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Report No. 355-CO Economic Position and Prospects of Colombia (In Two Volumes) Volume 11: Statistical Appendix September 17, 1981 LatinAmerica and Caribbean Regional Office FOR OFFICIALUSE ONLY Document of the World Bank This documenthasa restricted distribution and may be usedby recipients only in the performance of their official duties. Its contents may not otherwise be disclosed without World Fank authorization. Public Disclosure Authorized Public Disclosure Authorized Public Disclosure Authorized Public Disclosure Authorized Public Disclosure Authorized Public Disclosure Authorized Public Disclosure Authorized Public Disclosure Authorized

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Page 1: documents.worldbank.orgdocuments.worldbank.org/curated/en/477601468023043214/pdf/mul… · Report No. 355-CO Economic Position and Prospects of Colombia (In Two Volumes) Volume 11:

Report No. 355-CO

Economic Position and Prospects of Colombia(In Two Volumes)

Volume 11: Statistical Appendix

September 17, 1981

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 recipientsonly in the performance of their official duties. Its contents may not otherwisebe disclosed without World Fank authorization.

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CURRENCY EQUIVALENTS

Currency Unit: Peso

Exchange Rate Effective September 4, 1981

US$1.00 = Col$55.77

Col$1.00 = US$0.0179

Average Exchange Rate (Buying)

1977 1978 1979

US$1.00 = Col$36.775 US$1.00 = Col$39.095 US$1.00 = Col$42.550Col$1.00 = US$0.0272 Col$1.00 = US$0.0256 Col$1.00 = US$0.0235

1980

US$1.00 = Col$47.280Col$1.00 = US$0.0212

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FOR OFFICIAL USE ONLYSTATISTICAL APPENDIX

Table of Contents

Population and Employment

Table 1.1 Population, Natural Increase and Migration, 1960-80Table 1.2 Employment by Economic Activity in Selected Years, 19,51-80Table 1.3 Unemployment Rates in Four Cities, 1965-80Table 1.4 Urban Underemployment and Participation Rates in Four Cities,

1971-80Table 1.5 Employment by Sectors in Four Cities: Bogota, Cali, Medellin

and Barranquilla, 1974-80

National Accounts

Table 2.1 Gross Domestic Product at Factor Cost by Sector, 1960, 1965,1967, 1970, 1975-80

Table 2.2 Gross Domestic Product at Factor Cost by Sector in 1970 Prices,1960, 1965, 1967, 1970-80

Table 2.3 Gross Domestic Product by Type of Expenditure, in Current MarketPrices, 1960, 1965, 1967, 1970-80

Table 2.4 Gross Domestic Product by Type of Expenditure, in ConstantMarket Prices, 1960, 1965, 1967, 1970-80

Table 2.5 Actual Resource Availability and Savings, 1970-80Table 2.6 National Income Components, 1965, 1967, 1970, 1975-79Table 2.7 Investment and Its Financing, 1960, 1965, 1967, 1970, 1975-79Table 2.8 Personal Income, 1960-79Table 2.9 Implicit Price Deflators for Gross Domestic Product, 1958-80Table 2.10 Incremental Capital - Output and Domestic Savings Ratios,

1960, 1965, 1970, 1975-80Table 2.11 Sector Wages and Salaries as Percentage of Sector Value Added

and of Total Wages and Salaries, 1950, 1955, 1960, 19651970, 1975-79

Trade Payments

Table 3.1 Balance of Payments, 1960, 1965, 1967, 1970-80Table 3.2 Central Bank Gross Receipts of Foreign Exchange, 1960-80Table 3.3 Central Bank Disbursements of Foreign Exchange, 1960-80Table 3.4 Supply and Distribution of Green Coffee, 1958-59 to 1980-81Table 3.5 New York and Domestic Coffee Prices, Real and Nominal, 1967-80Table 3.6 Crude Petroleum Production, Apparent Domestic Consumption and

Exports, 1958-30Table 3.7 Export Registration by Main Products, 1960, 1965, 1967, 1970-80Table 3.8 Customs Clearance of Merchandise Exports, 1960-80Table 3.9 Minor Exports Exchange Surrender by Main Products, 1960, 1965,

1967, 1970, 1975-80Table 3.10 Advance and Normal Merchandise Export Exchange Surrender, by

Quarter, 1970-80

This document has a restricted distribution and may be used by recipients only in the performonce oftheir official duties. Its contents may not otherwise be disclosed without World Bank authorization.

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Table 3.11 Reimbursable and Non-reimbursable Import Registrations, 1958-80Table 3.12 Import Registrations by Economic Category, 1960, 1965, 1967,

1970, 1975-80Table 3.13 CIF Imports, by Principal Product Groups, 1960-80Table 3.14 Direction of Trade, 1960, 1965, 1967, 1970, 1976-80Table 3.15 International Monetary Reserves of the Central Bank, 1960,

1965, 1967, 1970, 1975-80Table 3.16 Official Market Rates of Exchange by Quarter, 1968-81Table 3.17 Balance of Payments, Export Projections, 1978-90Table 3.18 Balance of Payments, Import Projections, 1978-90Table 3.19 Summary Balance of Payments, 1978 (Actual), 1979-80 (Preliminary),

1981-85, 1990 (Projections)

External Debt

Table 4.1 External Public Debt Outstanding Including Undisbursed as ofDecember 31, 1979, Debt Repayable in Foreign Currency andGoods

Table 4.2 Service Payments, Commitments, Disbursements and OutstandingAmounts of External Public Debt, Projections Based on DebtOutstanding Including Undisbursed as of December 31, 1979,Debt Repayable in Foreign Currency and Goods

Table 4.3 External Public Debt Outstanding Including Undisbursed as ofDecember 31, 1979, Debt Repayable in Local Currency

Table 4.4 Service Payments, Commitments, Disbursements and OutstandingAmounts of External Public Debt, Projections Based on DebtOutstanding Including Undisbursed as of December 31, 1979,Debt Repayable in Local Currency

Public Finances

Table 5.1 Public Sector Resources for Investment, 1974-80Table 5.2 Analysis of Consolidated Public Sector Finances, 1974-80Table 5.3 National Government Operations, 1974-80Table 5.4 National Government Revenues, 1974-80Table 5.5 National Decentralized Agencies Operations, 1974-80Table 5.5-1 Summary Accounts of Major National Decentralized Agencies

Operations, 1974-80Table 5.6 National Nonfinancial Public Enterprises, 1974-80Table 5.6-1 Summary Accounts of Major National Nonfinancial Public

Enterprises, 1974-80Table 5.7 Summary Accounts of the Departments' Operations, 1974-80Table 5.8 Summary Accounts of the Municipalities' Operations, 1974-80Table 5.8-1 Summary Accounts of Major Municipal Nonfinancial Public

Enterprises, 1974-80Table 5.9 Summary Accounts of the National Financial Enterprises

Operations, 1974-80Table 5.10 Nonfinancial Public Sector Transfers, 1974-80Table 5.11 Social Security System Operations, 1974-80Table 5.12 Buoyancies with Respect to GDP of National Government Revenues,

1974-80Table 5.13 Tax Burden, 1972-80

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-iii-

Table 5.14 Projections of the National Government Operations, 1980-85Table 5.15 Projections of the National Government Revenues, 1980-85Table 5.16 Public Sector Investment Program and its Financing, 1980-85

Money and Credit

Table 6.1 Summary Accounts of the Financial System, 1975-80Table 6.2 Summary Accounts of the Monetary Authorities, 1975-80Table 6.3 Summary Accounts of the Commercial Banks, 1975-80Table 6.4 Summary Accounts of the Specialized Banks, 1975-80Table 6.5 The Money Supply and the Money Multipliers, 1970-80Table 6.6 Composition and Growth of the Money Supply, 1960, 19710-80Table 6.7 Commercial Bank Loans, by Quarter, 1960, 1965, 1970-79Table 6.8 Banking System Loans, by Quarter, 1960, 1965, 1970-80Table 6.9 Bogota and Medellin Stock Exchanges, 1960, 1970-80

Agriculture

Table 7.1 Production of Principal Crops, 1962-80Table 7.2 Area Under Cultivation, Principal Crops, 1962-81Table 7.3 Crop Yields per Hectare, 1962-81Table 7.4 Cattle Population and Extraction, 1963, 1967, 1970-80Table 7.5 Gross Value of Agricultural Production, 1950-80Table 7.6 Indices of Physical Volume of Gross Agricultural Production,

1950-80Table 7.7 Agricultural Gross Value Added, in Constant 1970 Prices,

1950-80Table 7.8 Price Deflators for Agriculture, non-Agriculture, and. Total

GDP, 1950-80Table 7.9 Loans Extended to the Agricultural Sector, 1970-80Table 7.10 Estimated Farm Prices and Support Prices for Principal

Commodities, 1960, 1965, 1970-80Table 7.11 Fertilizer Production and Plant Nutrient Supply, 1970-79Table 7.12 Census Farms by Size, 1960 and 1970/71Table 7.13 Census Farms and Farmland by Tenure and Size, 1960 and

1970/71Table 7.14 Regional Groupings of Municipios with High Concentrat:ions

of Small Farms, by Coffee and Non-Coffee AreasTable 7.15 Value of Principal Agricultural Exports, 1970-80Table 7.16 Volume of Principal Agricultural Exports, 1971-80Table 7.17 Value of Principal Agricultural Imports, 1971-79Table 7.18 Per Capita Net Availabilities of Foods and Principal

Nutrients, 1948, 1957, 1964/66, 1970, 1975 and 1976Table 7.19 Area Planted with Improved Seed for Selected Crops, 1970,

1973-80

Industry, Minerals and Energy

Table 8.1 Increases in Factory Employment, 1960-80Table 8.2 Indicators of Industrial Domestic Demand, 1953, 1963, 1968,

1973, 1975-80

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Table 8.3 Structure of Manufacturing Industry by Size, 1974-77Table 8.4 Paid Employment in Manufacturing Industries by Type of

Production, 1953, 1958, 1960, 1965, 1967, 1968, 1969-80Table 8.5 Domestic Manufacturing Output and Imports by Type of

Production, 1966, 1968-80Table 8.6 Commercial Bank Credit to the Manufacturing Sector, 1953, 1958,

1963-79Table 8.7 Industrial Exports, 1970-80Table 8.8 Proportion of Industrial Exports in Gross Value of Industrial

Output, 1967, 1970-80Table 8.9 Nominal and Real Salaries in Industry, 1970-80Table 8.10 Volume of Production of Minerals, 1970-79Table 8.11 Value of Production of Minerals, 1970-79Table 8.12 Energy Indicators, 1960, 1965, and 1970-79Table 8.13 Production and Consumption of Oil Derivatives, 1970-80Table 8.14 Average Wholesale Coal Prices, 1970-81Table 8.15 Natural Gas Prices, 1975-80Table 8.16 Consumer Prices of Selected Oil Derivatives, 1970-80Table 8.17 Average Electrical Tariffs by Sector and Entity, 1970, 1973

1975-79

Wages and Prices

Table 9.1 Consumer Price Indices for Bogota, Medellin and the Nation,1970-81

Table 9.2 Consumer Price Indices by Expenditure Category, 1970-81Table 9.3 Wholesale Price Indices, by Main Commodity Group, 1970-81Table 9.4 Wholesale and Consumer Price Indices and Growth Rates,

1970-81Table 9.5 Average Annual Increase in Selected Price Indicators, 1960-80Table 9.6 Price Indices of Construction Materials in Bogota, 1970-81

Foreign Assistance

Table 10.1 Loan Commitments by Agency, 1965, 1970-80Table 10.2 IBRD Loans and IDA Credits Committed, 1949-81

Human Resources

Table 11.1 Student Population by Level of Education, Public and Private,1963-80

Table 11.2 Pupil Enrollment in Primary School, 1963, 1973, 1976-80Table 11.3 Pupil Enrollment in Secondary School by Type of Curriculum,

1963, 1973, 1976-80Table 11.4 Enrollment in Colombian Universities, Public and Private, by

Course of Studies, 1963, 1973, 1975-79Table 11.5 First Semester Enrollment in Universities According to Type of

Program and Course of Studies, 1979Table 11.6 Ratio of Pupils/Teacher in Primary and Secondary School,

1963, 1973, 1976-80Table 11.7 Number of University Professors by Type of Academic Field and

Dedication, 1979

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Table 11.8 Educational Level of the Labor Force as Reported in theNational Censuses' 1951, 1964 and 1973

Table 11.9 Distribution by Programs of SENA Students, 1975, 1Sl77-81Table 11.10 National and Educational Budgets, 1970, 1975-81Table 11.11-1 Ten Main Causes of Death Among Pre-School Children,, 1970,

1972-77Table 11.11-2 Ten Main Causes of Death Among Pre-School Children,, 1970,

1972-77Table 11.11-3 Ten Main Causes of Death Among All Ages, 1970, 1972-77Table 11.12 Indirect Indications of Nutritional Status, 1963-76Table 11.13 Recommended and Available Average Daily per Capita Dosage

of Calories and Nutrients for the ColombianPopulation and the Percentage of Adequacy of Suplply,1976

Table 11.14 Percentage of Adequacy of Calories and Nutrient Consumptionin the Diet of Families from Various Geographical Areas

Table 11.15 Annual Needs for Basic Food Groups for Human Consumptionand Their Availability, 1966-78

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Table 1.1: COLUMBIA: POPULATION, NATURAL INCREASE AND MIGRATION, 1960-80

Mid-Year Birth Rate Per Death Rate Per Natural Increase NetYear Population 1,000 PopulationLd 1,000 Population/e Per 1,000 Population Migration

1960 15,754 39 12 27 1.91961 16,275 39 11 28 2.71962 16,814 4o 11 29 4.61963 17,367 39 10 29 11.51964/b 17,926 39 10 29 10.31965 18,488 37 10 27 i4.51966 19,052 36 9 27 5.21967 19,617 35 9 26 5.01968 20,179 34 9 25 15.11969 20,730 33 8 25 -0.81970 21,266 32 7 25 2.81971 21,785 52 7 25 -3.81972 22,291 31 7 24 ...1973/C 22,794 30 7 23 ...1974Ta 23,309 29 7 22 ...197 La23,847 29 7 22 ...

1976/a 24,444 29 7 221977/a 25,016 28 7 21 -1978Lk 25,573 28 7 21 ...197 9 26,122 28 7 21-

1980/a 2X.670 28 - 7 21. negligbloe

/a estimateA; 1964 population census

1973 population censush~ Based on birth registrations and census data.i Based on death registrations. Around 1967/68 an administrative reform in data collection on deaths

took place wnthich reduced manpower allocated to this task and hence is likely to have increasedunder-reporting of deaths in subsequent years.

Source: DANE and Ministry of Health.

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Table 1.2 -COLOMBIA: DEPLOYMENT BY ECONOMIC ACTIVITY '7 tELECTED YEARS, 1951-80 a/

(in thousands)

L /d /e1951 1964 1970 1973 _1978 1980

Men Women Total Men Women Total Total Men Women Total Men Women Total Men Women Total Men Women Total

Agriculture 1991.0 96.1 2087.1 2311.0 116.0 2427.0 2350.1 1707.6 68.8 1776.4 305.5 29.5 335.0 26.3 9.3 35.6 i7.1 6.2 43.3

Mining 46.6 16.5 63.1 61.2 20.1 81.3 - 30.3 37.6 15.8 53.4 22.4 1.6 24.0 8.5 1.6 10.1 11.9 1.0 12.9

Industry 313.1 162.3 475.4 476.6 179.3 655.9 859.0 640.4 277.6 918.0 832.1 424.4 1256.5 473.0 287.8 760.8 520.1 300.9 821.0

El./Gas/Water 10.3 0.5 10.8 12.2 1.10 13.2 26.2 25.0 5.3 30.3 21.7 2.2 23.9 15.5 3.0 18.5 20.3 3.7 23.9

Construction 135.2 1.9 137.1 217.2 3.5 220.7 222.2 319.5 7.5 327.0 329.1 7.4 336.5 154.0 9.4 163.4 218.2 11.8 230.1

Comerce/Hotels 163.2 47.0 210.2 331.9 108.6 440.5 754.6 525.4 284.6 810.0 722.0 447.7 1169.7 407.22 249.4 656.6 475.0 285.9 760.9

Transport 127.9 6.3 134.2 179.5 12.3 191.8 230.5 243.2 24.3 267.5 298.0 20.4 318.4 169.5 15.1 184.6 176.2 16.2 192.4

Finance _- - - - - 87.8 77.7 40.1 117.8 134.9 72.0 206.9 126.2 54.1 180.3 136.0 81.5 217.6

Personal Serv. 243.0 374.0 617.0 374.2 551.8 926.0 1206.1 432.4 668.8 1106.2 626.3 767.7 1394.1 346.6 549.6 806.2 380.9 516.9 897.8

Other 119.6 19.4 139.0 138.2 39.4 177.6 - 139.2 53.5 192.7 1.6 3.4 5.0 - - - 0.3 - 0.3

No Information - - - - - - - 256.9 118.6 375.4 6.3 8.3 14.6 0.4 - .0.4 1.6 0.5 2.1

Total 3149.9 724.0 3873.9 4102.1 1032.1 5134.1 5766.8 4410.0 1564.7 5974.7 3299.9 1784.6 5084.6 1727.3 1089.4 2816.7 1977.6 1224.6 3202.2

/ In 1951 and 1964 the figures are for the economically active population and in 1970 and 1973 they are for the occupiedpopulation.This category was included in the 1973 census only.

Xc This survey covers all the urban areas only.i This survey covers 4 cities only: Cali.Bogota, Medellin and Barranquilla, December 1979.te This survey covers 7 cities: Barranquilla, Bogota, Bucaramanga, Cali, Manizales, Medellin, Pasto.Source: Census for 1951, 1964. Muestra for 1973, Census published in August 1975; for 1970, 1978 and 1979 Encuesta de Hogares, DANE.

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Table 1.3 - COLOMBIA: UNEMPLOYMENT RATES IN FOUR CITIES, 1965-80

Bogota Medellin Cali Barranquilla

March 1965 9.2 12.0 13.2 -June 1965 8.8 10.7-/ - -

September 1965 9.7 - /a 11.8 -

December 1965 8.0 9.7- -_

March 1966 10.1 10.6 - -

June 1966 11.6 1 1*91b - -

September 1966 9.6 - - -

December 1966 9.2 - - 16.0

March 1967 16.1 - --

June 1967 12.7 /d 14 .-/C /dSeptember 1967 10.6 14.5-L - 18.4'-December 1967 - - - -

March 1968 13.5 - /cJune 1968 11.6 - 1 4 .9--September 1968 11.2 - - -

December 1968 9.8 - - -

March 1969 11.0 - - -

June 1969 11.6 - - -

September 1969 8.9 - - -

December 1969 6.9 - - -

March 1970 8.8 - - -

June 1970 7.9 - - -

October 1971 8.4 12.7 10.7 15.4October 1972 6.6 13.0 13.3 14.7

June 1974 11.1 13.4 12.1 19.3October 1974 10.0 12.9 12.5 16.2

March 1975 11.3 - - -September 1975 8.3 14.1 10.9 14.7

March 1976 9.4 13.9 13.8 12.3June 1976 8.4 13.1 11.0 11.1September 1976 8.8 13.3 12.6 10.7November 1976 8.1 12.9 8.7 9.1

March 1977 8.9 12.7 11.5 10.6May 1977 7.8 15.5 10.0 8.8September 1977 7.2 13.7 11.9 8.3November 1977 6.5 11.4 8.4 7.3

April 1978 9.0 12.7 10.6 8.2June 1978 7.4 - - --September 1978 6.7 12.4 9.1 6.9

March 1979 6.5 15.5 11.8 8.6September 1979 7.6 12.6 11,1 5.9December 1979 6.3 15.4 9.6 4.5March 1980 9.5 14.7 11.7 9.2September 1980 6.8 15.7 10.8 7.8

/a November; /b July; /c May; /d October.

Source: DANE, Boletin Mensual de Estadistica, Bogota, various issues.

