES
RESULT FROM VALUATION OF CURRENCIES
RESULT FROM VALUATION OF PRECIOUS METALS
COINED
INCREASE FROM UPDATING RESULT FROM VALUATION AT FAIR VALUE (1)
RESULT FROM NET MONETARY POSITION (FINANCIAL MARGIN FROM INTERMEDIATION)
RESULT FROM MONETARY POSITION ARISING FROM POSITIONS THAT GENERATE FINANCIAL MARGIN (DEBIT BALANCE)
RESULT FROM MONETARY POSITION ARISING FROM POSITIONS THAT GENERATE FINANCIAL MARGIN (CREDIT BALANCE)
INCREASE FROM UPDATING RESULT FROM NET MONETARY POSITION (FINANCIAL MARGIN) (1)
FINANCIAL MARGIN FROM INTERMEDIATION
OTHER INCOMES (EXPENSES) FROM OPERATION
RECOVERIES
TAXES
EXCESS IN BENEFITS TO RECEIVE IN SECURITIZATION OPERATIONS
OTHER RECOVERIES
FINANCIAL COST FOR CAPITALIZABLE LEASE
CHARGES TO THE ESTIMATE FOR UNRECOVERABILITY OR DIFFICULT COLLECTION
LOSSES
FRAUDS
CLAIMS
OTHER LOSSES
DIVIDENDS ON PERMANENT INVESTMENTS
DIVIDENDS ON OTHER PERMANENT INVESTMENTS
DIVIDENDS ON PERMANENT INVESTMENTS IN ASSOCIATES
AVAILABLE FOR SALE
DONATIONS
LOSS IN CUSTODY AND ADMINISTRATION OF ASSETS
LOSS IN TRUST OPERATIONS
LOSS FROM IMPAIRMENT OR EFFECT FROM REVERSAL OF IMPAIRMENT
OF REAL ESTATE
OF COMMERCIAL CREDIT
OF OTHER PERMANENT INVESTMENTS VALUED AT COST
OF OTHER LONG-TERM ASSETS
OF OTHER ASSETS
INTEREST IN FAVOR IN FINANCING FOR ACQUISITION OF ASSETS
GAIN FROM SALE OF REAL ESTATE, FURNITURE AND EQUIPMENT
CANCELLATION OF THE ESTIMATE FOR UNRECOVERABILITY OR DIFFICULT COLLECTION
CANCELLATION OF OTHER LIABILITY ACCOUNTS
INTEREST IN FAVOR ARISING FROM LOANS TO OFFICIALS AND EMPLOYEES
INCOME FROM LEASING
GAIN FROM VALUATION OF BENEFITS TO RECEIVE IN SECURITIZATION OPERATIONS
GAIN FROM VALUATION OF ASSET FOR ADMINISTRATION OF TRANSFERRED ASSETS
GAIN FROM VALUATION OF LIABILITY FOR ADMINISTRATION OF TRANSFERRED ASSETS
LOSS FROM SALE OF REAL ESTATE, FURNITURE AND EQUIPMENT
LOSS FROM VALUATION OF BENEFITS TO RECEIVE IN SECURITIZATION OPERATIONS
LOSS FROM VALUATION OF ASSET FOR ADMINISTRATION OF TRANSFERRED FINANCIAL ASSETS
LOSS FROM VALUATION OF LIABILITY FOR ADMINISTRATION OF TRANSFERRED FINANCIAL ASSETS
LOSS IN BENEFITS TO RECEIVE IN SECURITIZATION OPERATIONS
OTHER ITEMS FROM INCOMES (EXPENSES) FROM OPERATION
RESULT FROM MONETARY POSITION ORIGINATED BY ITEMS NOT RELATED TO THE FINANCIAL MARGIN (1)
RESULT FROM VALUATION OF ITEMS NOT RELATED to the FINANCIAL MARGIN
INCREASE FROM UPDATING OTHER INCOMES (EXPENSES) FROM OPERATION (1)
ADMINISTRATION AND PROMOTION EXPENSES
SHORT-TERM DIRECT BENEFITS
NET COST OF THE PERIOD DERIVED FROM BENEFITS TO EMPLOYEES
LONG-TERM DIRECT BENEFITS
POST-EMPLOYMENT BENEFITS
Pensions
Seniority premium
Other post-employment benefits
TERMINATION BENEFITS
Termination benefits for reasons other than restructuring
Termination benefits due to restructuring
EMPLOYEES' PARTICIPATION IN PROFITS
EMPLOYEES' PARTICIPATION IN PROFITS
INCURRED
EMPLOYEES' PARTICIPATION IN PROFITS
DEFERRED
ESTIMATE FOR NON-RECOVERABLE DEFERRED PTU
FEES
RENTS
PROMOTION AND ADVERTISING EXPENSES
FEES TO THE AMIB
VARIOUS TAXES AND DUTIES
NON-DEDUCTIBLE EXPENSES
TECHNOLOGY EXPENSES
DEPRECIATIONS
AMORTIZATIONS
TELEPHONES AND COMMUNICATION EXPENSES
FEES FOR INSPECTION AND SUPERVISION CNBV
CONSERVATION AND MAINTENANCE EXPENSES