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Table 1.4 - COLOMBIA: URBAN UNDEREMPLOYMENT AND PARTICIPATION RATES IN FOUR CITIES, 1971-80 /a

Nov.- Oct. Nov.- Mar.- NoV.- May- Nov.-Dec. Nov. June Dec. Oct. Apr. June Sept. Dec. Mar. June Sept. Dec. April June Sept. Dec. March June Sept.1971 1972 1974 1974 1975 1976 1976 1976 1976 1977 1977 1977 1977 1978 1978 1978 1979 1980 1980 1980

Underemployment Rates/

Barranquilla 21.9 16.0 24.8 19.1 22.3 19.2 15.8 15.2 15.4 14.3 15.2 9.6 10.2 11.4 . 9.2 7.3 6.8 .. 12.4

Bogota 12.5 14.1 17.9 16.5 16.7 17.4 15.0 11.6 14.2 14.0 12.6 12.6 12.1 15.2 9.9 14.2 17.1 19.0 .. 16.3

Cali 17.8 15.8 15.8 15.9 17.8 19.5 23.1 18.2 15.3 12.6 20.2 16.6 10.5 14.0 .. 10.6 8.7 13.9 .. 11.3

Medellin 26.1 17.9 11.9 12.6 19.0 18.4 21.1 17.9 14.9 13.3 19.7 20.0 15.2 17.4 .. 16.4 17.7 19.3 .. 20.8

Total/c 15.0 17.8 17.2 15.4 16.9 18.1 17.6 14.3 14.7 13.7 15.6 14.4 12.2 15.0 .. 13.4 14.7 16.5 15.4

Participation Rates

Barranquilla 33.7 33.8 35.8 34.3 33.8 33.5 34.1 34.6 35.7 32.0 33.2 32.8 31.7 33.7 .. 33.2 32.7 33.7 34.8 33.3

Bogota 33.5 32.3 37.9 35.3 35.7 36.7 37.0 36.0 37.2 36.8 36.7 36.7 36.2 36.8 39.3 37.9 40.3 41.5 42.9 39.5

Cali 34.6 33.9 36.5 35.4 35.4 38.0 36.9 37.1 36.9 37.5 38.3 38.9 38.1 38.5 .. 40.4 44.2 43.7 43.2 42.9

Medellin 31.0 34.8 34.6 34.2 33.6 33.8 33.2 35.6 35.9 34.9 36.1 37.6 37.3 37.6 .. 37.8 40.7 40.7 40.2 41.8

Total/ - 32.0 36.7 32.8 35.0 36.0 35.9 36.0 36.7 36.0 36.5 36.8 36.2 36.9 .. 37.8 40.2 40.5 40.7 39.6

/a Provisional Figures./b Underemployed is based on the number of hours worked compared with the number desired and wages received./c Weighted total shares of the four cities.

Source: National Statistics Department (DANE).

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Table 1.5 - COLOMBIA: EMPLOYMENT BY SECTORS IN FOUR CITIES: BOGOTA, CALI, MEDELLIN AND BARRANQUILLA, 1974-80

(Thousands)

June 74 % Sept 75 % Sept 76 % Sept 77 l Sept 78 % Sept 79 I Sept 80 %

Construction I2 3 7.2 118.1 6.5 121.5 6.o 150.6 6.o 168.0 6.7 163.5 5.8 207.0 7.2

Agriculture 16.2 0.9 26.5 .5 22.6 1.1 33.8 1.3 29.7 1.2 35.6 1.3 32.3 1.1

Mining 5.6 0.3 5.3 0.3 6.4 0.3 6.6 0.3 7.6 0.3 10.1 0.4 10.6 0.4

Manufacturing 437.2 24.8 445.9 24.5 510.5 25.3 647.1 25.6 662.7 26.6 760.8 27.0 751.7 26.1

Electricity, Gas U

and Water 15.2 0.9 13.6 0.7 16.0 0.8 18.3 0.7 17.2 0.7 18.5 0.7 20.6 0.7

Transportation andCommunication 128.5 7.3 118.4 6.5 129.0 6.4 157.5 6.2 153.1 6.1 184.6 6.5 173.8 6.o

Trade (Wholesaleand Retail) 378.1 21.4 385.5 21.1 448.o 22.2 564.3 22.3 549.7 22.0 656.6 23.3 682.1 23.7

Financial Servicesand Insurance 96.2 5.5 io8.4 5.9 123.2 6.1 165.8 6.6 168.2 6.7 180.3 6.4 207.8 7.2

Other Services 557.9 31.6 598.2 32.8 637.5 31.6 783.3 31.0 740.6 29.7 806.2 28.6 794.0 27.5

Not qlassified 2.6 0.1 3.7 0.2 1.1 0.1 2.5 0.1 o.6 0..5 -1 0.1

Total 1763.7 100.0 1823.6 130.0 2015.8 130.0 2529.9 100.0 2497.4 100.0 2316.7 100.0 2882.0 '00.0

La Negligible.

Source: DANE, Boletin Mensual de Estadistica, Bogota, various issues.

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Table 2.1 - COLOMBIA: GROSS DOMESTIC PRODUCT AT FACTOR COST BY SECTOR, 1960, 1965, 1?67, 1970, 1975-80

(In Millions of Colombian Pesos)

Preliminar- Estimate

1960 1965 1967 1970 1975 1976 1977 1978 197 ' § 1960 1970 1980

Gross Domestic Product at f,c. 25.073.3 56,893.4 76,940.5 119,796.9 386,371.6 494,272,1 66.2,b j3b 841,155,7 1,080,883.6 1.398.037.3 100.0 100.0 100.0

Agriculture Li 8,553.0 17,675.7 23,269.4 34,244.8 113,340.0 148,040.5 211,950.5 255,682.0 311,162.3 387,733.0 34.1 20.6 27.7

Mining 985.6 1,551.8 1,566.6 2,528.0 4,980.5 5,985.5 7,576.8 11,179.2 14,846.4 25,733.0 3.9 2.1 1.8

Manufacturing 4,335.3 10,386.3 13,272.3 20,976.7 79,700.6 104,653.2 132,855.5 174,077.3 235,431.9 307,722.5 17.3 17.5 22.0

Construction 909.4 2,080.7 3,792.7 6,530.0 19,728.7 20,446.4 27,655.6 37,974.2 48,753.8 62,032.1 3.6 5.5 4.4

Electricity, gas & water 227.2 740.2 1,159.5 1,787.9 4,849.0 6,771.3 8,839.7 11,434.9 16,083.3 20,754.2 (.9 1.5 1.5

Transportation & Communication 1,647.8 3,596.8 5,049,7 8,881.1 23,987.7 32,472.8 45,072.8 57,471.3 79,999.1 99,732.7 6.6 7.4 7.1

Trade - 3,297,0 9,735.7 13,372.4 20,760.2 69,619.7 88,156,4 117 509.6 149,940.9 188,513.1 247,499.3 15.7 17.3 17.8

Public administration & 1,373.8 3,394.5 4,892.8 8,283,5 26,758.0 32,457.8 40,102.9 54,061.4 71,154.0 96,110.5 5.5 6.9 6.9

detense /3

Other branches -L4 3,111.3 7,731.7 10,565.1 15,804.7 43,407.7 55,288.2 71,050.2 89.334.5 114,939.7 150,730.0 12.4 13.2 10.8

/1 Includes fishing and hunting and forestry.

/2 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.

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Table 2.2 - COLOMBIA: GROSS DOMESTIC PRODUCT AT FACTOR COST BY SECTOR IN 1970 PRICES, 1960, 1965, 1967, 1970-80

(in Millions of 1070 Colonbian Pesos)

Preliminary Estiaate Growth Rate (Avg. Annual)

1960 1965 1967 1970 1975 1976 1977 1978 1979 1980 1970-80 1979-80

Gross Domestic Product at f.c. 71.902.4 9Q.351.4 99.648.3 119.796.9 163.399.2 170,226.3 178.325.7 194,374.7 203,863.0 211,948.4 5.9 3.9

Agriculture L 24,305.2 27,833.6 30,249.9 34,244.8 44,066.4 44,905.0 46,096.5 50,575.0 52,623.2 54,102.4 4.7 2.8

Mining 1,862.0 2,267.2 2,209.0 2,528.0 2,240.7 2,145.9 2,063.8 2,154.4 2,141.5 2,300.0 -0.9 7.4

Manufacturing 11,698.1 15,3a8.5 17,000.1 20,976.7 30,030.7 32,037.7 33,386.8 36,289.2 37,822.9 38,806.3 6.3 2.6

Construction 3,114.6 3,526.3 5,010.1 6,530.0 7,795.9 6,686.2 7,067.0 7,334.9 7,206.9 7,339.7 1.2 1.8

Electricity, gas & water 767.2 1,163.7 1,398.5 1,787.9 2,753.4 3,067.7 3,138.4 3,391.0 3,731.5 3,918.1 8.1 5.0

Transportation & communication 4,767.7 6,488.2 7,028.6 8,881.1 14,085.3 15,076.1 t6,232.7 18,041.6 19,322.9 19,921.8 8.4 3.1

Trade /2 11,279.8 15,047.0 16,363.7 20,760.2 29,487.8 31,698.2 33,724.4 37,351.9 39,235.1 41,136.1 7.1 4.8

Public administration 6 defense /3 4,852.7 6,523.4 6,971.7 8,283.5 11,189.1 11,370.6 11,786.3 12,678.0 13,337.6 14,297.9 5.6 7.2

Other branches /4 9,255.1 12,113.5 13,416.7 15,804.7 21,749.9 23,239.1 24,829.8 26,558.7 28,441.4 30,126.1 6.7 5.9

/1 Includes fishing, hunting and forestry.

/2 Composed of cmuerce, banking, finance and insurance.

/3 Equals government services.

/4 Composed of house rentals and personal services.

Source: Banco de la Republics.

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Table 2.3 - COLOMBIA: GROSS DOMESTIC PRODUCT, BY TYPE OF EXPENDITURE, IN CURRENT MARKET PRICES, 1960, 1965, 1967, 1970-80

(In Millions of Colombian Pesos)

Preliminary Est. As Percent of CDP

1960 1965 1967 1970 1975 1976 1977 1978 1979 1980 1960 19'0 1980

Gross Domestic Product at m,p. 26,746.7 60,797.6 83,082.7 130.361.4 412.828.7 534,015.3 718,474.5 916,559.7 1.193.624.4 1,546,038.1 100.0 100.0 100.0

Gross domestic consumption 21,248.6 49,436.4 67,312.8 103,824.9 337,039.1 412,382.2 533,097.0 679,082.1 896,192.1 1,155,764.4 79.4 79.6 74.7

Private consumption (19,589.3) (45,482.1) (61,596.0) (93,863.3) (306,614.2) (373,651.8) (474,943.1) (613,357.8) (809,275.8) (1,037,693.5) (73.2) (72.0) (67.1)

General Governe ntconsumption ( 1,659.3) ( 3,954.3) ( 5,716.8) ( 9,961.6) ( 30,424.9) ( 38,730.4) ( 8,153.9) ( 65,724.3) ( 86,916.3) ( 118,070.9) ( 6.2) ( 7.6) ( 7.6)

Gross domestic investment 5,494.8 10,742.2 15,341.0 28,660.3 73,599.9 111,353.4 169,139.6 208,942.4 261,473.3 378,112.8 20.5 22.0 24.5

Gross fixed investment ( 4,844.9) ( 9,504.2) (14,729.1) (26,440.8) ( 77,572.1) ( 97,081.3) (134,784.0) (187,721.1) (247,376.3) ( 360,999.0) (18.1) (20.3) (23.4)

Change in stocks ( 649.9) ( 1,238.0) ( 611.9) ( 2.219.5) ( -3,972.2) ( 14,272.1) ( 34,355.6) ( 21,221.3) ( 14,097.0) ( 17,113.8) ( 2.4) ( 1.7) ( 1.1)

Exports of goods and n,f.s. 4,163.9 6,943.5 9,950.3 18,515.8 62,242.6 88,047.8 124,546.5 157,546.5 205,497.3 267,146.5 15.6 14.2 17.3

Imports of goods n.f.s. 4,160.6 6,324.5 9,521.4 20,639.6 60,052.9 77,768.1 98,489.3 129,011.3 169,538.3 254,985.6 15.6 15.6 16.',

Net factor income from abroad -302.3 -1,470.7 -1,470.7 -3,591.9 -8,042.6 -10,909.2 -10,149.3 -10,165.2 -8,557.0 -8,290.4 -1.1 -2.6 -0.5

Gross National Product at m.p. 26.444.4 59,900.0 81.612.0 126,769.5 404.786.1 523,106.1 708,325.2 906,394.5 1.185,506.7 1 ,37,747.7 98.9 97.2 99.5

Source: Banco de la Republica.

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Table 2.4 - COLOMBIA: CROSS D0MESTIC PRODUCT, BY TYPE OF EXPENOITIJRE IN CONSTANT MARRET PRICES, 1960, 1965, 1967, 1970-g0

(In Mtllions of 1970 Colombian Pesos)

Gr'vth Ratet (Avg. A--Ina_)

1960 1965 1967 1970 1975 1976 1977 1978 1979 1980 1960-70 1970-80 1979-80

Gross Domestic Product at .,p. 78,085.8 97,797.1 107,628,2 130,361.4 175,225.9 183,296.1 192,187.0 209,268,5 220,006.3 228,805,6 5.3 5.8 4.C

Gro-n domestic consu-ptio 58,626.6 76,475.7 84,'92.4 103,824.9 142,942.2 147,400.7 154,798.6 168,287.1 177.123,2 (184,850.3) 5.9 5.9 4.4

Private consumption ( 53,155.2) ( 69,349.4) ( 76,759.9) ( 93,863.3) (130,233.7) (133,896.0) (140,800.0) (152,942.1) (160,969.4) (167, 5,7 1 (5.8) (6.0) 4.1

General government consumption ( 5,471.4) ( 7,126.3) ( 7,832.55 ( 9,961.6) ( 12,71r.5) ( 13,504.7) ( 13,986.6) ( 15,345.0) 16,153.8) 17,293.0) (6.2) (5.7) 7.7

Crosn domestic investment 17,375.1 18,886.1 20,100.2 29.660.3 29,460.9 36,856.R 42,020.2 42,647.0 42,225.5 48,118.7 5.1 5.3 15.9

Gross fixed investment ( 15.809.1) ( 16,831.6) < 19,386.5) ( 26,440.8) ( 31,843.7) 32,801.6) ( 34,487.1) ( 38,736.9) ( 40,240.0) 4 45,99 7) (5.3) (5.7) 14.2

Change in stocks ( 1,566.0) ( 2,054.5) ( 713.7) ( 2,219.5) ( -2,382.8) ( 4,055.2) ( 7,533.1) ( 3,910.2) C 1,965.5) ( 2,1(3.3) ( _ ) - ) 8.9

Exports of goods and m.fs. 13,638.9 15,138.8 16,179.0 18,515.8 24,646.0 22,590.4 21,582.6 28,436.9) 33.Q)8.6 3S, 716.5 3.1 6,8 5.3

Imports of goods and n.f.s. 13,554.8 12,702.9 13,243.4 20,639.6 21,833.2 23,551.8 26,202.4 30,002.5 33,261.0 39,879.9 6.0 6.8 19.9

Not factor income from abroad -892.6 -1,443.9 -1,905.2 -3.591.9 -2,925.1 -3,304.5 -2,700.4 -2,364.0 -1,678.8 -I 296.r -4.1 -9.7 -23.7

Gross National Product at m.p. 77.203.2 96,353.8 105,723.0 126,769,5 175,300.8 179_991.6 18_9,48

6.6 206,904.5 218.327.5 227.508.8 6.3 6.0 4.2

Source: Banco de is Republica.

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Table 2.5 - COLOMBIA: ACTUAIL RESOURCE AVATILABILITY AND SAVINGS, 1970-80

(millionis of 1970 pesos at market prices)

1970 1971 1972 1973 1974 197'5 1976 1977 1978 1979 1980

('lP at Market Prices 130,361.() 137,889.0 148,889.S 159,194.7 168.786.9 17 ,225.9 183,296.() 192,187.0 209,368.5 220,006.3 228,8().4

Gains from 'lernis ot

7rade --- -1,092.4 7(03.7 1,495.2 2,600.0 -2,(021.() 4,066.3 11,589.9 8,20)2.0 -5,891.9 -5,524.5

Cross Domestic Income 130,361.() 1'36,796.6 149,333.12 160.689.9 171,386.9 173,204.9 187,362.3 20(3,776.9 217,570.5 214,114.4 223,280.9

Tmports 2(!,639.6 23,104.2 21,205.2 19,757.'3 24,216.9 21,833.2 23,551.8 26,202.4 3(),002.', '33,261.0 39,879.9

Exports 18,515.8 18,834.5 19,591.5 20,204.9 18,978.2 24,646.0 22,590).4 21,582.6 28,436.9 33,918.6 35,716.3

I'xports as Capacity

to Import 18,515.8 17,742.1 20,295.2 21,700.1 21,578.2 22,625.0 26,656.7 33,172.9 36,638.9 28,026.7 30,191.8

Resouirce Gap 2,123.8 5,362.1 910.0 -1,942.8 2,638.7 -791.8 -3,104.9 -6,970.1 -6.636.4 5,234.3 9,688.1Consuimption 103,824.0 111,391,0 120,049.9 131,910.0 138,374.0 142,951.0 147,40)0.7 194,786.6 168,287.1 177,123.2 184,850.3

Investmenit 28,660.3 30,767.3 30,193.3 26,836.6 35,651.6 29.460.9 36,856.8 42,020.2 42,647.1) 42,225.5 48,118.7 7

Cross Domestic Savings 26,537.0 25,40(5.6 29,283.3 28,779.9 33,012.9 30,258.9 39,961.6 48.990.3 49,283.4 36,991.2 38,430.6

Net Factor IncomePa'ments-Abroad -3,775.8 -3,358.9 -3.405.7 -3,021.1 -2.190.4 -2,549.6 -3,()91.3 -2,642.9 -2,364.0 -1,678.8 -1,296,6

Current Transfers 1/ 670.5 632.7 395.9 271.0 298.6 221.3 64.9 8.8 208.0 28.5 168.)0

Gross National Savings 23,431.7 22,679.4 26,273.4 26,273.5 31,121.1 27,925.6 36,935.2 46,356.2 47,127.4 35,340.9 37,302.0

GNP 126,585.2 134,530.1 145,223.8 156,173.6 166,596.5 172,676.3 180,204.7 189.544.1 207,004.5 218,327.5 227,508.8

(Gross National Tncome 126,585.2 133,437.7 145,927.5 157,668.8 169,196.5 170,655.3 184.271.0 184,271.0 215,2(06.5 212,435.6 228,050.3

1/ Does not include workers remittance.

Source: 'lable 2.3 and 2.4. Bank staff estimates.

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Table 2.6 - COLOMBIA: NATIONAL INCOME COMPON'ENTS, 1965, 1967, 1970, 1975-79

(In millions of Colombian pesos)

7 of % of % of % of % of % of 7 of Preliminary % of1965 N.1. 1967 N.I. 1970 N.I. 1975 N.I. 1976 N.l. 1977 N.I. 1978 N.1. 1979 N.I

dages and salaries 22,300.8 43.7 31,049.3 45.4 49,325.3 46.5 140,090.9 41.0 171,337.9 39.1 231.626.1 39.1 306,901.1 41.0 399,473.6 42.0

Income from property andincorporated enterprises 25,586.9 50.2 33,382.7 48.8 49,505.1 46.7 181,607.6 53,6 238,249.1 54.4 324,451.4 54.8 391,188.2 52.2 504,237.2 52.9

Corporate savings 1,675.9 3.3 1,969.0 2.9 3,419.2 3.2 10,858.3 3.2 13,062.5 3.0 20,208.5 3.4 22,354.4 3.0 28,309.4 3.0

Direct Corporate taxes 1,247.4 2.4 1,839.9 2.7 3,248.5 3.1 9,925.0 2.9 12,627.3 2.9 12,685.1 2.1 25,737.8 3.4 17,905.9 1.9

Income from Governmentproperties and enterprises 498.0 1.0 651.8 1.0 1,822.2 1.8 4,308.8 1.3 6,408.2 1.5 7,585.5 1.3 8,706.6 1.2 9,745.0 1.0

Interest on public debt -309.2 -0.6 -1,533.5 -0.6 -1,284.0 -1.2 -5,212.4 -1.5 -3,725.9 -0.9 -4,913.8 -0.8 -5,692.2 -0.8 -7,465.6 -0.8

National Income 50,999.8 100.0 68,359.2 100.0 106,096.3 100.0 341,578.2 100.0 437,950.1 100.0 591,642.8 100.0 749,195.9 100.0 952,205.5 100.0

Source: Banco de la Republica.