OTHER ADMINISTRATION AND PROMOTION EXPENSES
INCREASE FROM UPDATING ADMINISTRATION AND PROMOTION EXPENSES (1)
OPERATING RESULT
PARTICIPATION IN THE RESULT OF NON-CONSOLIDATED SUBSIDIARIES AND ASSOCIATES
RESULT OF THE PERIOD OF NON-CONSOLIDATED SUBSIDIARIES AND ASSOCIATES
IN NON-CONSOLIDATED SUBSIDIARIES
Belonging to the financial sector
Not belonging to the financial sector
IN ASSOCIATES
Belonging to the financial sector
Not belonging to the financial sector
INCREASE FROM UPDATING PARTICIPATION IN THE RESULT OF NON-CONSOLIDATED SUBSIDIARIES AND ASSOCIATES (1)
RESULT BEFORE INCOME TAXES
INCOME TAXES INCURRED
INCOME TAXES INCURRED
INCREASE FROM UPDATING INCOME TAXES INCURRED (1)
DEFERRED INCOME TAXES
DEFERRED INCOME TAXES
ESTIMATE FOR NON-RECOVERABLE INCOME TAXES
INCREASE FROM UPDATING DEFERRED INCOME TAXES (1)
RESULT BEFORE DISCONTINUED OPERATIONS
DISCONTINUED OPERATIONS
DISCONTINUED OPERATIONS
INCREASE FROM UPDATING DISCONTINUED OPERATIONS (1)
NET RESULT
CONTROLLING INTEREST
NON-CONTROLLING INTEREST
(1) These items will be applicable under an inflationary economic environment based on what is established in Financial Reporting Standard B-10 "Effects of Inflation", issued by the Mexican Council of Financial Reporting Standards, A.C. (CINIF).
SERIES R13 FINANCIAL STATEMENTS
This series is composed of four (4) reports, whose frequency of preparation and presentation must be quarterly for report A-1311 Statement of Changes in Shareholders' Equity of the brokerage house and A-1316 Statement of Cash Flows of the brokerage house, and monthly for report B-1321 Balance Sheet of the brokerage house and B-1322 Statement of Results of the brokerage house.
REPORTS
A-1311
Statement of Changes in Shareholders' Equity of the brokerage house
In this report, the balances of all shareholders' equity concepts of the brokerage house at the beginning of the period are requested, showing the movements occurred during the period being reported, as well as the shareholders' equity balances at the end of the period, where the movements refer to the increases or decreases in shareholders' equity originated by shareholder decisions and the recognition of comprehensive income.
A-1316
Statement of Cash Flows of the brokerage house
In this report, the amounts of changes occurred in the structure of the brokerage house's finances are requested. These changes refer to the differences, classified according to resources generated or used by operations, by financing activities and by investment activities, in the various items of the initial and final balance sheet of the period being reported. It must also reflect the increase or decrease in cash and equivalents during the period.
B-1321
Balance Sheet of the brokerage house
In this report, the total balances at the end of the period of the different concepts that make up the brokerage house's balance sheet are requested. The balances are found classified into assets, liabilities, shareholders' equity, and off-balance-sheet accounts.
B-1322
Statement of Results of the brokerage house
In this report, relevant information about the operations carried out by the brokerage house during the period being reported is requested.