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Table 2.7 - COLOMBIA: INVESTMENT AND ITS FINANCING, 1960, 1965, 1967, 1970, 1975-79

(In Millions of Colombian Pesos)

As Percent of GrossDomestic Investment

1960 1965 1967 1970 1975 1976 1977 1978 1979 1960 1970 1979

INVESTMENT

Gross Domestic Investment 5 494. 8 10, 742. 2 15.341,0 28,660,3 73,599.9 111,353,4 169, 139. 6 208,942.4 261 473.3 100.0 100.0 100.0

Gross Fixed Investment 4,844.9 9,504.2 14,729.1 26,440.8 77,572.1 97,081.3 134,784.0 187,721.1 247,376.3 88.2 92.3 94.6

Change in Stocks 649.9 1,238.0 611.9 2,219.5 -3,972.2 14,272.1 34,355.6 21,221.3 14,097.0 11.8 7.7 5.4

Type of Capital Goods

Construction 2,697.1 5,796.8 9,738.3 16,059.8 45,306.5 49,357.1 68,256.4 97,685.5 122,087.5 49.1 56.0 46.7

Transportation Equipment 691.6 840.5 1,457.3 4,240.3 11,077.3 16,596.8 27,400.9 37,168.0 48,763.2 12.6 14.8 18.6

Machinery & Ecuipment 1,456.2 2,686.9 3,533.5 6,140.7 21,188.1 31,127.4 39,126.7 52,867.6 76,525.6 21.4 26.6 29.3

Sector of Investment

Private Sector 4,686.3 8,875.7 11,004.0 20,928.2 50,399.0 88,257,4 140,874.6 171,533.3 212,496.5 85.3 73.0 81.3

Public Sector 808.5 1,866.5 4,337.0 7,732.1 23,260.9 23,095.9 28,292.0 37,409.1 48,976.8 14.2 27.0 18.7 H

INVESTMFNT FINANCING

Gross Domestic Investment 5,494.8 10,742.2 15,341.0 28,660.3 75,599.9 111,353.4 169,139.6 208,942,4 261,473.3 100.0 100.0 100.0

Gross National Saving 5,195.8 10,463.6 14,608.5 23,430.9 69,167.3 112,440.5 186,871.3 228,438.3 285,432.5 94.6 109.1

General Government Savings 1,248.3 2,202.8 4,311.1 7,660.8 16,099.7 30,593.4 37,389.5 64,836.4 67,373.8 22.7 26.7 25.7

Private Savings 3,947.5 8,260.8 10,297.4 15,770.1 53,067.6 81,847.1 149,481.8 163,601.9 218,058.7 71.8 55.0 83.4

Corporate Savings 773.9 1.675.9 1,969.0 3,419.2 10,858.3 13,062.5 20,208.5 22,354,4 28,309,4 14.1 11.9 10.8

Personal Savings 506.7 1,588.9 1,217.8 2,242.2 5,458.5 23,371.8 68,451.8 61,066.8 75,381.8 9.2 7.8 28.8

Capital Consumption 2,666.9 4,996.0 7,110.6 10,108.7 36,750.8 45,412.8 60,821.5 80,180.7 114,367.5 48.5 35.3 43.7

Allowances

Foreign Savings - 299.0 - 278.6 - 732.5 -5,229.4 -4,432.6 1,087.1 17,751.7 19,495.9 23,959.2 -5.6 -18,2 9.1

NA - not available.

Source: Banco de la Republica.

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Table 2.8 - COLOMBIA: PERSONAL INCOME, 19(0-79

(In Millions of Colombian Pesos)

Personal

National Total Personal Wages and Direct Other Consumption Disposable Income /5Year Income 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 54,535.21961 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 63,905.61963 36,401.9 34,748.3 16,595.6 1,081.7 32.5 51.3 33,634.1 65,552.41964 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 75,495.41967 68,359.2 65,806.6 31,049.3 2,736.3 75.1 80.2 62,995.2 78,510.31968 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 87,898.51970 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 58,380.3 6,694.9 153.7 110.5 111,339.9 100,760.1

1972 153,988.0 148,381.7 68,511.0 7,233.4 228.6 124.0 140,919.7 113,644.91973 204,468.2 198,541.0 85,025.2 9,905.2 247.2 150.6 188,388.6 125,092.01974 276,023.0 267,370.2 111,663.2 13,030.0 328 9 187.9 254.011.3 135 184.31975 341,578.2 311,114.3 140,090.9 17,900.7 380.4 235.4 312,833.2 132 894 3

1976 437,950.1 420,939.4 171,337.9 22,674.8 362.5 279.1 397 902.1 142 566.11977 591,642.8 569,695.0 231,626.1 24,247.0 925.4 337.3 544,522.6 161.435.71978 749,195.9 713,155.3 306,901.1 37,125.5 498.0 401.0 675,531.8 168,461.7

1979 952,205.5 921,306.3 399,473.6 35,709.8 560.5 502.8 885,036.0 176,021.5

/1 GDP at market prices, minus indirect taxes, and capital consumption allowance, plus subsidies 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 services (fees, matriculation charges, etc.).

/5 Personal income less direct taxes and other transfers.

Source: Banco de la Republica.

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Table 2.9 - COLOMBIA: IMPLICIT PRICE DEFLATORS FOR GROSS DOMESTIC PRODUCT, 1958-80

(Index Numbers, 1970 = 100)

GovernmentCurrent

Purchases Exports ImportsTotal Gross of of ofGross Fixed Change Goods Goods Goods

Domestic Personal Domestic in and and NFS and NFSYear Product Consumption Investment Inventories Services Services Services

1958 29.5 31.9 26.7 34.9 24.5 33.1 34.81959 31.4 33.9 29.1 35.1 27.6 29.9 34.71960 34.3 36.9 30.6 41.5 30.3 30.5 36.01961 37.0 39.9 32.5 38.2 34.9 30.8 36.8 31962 39.5 41.9 35.6 42.3 37.7 30.1 35.41963 48.8 51.3 45.2 48.4 47.6 38.5 45.61964 56.5 59.1 48.6 56.1 52.0 44.9 46.11965 62.2 65.6 56.5 60.3 55.5 45.9 49.81966 71.2 73.7 67.7 68.8 66.0 59.9 65.81967 77.2 80.2 76.0 85.7 73.0 61.5 71.91968 84.2 86.9 84.4 85.7 81.2 71.4 83.01969 91.1 93.0 92.9 89.0 89.6 80.0 90.51970 100.0 100.0 100.0 100.0 100.0 100.0 100.01971 110.4 110.5 112.6 110.4 113.7 101.7 107.91972 125.2 124.0 124.2 133.7 129.3 128.7 124.31973 152.8 150.6 145.9 76.5 155.5 179.1 166.71974 195.0 187.9 201.5 263.7 193.2 246.6 216.91975 235,6 235,4 243,6 166.7 239.2 252.5 275,11976 291.3 279.1 296.0 351.9 286.8 389.8 330.21977 373.8 337.3 390.8 456.1 344.3 577.9 375.91978 437.8 401.0 484.6 542.7 428.3 554.0 430.01979 542.5 502.8 614.8 710.0 538.1 605.9 509.71980 675.7 619.3 785.5 791.2 682.7 748.0 639.4

L Preliminary.

/2 Estimate.

Source: Banco de la Republica.

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Table 2.10 - COLOMBIA: INCREMENTAL CAPITAL - OUTPUT AND DOMESTIC SAVINGS RATIOS, 1960, 1965, 1970, 1975-80

1960 1965 1970 1975 1976 1977 1978 1979 1980

GDP Real Growth Rate - 2.8 7.1 3.8 4.6 4.9 8.9 5.1

Incremental Capital - Output Ratios(in millions of 1970 Col. pesos):

GDP 78,085.8 97,797.7 130,361.4 175,225.9 183,296.0 192,187.0 209,368.5 220,006.3 228,805.4GDP Increment 2,839.7 2,702.5 8,586.1 6,439.0 8,070.2 8,890.9 17,181.5 10,770.5 8,799.1Gross Fixed Investment 15,809.1 16,831.6 26,440.8 31,843.7 32,801.6 34,487.1 38,736.8 40,240.0 45,955.7Fixed Investment Coefficient 20.25 17.21 20.28 18.17 17.90 17.94 18.50 18.29 20.09 H

ICOR 5.57 6.23 3.08 4.95 4.06 3.88 2.25 3.74 5.22Lagged ICOR 4.73 6.60 2.66 4.92 3.95 3.69 2.01 3.52 4.57

Domestic Savings Ratios(in millions of 1970 Col. pesos):

GDS 1/ 19,459.2 21,322.0 26,536.5 30,258.9 39,961.6 48,990.3 49,283.4 36,991.2 38,430.6GDS/GDP 24.92 21.80 20.36 17.27 21.80 25.49 23.54 16.81 16.80Marginal Savings Rate: 2/

Annual - 1.1488 0.1511 - 1.20 1.02 0.017 - 0.1636

Cumulative 3/ - 0.0945 0.1354 0.0830 0.2536 0.3632 0.288 0.1166 0.1259

1/ Gross domestic savings equals gross domestic 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.3/ Cumulative since 1960.4/ Preliminary.5/ Estimate.

Source: Banco de la Republica.

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Table 3.1 - COLOMBIA: BALANCE OF PAYMENTS, 1960, 1965, 1967, 1970-80

(In millions of US Dollars)

1960 1965 1967 1970 1971 1972 1973 1974 1975 1976 1977 1978 /1 1979 /2 1980 /2

FOB Merchandise Exports 495 591 558 788 752 979 1.263 1.494 1.4 2,255 2,727 3,270 391 4,428

Coffee 257 345 327 467 400 430 598 625 672 967 1,526 1,979 2,024 7,329

Coffee Adjustmeets 30 29 11 -3 -1 39 -1 59 92 325 80 -43 296 -70

Petroleum and Derivatives 80 88 61 73 75 51 53 91 98 65 105 156 146 21h

Minor Exports 113 118 150 245 274 449 613 719 855 886 1,003 1.114 1,370 1,593

Non-Monetary Gold 15 11 9 6 4 10 - - 30 12 13 64 74 315

FOB Merchandise Imports 496 430 464 802 9011 _48 982 1,510 1,425 1_665 1.179 2.564 3,184 4,332

Trade Balance -1 161 94 -14 -148 131 281 -16 322 590 748 706 726 96

Service Receipts 94 118 154 212 222 228 285 364 418 527 677 728 834 898

Freight and Insurance 28 44 41 43 49 49 65 98 93 120 145 140 158 171

Other Transportation 11 18 31 52 58 55 69 80 82 142 146 165 180 182

Sravel 23 28 46 54 61 59 72 105 141 175 231 260 317 35c

Other 32 28 36 63 54 65 79 81 102 90 155 163 179 189

Service Payments 138 223 232 347 385 388 442 562 605 637 751 834 _962 1062

Freight and Insurance 21 29 50 68 85 74 98 79 76 82 95 121 161 201

Other Transportation 49 60 49 95 112 114 124 180 200 247 288 300 324 350

Travel 28 50 58 66 63 69 87 129 135 151 173 206 227 250

Other 40 84 75 118 125 131 133 174 194 157 195 20' 250 261

Goods and Services Balance -45 56 16 -149 -311 -29 124 -214 135 480 674 598 -68

Net Factor Payments -40 -79 -105 -180 -176 -197 -215 -192 -263 -279 -235 -23 -192 -153

Net Unrequited Transfers 6 12 22 27 34 35 55 48 21 t6 29 4 26

Corrent Account Balance -79 -11 -67 -302 -453 -191 -56 -351 -80 222 455 366 410 -195

Private Capital 52 6 8 81 60 67 -6 -18 86 36 40 35 227 291

Direct Invest=ent 3 10 40 39 40 23 36 32 14 43 67 124 234

Loans (Net) 49 -4 -32 42 20 50 29 -54 54 22 -3 -32 103 S7

iebubxements (54) () (-) (101) (103) (139) (59) (27) (107) (87) (55) (66)

Atortization (-5) (-4) (-32) (-59) (-83) (-89) (-88) (-81) (-53) (-65) (-58) (-98)

Public and Publicly Guaranteed

Capital -14 76 LOO 160 127 239 270 170 254 109 195 79 5142 781

DisEursesats 11 156 175 235 219 333 401 378 390 262 27 1 Q2 954 1 ,030

Amortization -25 -80 -75 -75 -92 -96 -131 -208 -136 -153 -176 -246 -412 -249

SDR Allocation 2 - _ 2 - - 24

Net Reserve Change (minos =

Increase in Net Assets) 9 -42 -62 6 82 -164 -213 389 -139 -562 -852 -610 -1.237 -1 141

Central Bank 37 -26 28 -55 -18 -175 -171 120 *117 -619 667 -652 -1,G24 -1,31(J

Rest of Banking System -28 -16 -90 61 100 11 -42 269 -22 57 185 42 387 169

Short-term and Errors and

Omissions 32 -29 21 34 167 31 5 190 -121 195 162 _11 34 240

/I Preliminary.

/2 Estimated,

Source: Banco de la Republica and Bank staff estimates.

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Table 3.2 - COLOMBIA: CENTRAL BANK GROSS RECEIPTS OF FOREIGN EXCHANGE, 1960-80

(Thousands o' D: _o_ rs'

Merchandise PetroleumExport /a Capital

Surrender - andYear Coffee Other New Gold Services /b Amortization Total

1960 325,641 30,251 51,147 10,432 41,964 459,4351961 326,939 36,842 39,653 24,948 187,099 615,4811962 300,089 54,012 39,102 31,673 261,619 686,4951963 312,455 45,183 39,420 21,457 437,770 856,2851964 439,830 73,164 44,362 17,250 496,075 1,070,6811965 346,675 98,773 36,549 13,789 225,545 721,3311966 302,302 95,729 36,484 37,138 371,657 843,3101967 318,813 117,060 24,604 171,289 367,950 999,7161968 314,144 178,434 30,977 123,365 262,235 909,1551969 332,853 207,197 22,313 124,995 257,542 944,9001970 405,543 237,011 27,991 129,398 313,559 1,113,5021971 358,610 297,828 22,198 129,973 380,188 1,188,7971972 433,636 406,877 14,276 147,109 464,299 1,466,1971973 535,410 473,281 12,863 232,633 410,261 1,664,4481974 543,209 671,259 16,622 253,868 381,583 1,866,5411975 634,542 779,151 39,146 465,266 409,924 2,328,0291976 917,678 734,627 23,597 872,954 453,714 3,002,5701977 1,447,477 795,289 43,087 922,769 642,417 3,851,0391978 1,702,547 866,515 69,508 960,218 911,098 4,509,8861979 1,769,399 1,274,369 126,261 1,452,640 1,839,515 6,462,1841980 1,981,171 1,413,086 395,447 1,864,215 2,139,178 7,793,097

1978-I 350,711 173,819 7,838 255,630 218,083 1,006,0811978-II 365,044 230,966 9,881 263,710 212,424 1,082,0251978-III 333,480 221,810 28,973 238,885 216,956 1,040,1041978-IV/c 653,312 239,920 22,816 201,993 263,635 1,381,676

1979-I 269,764 248,370 18,222 279,171 324,828 1,140,3551979-I1 456,089 339,665 31,945 382,409 709,848 1,919,9561979-III 415,366 327,659 35,474 366,785 342,965 1,488,2491979-IV 628,180 358,675 40,620 424,275 461,874 1,913,624

1980-I 412,372 299,697 85,590 469,438 470,788 1,737,8851981-II 536,884 353,096 77,617 393,695 415,390 1,776,6821980-III 517,832 353,702 101,358 486,887 803,035 2,262,8141980-IV 514,083 406,591 130,882 _ 514.195 449.965 2,.015716

/a Includes advance surrender./b Includes interest and transfers.

Source: Banco de la Republica.

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Table3.3 - COLOMBIA: CENTRAL BANK DISBURSEMENTS OF FOREIGN EXCHANGE,1960-80

(Thousands of US Dollars)

ImPortsYear Ordinary /a AID Other lb Petroleum Services Amortization Total

1960 320,802 - 15,334 19,470 48,500 107,977 512,0831961 371,737 - 35,756 20,394 60,219 132,021 620,1271962 387,972 - 28,714 18,840 64,992 243,069 743,5871963 261,562 50,115 27,153 23,002 61,466 423,137 846,4351964 323,101 56,994 42,935 24,607 66,848 541,523 1,056,0081965 249,868 10,000 40,827 27,464 59,178 328,172 715,5091966 312,480 40,617 68,249 35,582 101,342 284,902 843,1721967 343,359 58,310 47,242 29,017 122,753 399,251 /c 999,9321968 249,004 77,959 92,891 38,961 182,143 205,480 846,4381969 321,388 66,031 87,069 33,434 198,298 198,404 905,2541970 395,097 81,876 81,124 40,427 260,081 254,706 1,113,3111971 487,945 49,346 75,370 39,768 265,460 263,103 1,180,9921972 548,522 11,526 94,613 47,287 296,678 340,099 1,338,7251973 661,990 9,550 72,764 51,357 388,985 349,714 1,534,3601974 927,650 1,542 120,750 67,530 479,592 356,706 1,953,7701975 1,187,290 28 130,091 65,692 504,935 322,991 2,211,0271976 1,086,801 - 149,511 75,246 555,640 516,452 2,383,6501977 1,609,141 - 163,078 71,270 538,073 805,429 3,186,9911978 1,880,872 - 218,640 88,045 607,902 1,057,373 3,852,8321979 2,281,758 - 275,913 77,766 852,711 1,353,679 4,841,8271980 3,259,213 - 234,659 107,495 130,720 1,567,745 6,486,309

1978-I 479,948 - 35,836 20,736 114,262 213,520 864,3021978-II 447,955 - 50,449 17,862 163,018 267,816 947,1001978-Ill 469,158 - 57,051 17,817 158,477 30'5,627 1,008,1301978-IV 483,811 - 75,304 31,630 172,145 270,410 1,033,300

1979-I 491,472 - 67,977 15,934 139,386 276,013 990,7821979-I1 497,857 - 59,327 20,170 207,261 376,270 1,160,8851979-III 615,143 - 73,466 22,564 216,213 332,910 1,260,2961979-IV 677,286 - 75,143 19,098 289,851 368,486 1,429,864

1980-I 680,394 - 74,520 42,530 234,894 390,616 1,422,951980-II 784,777 - 33,447 28,821 349,678 381,759 1,588,4821980-III 888,601 - 55,935 26,904 335,002 412,842 1,719,2841980-IV 905,441 - 70,757 9,240 387,627 382,528 1,755,593

/a Exchange certificate imports./b Bilateral agreements, Plan Vallejo, IBRD, lines of credit for vehicles and machinery./c Financings in 1967 include some interest payments as well as amortization of principal

(interest payments normally appear under Services).Source: Banco de la Republica.

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Table 3.4 - COLOMBIA: SUPPLY AND DISTRIBUTION OF GREEN COFFEE, 1958-59 to 1980-81

(Thousands of 60-Kilogram Bags)

Coffee Stocks Domestic Exports StocksYear Carry- Consump- Normal Other Carry-(Oct./Sept.) In Production /1 tion Markets Markets Total Out /2

1958-59 11 7,442 908 6,372 59 6,431 1141959-60 114 7,648 1,197 5,597 74 5,671 8941960-61 894 7,500 1,270 5,990 53 6,043 1,0811961-62 1,081 8,035 1,526 5,536 58 5,594 1,9961962-63 1,996 7,500 1,416 5,952 104 6,056 2,0241963-64 2,024 7,800 1,375 6,228 82 6,310 2,1391964-65 2,139 8,547 1,354 5,612 131 5,743 3,5891965-66 3,589 8,224 1,202 5,670 195 5,865 4,7461966-67 4,746 7,507 1,250 5,421 213 5,634 5,3691967-68 5,369 7,995 1,270 6,344 251 6,595 5,4991968-69 5,499 7,375 1,290 6,204 330 6,534 5,0501969-70 5,050 8,450 1,043 6,467 407 6,874 5,5831970-71 5,583 7,683 1,300 6,008 322 6,331 5,6351971-72 5,635 5,723 1,300 6,349 137 6,487 3,5711972-73 3,571 8,818 1,300 6,067 188 6,255 4,8341973-74 4,834 7,214 1,400 7,015 393 7,408 3,2401974-75 3,240 8,102 1,400 7,196 346 7,542 2,4001975-76 2,400 7,835 1,400 6,625 630 7,255 1,5801976-77 1,580 8,879 1,500 5,292 559 5,851 3,1081977-78 3,108 10,765 1,500 7,558 73 7,631 4,7421978-79 4,742 11,632 1,500 11,431 - 11,431 3,4431979-80 /3 3,443 12,712 1,800 11,542 555 12,097 2,2581980-81 /4 2,258 14,200 1,800 11,290 - 11,290 3,368

/1 Registered production. Series deduced from data on stocks, consumption, and exports.

/2 Stocks include private holdings.

/3 Preliminary,

/4 Estimated.

Source: National Coffee Growers Federation, Bank staff estimates.