The information is classified into income, costs, and expenses, as well as the resulting profit or loss in the period.
CAPTURE FORMAT
Brokerage houses will carry out the submission of information related to reports A-1311 Statement of Changes in Shareholders' Equity of the brokerage house and A-1316 Statement of Cash Flows of the brokerage house, described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER
PERIOD
INSTITUTION KEY
FINANCIAL INFORMATION SECTION
CONCEPT
REPORT
BALANCE TYPE
DATA
Brokerage houses will carry out the submission of information related to reports B-1321 Balance Sheet of the brokerage house and B-1322 Statement of Results of the brokerage house, described above, by using the following capture format:
REQUESTED INFORMATION
REPORT IDENTIFIER
PERIOD
INSTITUTION KEY
FINANCIAL INFORMATION SECTION
CONCEPT
REPORT
DATA
Brokerage houses will report the information indicated in this series adjusting to the characteristics and specifications for filling out and submitting information presented in the Interinstitutional Information Transfer System (SITI) or in that which the National Banking and Securities Commission (CNBV) makes known in its case.
Brokerage Houses
Series R13 Financial Statements
Report A-1311 Statement of Changes in Shareholders' Equity of the brokerage house
Includes figures in national currency, foreign currency, and UDIS valued in pesos
Figures in pesos
Concept
Controlling Interest
Contributed Capital
Earned Capital
Non-controlling Interest
Total
Shareholders' Equity
Share Capital
Contributions for future capital increases formalized in shareholder meeting
Premium on sale of shares
Subordinated bonds in circulation
Capital Reserves
Result of previous periods
Result from valuation of securities available for sale
Result from valuation of cash flow hedge instruments
Accumulated effect from conversion
Remedies for defined benefits to employees
Result from holding non-monetary assets
Net Result
Balance at ____ of ____ of
Movements inherent to shareholder decisions
Subscription of shares
Capitalization of profits
Constitution of reserves
Transfer of net result to previous periods
Payment of dividends
Other
Total of movements inherent to shareholder decisions
Movements inherent to the recognition of comprehensive income
Net Result
Result from valuation of securities available for sale
Result from valuation of cash flow hedge instruments
Accumulated effect from conversion
Remedies for defined benefits to employees
Result from holding of non-monetary assets
Other
Total of movements inherent to the recognition of comprehensive income
Balance at ____ of ____ of
Note: In accordance with what accounting criteria establish, the concepts appearing in this statement are shown in an enumerative but not exhaustive manner. The opening of a greater number of concepts in order to provide a more detailed presentation of the information must be requested from the Deputy General Director of Design and Information Reception of the National Banking and Securities Commission.
Brokerage Houses
Series R13 Financial Statements
Report A-1316 Statement of Cash Flows of the brokerage house
Includes figures in national currency, foreign currency, and UDIS valued in pesos
Figures in pesos
Concept
Amount
Net Result
Adjustments for items that do not imply cash flow:
Losses from impairment or effect from reversal of impairment associated with investment activities
Depreciations of real estate, furniture and equipment
Amortizations of intangible assets
Provisions
Income taxes incurred and deferred
Participation in the result of non-consolidated subsidiaries and associates
Discontinued operations
Other
Operating Activities
Change in margin accounts
Change in investments in securities
Change in debtors from repos
Change in securities lending (asset)
Change in derivatives (asset)
Change in benefits to receive in securitization operations
Change in other operating assets (net)
Changes in marketable securities liabilities
Change in bank loans and from other organisms
Change in creditors from repos
Change in securities lending (liability)
Change in sold or pledged collateral
Change in derivatives (liability)
Change in obligations in securitization operations
Change in subordinated obligations with liability characteristics
Change in other operating liabilities
Change in hedge instruments (of covered items related to operating activities)
Collections of income taxes (refunds)
Payments of income taxes
Other
Net cash flows from operating activities
Investment Activities
Collections from disposal of real estate, furniture and equipment
Payments for acquisition of real estate, furniture and equipment
Collections from disposal of subsidiaries and associates
Payments for acquisition of subsidiaries and associates
Collections from disposal of other permanent investments
Payments for acquisition of other permanent investments
Collections of dividends in cash
Payments for acquisition of intangible assets
Collections from disposal of long-term assets available for sale
Collections from disposal of other long-term assets
Payments for acquisition of other long-term assets
Collections associated with hedge instruments (of covered items related to investment activities)
Payments associated with hedge instruments (of covered items related to investment activities)
Other
Net cash flows from investment activities
Financing Activities
Collections from issuance of shares
Payments for capital social repayments
Payments of dividends in cash
Payments associated with repurchase of own shares
Collections from issuance of subordinated obligations with capital characteristics
Payments associated with subordinated obligations with capital characteristics
Other
Net cash flows from financing activities
Net increase or decrease in cash and cash equivalents
Effects from changes in the value of cash and cash equivalents
Cash and cash equivalents at the beginning of the period
Cash and cash equivalents at the end of the period
Note: In accordance with what accounting criteria establish, the concepts appearing in this statement are shown in an enumerative but not exhaustive manner. The opening of a greater number of concepts in order to provide a more detailed presentation of the information must be requested from the Deputy General Director of Design and Information Reception of the National Banking and Securities Commission.
Brokerage Houses
Series R13 Financial Statements
Report B-1321 Balance Sheet of the brokerage house
Includes figures in national currency, foreign currency, and UDIS valued in pesos
Figures in pesos
Concept
Amount
OFF-BALANCE-SHEET ACCOUNTS
CUSTOMERS CURRENT ACCOUNTS
CUSTOMER BANKS
DIVIDENDS COLLECTED FROM CUSTOMERS
INTERESTS COLLECTED FROM CUSTOMERS
SETTLEMENT OF CUSTOMER OPERATIONS
PREMIUMS COLLECTED FROM CUSTOMERS
CUSTOMER SETTLEMENTS WITH CURRENCIES
MARGIN ACCOUNTS
OTHER CURRENT ACCOUNTS
CUSTODY OPERATIONS
CUSTOMER SECURITIES RECEIVED IN CUSTODY
CUSTOMER SECURITIES ABROAD
ADMINISTRATION OPERATIONS
REPO OPERATIONS FOR CUSTOMER ACCOUNT
SECURITIES LENDING OPERATIONS FOR CUSTOMER ACCOUNT
COLLATERALS RECEIVED AS COLLATERAL FOR CUSTOMER ACCOUNT
COLLATERALS DELIVERED AS COLLATERAL FOR CUSTOMER ACCOUNT
DERIVATIVES PURCHASE OPERATIONS
OF CUSTOMERS' FUTURES AND FORWARD CONTRACTS (NOTIONAL AMOUNT)
OF OPTIONS
OF SWAPS
OF CUSTOMERS' DERIVATIVE INSTRUMENT PACKAGES
DERIVATIVES SALE OPERATIONS
OF CUSTOMERS' FUTURES AND FORWARD CONTRACTS (NOTIONAL AMOUNT)
OF OPTIONS
OF SWAPS
OF CUSTOMERS' DERIVATIVE INSTRUMENT PACKAGES
ADMINISTERED TRUSTS
OPERATIONS FOR OWN ACCOUNT
CONTINGENT ASSETS AND LIABILITIES
COLLATERALS RECEIVED BY THE ENTITY
CASH ADMINISTERED IN TRUST
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT SECURITIES
EQUITY INSTRUMENTS
OTHERS
COLLATERALS RECEIVED AND SOLD OR DELIVERED AS COLLATERAL BY THE ENTITY
GOVERNMENT DEBT
BANK DEBT
OTHER DEBT SECURITIES
EQUITY INSTRUMENTS
OTHERS
OTHER REGISTRATION ACCOUNTS
ASSETS
AVAILABILITIES
MARGIN ACCOUNTS (DERIVATIVES)
INVESTMENTS IN SECURITIES
TRADING SECURITIES
AVAILABLE FOR SALE SECURITIES
HELD-TO-MATURITY SECURITIES
DEBTORS FROM REPOS (DEBIT BALANCE)
SECURITIES LENDING
DERIVATIVES
FOR TRADING PURPOSES
FOR HEDGING PURPOSES
VALUATION ADJUSTMENTS FOR HEDGING OF FINANCIAL ASSETS
BENEFITS TO RECEIVE IN SECURITIZATION OPERATIONS
ACCOUNTS RECEIVABLE
REAL ESTATE, FURNITURE AND EQUIPMENT
PERMANENT INVESTMENTS
LONG-TERM ASSETS AVAILABLE FOR SALE
DEFERRED TAXES AND PTU (NET)
OTHER ASSETS
DEFERRED CHARGES, PREPAID EXPENSES AND INTANGIBLES
OTHER SHORT- AND LONG-TERM ASSETS
LIABILITIES
MARKETABLE SECURITIES LIABILITIES
BANK LOANS AND FROM OTHER ORGANISMS
SHORT-TERM
LONG-TERM
SECURITIES ASSIGNED FOR SETTLEMENT
CREDITORS FROM REPOS
SECURITIES LENDING
COLLATERALS SOLD OR GIVEN AS COLLATERAL
REPOS (CREDIT BALANCE)
SECURITIES LENDING
DERIVATIVES
OTHER SOLD COLLATERALS
DERIVATIVES
FOR TRADING PURPOSES
FOR HEDGING PURPOSES
VALUATION ADJUSTMENTS FOR HEDGING OF FINANCIAL LIABILITIES