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Table 3.5 - COLaiA84A: NEWI YORK AND DOMESTIC COFFEE PRICES, REAL AND NOMINAL, 1967-80

1967 1968 1969 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

New York Spot Price (US Cents/lb)Colombian game 41.9 42.6 45.0 56.4 49.3 56.7 72.7 77.9 81,7 157.7 240.2 485.2 183.4 179.0Guatemala Prime Washed 39.2 39.4 40.1 52.0 45.0 50.3 62,6 65.9 65.4 142.7 234.7 162.8 173.5 154.2ICo Indicator Prime 37.7 37.3 40.9 55.8 44.8 52.5 69.2 73.3 83.8 149.5 308.0 165.3 178.5 208.9ICO Rob.sto 33.5 33.9 33.1 41.4 42.4 45.2 50.2 58.7 61.1 127.1 223.8 147.5 165.5 147.2

Index of International Inflation (1970-0O) 95.0 89.2 90.0 100.0 108.2 119.8 144.1 179.5 207.0 210.7 227.3 263.4 298.2 348.6Nev York Spot Price In Constant 1970 Prices

(US Cents/lb)Colombian Nama 44.1 47.8 50.0 56.4 45.6 47.3 50.5 43.4 39.5 74.8 105.7 70.3 183.4 51.3Guatemala Prime Washed 41.3 44.2 44.6 52.0 41.6 42.0 43.4 36.7 31.6 67.7 103.3 61.8 173.5 44.2ICO Indicator Prime 39.7 41.8 45.4 55.8 41.4 43.8 48.0 40.8 40,5 70.9 135.5 62.8 178.5 59.9ICo Roboato 35.3 38.0 36.8 41.4 39.2 37.7 34.8 32.7 29.5 60.3 98.5 56.0 165.5 42.2

Manizales Coffee in the Interior (PFoe/Carga) /a 75.9 88.9 98.2 130.4 124.5 150.0 193.7 220.7 272.8 553.3 717.9 730.0 727.0 866.3Colombian Wholesale Price Index (1970-100) 82.0 87.1 92.9 100.0 111.5 131.9 168.7 229.5 287.8 353.8 448.2 527.2 673.9 836.9Interior Cofe i.a L 92.6 102.1 105.7 130.4 111.7 113.7 114.8 96.2 94.8 156.4 160.2 138.5 107.9 103.5

4, I Cmrga - 1,250 XIIogrim.

Source: Revista del Banco de 1 Republics, Bogota. various issues.Cosmodities snd bgaort Projection Dtvision, fEonoysic Prolections and An.alysis Department. World Bank. internal asos.National Coffee Gruwers Federation.

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Table 3.6 - COLOMBIA: CRUDE PETROLEUM PRODUCTION, APPARENT DOMESTIC CONSUMPTION AND EXPORTS, 1958-80 /1

Crude Apparent Crude Petroleum ExportsPetroleum Domestic By By Unit Value

Year Production /2 Consumption /2 Volume /2 Value /3 per Barrel Volume 12

1958 46,878 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 24,311 60,584 2.49 -1963 60,243 29,072 31,171 77,198 2.48 -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 48,804 31,246 58,618 1.88 -1971 78,635 53,229 25,406 51,236 2.02 -1972 71,674 56,750 14,924 30,791 2.06 -1973 67,089 57,690 9,399 26,733 2.84 -1974 61,387 60,907 480 4,452 9.30 -1975 57,259 57,259 - - - -1976 53,376 60,101 - - - 6,7251977 50,222 59,622 - _ - 9,4001978 47,742 56,576 - - - 8,8341979 45,033 54,028 - - - 8,9951980 45,615 52,826 - - - 7,211

/1 Does not include imports of petroleum derivatives.

/2 Quantities in thousands of 42-gallon barrels. Apparent domestic refinery consumption isproduction minus exports (plus imports in 1975).

/3 Value in thousands of US Dollars.

Source: Ministerio de Minas y Energia, Banco de la Republica, National Plannint Department.

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Table 3.7 - COLOMBIA: EXPORT REGISTRATION BY MAIN PRODUCTS, 1960, 1965, 1967, 19'0 80

(In Tho-sards of US D0115r.)

1960 1965 1967 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

Ma.r UpDort: 348 736 346,742 312_392 461 015 399_609 428,056 595 488 623,099 680,524 996,018 12503,002 2,011,925 2 O05,272 2 374 175Coff.* -34S736 346,742 312,392 461,015 399,609 428,056 595.488 623,099 680,524 996.018 1,503,002 2,011,925 2,005,272 2,374,175

Winor xonrts:Aariclt.ral Product. 22,105 588836 58_921 104_823 125_713 166,821 79,164 304057 341.581 295 372 312,199 3371,61 351,10 545,020

Cotton 1414d823B1ee0 3,61 3,6 50,380 39,797 86,849 82,96116,993 73,066 52,305 101,830Cattle end B-e! - 12,391 1,876 25,641 32,586 40,689 46,469 42,582 88,088 65,176 56,846 64,446 36,955 33 120S.gr - 7,967 12,044 14,311 18,869 30,662 27,519 96,069 82,467 22,397 19 21,462 47,666 175,496B aneas 5,632 19,885 17,234 17,081 22,126 21,800 22,027 27,722 38,769 41.217 57,288 75,536 84,792 108,196Tob-cco 2,333 5,836 4,107 7,373 10,459 9,867 21,805 22,059 17,786 27,128 23,980 27,701 26,586 24.837Shri.p nd Shell Fi.h - - - 4,754 6.733 9.933 10,198 12,852 12,082 20,477 18,444 17,958 24,201 n sFlovers - 4,554 2,050 982 1,777 3,490 11.349 15.924 19,503 26,8S4 38,629 53,432 79,246 101,541

iesn,fect-red Products 281 20.040 25,334 70.778 8_0053 133,400 251,535 388.533 302,977 381,243 403,968 457 89f 724.977 647,152

Clothing and Textiles 222 8,848 2.998 20,486 25,718 44.657 102,054 184,105 103,745 133,408 139,993 167,227 250,457 258,347Leather and Hid.. 59 4.195 3,739 6,908 7,370 23,419 30,180 16,188 17,679 23,456 32,208 38,614 43,938 35,189Chdc-.l nd Ph-recetical. - - 4,223 8,888 11,350 15,782 34,966 65,973 55,714 48,982 49,485 56,080 79,496 82,283Metallic Pr.doct. - - 3,058 5,532 7.353 12,400 27,692 32,545 20,959 27,666 35,139 40,782 119,593 54,381Mechanical and Electrical

Equiptnt - - 2.700 4,383 5,341 7,793 13.064 25,423 24,866 39,340 43,861 42,465 b4,237 69,624 bTi.ber and Wood Prod-cts - 4,176 4,189 6,020 6,466 8,040 14,919 18,617 11,941 20,196 14.355 9,605 10,100 na,Paper. Cartons sod Ronis - - - 9,995 10,018 11,486 15,973 26,802 34,417 42,490 49,742 53,460 73.872 93,765C-nt _ 2,821 3,135 4,484 2,865 5,938 7,898 12,435 23,001 35,239 27,342 38,058 58,655 53,563Glass _ - 1,292 4,082 3,572 3,885 4,789 6,445 10,655 10,466 11,823 11,085 19,629 n.a.

Niser.l Prod.cta s - 8 740 9.791 48 519 60 253 8.790 1,375 22.015 28.517 46.A.,031 11,04,173 63 467llirar l1droducts _ _ 3,740 5,908 43,813 60,253 6,334 13.221 2G,413 227,399 41,891 1068,848

Gold - - - 2,277 1,541 2,521 - - - 156 - - -Platinox - - - 3,191 2,342 2,217 3,019 2,456 2,154 1,446 1,118 4,140 3,325 -

Other Products 10,911 17,741 38_605 29.081 38,508 65,412 123,639 174.900 199,167 171,059 207,355

239,362 339,695 357,599

Gross Total - Minor E /Iports / 33,297 96 667 122,860 213,422 254.863 414,152 614.591 876,28 859.100 869, 689 952.039 2 69 613.238

Adiutteant. and Cancellations L2 - - -3,664 -9,991 -20,305 -22.000 -30 516 -83,8D6 -94,313 -91,991 -142,562 -147,114 -169,546 177,212

Met Total - M4inor Exports 33,297 96,667 119.196 203,431 233,760 392,152 584,075 792,474 764,787 777,699 809,477 929,796 1,357,050 1 436 026

Totl Merchendise Exports 382.033 443.309 431_588 673.699 653.672 820 208 1,179,563 1,415.573 1,445.311 1,773,716 L 2 1 3 800 2

L Crude petrolene not included.

L2 F-os 1960-65, adiuetoents and c.ncellati.o. eight have been netted out.

Sorce: Banco de 1- Repbli.s.

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Table 3.8 - COLOMBIA: CUSTOMS CLEARANCE OF MERCHANDIISE EXPORTS, /1 1960-80

(In Thousands of US Dollars)

Hides and OtherCoffee Bannas Cotton Sugar Live Cattle Tobacco Cement Skins 12 Products Total

1960 332,249 13,687 12,587 9 - 2,376 2,000 - 21,672 384,5801961 307,827 14,055 10,128 5,207 - 4,044 2,407 1,063 21,497 366,2281962 332,020 10,644 15,638 7,382 155 5,690 1,997 2,017 27,276 402,8191963 303,006 13,257 9,346 5,480 110 7,167 1,559 2,515 27,019 369,4591964 394,228 12,406 6,277 3,271 156 9,437 2,315 4,453 40,631 473,1741965 343,901 18,620 8,040 7,597 6,344 7,205 2,221 4,795 52,252 450,9751966 328,266 19,998 2,176 8,257 6,041 5,551 2,125 3,844 60,737 436,9951967 322,372 25,003 15,335 11,256 1,422 4,390 2,643 3,639 62,651 448,7111968 351,441 24,692 27,839 14,906 1,689 4,903 3,808 6,311 86,456 522,0451969 343,915 19,731 32,597 14,747 6,873 7,256 3,130 7,253 115,332 550,8341970 466,742 18,075 30,660 14,030 17,215 7,169 3,124 4,680 115,344 677,0391971 395,393 14,657 46,884 15,709 16,079 9,164 2,937 5,993 137,468 644,2841972 429,578 13,713 78,870 28,403 13,682 9,879 5,434 16,570 238,451 834,5801973 596,894 15,420 79,273 30,188 2,737 15,271 6,286 20,208 411,061 1,177,3381974 622,288 25,377 114,566 72,202 3,136 19,227 7,871 7,956 539,813 1,412,4361975 671,785 31,613 128,503 95,052 32,646 12,810 11,259 6,341 475,179 1,465,1881976 967,205 40,886 132,453 24,059 30,512 25,458 23,268 8,426 492,886 1,745,153

1977 1,497,723 45,740 161,484 2,231 21,094 19,112 14,699 8,209 662,465 2,432,7571978 1,978,725 59,110 86,725 18,648 5,590 18,834 20,625 5,557 816,021 3,009,8351979 2,006,345 78,944 102,266 49,609 4,755 21,661 29,597 8,101 1,109,100 3,410,3781980 2,373,032 133,561 165,507 160,850 151 24,169 34,749 5,932 1,026,553 j,92 4

,504

1978 1,978 725 59 110 86 725 18 648 5,590 18 834 20,625 5 557 816,021 3,009 835January 125,809 29 - 71 1,27 377 53,428 188,882February 180,496 6,172 7,018 - 129 71 1,937 799 70,311 266,933march 98,847 4,385 8,480 - 36 565 1,323 394 66,988 181,018April 137,330 3,236 8,096 - 21 2,047 1,240 212 58,276 210,458May 152,143 4,953 9,542 1,959 524 1,931 1,412 563 69,655 242,682June 160,122 4,313 7,293 1,442 1,215 4,449 1,124 483 61,298 241,739July 142,580 3,493 7,772 2,449 1,184 4,672 1,031 563 79,233 242,977August 167,187 4,625 4,526 3,484 757 357 2,829 327 65,431 249,523September 214,512 6,071 8,949 3,251 369 1,882 2,238 375 102,006 339,653October 219,278 5,695 9,806 1,840 57 602 2,653 490 74,746 315,167November 204,610 8,622 5,804 1,921 456 958 2,307 561 55,426 280,665December 175,811 5,252 4,075 2,302 771 83 2,154 467 59,223 250,138

1979 2,006,345 78,944 102,266 49,609 4,755 21.661 29,597 8101 1.109100 3,410,378January 186,040 7,535 9,624 3,862 455 8 2,907 521 95,937 306,889February 192,418 4,577 8,832 3,738 1,316 692 1,590 328 52,480 265,971March 168,026 6,461 7,841 1,812 888 4,983 1,977 413 70,478 262,879April 97,320 6,937 9,099 4,247 479 1,253 2,534 1,126 85,303 208,298May 142,263 6,533 6,784 5,337 277 3,554 2,514 1,774 105,616 274,652June 163,609 6,213 8,334 4,323 859 1,551 1,881 313 113,191 300,274July 191,677 6,044 6,645 4,037 457 4,834 4,654 273 100,257 318,878August 200,664 6,207 . 6,285 - - 2,385 2,301 482 82,849 301,173September 147,844 6,797 6,248 4,249 - 77 2,907 1,005 72,500 241,627October 194,096 9,173 12,223 4,413 24 1,002 3,455 566 145,113 370,065November 153,055 6,748 10,042 4,380 - 1,066 2,147 786 83,969 262,193December 169,333 5,719 10,309 9,211 - 256 730 514 101,407 297,479

1980 2,373,032 133,561 165.507 160,850 151 24,169 34,749 5,932 1,026,553 3,924,504January 220,991 .9,907 6,113 2,008 - 139 2,211 551 73,102 315,022February 227,632 11,443 11,350 6,607 134 1 4,676 258 58,140 320,241March 202,410 11,661 5,403 8,676 - 367 3,518 493 70,041 302,569April 226,397 11,848 20,092 13,938 - 2,837 2,843 1,088 79,107 358,150May 258,324 14,709 18,269 5,564 - 1,164 1,153 200 100,523 399,906June 235,231 10,097 8,934 - - 5,304 3,675 384 72,966 336,591July 247,451 9,354 17,683 7,166 - 3,796 3,028 636 78,420 367,534August 181,486 10,269 12,797 14,376 - 6,820 3,015 435 140,217 369,475September 190,624 11,300 17,405 16,508 17 3,029 3,191 507 90,351 332,93.2October 142,757 8,308 13,290 31,891 - 549 2,531 482 87,396 287,204November 158,693 13,655 14,642 21,259 - 69 1,853 497 64,664 275,252December 81,036 11,000 19,529 32,857 - 94 3,055 491 111,626 259,688

/1 Excluding crude petroleum.TY From 1961 to 1964 includes finished leather.

Source: DANE.

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Table 3.9 - COLOMBIA: MINOR EXPORTS EXCHAINGE SURRENDER BY MAIN PRODUCTS, 1960, 1965, 1967, 1970, 1975-80

(In Thousands of US Dollars)

1960 i965 1967 1970 1975 1976 1977 1978 1979 1980

Agricultural Products /1 2052 51,992 6523 12,6 332.456 ~24870 272195 285,074 329 944 543.803

Cotton 13,283 6,662 19,607 38,646 86,836 76,013 96,770 45,554 40,280 92,418

Cattle and Beef - 6,079 4,072 29,273 51,084 52,269 45,946 51,514 32,026 24,131

Sugar - 7,696 15,947 21,837 96,421 26,165 2,142 19,195 45,527 170,095

Bananas 5,031 25,384 19,173 17,704 36,956 41,002 53,576 74,773 91,358 111,471

Tobacco 2,212 5,332 5,072 8,799 30,823 10,611 20,084 26,445 23,034 26,963

Shrimp and Shellfish - - - 4,989 12,300 17,405 18,234 17,284 23,659 20,059

Flowers - 839 1,361 1,221 18,036 25,035 35,443 50,309 74,060 98,666

Manufactured Products 5,867 25.903 36,842 75,670 256,463 301.009 329.172 365,381 564,717 547,241

Clothing and Textiles 183 11,842 8,923 21,820 87,310 124,309 122,941 143,596 225,355 219,834 t

Leather and Hides 539 3,668 3,635 7,010 10,053 10,572 15,635 14,342 14,553 10,579 'rChemicals and Pharmaceuticals 431 3,864 3,835 9,274 56,747 48,410 45,761 50,464 70,143 77,951

Metallic Products - - 3,470 4,359 33,024 26,095 43,353 52,965 90,152 63,005

Mechanical and Electrical Equip. 678 949 2,154 6,645 21,955 26,508 41,329 39,685 56,932 68,965

Timber and Wood Products 2,279 3,688 4,526 7,498 6,920 14,056 17,363 14,361 22,797 13,589

Paper, Cartons and Books - 427 5,454 10,727 21,317 15,060 15,186 17,661 33,294 43,722

Cement 1,757 1,463 3,269 3,446 11,267 24,461 16,483 20,952 33 645 31,623

Glass - - 1,576 4,891 7,870 11,538 11,121 11,355 173846 17,973

Mineral Products - 1,528 1,818 10,65 14,4 14989 25055 42.215 99. 198 69,298

Emeralds - - - 3,415 12,253 13,247 24,205 39,707 96,558 69,298

Gold _4437 - - 9 5,Platinum - - - 3,013 2,202 1,651 850 2,508 2,640 -

Other Products 3,858 19,350 13,168 28,007 175.777 170,020 168.867 173.845 280.510 252.744

Total 30.251 98.773 117,060 237,011 779.151 734.627 7 866.515 1,274.369 1.413.086

Source: Banco de la Republica.

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Table 3.10 - COLOKBIA: ADVANCe AND NOR3MAL MERCHANDISE EXPORT EXCHANGE SURRENDER, aY QUARTER, 1970-80 1/

(I. Thousands of US Dollars)

Coffee Export. Minor Exprts Total Merchandise ExportsAdvance/ Advance/ Advance!

Year and Advance Nor,sal Total Total Advance.L Noral Total Total Advance Nornal Total TotalQuarter Surrender Surrender Surrendar Pwc_ta S.rrmdar Surrender Surrender Percentage Surrender Surrender Surrender Percentage

1970 - I 55.095 54,137 109,232 50.4 44,951 16,318 61,269 73.4 100,046 70,455 170,501 58.71970 - 10 41,624 63,865 105,489 39.5 34,031 18,365 52,396 64.9 75,655 82,230 157,885 47.91970 - III 22.410 59,981 82,391 27.2 32,926 21,048 53,974 61.0 55,336 81,029 136,365 40.61970 - IV 41.216 67.215 108,431 38.0 48,274 21,098 69,372 69.6 89.490 88.313 177,803 50.31970 - Total 160,345 245.198 405,543 39.5 160.182 76,829 237,011 67.6 320.527 322.027 642.554 49.9

1971 - 1 28,297 49,063 77,360 36.6 39,586 18,622 58,208 68.0 67,883 67,685 135,568 50.11971 - 11 48,816 41,807 90,623 53.9 45,587 23,686 69,273 65.8 94,403 65,493 159,896 59.01971 - III 48,623 46,681 95,304 51.P 47,859 23,350 71,209 67.2 96,482 70,031 166,513 57.21971 - IV 47,567 47,756 95.323 50.0 71.190 27948 99,138 71.8 118,757 75,704 194,461 61.11971 - Total 173,303 185.307 358,610 48.3 204.222 93.606 297,828 68.6 377_525 278,913 657.5

1972 - I 49,952 47,354 97,306 51.3 64,067 17,693 81,760 78.4 114,019 65,047 179,066 63.71972 - II 68,990 41,373 110,363 62.5 67,882 26,160 113,982 77.0 156,812 67,533 224,345 69.91972 - III 49.926 40,454 90,380 55.2 61,714 27,697 89,411 69.0 111,640 68,151 179,791 61.11972 - IV S3 620 51.967 135,587 61.7 73.125 48.599 121.724 60.1 156,745 100.566 257.311 60.91972 - Total 252,488 181,148 433.636 58.2 286.728 120_14

98 70.5 539,216 301.297 840.513 64.2

1973 - I 79,393 64,064 143,457 55.3 42,931 51,046 93,977 45.7 122,324 115,110 237,434 51.51973 - II 58,940 85,186 144,126 40.9 66,732 68,443 135,175 49.4 125,672 153,629 279,301 45.01973 - III 30,870 51,500 82,370 37.5 13,533 108,191 121,724 11.1 44,403 159,691 204,094 21.81973 - IV 81,397 84,060 165,457 49.2 - 122.405 122.405 0.0 81,397 206,465 287,862 28.31973 - Total 250,600 284,810 535.410 46.8 123,196 350.085 473281 26.0 73796 634,895 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 37.11974 - II 83,687 25,645 109,332 76.5 _ 174,857 174,857 0.0 83,687 200,502 284,189 29.41974 - III 14,711 82,071 96,782 15.2 - 165,909 165,909 0.0 14,711 247,980 262,691 5.61974 - IV 92,558 73,706 166.264 55.7 - 187682 187,682 0.0 92,558 261,388 353,946 26.21974 - Total 307.406 2 543373 56.6 - 671,259 671,259 0.O 307,406 9 25.3-mm. - - . _