OBLIGATIONS IN SECURITIZATION OPERATIONS
OTHER ACCOUNTS PAYABLE
INCOME TAXES PAYABLE
EMPLOYEES' PARTICIPATION IN PROFITS PAYABLE
CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES PENDING TO BE FORMALIZED IN SHAREHOLDER MEETING
CREDITORS FOR OPERATION SETTLEMENT
CREDITORS FOR MARGIN ACCOUNTS
CREDITORS FOR CASH COLLATERALS RECEIVED
VARIOUS CREDITORS AND OTHER ACCOUNTS PAYABLE
SUBORDINATED BONDS IN CIRCULATION
DEFERRED TAXES AND PTU (NET)
DEFERRED CREDITS AND ADVANCED CHARGES
SHAREHOLDERS' EQUITY
CONTROLLING INTEREST
CONTRIBUTED CAPITAL
SHARE CAPITAL
CONTRIBUTIONS FOR FUTURE CAPITAL INCREASES FORMALIZED IN SHAREHOLDER MEETING
PREMIUM ON SALE OF SHARES
SUBORDINATED BONDS IN CIRCULATION
EARNED CAPITAL
CAPITAL RESERVES
RESULT OF PREVIOUS PERIODS
RESULT FROM VALUATION OF AVAILABLE FOR SALE SECURITIES
RESULT FROM VALUATION OF CASH FLOW HEDGING INSTRUMENTS
ACCUMULATED EFFECT FROM CONVERSION
ADJUSTMENTS FOR DEFINED BENEFITS EMPLOYEE BENEFITS
RESULT FROM HOLDING NON-MONETARY ASSETS
NET INCOME
NON-CONTROLLING INTEREST
Net income attributable to non-controlling interest
Other non-controlling interest
(1) These concepts will be applicable under an inflationary economic environment based on what is established in Financial Information Standard B-10 "Effects of Inflation", issued by the Mexican Council for Financial Reporting Standards, A.C. (CINIF).
Brokerage Houses
Series R13 Financial Statements
Report B-1322 Income Statement of the Brokerage House
Includes figures in national currency, foreign currency, and indexed UDIs in pesos
Figures in pesos
Concept
Amount
COMMISSIONS AND FEES CHARGED
COMMISSIONS AND FEES PAID
FINANCIAL ADVISORY INCOME
RESULT FROM SERVICES
GAIN FROM PURCHASE AND SALE
LOSS FROM PURCHASE AND SALE
INTEREST INCOME
INTEREST EXPENSE
RESULT FROM FAIR VALUE VALUATION
NET MONETARY POSITION RESULT (FINANCIAL MARGIN FROM INTERMEDIATION)
FINANCIAL MARGIN FROM INTERMEDIATION
OTHER OPERATING INCOME (EXPENSES)
ADMINISTRATION AND PROMOTION EXPENSES
OPERATING RESULT
SHARE IN RESULT OF UNCONSOLIDATED SUBSIDIARIES AND ASSOCIATES
RESULT BEFORE INCOME TAX
INCOME TAX INCURRED
DEFERRED INCOME TAX (NET)
RESULT BEFORE DISCONTINUED OPERATIONS
DISCONTINUED OPERATIONS
NET INCOME
CONTROLLING INTEREST
NON-CONTROLLING INTEREST
(1) These concepts will be applicable under an inflationary economic environment based on what is established in Financial Information Standard B-10 "Effects of Inflation", issued by the Mexican Council for Financial Reporting Standards, A.C. (CINIF).