1975 - I 66,173 55,892 122,065 54.2 30,201 150,490 180,691 16.7 96,374 206,382 302,756 31.81975 - II 83,159 50,411 133,570 62.3 43.492 165,806 209,298 20.8 126,651 216,217 342,868 36.91975 - 111 79,036 65,210 144,246 54.8 19,541 170,061 589,602 10.3 98,577 235,271 333,848 29.51975 - IV 173,762 60,899 234,661 74.0 26.923 172,637 199.560 13.5 200,685 233,536 434.221 46,2

1975 - Total 4. 634,542 63.4 618,157 6994 1 15.4 522,287 9 1413693 36.9

1976 - I 162,031 56,209 218,240 74.2 34,983 128,032 163,015 21.5 197,014 184,241 381,255 51.71976 - 1} 169,519 55,789 225,308 75.2 10.137 168,231 178,368 5.7 179,656 224,020 403,676 44.51976 - III 29,981 101,177 131,158 22.9 - 185,675 185,675 - 29,981 286,852 316,833 9.51976 - IV - 342.972 342.972 - - 207.569 207.569 - - 550.541 550.541 -

1976 - Tot-l 361.531 556,147 917,678 39.4 45 120 89.507 7346 6 1 406 651 1245.654 1 652 305 24.6

1977 - I - 450,058 450,058 - - 187,554 187,554 - - 637,612 637,612 -1977 - II - 340,935 340,935 - - 187,978 187,978 - - 528,913 528,913 -1977 - III - 228,771 228,771 - - 195,563 195,563 - - 424,334 424,334 -1977 - IV - 427 713 427713 - 224,194 224,194 - 651,907 651,907 -

1977 - Total - 1. 447 .47747.477 _ - 795.289 795.289 2,242,766 2,242,766 6

1978 - - 150,711 350,7U - - 173,819 173,819 - - 524,530 524,5301978 II - 365,04. 365,044 _ - 230,966 230,966 - - 596,010 596,010 -

1978 - III - 333,480 333,480 - - 221,810 221,810 - - 555,290 555,290 -1978 - IV - 653 302 653 362 . - 239,920 259,920 - 893 232 893,232 -1978 - Total I T,Zu 7 4/ T-7U _ _ E5 _ 2,569,062 _

1979 - I _ 269,764 269,764 - - 248,370 248,370 - - 518,134 518,134 -1979 - II - 456,089 456,089 - - 339,665 339,665 - - 795,754 795,754 -

1979 - III - 415,366 415,366 - - 327,659 327,659 - - 743,025 743,025 -

1979 IV 628,180 628 R _ 675 358,675 -- 986,855 1979 - Total - 1,769,399 1,769,399 - 1,274,369 1,274,369 3 043 768 3 043,768

1980 - I - 412,372 412,372 - - 299,697 299,697 712,069 712,069 -

1980 -11 536,884 536 884 - 353,096 353.096 889,980 889,980 -

1980 - III - 517,832 517 832 - - 353,702 353,702 871,534 871,534 -

1980 - IV - 514,083 514,083 - - 91 406.591 - - 92 74 920,674 -

1980 - Total - 1981.,171 1,981,171 _ - 11 - 3.394257 3 39427

/I Surrender values identified according to origfnal nsture, i.e. either advanced or ,ornol (en post),J2 Starting August 1973 the advanced exchange surrender wao prohibited for minor exports.

Source: Banco de la Republica.

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Table 3.11 - COLOMBIA: REIMBURSABLE AND NON-REIMBURSABLEIMPORT REGISTRATIONS, 1958-80

(In Thousands of US Dollars)

Reimbursable Non-Reimbursable Special TotalYear Imports Imports Imports 1/ Imports

1958 276,528 31,734 - 308,2621959 377,109 25,913 - 403,0221960 444,547 42,580 - 487,1271961 462,517 59,760 - 522,2771962 396,662 58,646 - 455,3081963 470,798 85,766 - 556,5641964 454,705 64,165 - 518,8711965 431,699 64,438 - 493,1371966 580,568 59,995 - 640,5631967 439,220 84,948 - 524,1681968 521,261 103,644 - 624,9051969 638,510 116,735 ( 6,955) 755,2451970 785,390 135,213 ( 9,497) 920,6031971 710,386 74,449 ( 9,865) 784,8351972 785,884 116,122 ( 9,286) 902,0061973 1,036,737 188,847 (13,637) 1,225,5841974 1,536,507 251,967 ( 7,777) 1,788,4741975 1,279,408 223,209 ( 9,308) 1,502,6171976 1,520,678 469,985 (15,585) 1,990,6631977 2,259,901 404,891 (22,811) 2,664,7921978 2,755,396 657,530 (37,496) 3,412,9261979 4,200,969 428,773 (42,514) 4,629,7421980 4,685,898 726,814 (56,791) 5,412,712

1979-I 2/ 975,430 66,018 (10,392) 1,041,4481979-II 1,089,905 114,739 ( 7,992) 1,204,6441979-III 1,005,912 101,280 ( 8,592) 1,107,1921979-IV 1,129,722 146,736 (15,538) 1,276,4581979-Total 4,200,969 428,773 (42,514) 4,629,742

1980-I 1,141,554 188,251 (17,294) 1,329,8051980-II 1,218,760 174,625 (10,249) 1,393,3851980-III 1,218,920 195,429 (17,174) 1,414,3491980-IV 1,106,664 168,509 (12,074) 1,275,1731980-Total 4,685,898 726,814 (56,791) 5,412,712

1/ Imports into Leticia and San Andres. (These imports are not included in theclassification by economic category after 1974).

2/ As of January 1979, imports financed by loans which we classified under non-reimbursable have been transferred to the reimbursable classification.

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Table 3.12 - COLOMBIA: IMPORT REGISTRATIONS BY ECONOMIC CATEGORY,

1960, 1965, 1967, 1970, 1975-80

(In Thousands of US Dollars)

Jan -Ju4n1960 1965 1967 1970 1975 1976 1977 1978 1979 1980

Consumer Goods 32,784 29,046 35,958 101,266 151,950 204,486 322,616 297,692 383.539 234,642Durables 17,293 11,835 16,983 53,855 57,908 72,062 82,563 99,278 112,286 74,020Non-Durables 15,491 17,211 18,975 24,411 94,042 32,424 240,053 198,414 271,253 160,622

Raw Materials and Interme- 237.523 233,698 231,491 403,408 723,300 975,010 1,336,387 1,639,510 2,351,045 1,336,145diate GoodsFuels 9,742 3,255 2,568 1,289 29,563 154,994 251,138 383,287 665,391 394,138 1Agricultural Inputs 15,637 8,729 5,923 9,114 19,820 21,427 97,706 88,535 116,339 75,683Industrial Inputs 212,144 221,714 223,000 393,005 673,917 798,589 989,543 1,167,688 1,569,315 866,324

Capital Goods 211,657 218,657 254,117 405,710 611,330 806,200 1,003,751 1,456,887 1,8642824 1,142i 226Construction Equipment 12,568 9,764 12,947 22,371 27,521 39,412 34,977 34,859 102,369 25,781Agricu1ltural Equipment 19,534 12,378 10,379 14,269 44,907 49,368 108,908 107,349 123,753 69,830Industrial Equipment 106,096 132,703 134,292 214,501 304,462 417,212 533,761 703,844 957,955 532,399Transport Equipment 73,459 63,812 96,499 154,569 234,440 300,208 326,105 610,835 680,747 514,216

Unclassified 5,163 11.736 _3,302 19,716 16.037 4.966 2,038 18,837 30,334 10,177

Total 487,127 493.137 524,168 93_0100 1,502,617 1,990,662 2,664,792 3412,926 4,629,.74 2,723,190

Memo: 1. Totals used are from "Registros de Exportacior e Importacion" reported in the Revista del Banco de la Republica in the section"Sector Externo".

2, Percentage by categories 1960 to 1970 were taken from "Comercio Exterior Importaciones Classificadas Segun uso o DestinoEconomico (CUODE)" reported in the "Informe Anual del Gerente a la Junta Directiva" of the Banco de la Republica, part II andapplied to Totals.

3. From 1971 to 1974, figures were reported by Banco de la Republica but adjusted to fit totals mentioned in memo no. 1.4. Differences in the totals between Tables 3.12 and 3.13 from 1974 on, are due to the fact that figures in 3.13 exclude

imports under special regimes.

Source: Banco de la Republica, INCWMEX, DANE, and Bank staff estimates.

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Table 3.13 - COLOMBIA: CIF IMPORTS, BY PRINCIPAL PRODUCT GROUPS, 1960-80

(Thousands of US Dollars)

Machinery & Transport Paper

Electrical Chemicals & Metals & Vehicles & Food Stuffs & Textiles & Materials & Rubber &Equipment Pharmaceuticals Products Equipment Beverages Manufactures Products Minerals Products 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 26,737 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 p

1970 232,511 121,221 111,889 156,095 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

1974 257,354 316,730 194,102 150,795 121,835 42,795 87,641 15,718 70,789 78,884 1,336,643

1975 320,667 294,625 188,027 243,312 112,420 38,825 88,688 34,958 69,778 94,494 1,494,794

1976 406,349 265,980 184,823 301,374 147,201 43,844 78,215 59,779 89,301 131,254 1,708,120

1977 475,498 340,433 193,030 276,650 110,050 48,451 85,939 158,563 106,249 2,028,276

1978 585,400 411,500 259,620 371,285 116,912 60,597 109,196 218,573 131,804 420,131 2,685,018

1979 n.a. n.a. n.a. n.a. n.a. n.a. n.a. n.a. n.a. n.a. 3,344,900

19S0 n.n. a. D=Q. n.a. n.a. n.a. n.a. n.a. n.a. n.a. 4,535,000

n.a. - Not Available

Source: DANE

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Table 3.14 - COLOMBIA DIRECTION OF TRADE, 1960, 1965, 1967, 1970, 1976-80

(Thousands of U.S. Dollars)

1960 1965 1967Import ReRistrations Exports Registrat ons lUport ReRistrations lxports Re tatiow Import Registrations Export Registrations

Value 7. Value 7 Value 7. Value Value 7. Value 7.

North America 309,336 59.65 303,335 65 !9 230,130 50.75 258,644 47.97 239,213 48.15 225,064 44.14

Central America and Caribbean 17,993 3.47 11,762 2 11,632 2.56 39,771 7.38 15,939 3.21 30,855 6.05

Latin America 8,035 1.55 6,228 1.34 39,329 8.67 20,014 3.71 38,112 7.67 23,076o.w. Andean Group /1 (6,487) (1.25) (5,953) (1.28) (14,677) (3.24) (13,195) (2.45) (18,021) (3.63) (17,440 (3.42)

Europe /2 165,509 31.92 137,526 29.60 155,448 34.28 209,162 38.79 181,055 36.44 223,418 43.81

Asia 17,095 3.30 5,005 1.08 15,857 3.50 5,183 0.96 21,432 4.31 6,439 1.26

Africa 328 0.06 412 C.09 408 0.09 679 0.13 805 0.16 545 0.11

Other 289 0.06 310 C.07 696 0.15 5,691 1.06 306 0.06 526 0.10

Gross Totals 518,585 100.00 464,578 100.00 453,502 100.00 539,144 100.00 496.862 100.00 509,923 100.001970 1976 1977

North America 438,778 47.17 233,167 34.58 805,375 40.4 537,658 28.8 1,002,074 37.6 665,146 26.6

Central America and Caribbean 10,677 1.15 30,063 4.46 87,421 4.4 104,440 5.6 139,585 5.2 104,603 4.2

Latin America 84,342 9.07 58,682 8.70 308,375 15.5 315,679 16.9 495,697 18.6 388,243 16.3o.w. Andean Group /1 (43,827) (4.71) (44,289) (6.57) (210,756) (10.6) (218,836) (15.1) (288,820) (10,8) (337,145) (13.7)

Europe /2 338,236 36.36 330,033 48.95 615,559 30.9 816.194 43.7 754,749 28.3 1,199,685 48.9

Asia 56,436 6.07 19,970 2.96 168,692 8.5 84,217 4.5 265,538 10.0 90,467 3.7

Africa 1,260 0.13 485 0.07 2,194 0.1 6,668 0.4 3,373 0.1 5,308 0.2

Other 425 0.05 1,845 0.28 3,364 0.2 840 - 4,795 0.2 1,589 0.1

Gross Totals 930,154 100.00 674,245 100.00 1,990,662 100.00 1,865,696 100.00 2,665,811 100,00 2,455,041 100.00

1978 1979 1980

North America 1,296,045 37.98 805,853 26.09 2,026,962 43.78 969,103 27.44 2,159,737 39.90 1,130,676 28.36

Central America and Caribbean 171,382 5.02 89,190 2.89 242,728 5.24 142,501 4.03 471,174 8.70 157,604 3.95

Latin. America 633,548 18.56 433,839 1;.05 717,897 15.51 659,844 18.68 896,840 16.57 579,671 14.54o.v. Andean Group Jl (261,017) (7.65) (366,765) (11.87) (274,473) (5.93) (552,305) (15.64) (551,972) (10.20) (417,612) (10.47)

Europe /2 971,713 28.47 1,600,255 51.81 1,139,559 24.61 1,537,639 43.54 1,281,478 23,68 1,870,736 46.92

Asia 332,220 9.74 104,841 3.39 378,997 8.19 153,817 4.36 577,942 10.68 160,206 4.02

Africa 4,581 0.13 47,982 t.55 18,506 0.40 46,005 1.30 11,881 0.22 72,161 1.80

Other 3,342 0.10 6,905 0.72 3,066 0.06 22,959 0.65 13,660 0.25 16,359 0.41

Gross Totals 3,412,831 100.00 3,088,835 100.00 4.629,742 100.00 3.531.868 100.00 5,412,712 100.00 3,987,413 100.00

/1 Venezuela joined the Andean Group in 1973. However, the figures for the Andean Group for all years include Vene.ulain order to make them comparable.

/2 Includes Eastern Europe.

Source: Instituto Colombiano de Comercio Exterior (INCOMEX); IBRD.

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Table 3.15 - COLOMBIA: INTERNATIONAL MONETARY RESERVES OF THE CENTRAL BANK, 1960, 1965, 1967, 1970, 1975-80

(In millions of US Dollars)

1960 1965 1967 1970 1975 1976 1977 1978 1979 1980

Gross Reserves 178.4 145.3 149.4 257.5 552.6 1,171.5 1.835.6 2,492.6 4.1 12.9 5.419.7

Gold 77.9 34.8 31.0 16.9 47.6 59.6 73.1 137.3 214.5 525.3IMF Gold Tranche 25.0 25.0 31.2 39.3 47.3 54.3 90.8 82.4 87.3 109.1Foreign Exchange 54.5 61.2 51.2 180.2 340.0 468.6 806.5 1,046.7 1,687.8 2,178.4Net Bilateral Agreements 8.8 24.3 35.5 12.1 28.2 8.0 17.7 - 7.1 76.9IDB and IBRD Bonds 12.2 - 0.3 9.0 65.1 551.7 816.7 1,180.7 2,029.4 2,426.9 1SDRs - - - - 24.4 29.3 30.8 45.5 86.8 103.1

Liabilities 116.6 206.8 185.6 105.5 5.3 5.7 6.0 10.8 7.0 3.7

IMF - 84.5 122.6 94.1 - - - - -Foreign Banks 116.6 122.3 57.4 10.4 0.4 0.3 - - - -Other - - 5.6 1.0 4.9 5.4 6.0 10.8 7.0 3.7

Net Reserves 61.8 -61.5 -36.2 152.3 547.3 1.165.9 1,829.6 2.481.8 4,105,9 5,416-0

Source: Banco de la Republica.

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-32-

Table 3.16 - COLOMBIA: OyICTLA PTA3J RAflS OF EXCHANGE BY QUARTER, 1968-81

(Pesos per US Dollar)

Dollar Purchase Dollar Sale Exchange Rate of the

Exchange Petroleum Exchange Prefer- Certificate of

End of Certificate Capital Certificate ential Exchanges (Secondary

Period Rate /a Rate /b Rate /a Rate /c Market, end of Period'

1968 - I 15.98 - 16.25 16.03 9.00

1968 - 11 - 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 - rv - 17.85 - 17.90 9.00 -

1970 - I - 18.15 - 18.20 9.00 -

1970 - II - 18.41 - 18.48 9.00 -

1970 - 1II - 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 - 21.89 - 21.91 20.00 -

1972 - III - 22.32 - 22.35 20.00 -

1972 - IV - 22.78 - 22.83 20.00 -

1973 - I - 23.02 - 23.07 20.00 -

1973 - II - 23.36 - 23.32 20.00 -

1973 - II - 23.77 - 23.83 20.00 -

1973 - IV - 24.77 - 24.82 20.00 -

1974 - - 25.20 - 25.25 20.00 -1974 - I - 25.54 - 25.58 20.00 -

1974 - III - 25.90 - 25.95 20.00 -

1974 - IV - 28.56 - 28.60 20.00 -

1975 - I - 29.83 - 29.87 20.00 -

1975 - II - 30.99 31.02 20.00 -

1975 - III - 32.00 - 32.04 22.00 -

1975 - IV - 32.94 - 32.98 2b.00 -

1976 - I - 33.93 - 33.97 28.00 -

1976 - II - 34.70 - 34.76 31.00 -

1976 - III - 35.29 - 35.36 34.00 -

1976 - IV - 36.31 - 36.34 36.31 -

1977 - I - 36.59 - 36.74 36.59 -

1977 - 11 - 36.50 - 36.65 36.50 -

1977 - III . 37.14 _ 37.29 37.14 35.00

1977 - IV - 37.96 - 38.11 37.96

1978 - I - 38.42 - 38.57 IR.42 If.91

1978 - II - 38.87 - 39.03 38.87 36.80

1978 - III - 39.75 - 39.91 39.75 38.23

1978 - IV - 41.00 - 41.16 41.00 37.68

1979 - I - 42.02 - 42.19 '2.n7 WR RA

1979 - II - 42.71 - 42.88 42.71 39.451979 - III - 43.00 - 43.17 43.00 39.70

1979 - IV 44.00 - 44.18 44.00 4n.s7

1980 - I - 45.62 - 45.80 45.62 43.04

9 - II - 47.32 - 47.51 47.32 45.11

1980 - III - 48.92 - 49.12 48.92 46.61

1980 - IV - 50.92 - 51.12 50.92 48.37

1981 -I -52.02 -n.a. 52.02 n.e.

/a Decree-Law 444 of March 22, 1967, created this flexible Exchange CertificateRate which remains in force today.

/b 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 specifiedprecisely the types of activities and outlays to which the rate applied. Reso-

lution 58 of November 10, 1967, ruled that a Capital Market buying rate would be

used for petrolevm company conversions. This rate existed from November 1967

through May 1968 at a constant Col$16.25. On June 1, 1968, Resolution 24 trans-

ferred petroleum capital transactions to the Certificate Market./c The Preferential Rate for domestic purchases of crude petroleum was held at

Col$9.00 from 1962 to June 25, 1971, when it was raised to Col$20.00. FromDecember 1976 the Preferential Rate was set equal to the dollar purchase rate.

Id End of period exchange rate..

n.a. - not available

Source: Banco de la Rens.hlhya.

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Table 3.17 - COLOMBIA: BALANCE OF PAYMENTS, EXPORT PROJECTIONS, 1978-90

(in Millions of US Dollars)

Actual Preliminary Projected1978 1979 1980 1981 1982 1983 1984 1985 1986 1987 1988 1909 1990

Constant (1970) US$ Millions

Coffee 505.9 625.0 644.1 569.1 988.9 608.9 629.3 639.0 649.0 659.3 675.4 686.4 697.7Cotton 27.7 19.7 34.6 36.0 37.4 38.9 40.5 42.1 43.8 45.6 47.4 49.3 51.2Sugar 11.4 27.1 28.5 29.5 30.4 31.4 32.4 33.5 34.6 35.7 36.8 38.0 39.3Bananas 42.6 46.5 53.2 53.2 54.2 55.3 56.4 57.6 58.7 59.9 61.1 62.3 63.5Cattle and Beef 14.7 12.6 7.5 7.7 7.9 8.2 8.4 8.7 9.1 9.5 10.0 10.5 11.0Petroleum Derivatives 24.4 17.5 18.4 12.6 27.7 26.4 33.8 35.7 36.3 36.9 37.2 37.8 38.4Nickel _ _- - 27.3 49.7 61.1 64.4 64.8 64.8 64.3 64.5 64.7Coal 5.6 4.8 1.5 5.6 6.0 6.4 6.9 7.5 132.7 181,9 262.8 337.4 388,8Major Manufactured Goods 239.6 279.1 266.2 271.0 279.6 289.9 300.7 312.7 327.3 342.6 358.9 376.2 394.4All Other Goods 287.7 408.0 376.3 395.0 421.5 442.2 464.6 487.9 512.7 539.2 567.1 596.7 628,0Total Goods 1,159.6 1,440.3 1,430.3 1,380.0 1,430.9 1,557.3 1,634.1 1,689.1 1,869.0 1,975.4 2,121.0 2,259.1 2,377.0Non-factor Services 278.5 274.8 264.3 261.9 268.9 273.9 282.7 288.8 304.4 313.8 327 1 340.4 352.0Total Exports 1.438.1 1,715.1 1,694.6 1,641.9 1,749.8 1,831,2 1,916.8 1,977.9 2,173.4 2,289.2 2,448.1 2,599.5 2,729.0

Price Indices (1970 = 100)

Coffee 382.7 371.2 350.7 292.2 293.1 328.8 368.8 413.8 446.7 482.2 520.4 561.8 606.4Cotton 208.7 265.5 294.2 305.6 355.6 405.1 461.2 525.9 560.5 596.9 636.9 679.1 725.2Sugar 165.8 176.0 600.4 488.1 458.6 505.7 558.6 615.8 652.6 692.4 735.1 779.2 824.7

Bananas 187.8 182.4 203.2 227,4 247.0 258.2 270.0 282.3 296.9 311.7 327.7 344.3 362.0

Cattle and Beef 285.7 293.7 441.3 662.3 613.9 565.9 529.8 489.7 582.4 692.6 818.0 968.6 1,148.2Petroleuim Derivatives 637.3 836.0 1,415.8 1,623.8 1,714.1 1,B63.3 2,028.7 2,213.2 2,382.6 2,565.3 2, 770,2 2,982.3 3,210.9Nickel - - - - 202.2 228.4 261.7 289.4 306.8 323.8 343.7 360,2 376.4Coal 283.9 322.9 340.0 371.4 406.7 445.3 479.7 524.0 517.2 567.9 624.6 688,1 757.1Major Manufactured Goods 191.1 259,8 257.6 273.3 289.9 305.6 320.5 334.4 345.5 357.3 369.4 381.7 394.4All Other Goods 175.9 117.9 213.5 229.3 245.2 260.0 274.5 289.2 301.2 313.7 327,2 341.4 356.8Total Goods 282.0 271.5 309.6 287.1 309.2 332.4 367.4 399.6 429.3 458.4 492.4 529.3 567.9Non-factor Services 263.9 302.4 340.1 370.7 402.0 434.4 467.0 499.7 529.6 561.6 595.2 631,0 669.0Total Exports 278.5 276.4 314.4 300,4 323.5 347.7 382.1 414.2 443.3 472.6 506.1 542.6 580.9

Current US$ Millions

Coffee 1,936.0 2,320.0 2,259.0 1,663.0 1,726.0 2,002.0 2,321.0 2,644.0 2,899.0 3,179.0 3,515.0 3,8s56. 4,231.0Cotton 57.8 52.3 101.8 110.0 133.0 157.6 186.8 221.4 245.5 272.2 301.9 334.8 371.3

Sugar 18.9 47.7 171.1 144.0 139.4 158.8 181.0 206.3 225.8 247.2 270.5 296,1 324.1

Bananas 80.0 84.8 108.1 121.0 133.9 142.8 152.3 162.6 174.3 186.7 200.2 214.5 229.9

Cattle and Beef 42.0 37.0 33.1 51.0 48.5 46.4 44.5 42.6 53.0 65.8 81.8 101.7 126.3Petroleum Derivatives 155.5 146.3 260.5 204.6 474.8 491.9 685.7 790.1 864.9 946.6 1,030.5 1,127.3 1,233.0Nickel - - - - 55.2 113.5 159.9 186.4 198.8 209.8 221.0 232.3 243.5Coal 15.9 15.5 5.1 20,8 24.4 28.5 33.1 39.3 686,3 1,033.0 1,641.4 2.321,6 72943.6Major Manufactured Goods 457.9 725.2 685.8 740.7 810.5 885.8 963.7 1,045.8 1,130.7 1,224.2 1,32S.7 1,435.8 1,555,7All other Goods 506.0 481.2 803.5 906.4 1,033.5 1,149.9 1,275.4 1,411.1 1,544.4 1,691.6 1,855.3 2,037.4 2,240,4Total Goods 3,270.0 3,910.0 4,428.0 3,961. 5 4 979.2 5,177.2 6,003.4 6,749.6 8,022.7 9,056.1 10,443,3 11,957.5 13,498.8Non-factor Services 735.0 831.0 899.0 971.0 1,081.0 1,190.0 1,320.0 1,443.0 1.612,0 1,762,0 1,947., 2,148.0 7f 255(0

Total Exports 4,005,0 4,741,0 5,327.0 4,932,5 5.660.2 6,367.2 7.323.4 8.192.6 9.634,7 10.818.1 12,390.3 14,105,5 15,853,8

Source: DANE, Banco de la Republica, Bank Staff estimates and projections.

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Lable 3.19- COLOMBIA: SUMMARY BALANCE OF PAYMENTS, 1978 (ACTUAL), 1979-80 (PRELIMINARY),1981-85, 1990 (PROJECTIONS)

(In Millions of US Dollars)

Actual Preliminary Projected1978 1979 1980 1981 1982 1983 1984 1985 1990

Exports of Goods and Nonfactor Services 4,005 4,741 5,327 4,932 5,660 6,367 7,323 8,193 15,854

Imports of Goods and Nonfactor Services 3,390 4,136 5,376 6,361 7,369 8,401 9,446 10,415 14,630

Resource Balance 615 605 -49 -1A429 -1,709 -2,034 -2,123 -2,222 1,224

Net Factor Services -258 -199 -172 331 143 -I -175 -319 -812Profits and Interest (-302) (-252) (-269) (190) (-8) (-185) (-382) (-534) (-995)Workers Remittances (44) (53) (97) (141) (151) (184) (207) (215) (183)

Current Transfers 29 4 26 35 40 45 50 45 6

Current Account Balance 386 410 -195 -1,063 -1,526 -1,990 -2,248 -2,496 418

Net Direct Foreign Investment 67 124 234 150 175 300 450 600 450

Net Public Medium & Long-Term Disbursements 79 542 781 691 912 1,164 1,335 1,463 -500Gross Disbursements (325) (954) (1,030) (1,005) (1,229) (1,635) (2,033) (2,309) (1,502)Amortization (-246) (-412) (-249) (-314) (-317) (-471) (-698) (-846) (-2,002)

Other Medium & Long-Term Disbursements -32 103 57 22 39 76 113 133 -97Gross Disbursements (66) (180) (114) (22) (39) (76) (117) (145) (25)Amortization (-98) (-77) (-57) ( - ) ( - ) ( - ) (-4) (-12) (-122)

SDR Allocation - 24 24 - - - - - -

Other Capital 110 34 240 - - - - - -

Capital Account Balance 224 827 1,336 863 1,126 1,540 1,898 2,196 -147

Overall Balance -610 -1,237 -1,141 200 400 450 350 300 -271

Change in Net Reserves (-increase) -610 -1,237 -1,141 200 400 450 330 300 -271

Memorandum Items

Net Central Bank Reserves 2,482 4,106 5,416 5,216 4,816 4,366 4,016 3,716 4,878

Net Reserves of Banking System (End of 2,462 3,699 4,840 4,640 4,240 3,790 3,440 3,140 4,302Period)

Reserves in Terms of Months of Imports of Goods 9.6 9.8 8.0 6.3 5.0 4.0 3.3 3.2and Services

Public Debt Service Ratio 12.8 9.4 11.3 11.2 13.3 15.8 17.1 18.3

External Public Debt Outstanding and Disbursed 3,406 4,062 4,753 5,665 6,828 8,163 9,627 12,174

Source: Banco de la Republica, Bank Staff estimates and projections.

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Table 4.1 C Ot IfI IA I'A(;f I

EXI RNAl PURI IC DEBT OlliSFANDING INCI Ill0tltk.l6 IJfSllsJRi;IIj AS nff I(. 3 , 197')

DEBT REPAYABLE IN ItlREIGN CEPRrNCY ANI) tGooS(IN T11OUSAND)S Of tl (1)4D1 I AkS )

n E 1' I 1) rs I A N 11 DIF I fl A R 1 f A R S

TY'r OF CREDIIOR : - - - --- - - -

CRFDI IOIl COUNIRY D)ISBlIR'I D) : UNDISBIRSII): IOIAI PRlICl.lAI* INIl f '.1

SUPPLIERS CREDIISAR(ENI INA 611; - -_

AIJS TR I A 571 - 571 _

BLLGIUM 349 3.192 3i541 _

BRAZIL 4.112 4.112 - -

FRANCE 4.035 12,'934 16.969 _ _

GERMANY, FED.REP. OF 23.495 5,78fi 29,281 - _

I IAt Y 37, 127 - 37.127 - -

JAI'AN IO. 363 7, I:'t 118.08 -

MEXICO 4,972 -. 4,972 - -

NE 11r RL ANDS 9. 41;1 6.402 15.820 _

P ANAMA 7.392 - 7,392 - -

SPAIN 1R.901 - 18.907 - _

SWEDFN 27, 163 45,071 72,234 - -

SWI TERI ANI) 6.955 625 -,5B() - -

UNI IED KI NGDOM 13. 854 1.133 14,981 _

UNI TED STATES 14.589 5.349 19,938 - _

VENE?l)EIA 332 - 332 - -

YUGUSLAVIA 22 - 22 - _

TOTAL SIIPPLIERS CRE:1I I S 184 1414) P8.212 272,554 - _

FINANCIAL INSTIIUTIONSBAtIAMAS t.(46 - b46f - -

CANADA I *, ('1 3. 500 5.400

FRANCE 84.11,4 63.490t 147,815 -

JAPAN 15, 34o 1. 3-15340_

1tUKEMBO1URG 90(J 900go

ME I CO 20,491 20.491 - -

tEi t3iRI ANkS t. 00 - 1,001 - _

I'ANAMA 12.984 12,90.1 -

PEL N 22 - 22 -

SWI TZLRLAIJD 317 37 7 _

UNITED KINGI)DM 72.421 4.000 l6. 421 -

t1NITED SlAIES 213.217 i 3. 'J3 2'0. ti0 - _

MULTIPE LENDERS (526, 00i0 19.010 HO)',. oi30 - -

TOTAL I INANCIAl INST ITUI ONS 1 .046.5)1 ,.f9 t I ,:31t '.561 _ _

IOND s,)APAN .24). OP 40 2 0. ()4 - _

UNJNI I) K I N`600M 2195 .2'3S

UNFtlJ SI AIES l3.8'' 1:198: _ _

IUTAL 5ONDS 34 t 11 14. 134 -

NAIIONALIZA ION

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Table 4.1 - Cot OMRIA IAAGE 2

EXTERNAL PUBLIC DEBT OUTSIANDING INCL.UD)ING UNnISBURSED AS Or'DFC. 31. 1979DEBT REPAYABLE IN FOREIGN 1:U9RENCY ANf) GOODS

(IN TflOLISANDS Of tJ.S. DOtIARS)

-D HT O U r s r A N D0I N G I N A R RE A R STYPE OF CREDITOR --- ----------- I ------- -------- -------

CREOITOR COUNTRY DISIBUJRSEF :IJNDISBItRSID: IITAL PRINCIPAL INTFREST--- --- --- --- --- --- --- --- --- ____ __ ____ __ ----.- _- - .. .. .... -- -- -- -- --

UNITED STATES 7,505 7,505TOTAL NATIONALIZATION 7,505 - 7.505

MULlILATERAL LOANSCORP. ANOINA FOMENTO 12.186 31.460 49,646IBRO 838.435 9tt8.210 t.826,70t5IDA 21.544 21.544108 267.096 372.078 639.174

TOTAL MULTILAIERAL LOANS 1.1,9.261 1,3131.808 2.537.069

BILATERAL. LOANSBELGIUM 8.055 1.819 9.874CANADA :37.220 8.653 45.f73

CZECtHOSLOVAKIA 3.3 - 33DENMARK 1.41 :1 1.41iFRANCE 30.259 377 3t.636tGERMANY. FEO.REP. OF 68.184 165.254 ;33.4308ITALY 1.935 - 1.935OJAPAN 568 568NETHERLANDS 26,367 1:1.909 40.276IJNITED KINGDOM 9. 269 212 ). 481 UNITED S7ATES 826.722 49,369 h76,09tVENEZUELA 1 .304 - I304

TOTAL BILATERAL LOANS 1,Olt,32) 2:19.59:1 1.250.922

TOTAL EXTERNAL PUBLIC DEBT 3.426.2241 1.992.526 5.4-1.750 -

NOTES: (I) ONLY DESTS WI if AN ORIGINAL oR EXrENDEI) MAitJRII Y OF UVFR ONE YEAR ARE INCIUDED IN THI S TABLE,(2) DEBT OIUTSTANDING INCLUDES PRINCIPAL IN ARREARS RI1 EXCtI.lOES INItREST IN ARRFARS

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Table 4.2 - COLOMBIA

PAGE SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY ARGENTINAYEAR 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 r 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)

1972 - -1973 - - 200 - - 12 12 -

1974 - 200 627 827 57 - 57 - 1141975 884 884 96 96 46 - 46 --

1976 934 934 - - 154 - 154 -

1977 780 780 - - 127 33 160 --

1978 653 653 - - 80 25 105 - 1021979 675 675 - - 42 2 44 - 531980 686 686

* * i t + * THE FOLLOWING FIGURES ARE PROJECTFD * * * * s

1980 686 686 - - 367 28 395 -1141981 205 205 - - 137 10 147 -

1982 68 68 - - 68 2 70

THIS COlUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDIS8URSED FROM ONEYEAR TO THE NEXT. THE MOSI COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 2

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY AUSTRIAYEAR 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 UNDISBURSED MENTS MENTS ---- _--------------- ----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

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 - - 343 141 484 -1976 1,486 1,486 - - 115 41 156 -1977 1.371 1,371 - - 342 113 455 -

1978 1.029 1.029 - - 229 53 282 -1979 800 800 - - 229 41 270 -1980 571 571

* * * 44 THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 571 571 - - 190 29 219 -1981 381 381 - - 190 18 208 - -11982 190 190 - - 190 8 198 -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4,2 - COLOMBIAPAGE 3

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASFD ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNFRY BAHAMASYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N 5 D U P 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) (4) (5) (6) (7) (8) (9)

1972 99 99 - - 5 - 5 -

1973 94 94 - - - _ _ -

1974 94 94 - - 94 - 94 -

1975 - - - -_1976 - - - -1977 - - - - - - _ _

1978 -- - -

1979 -- - -1980 -_

* * + * * *THE FOLLOWING FIGURES ARE PROJECTED * e 8 * I

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYFAR TO THE NEXT. THE MOSi COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONF CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 4

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSID AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980

DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS(IN THOUSANDS OF U.S. DOLLARS)

TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY BELGIUMYfAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D LJ 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 MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 952 952 B90 176 323 59 382 -

1973 805 1,519 - 714 409 67 476 - 601974 1.170 1,170 - - 341 80 421 - 491975 878 878 - - 465 63 528 - 50197fi 463 463 - - 206 28 234 - 71977 264 264 - - 202 17 219 - 11978 63 63 1.340 - 63 2 65 --

1979 - 1,340 2.200 349 - - - -

1980 349 3,541

+ t 4t * THE FOLLOWING FIGURES ARE PROJECTED t * *

1980 349 3.541 - 775 335 46 381 -

1981 789 3,206 - 880 649 76 725 --

1982 1,020 2,557 - 756 649 89 738 - -21983 1.126 1,906 - 539 649 90 739 --

1984 1.015 1,257 - 242 314 78 392 -1985 943 943 - - 314 65 379 -198G 629 629 - - 314 41 355 - -11987 314 314 - - 314 18 332 -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHIER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 5

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DFC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. D)OLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COlJNTRY BRAZILYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N 5 D U R I N G P E R I 0 D OTHER CHANGES

BEGINNING OF PERIOD

: DISBURSED INCLIJDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUST-: ONLY UNDISRURSED MENTS MENTS -------- -------------- :----------- L.ATIONS : MFNT *

PRINCIPAL INTEREST TOTAL(1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 - - - - - _1973 - - -

1974 - - 3,300 - _ _1975 - 3,300' 1,242

1976 - 4,542 5 591 - - - -

1977 591 4,547 930 3,856 131 75 206 -1978 4,316 5,346 594 1,009 I,165 166 1,331 921979 4,160 4,683 - 523 571 264 835 -1980 4,112 4,112

THE FOLLOWING FIGURES ARE PROJECTED * * *

1980 4,112 4,112 - - 813 285 1,098 - 11981 3,300 3,300 - - 616 226 842 - I1982 2,685 2,685 - - 609 181 790 - 11983 2,077 2,077 - - 602 137 739 - 11984 1,476 1,476 - - 369 97 466 -1985 1,107 1,107 - - 369 71 440 -1986 738 738 - - 369 45 414 - -

1987 369 369 - - 369 19 388 -

THIlS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR 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.

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Table 4.2 - COLOMBIAPAGE 6

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY FRANCEYEAR 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 UNDISBURSED MENTS MENTS ----- :-----------:----------- LATIONS MENT +

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 4,929 50,899 1,t20 15.722 8,977 120 9,097 - -11973 11,674 43,041 4,400 25,385 8,701 1.205 9,906 2,113 2341974 25,881 36,861 225 756 5,645 2,257 7,902 72 6791975 22,121 32,048 34 6,781 4,825 1,672 6,497 2,415 -901976 23,951 24,752 201 815 5,378 1,165 6,543 - -6761977 18,760 18,899 - 8 6,949 943 7,892 - 1321978 11,934 12.082 9,693 4.670 9,464 929 10,393 - 2581979 7,115 12.569 8.742 1,262 4,331 242 4,573 - -111980 4,035 16,969

* * * * + * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 4,035 16,969 - 2,587 1,724 254 1,978 - -1,2771981 3,621 13,968 - 3,363 2,146 399 2,545 - -1982 4,838 11,822 - 3,104 1,849 490 2,339 - -11983 6,092 9,972 - 2,457 1,849 566 2.415 - 11984 6,701 8,124 - 1,423 1,849 573 2.422 -1985 6.275 6,275 - - 1,849 479 2,328 -1986 4,426 4,426 - - 1,849 327 2,176 - -11987 2,576 2,576 - - 1,849 176 2,025 - -1988 727 727 - - 727 46 773 -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBtJRSED FROM ONEYFAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4,2 - COLOMBIAPAGE 7

SERVICE PAYMENTS. COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOtLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COlJNTRY GERMANY, FED.REP. OFYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 11,151 43,408 18 9,703 13,484 427 13,911 84 1431973 7,435 30,001 3,603 9,750 9,692 283 9,975 15 721974 7,549 23,969 27,218 6,967 9,619 564 10,183 - 871975 4,953 41,655 10,737 40,586 13,823 599 14,422 - -291976 31,676 38,540 10,134 9,414 10,778 519 11,297 920 5881977 30.644 37,564 15,519 10,160 11,279 541 11,820 - 521978 29,332 41,856 19,955 24,394 23,574 401 23,975 - 1,6171979 31,252 39,854 8,842 12,233 18,137 639 18,776 122 -1,1561980 23.495 29,281

+ * t t * * THE FOLLOWING FIGURES ARE PROJECTED * * * * I

1980 23,495 29,281 4,460 2,276 11,030 1,474 12,504 - 1871981 14,728 22,898 - 2,752 9,614 997 10,611 - 21982 7,868 13,286 - 2,408 3,881 671 4,552 - 11983 6,396 9,406 - 1,906 3,271 556 3,827 - -11984 5.031 6,134 - 1,103 1,917 457 2,374 - 11985 4,218 4,218 - - 1,917 360 2,277 - I1986 2,302 2,302 - - 1,428 182 1,610 - -19R7 874 874 - - 627 64 691 - 11988 248 248 - - 248 11 259 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4,2 - COLOMBIA PAGE

SERVICE PAYMENTS. COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PlJBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U-S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY ITALYYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 7,020 7,436 - 416 616 453 1,069 - 171973 6,837 6,837 - - 652 378 1,030 -

1974 6,186 G.186 675 675 1,109 353 1,462 - -91975 5,743 5,743 34,000 - 890 341 1.231 - -11976 4,852 38,852 12,121 16.937 838 724 1.562 -1

1977 20.952 50,136 - 16,396 905 1,442 2,347 - -

1978 36,443 49,231 - 8,362 7,356 1,769 9.625 - 7231979 37,281 42,098 - 4.702 5.592 2,437 8.029 - 6211980 37,127 37.127