SERIES R14 QUALITATIVE INFORMATION
This series is integrated by two (2) reports, whose frequency of preparation and submission must be monthly.
REPORTS
A-1413
Number of accounts
This report requests the number of accounts classified by account types and investment ranges.
A-1414
Number of employees
This report requests the opening balance, additions, deletions, and closing balance of the number of officials and employees of the Brokerage House during the month; these figures are classified by administrative area and operational area.
Additionally, the number of officials and employees receiving bonuses and incentives, and the number of people receiving salaries and fees during the month, classified by administrative and operational area, are requested.
CAPTURE FORMAT
Brokerage houses will carry out the submission of information related to report R14 Qualitative Information through the following format:
REQUESTED INFORMATION
SECTION REPORT IDENTIFIER
PERIOD
ENTITY KEY
CONCEPT
REPORT
SECTION IDENTIFIER
STATISTICAL INFORMATION
BALANCE TYPE
DATA
SERIES R18 ACCOUNTS PAYABLE
This series is integrated by two (2) reports, whose frequency of preparation and submission must be monthly.
REPORT
A-1811
Other accounts payable
This report requests closing balances for the month, including national currency, UDIs indexed in pesos, and foreign currency indexed in pesos, of the concepts that make up the "other accounts payable" item in the Minimum Catalog regulatory report; the mentioned balances are requested identified by age of balances.
B-1821
Disaggregation of various creditors and other accounts payable
In this report, operation by operation, the opening balance, debtor movements, creditor movements, and closing balance that the Brokerage House has registered in the concept of "Various Other Creditors" in the Minimum Catalog regulatory report must be reported. One line will be reported for each operation that the Brokerage House has registered in the concept of "Various Other Creditors".
The data referring to balances and amounts must be presented in national currency, UDIs indexed in pesos, and foreign currency indexed in pesos, using the exchange rate indicated in the accounting criteria. Such balances and amounts must be presented in pesos rounded, without decimals, without commas, without periods, and with positive figures. For example: 20,585.70 would be 20586.
CAPTURE FORMAT
Brokerage houses will carry out the submission of information related to report A-1811 Other accounts payable, described above, by using the following capture format:
REQUESTED INFORMATION
SECTION REPORT IDENTIFIER
PERIOD
ENTITY KEY
CONCEPT
REPORT
SECTION IDENTIFIER OF THE ACCOUNT PAYABLE
BALANCE TYPE
DATA
Brokerage houses will carry out the submission of information related to report B-1821 Disaggregation of various creditors and other accounts payable, described above, by using the following capture format:
REQUESTED INFORMATION
SECTION REPORT IDENTIFIER
PERIOD
ENTITY KEY
REPORT
SECTION IDENTIFIER OF THE CREDITOR
SEQUENCE NUMBER
MOVEMENT DATE
ACCOUNTING CLASSIFICATION
PERSON
CREDITOR KEY
AGE OF BALANCES
OPENING BALANCE
DEBIT MOVEMENT
CREDIT MOVEMENT
CLOSING BALANCE
Brokerage houses will report the information indicated in this series, adhering to the characteristics and specifications for filling out and submitting information presented in the Interinstitutional Information Transfer System (SITI) or in that which the National Banking and Securities Commission (CNBV) makes known, as applicable.
1
This information must be presented no later than the third business day following that on which the notification of the request made for this purpose takes effect.
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INQUIRY
BY DATE
Su Mo Tu We Th Fr Sa
INDICATORS
Exchange Rate and Rates as of 08/31/2026
DOLLAR
17.0427 UDIs
8.810483% TIIE 28 DAYS
6.7659% TIIE 91 DAYS
6.8033% TIIE 182 DAYS
6.8577% TIIE FOR FUNDING
6.51%
See more
SURVEYS
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