4 * * THE FOLLOWING FIGURES ARE PROJECTED * b i * *

19P'0 37,127 37,127 - - 5,741 2,832 8.573 - -2021981 31,184 31.184 - - 5,741 2.383 8.124 -1

1902 25,444 25.444 - - 5.482 1,932 7,414 - -

1983 19,962 19,962 - - 5.223 1.506 6,729 - -1984 14,739 14,739 - - 5,223 1,090 6,313 - -1985 9,516 9,516 - - 5.223 672 5.895 - -1986 4,293 4.293 - - 3,452 255 3,707 - -1987 841 841 - - 841 38 879 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCI-ANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 9

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY JAPANYEAR 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 p V I C E P A Y M E N T S CANCEL- ADJUST-ONLY UNDISBURSEIO MENTS MENTS ----------- ----------------------- LATIONS MENT *

PRINCIPAL INTFREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (91

1972 5,271 5,721 10,254 204 1,036 404 1,440 45 381973 4,477 14,932 - 3,055 1,082 475 1,557 - -1974 6,450 13,850 3,581 9.092 1,411 415 1,826 - 3891975 14,545 16,409 5,295 7.159 2,175 699 2,874 - -1976 19,529 19,529 5,980 - 3,822 1,342 5,164 - -1,1071977 14,600 20,580 - 5.980 3,972 1,664 5,636 - 7151978 17,323 17,323 7,720 - 4,343 1,570 5.913 - 1,8611979 14,841 22,561 - - 3,138 619 3,757 - 1.3401980 10,363 18,083 0

* + * t + * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 10,363 18,083 - 1,544 3,921 774 4,695 - -1981 7,986 14,162 - 2,007 3,415 624 4,039 - -1982 6,578 10,747 - 1.853 3,016 528 3,544 - -1983 5.415 7.731 - 1,467 2,824 427 3,251 - 11984 4,059 4,908 - 849 2,230 291 2,521 - 11985 2,679 2,679 - - 1,636 164 1,800 - -11980 1,042 1,042 - _ 1,042 39 1,081 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 10

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSFD AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY MEXICOYEAR 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) (4) (5) (6) (7) (8) (9)

1972 20,091 20,365 1,726 1,243 2,933 810 3,743 - -1973 18,401 19,158 2,997 - 4,153 723 4,876 - -

1974 14,248 18,002 598 1,355 1,912 937 2,849 - -431975 13,648 16,645 141 - 2,750 574 3.324 - -1976 10,898 14,036 130 3,138 4,538 799 5,337 - -1977 9,498 9,628 37 167 2,142 566 2,708 - -1978 7,523 7,523 - - 1,227 300 1,527 - -

1979 6,296 6,296 - - 1,324 404 1,728 - -

1980 4,972 4.972

* THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 4,972 4,972 - - 3,843 204 4,047 - -5091981 620 620 - - 620 25 645 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOrHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 11SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF FXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY NETHERLANDSYEAR 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 CHANGFS

: 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 A

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 3.791 3,791 957 780 447 353 800 6 3261973 4.118 4,621 200 200 308 210 518 - 2821974 4,292 4,795 - 503 1,094 324 1.418 - -1975 3,701 3,701 - - 812 299 1,111 - 3661976 3,255 3,255 - - 392 253 645 - -2731977 2.590 2.590 - - 392 223 615 - 11978 2,199 2,199 13,974 487 486 177 663 - 941979 2,294 15,781 - 7,899 785 163 948 - 8241980 9,418 15,820

+ THE FOLLOWING FIGURES ARE PROJECTED 1 * t * *

1980 9,418 15,820 - 2,415 2,131 729 2,860 - -1371981 9,565 13,552 - 1,855 1,544 784 2,328 - -11982 9,875 12,007 - 948 1.544 785 2,329 - -11923 9,278 10,462 - 750 1,487 731 2,218 - -1984 8,541 8,975 - 434 1,430 666 2,096 - -1985 7,545 7,545 - - 1,430 575 2,005 - l1986 6,116 6.116 - - 1,430 461 1,891 - -1987 4,686 4,686 - - 1,430 346 1,776 - -11988 3,255 3,255 - - 1.430 232 1,662 - -1989 1,825 1,825 - - 1,430 117 1,547 -

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4,2 - COLOMBIA PAGE 12

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASFD ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY PANAMAYEAR 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 UNDISBURSED MENTS MENTS --------- ----------------------- LATIONS MFNT k

PRINCIPAL INTEREST TOTAL: () (2) (3) (4) (5) (6) (7) (8) (9)

1972 - -1973 - - 400 - - - -1974 - 400 - 400 80 26 1061975 320 320 - - 80 10 901976 240 240 - - 40 B 481977 200 200 - - 80 3 831978 120 120 7,392 7.392 120 2 1221979 7,392 7,392 - - - 667 667 - -

19p() 7.392 7.392

- + THE FOLLOWING FIGURES ARE PROJECTFD * * * *

1980 7,392 7.392 - - 1,848 615 2,4631981 5,544 5,544 - - 1,848 451 2,2991982 3.696 3.696 - - 1,848 287 2.1351983 1.848 1,848 - - 1,848 123 1.971

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 13SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY SPAINYEAR 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 R v I C P A Y M E N T S CANCEL- ADJUST-ONLY UNDISBURSED MENTS MENTS ---------- ---------- ----------- LATIONS MENT t

PRINCIPAL INTFREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 15,041 15,041 14,716 - 2,177 200 2,377 681973 12,934 27,648 700 5,414 1,639 179 1,88 -11974 16,709 26,709 8,270 9,650 3.595 895 4,490 - -6901975 22,074 30,694 1,359 6,268 1,531 1,186 2,717 153 -11976 26,809 30,368 371 1,798 3,224 1,793 5,017 - -1211977 25,263 27,394 - 2,131 3,051 1,900 4,951 - 1461978 24,489 24,489 - - 3.435 583 4,018 - 1061979 21,160 21,160 - - 2,725 1,087 3,812 - 4721980 18,907 18,907

* t * + t tTHE FOLLOWING FIGURES ARE PROJECTED t + t *

1980 18,907 18,907 - - 4,397 1.203 5,600 - -1,2111981 13,299 13,299 - - 3.676 889 4,565 - -11982 9,622 9,622 - - 2,773 650 3,423 - 11983 6,850 6,850 - - 2,812 441 3.253 - -1984 4,038 4,038 - - 2,340 232 2.572 - -1985 1,698 1,698 - - 1,527 83 1.610 - -11986 170 170 - - 170 8 178 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCFIANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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,Table 4.2 - CDLOMBIAPAGE 14

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITDR COIJNTRY SWEDENYEAR 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 UNDISBURSED MENTS MENTS ----------- ----------- LATIONS MENT t

PRINCIPAL INTFRFST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 19,630 25,485 3,925 5,110 4,195 1,008 5,203 190 5951973 23,770 25,620 16.002 7,714 3,415 1,503 4,918 966 4611974 27,831 37.702 2,172 9,305 6,272 1,172 7,444 10 31975 30,867 33,595 8,751 7,793 3,744 594 4,338 - -1,0951976 33,821 37.507 11,587 12,603 12,696 2,121 14,817 61 -441977 33,685 36,293 9,734 3,634 6,813 4,596 11,409 - 1371978 30,643 39.351 19,478 6,202 6,935 1,558 8,493 - 2241979 30,134 52,118 26,808 3,721 6,718 2,480 9,198 - 261980 27,163 72,234 U

* t t * t * THE FOLLOWING FIGURES ARE PROJECTFD * + * t *

1980 27,163 72,234 11,820 11,535 8,770 2.460 11,230 - -1061981 29,539 75,178 - 14,469 12,247 2,850 15,097 - 11982 31,760 62,932 - 13,589 10,338 3,075 13,413 - -21983 35,011 52,592 - 10,612 10.180 3,215 13,395 - 11984 35,441 42,413 - 6,305 8,668 3.087 11,755 - 21985 33,082 33,747 - 666 8,668 2,632 11,300 - -1986 25,079 25,079 - - 7,920 1,931 9,851 - 11987 17,160 17,160 - - 7,648 1,274 8,922 - -1988 9,512 9,512 - - 5,611 665 6,276 - -1989 3,901 3,901 - - 3,229 248 3,477 - -

THJS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 15

SERVICE PAYMENTS. COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXIERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DFC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLAPS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY SWITZERLANDYEAR DEBT OUTSTANDING Al 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 UNDISBURSFD MENTS MENTS ------------:--------------------- LATIONS MENT: : : : : PRINCIPAL INTEREST TOTAL

: () (2) (3) (4) (5) (6) (7) (8) (9)

1972 2,822 6,068 - 1,030 389 114 503 - 1561973 3,619 5,835 60 779 429 92 521 - 841974 4,053 5,550 - 260 464 96 560 - 3941975 4,243 5,480 1,800 997 529 52 581 440 641976 4,775 6,375 21 - 637 93 730 - -4211977 3,738 5,338 1,110 1,110 1,045 713 1,758 - 161978 3,819 5,419 - 129 59G 309 905 - -

1979 3,352 4,823 3,344 4,191 590 259 849 - 3 11980 6,955 7,580 Ln

* + t t + + THE FOLLOWING FIGURES ARE PROUFCTED t

1980 6,955 7,580 - 503 1,314 302 1.616 - -301981 6,114 6,236 - 122 1.543 334 1,877 - -11982 4,692 4,692 - - 1.773 327 2,100 - -

1983 2,919 2.919 - - 1,165 204 1,369 - 11984 1,755 1,755 - - 827 127 954 - -11985 927 927 - - 469 68 537 -1986 459 459 - - 459 29 488 - -

IlHIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 16SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY UNITED KINGDOMYEAR 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 INCLUJDING 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)

1972 2,824 5,412 244 1.789 801 147 948 - 761973 3,861 4,931 145 452 885 74 959 - 31974 3,431 4,194 952 952 1,035 206 1,241 - 91975 3,357 4,120 25,887 3,715 1,630 200 1,830 - -2821976 5.292 28.095 1.300 18,855 1.063 2.025 3,088 - -1.7211977 22,431 26,611 600 2,513 2,386 1,865 4,251 511 1911978 22,710 24.505 - 1,493 5,462 1,996 7,458 - 8401979 18,816 19.883 155 320 5,718 2,136 7,854 2 6691980 13,854 14,987

* * + *t * ~THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 13.854 14,987 - 624 4,834 1,010 5,844 - -4311981 9.213 9,722 - 419 4,394 G65 5,059 - -1992 5,238 5,328 - 90 3,998 335 4,333 - -1983 1,330 1,330 - - 998 77 1,075 - -1984 332 332 - - 332 12 344 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM DNEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 17SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY UNITED STATESYEAR 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

REGINNING OF PERIOD

DISBURSED INCLUDING COMMIT- DISBURSE- S r P V I C E P A Y M E N T S CANCEL- ADJUSTONLY UNDISI3URSED MENTS MENTS ----------- :-------- ------------- LATIONS MENT

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) : (6) (7) (8) (9)

1972 15,367 18.518 6,105 2,641 5,850 1,032 6.882 390 971973 12,239 18,480 2,202 6,262 5,632 967 6,599 - -1974 12,869 15,050 2,696 3,449 3,558 752 4,310 - -21975 8,427 14,186 9,930 2.723 3,227 968 4,195 - -241976 12,235 20,865 1,949 8,854 3,789 1,113 4,902 - 101977 17,310 19,035 2,387 1.834 4,195 1,208 5,403 3 -1978 14,949 17,224 4,742 2,952 4,262 1,009 5,271 - -11979 13,638 17,703 5,838 4,550 3,599 935 4,534 4 - &Jn1980 14,589 19,938 -

* t + t * ~ THE FOLLOWING FIGURES ARE PROJFCl FD * t * * *

1980 14,589 19,938 - 1,566 3,008 1.211 4,219 - -8101981 12,337 16,120 - 1,230 2,733 1,072 3,805 - -1982 10,833 13,387 - 1,135 2,656 917 3,573 - 11983 9,313 10,732 - 899 2.567 765 3,332 - 11984 7,646 8,166 - 520 2,470 596 3,066 - -11985 5,695 5,695 - - 2.373 406 2,779 - -1986 3,322 3,322 - - 1.209 231 1,440 - -1987 2,113 2,113 - - 952 141 1,093 - 11988 1,162 1,162 - - 741 72 813 - -1989 421 421 - - 421 19 440 - -

t TillS COLUMN SHOWS THE AMOUNT OF ARITHMET1C IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR 10 THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR SUPPLIERS CREDITS

CREDITOR COUNTRY VENEZUELAYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S 0 U P 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 MENT *

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 401 401 - - 401 19 420 - -1973 - - - - - - - _ _1974 - - - - - - - _ _t975 - - - - - - - _1976 - - - - - - - - _1977 - - 880 - - - -

1978 - 880 - 880 110 - 110 - 211979 791 791 - - 459 25 484 - -1980 332 332

* t + THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 332 332 - - II1 27 138 - _1981 221 221 - - Il1 17 128 -1982 111 ill - - 111 7 118

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 19

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC 31, 1980

DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS(IN THOUSANDS OF U.S. DOlLARS)

TYPE OF CREDITOR SUPPLIERS CREDITSCREDTTOR COUJNTRY YUGOSLAVIA

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 CIIANGES

* 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)

1972 21973 - - - - - _1974 - - - -1975 - - - _ _ _

1976 - - 230 - - - - -

1977 - 230 - 224 92 32 124 61978 132 132 - - 53 10 631979 79 79 - - 57 6 63 - -

1980 22 22 n

* THE FOLLOWING FIGURES ARE PROJECTED t

1980 22 22 - - 11 2 131981 II 11 - - AI 1 12

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR 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.

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Table 4.2 - COLOMBIAPAGE 20

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DFBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. l, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLIARS)TYPE OF CRFDITUR SUPPLIERS CREOITS

TOTALYEAR 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: (l}) : 2) 13) (4) (5) (6) (7) (8) (9)

1972 111,675 205,882 39,955 38,814 41,748 5,294 47,042 715 1,5151973 112,436 204.889 30,909 59,725 37,226 6.295 43,521 3,094 1,1971974 132,706 196.675 50,314 44.191 36,400 8,130 44,530 82 9801975 137.590 211,487 99,272 76,11A 36,870 7,398 44,268 3.008 -1,0421976 180,216 269.839 44,029 73,005 47,670 12,024 59.694 981 -3,7571977 202,677 261,460 31-197 48,013 44,103 15.934 60.037 520 1,3911978 207,677 249.425 84,888 57,970 69,460 10,859 80.319 92 5,8451979 200,076 270.606 55,929 39,750 54.015 12,406 66.421 128 162 11980 184,342 272,554 U'

t * +THE FOLLOWING fIGURES ARE PROJFCTED + k *

1980 184,342 272,554 16,280 23,825 54.388 13.485 67.873 - -4,6391981 148,657 229.807 - 27,097 51,235 11,821 63,056 - 21982 124,518 178,574 - 23.883 40.785 10,284 51,069 - -21983 107,617 137.787 - 18,630 35.475 8,838 44.313 - 51984 90,774 102,317 - 10,876 27,969 7,306 35,275 - 21985 73,685 74,350 - 666 25.775 5,575 31,350 - 11986 48,576 48,576 - - 19.642 3.549 23,191 - -11987 28,933 28,933 - - 14,030 2,076 16.106 - 11988 14,904 14,904 - - 8,757 1.026 9.783 - -1989 6,147 6,147 - - 5,080 384 5,464 -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 21

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY BAHAMASYEAR 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 OTHER CHANGES

: EGINNING OF PERIOD

DISBURSED INCLUDING . COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUST-ONIY :UNDISBOtRSED MENTS MENTS --- - - ---- ---------- :-----------: LATIONS MENT

PRINCIPAL INTEREST TOTAL: () (2) (3) (4) (5) (6) (7) (8) (9)

1972 2,497 2,497 - - - 149 149 - 3511973 2,848 2,848 - - - - - - -

1971 2,848 2.848 7.750 7.750 3,494 368 3.862 - -1975 7,104 7,104 - - 1,292 833 2.125 -1

1976 5,813 5.813 - - 1,291 465 1.756 - -11977 4.521 4,521 - - 1.292 290 1,582 - -

1978 3,229 3,229 - - 1.291 233 1,524 - -

1979 1.938 1.938 - - 1.292 176 1.468 - -

1980 646 646 iL-n

* THE FOLLOWING FIGURES ARE PROJECTED + + 4 * I

1980 646 646 - - 646 38 684

IHIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUISTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM UNE CATEGORY TO ANOIHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 22

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNOISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY BELGIUMYEAR 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- ADJUST-: ONLY UNDISBURSED MENTS MENTS ---------------------- ---- : LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 3.760 5,994 528 528 - - - - 36

1973 4.288 6,558 - 2,575 4,288 272 4,560 - 1501974 2,420 2,420 - - - - - - 2301975 2.650 2,650 - - - - - - -119t976 2,531 2,531 - 182 - - 3561977 2.705 2,887 - - 2,705 _ 2.705 182 -1978 - - - - - _ _ _1979 - - - _ _ _ _ _1980 - -

* + * + t * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

TIlS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTS1ANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGF 23

SFRVICE PAYMENTS, ((MMI IMLN1S, DISBURSEMENTS AND OUTSTAND ING AMnLJNPR OF EXTERNAL PUBLIC DEBI

PR(I,JFCTIONS BASED ON DFFT r OUTSTANDING INCLUDING UNDISBPUR,i M A', tl DE C . 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 190C M Hf :11, 1980DF3T RFPAYABLE IN FOREIGN CURRENCY AND GmDD)D~

(IN THOUSANDS OF U.S DOLLAR i)TYPE OF CREDIIOR FINANCIAL INSTITUTIONS

CREDI I OR COUNI RY BRAZILY AI p DEBT OlJTSTANDING Al T R A N S A C T I 0 N S D U P R N (J 1F I P 0 UD OTHER CHANGES

PEGINNING OF PFRIOD

DISBURSED INCLUDING COMMIT- DISBURSE- S E R V I C I P A " M E N 1 S CANCEL- ADJUST-ONE T UNDISBUPSEl) MENTS MENTS ------- ----- ----- ----- : LATIONS MFNTr

PRINCIPAL INIEREST TOTAL(1) (2) (3) (4) (5) 5) (7) (8) : (9)

1 1l,. ? -

19 Ir

197 7S

1 99( - 0*

THFE FOLLOWING FIGURES ARE PRO JFCIFD*

1 1 eX, - - 60,000 21.600 - 33. 33819P 1 21.600 60, 000 - 12,000 - 1 74( 1 '740

1 IF3 33,600 6f,00(3 - 8,400 7 .()59 2 .48 1 9 ,40 -

198.3 34,941 52,941 - 6,000 7, 059 2, 55f 9, f .15t I.. 3-3,882 45,882 - 8,400 7,059 2.521 9,58(1 935 35.224 38,824 - 3,600 7,059 2, 39 9. 59P1) 2( 31,765 31,76r, - - 7,059 2.231 9 2981)8. 24,706 24. 7(,( - - 7,059 1,721 8,780.)19 8: 17, 647 1 7, 64 7 - - 7,059 1,191 8,250I 8/l C1, 588 1D,58R - - 7,059 6fi2 7,771

IH IIS 'C01 UrN SHOWS IHE AMO(UNI 01 ARITHMETIC IMBALANCE IN THE AMOUNI OUISIANDING INClUDING UNDiSBURSED FROM ONrYEAR I) rIHr NEX r rHE MOS F (:OMMON CAUSES OF IMBALANCES ARE CHANGES IN FXCHANGE RA1ES AND TRP NSFER OF DFI s,F IDM FINF CA FECORY TO ANI)rlIf R IN ITlE TABLE.

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Table 4.2 - COLOMBIAPAGE 24

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY CANADAYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 - - - - - - -

1973 - - - - - - -1974 - - - - - - -

1975 - - - - - - - _

1976 - - - - - - -

1977 - - - - - - - _

1978 - - - - - - - _

1979 - - 5,400 1,900 - 53 53 - -

1980 1,900 5.400 0

* * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 1.900 5,400 10,000 7,560 - 370 3701981 9.460 15,400 - 3.105 1.551 1,730 3.281 - -

1982 11.014 13,849 - 1,620 2,466 1,965 4,431 - -21983 10.166 11,381 - 1,215 2,466 1,779 4.245 - -11984 8.914 8,914 - - 2,466 1,456 3,922 - -1

1985 6,447 6,447 - - 2,466 1,015 3.481 - -1

1986 3,980 3,980 - - 2,148 574 2,722 - -2

1987 1,830 1.830 - - 1,830 221 2,051 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 25

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES 4NLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY FRANCEYEAR 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 UNDISBURSED MENTS MENTS ---------------------- : ----- : LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 11.403 22,807 469 6,081 972 385 1,357 - 1,4101973 16,908 23.714 1,301 1,564 1,202 142 1,344 - 1,5751974 18,627 25,388 5,210 5,957 7,404 1,165 8,569 1,483 1,0981975 17,929 22,809 10,049 - 1,888 867 2,755 - 1,2361976 16,996 32,206 30,591 8,647 2,890 1,167 4,057 - -2,7471977 21,123 57,160 - 4,741 3,732 1,645 5,377 4,188 6261978 22,575 49,866 50.970 22.990 6,831 2.438 9,269 - 5,9011979 41,507 99,906 57,954 56,729 13,732 2,016 15,748 - 3,7161980 84,354 147,844 O

* * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 84,354 147,844 4,200 38.609 31.508 7,679 39,187 - -441981 91,280 120,492 - 15,224 15,805 11,299 27,104 - -21982 90,698 104,685 - 8,173 15,194 11,031 26,225 - 21983 83,676 89,493 - 5,815 21.473 10,114 31,587 - -11984 68,019 68.019 - - 21,473 8,068 29.541 - -11985 46.545 46,545 - - 17,467 5.803 23,270 - -11986 29,077 29,077 - - 11,923 3,986 15,909 - -11987 17,153 17,153 - - 8,384 2,515 10,899 - -1988 8.769 8.769 - - 5,846 1.306 7,152 - -1989 2,923 2,923 - - 2,923 261 3,184 -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 26

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY ITALYYEAR 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 UNOISBURSEo MENTS MENTS ----------- ----------- :----------- LATIONS MENT *

PRINCIPAL INTERESr TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 - 5.000 - 116 - - - - -1973 116 5,000 - - 23 5 28 -1974 93 4,977 - 318 43 29 72 - -751975 293 4,859 - - 87 18 105 - -1976 206 4.772 - - 87 13 100 - -1977 119 4,685 - - 87 8 95 4,566 -1978 32 32 - - 32 1 33 - -1979 - - - - - -_ _1980 - -

+ * t + * * THE FOLLOWING FIGURES ARE PROJECTED * * * *

THIS COLUMN SHOWS THIE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 27

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY JAPANYEAR 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 UNDISBURSED MENTS MENTS :-------:-----------:----------- LATIONS MENT d

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 - - - - - -1913 - - 25.000 25,000 - 1.593 1,593

1974 25,000 25.000 - - - 2,091 2.0911975 25,000 25,000 - - - 1,042 1,0421976 25,000 25,000 - - 1,380 2,120 3.500 -

1977 23.620 23,620 - - 2,760 1,897 4,6571978 20,860 20,860 - - 2,760 1,687 4,447 -

1979 18,100 18,100 - - 2,760 1,456 4,216 -1980 15,340 15,340

* * * 4 * * THE FOLLOWING FIGURES ARE PROJECTED * * * *

1980 15,340 15,340 - - 2,789 1,208 3,9971981 12,551 12,551 - - 2,789 978 3,767 -

1982 9,762 9,762 - - 2.789 748 3,537 -

1983 6,973 6,973 - - 2,789 518 3,3071984 4,184 4,184 - - 2,789 288 3,0771985 1,395 1,395 - - 1,395 58 1,453

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOSI COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4,2 - COLOMBIAPAGE 28

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980

DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS(IN THOUSANDS OF U.S. DOLLARS)

TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY LUXEMBOURG

YEAR DEST 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- ADJUST-

: ONLY UNDISBURSED MENTS MENTS ----------------------- LATIONS MENT

: : : : : PRINCIPAL INTEREST TOTAL

: (1) (2) : (3) (4) (5) (6) (7) (8) (9)

1972 - _ _ _

1973 - -

1974 - - 1,209 - - - -

1975 - 1,209 - - - - -

1976 - 1,209 - 1.209 - 71 71

1977 1.209 1,209 - - - - --

1978 1.210 1,210 - - 300 40 340 - -1

1979 909 909 - - 9 41 50 - -

1980 900 900

+ * t t + + THE FOLLOWING FIGURES ARE PROJECTED + t * t

1980 900 900 - - 200 68 268

1981 700 700 - - 200 52 252

1982 500 500 - - 200 36 236

1983 300 300 - - 200 20 220

1994 100 100 - - 100 4 104

t 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.

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Table 4.2 - COLOMBIAPAGE 29

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY MEXICOYEAR DEBT OUTSTANDING At T R A N S A C T I 0 N S D U P T N G P E R I 0 D OTHER CHIANGES

BEGINNING OF PERIOD

DISBURSED INCLUDING COMMIT- DISBURSE- S E R V I C F P A Y M E N I S CANCEL- ADJUST-ONLY UNDISBURSED MENTS MENTS ---------- - ----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) : (8) (9)

1972 - - - - _ _1973 - - - -1974 - - 149 - - - - -1915 - 149 654 654 66 14 80 -

1976 588 737 - 149 161 49 . 210 -1977 577 577 23,510 19,319 190 48 2381978 19,706 23,897 - 2,897 688 1,643 2,331 -1979 21,915 23.209 - 1,136 2,561 2,382 4,943 1581980 20,491 20,491 O

* * * + * * THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 20,491 20,491 - - 4,362 3,015 7,377 - -661981 16,063 16,063 - - 4,297 2,324 6,621 - 11982 11,767 11,767 - - 4,29-7 1,633 5,930 - -1983 7,470 7,470 - - 4,297 944 5,241 -1984 3,173 3,173 - - 2,661 255 2,916 - 11985 513 513 - - 513 21 534 -

t 7HIS COLUMN SHOWS THE AMOlJNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCFiANGE RATES AND TRANSFER OF DEBISFROM ONF CATEGORY TO ANOTHIER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 30

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY NETHERLANDSYEAR 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 UNDISBURSED MENTS MENTS ---------------------- :-----------: LATIONS MENT t

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 919 2,002 - 903 12 9 21 - -1973 1,810 1,990 - 180 115 91 206 - 171974 1,892 1.892 - - 231 171 402 - 221975 1,683 1.683 - - 243 155 398 - 1821976 1,622 1,622 - - 235 135 370 - 1001977 1,487 1,487 - - 250 123 373 - 501978 1.287 1,287 - - 287 115 402 - 1971979 1,197 1,197 - - 308 98 406 - 1121980 1,001 1,001

* * THE FOLLOWING FIGURES ARE PROJECTED t * * * * *

1980 1,001 1.001 - - 511 71 582 - -1981 490 490 - - 490 30 520 - -

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN FXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 31

SERVICE PAYMENTS, COMMITMENIS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRFNCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY PANAMAYEAR 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) (4) (5) (6) (7) (8) (9)

1972 - - - _ _ _ _ _1971 - - - - - _ _ _1974 - - 8,000 8,000 - - - - -

1975 8,000 8,000 .3.700 - - - - - -

1976 8,000 11,700 6,525 3,735 213 1.085 1,298 - -

1977 11,522 18,012 1,530 6,490 1.025 1,160 2,185 - -1978 18,517 18,517 - - 2,016 1,885 3.901 - -

1979 16,501 16,501 - - 3,517 1,628 5,145 - -

1980 12,984 12,984

* * * * * + THE FOLLOWING FIGURES ARE PROJECTED + * * * *

1980 12,984 12,984 - - 4,955 1,545 6,500 - 21981 8,031 8,031 - - 4,242 867 5,1091982 3,789 3.789 - - 1,789 344 2,1331983 2,000 2,000 - - 1.333 174 1,5071984 667 667 - - 667 35 702

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 32

SERVICE PAYMENTS, COMMIIMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBLJRSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY PERUYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U P 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 UNDISPURSED MENTS MENTS ----------- :-----------:----------- LATIONS MEN!

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 - - - - - - _1973 - - - - _ _ _1974 - - - _ _ _ _1975 - - 75 - _ _ _1976 - 75 - 75 4 2 61977 71 71 - - 19 7 261978 52 52 - - 15 4 19

1979 37 37 - - 15 3 18 - -

1980 22 22

ttt* * THf FOLLOWING FIGURES ARE PROJECIED t * * t t *

1980 22 22 - - 15 2 17iqsj 7 7 - - 7 - 7

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 33

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBLURSED AS OF DEC. 31, 1979

INCllUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY SPAINYEAR 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 UNDISBUJRSED MENTS MENTS -------- - -------- ----------- LATIONS MENT t

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 - - 1.473 1,473 - - -1973 1,473 1.473 - - 323 75 3981974 1.150 1,150 - - 322 54 376

1975 828 828 50 50 184 51 2351976 694 694 - - 201 41 2421977 493 493 - - 200 44 2441978 293 293 - - 293 46 3391979 - - - - - - _ _ _1980 -

* i 4 * + * THE FOLLOWING FIGURES ARE PRODJECTED * * * * * *

THIS COLUMN SHOWS THE AMOUN7 OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEETS

FROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA PAGE 34

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. i, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY SWITZERLANDYEAR 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- ADJUST-: ONLY UNDISBURSED MENTS MENTS ----------- ----------- :----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 973 1,655 - 109 67 82 149 - -11973 1.015 1,587 - 194 180 104 284 378 2551974 1,284 1,284 1,302 845 353 92 445 457 2011975 1,977 1,977 - - 675 222 897 - 1061976 1.408 1,408 - - 489 95 584 - 1071977 1.026 1.026 - - 302 58 360 - 601978 784 784 - - 329 54 383 - 2551979 710 710 - - 361 17 378 - 281980 377 377

* r * THE FOLLOWING FIGURES ARE PROJECTED * * * *

1980 377 377 - - 251 12 263 - -1981 126 126 _ 126 2 128 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2_- COLOMBIAPAGE 35

SERVICE PAYMFNTS, CUMMITMENTS, DISBURSEMENTS AND OUTSIANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DFBT OUTSTANDING INCLUDING UNDISBURSFD AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DFET REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITnR FINANCIAL INSTITUTIONS

CREDITOR CO(UNTRY UNITED KINGDOMYEAR DFBT OUTSTANDING Al T R A N S A C T I 0 N S D U P I N ( P E R I 0 D OTHER C4ANGLS

EFGINNING OF PERIOD :

DISBURSED I INCLlJDING 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)

197.) 3,512 7, 7-17 40,000 44,161 612 360 972 741973 47,061 47,(?G1 89 - 4,249 1,927 6.176 -1974 42,812 42,901 3,262 3,087 37,913 364 38,277 -

1975 7.986 8,250 - 159 1,104 422 1,526 - -7581976 6,297 6,3i8 - 35 1,334 346 1,680 56 1,0051977 3,993 3,993 690 690 1,077 251 1,328 - 10513978 3,711 3,711 75,000 22,000 1,982 330 2,312 - 8311979 24,560 77,560 335 49,335 1,935 2,439 4,374 46119i0 72,421 76.421

THE FOLLOWING FIGURES ARE PROUICIEL)

1q80 72,421 76,421 - 4,000 31G 12.931 13,247 -

1981 76,105 76.105 - - 5,004 13,375 18,379 -1

1982 71,102 71,102 - - 9.691 12,107 21,798 -

1983 61,412 61,412 - - 9,691 10.424 20,115 -1984 51,721 51,721 - - 9,533 8,741 18.274 -1985 42,188 42,188 - - 9,375 7.072 16,447 -1986 32,813 32.813 - - 9,375 5,408 14,783 - -1987 23,438 23,438 - - 9,375 3.744 13,119 -198R 14,063 14,063 - - 9,375 2,080 11,455 - -1989 4,688 4 ,688 - - 4 ,688 416 5,104 -

1HIS COiUMN SHOWS THE AMOllNI OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TL) THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEETSfROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 36

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

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 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 MENI *

PRINCIPAL INTEREST TOTAL

: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 24,788 44,735 49,790 66,569 6,268 1,836 8.104 30 -1

1973 85,088 88,226 163,838 65,641 18,996 4,489 23,485 6 -1974 131,733 233.062 34,318 118,100 51,821 12.215 64.036 - -222

1975 197,796 215,337 138,709 135,223 17,364 21,816 39,180 631 1

1976 315.656 336,052 132,275 24,803 11,782 21.030 32.812 134 -4

1977 328,674 456,407 39,433 135,107 25,047 20,663 45.710 68 -1978 448,734 470,725 20,000 19,483 46,384 38,196 84,580 358 -1979 421,833 443,983 5 8,244 220,754 38,600 259,354 - 6,876

1980 213,217 230,110

k E + + + * THE FOLLOWING FIGURES ARE PROJECTED * * $ * t *

1980 213.217 230,110 103,080 49,700 49,004 27,598 76,602 - -1,569

1981 212,344 282,617 - 24,751 49,402 27,519 76,921 - 3

1982 187,695 233.218 - 16,884 43,046 25,258 68,304 - 4

1983 161,538 190,176 - 11,074 42,614 22,287 64.901 - 1

1984 129.999 147,563 - 12,295 28.902 19.135 48.037 - 2

1985 113,394 118.663 - 5,269 23,335 17,048 40.383 - 1

1986 95.329 95,329 - - 19,930 14,711 34,641 - 2

1987 75.401 75,401 - - 18,009 11,925 29.934 - -2

1988 57.390 57,390 - - 15,367 9,171 24,538 - -

1989 42,023 42,023 - - 10,344 6,937 17.281 - -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.

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Table 4.2 - COLOMBIAPAGE 37

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNOISFORSFD AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

CREDITOR COUNTRY MULTIPLE LENDERSYEAR DEBT OUTSTANDING Al 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 UNDISBURSED MENTS MENTS :-----------:---------------------- LATIONS MENT

PRINCIPAL : INTEREST TOTAL(1) (2) : (3) (4) (5) (6) (7) (8) (9)

1972 - - - _ _ _1973 - - - _ - _1974 - - - _ _ _ _1975 - - - _ _ _1976 -

1977 - - _ _ _1978 - -1979 - 805,030 626,000 - 36.156 36,156 -

1980 626,000 805.030 J

- THE FOLLOWING FIGURES ARE PROJECTED * * + i *

198( 626.000 805.030 395,230 228,441 - 119.968 119.9681981 854.441 1.200.260 - 110.206 30,733 151.812 182,5451982 933,914 1.169,527 - 76.904 5.503 167.278 172,78119<28 1.005,315 1,164.024 - 56.903 21.349 178,797 200.1461984 1i040.869 1.142,675 - 76,304 139,671 181.323 320.9941985 977.502 1.0033004 - 25.502 203.307 164.G36 367.9431986 799.697 799 697 - - 203 ,307 132 226 335,533 - -11987 596.389 596.389 - - 203.307 96.461 299,7681988 393.082 393.082 - - 203.307 60,535 263,842 - 2IOR9 189,777 189,777 - - 146. 455 24.610 171,065 - -1

THI CO.1ULErIN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOIUNT OUTSTANDING INCLUDING INDISBURSED FROM ONF'FAR 10 1HE NEXT. THE MOSI COMMON CAUSES OF IMBALANCES ARE CHANGCES IN EXCHANGE RATES AND TRANSFER OF DE.ISFRO(M ONF CATEGORY TO ANOTHFR IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 38

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR FINANCIAL INSTITUTIONS

TOTALYEAR 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- ADJUST-: ONLY UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT +

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 47,852 92,437 92,260 119,940 7,931 2,821 10,752 104 1,7951973 160,607 178,457 190,228 95.154 29,376 8,698 38,074 384 1,9971974 227,859 340,922 61,200 144,057 101,581 16,549 118,130 1,940 1,2541975 271,246 299.855 153,237 136,086 22,903 25,440 48,343 631 6491976 384,811 430,207 169,391 38,835 20,067 26,619 46,686 190 -3,1931977 401,140 576,148 65,163 166,347 38.686 26.194 64,880 9,004 8421978 540,990 594,463 145,970 67,370 63,208 46,672 109.880 358 7.1831979 549,207 684.050 868,724 743.344 247,244 85,065 332,309 158 11,1941980 1,049,653 1,316,566 fi

tt * * * tTHE FOLLOWING FIGURES ARE PROJECTED * * * *

1980 1,049,653 1,316,566 572,510 349,910 94,557 174,843 269,400 - -1,6771981 1,303,198 1.792,842 - 165,286 114,646 211,728 326,374 - 3

1982 1,353,841 1,678,199 - 111.981 92,034 222.881 314,915 - 5

1983 1,373,791 1,586,170 - 81,007 113,271 227.613 340.884 - -1

1984 1.341,528 1.472,898 - 96,999 215,321 221.826 437.147 - 2

1985 1,223,208 1,257,579 - 34,371 264,917 198,192 463.109 - -1

1986 992,661 992,661 - - 253,742 159.144 412.886 - -2

1987 738,917 738,917 - - 247,964 116,587 364,551 - -2

1988 490,951 490,951 - - 240,954 74,283 315.237 - 2

1989 249,999 249,999 - - 171,469 32,886 204,355 - -2

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 DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 39SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BONDS

CREDITOR COUNTRY JAPANYEAR 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 CHlANGES

: BEGINNING OF PERIOD

DISBURSED INCLUDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUSr-: ONLY UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *: : PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 - - - - - _ _ _1973 _ - 25.000 25,000 - - - -1974 25,000 25,000 - - - 1.080 1.080 - -1975 25,000 25.000 - - - 4.317 4,3171976 25.000 25.000 - - - 2,125 2,1251977 25.000 25.000 - - - - -1978 25.000 25.000 - - - - -1979 25.000 25.000 - - 5.000 8,407 13,4071980 20.000 20,000

ON* THE FOLLOWING FIGURES ARE PROJECTED t t t

1980 20.000 20,000 - - 2,353 1,650 4.0031981 17.647 17,647 - - 2.353 1.450 3.8031982 15,294 15.294 - - 2.353 1.250 3.6031983 12.941 12,941 - - 2.353 1,050 3.4031984 10.588 10.588 - - 2.353 850 3.2031985 8.235 8.235 - - 2.353 650 3,0031986 5,882 5.882 - - 2.353 450 2.8031987 3.529 3.529 - - 2,353 250 2,6031988 1,176 1,176 - - 1,176 50 1.226

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 40

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DERT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDIIOR BONDS

CREDITOR COUNI-RY UNITED KINGDOMYEAR 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) (7) (8) (9)

1972 873 873 - - 126 8 134 - -11973 746 746 - - 443 - 443 - 61974 309 309 - - - - - -l975 310 310 - - - - -

1976 310 310 - - 21 9 30 -1

1977 290 290 - - 4 - 4 - 21978 288 288 -- - 31979 291 291 - - - - - - 41980 295 295

* + + + + THE FOLLOWING FIGURES ARE PROJECTED * * *

1980 295 295 - - 43 - 43 - -252

+ THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHIER IN THE TABLE

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Table 4.2 - COLOMBIAPAGE 4 1

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DFBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BONDS

CREDITOR COUNTRY UNITED STATESYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D tJ 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-ONI-Y UNDISBURSED MENTS MENTS -- ------------- :----------- LATIONS MENT t

: : : : : PRINCIPAL INTEREST TOTAL: (i) (2) (3) (4) (5) (6) (7) (8) (9)

1972 15.325 15,325 - - 1,222 604 1.826 - 21973 14,105 14,105 20,000 20.000 2,251 176 2,427 -1974 31,854 31,854 20 - 3,122 2,310 5,432 SR1975 28,810 28,810 - - 2,215 2,469 4,6841976 26,595 26,595 - - 1,151 1.695 2,846 - -3351977 25,109 25,109 - - 2,673 317 2,9901978 22,436 22,436 - - 2,304 108 2,412 - -11979 20,131 20,131 - - 6,292 558 6,850 - -

1980 13,839 13,839

* + THE FOLLOWING FIGURES ARE PROJECTED + t t t *

1980 13,839 13,839 - - 1,469 1,051 2,520 - -1.0471981 11,323 11,323 - - 1,415 934 2,349 - -1982 9,908 9,908 - - 1,415 817 2,232 - -1983 8,493 8,493 - - 1,415 700 2,115 - -1984 7,078 7,078 - - 1,415 584 1,999 - 11985 5,664 5,664 - - 1.415 467 1,882 - -1986 4,249 4,249 - - 1,415 350 1,765 - -1987 2,834 2,834 - - 1.415 233 1,648 - -1988 1,419 1,419 - - 1,415 117 1,532 - -1989 4 4 - - _ _

tHIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED r9OM ONEYFAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBISFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA PAGE 42

SERVICE PAYMENTS. COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. i. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BONDS

TOTALYEAR 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 UNDISBURSED MENTS MENTS ----------- ----------------------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 16.198 16.198 - - 1.348 612 1.960 -1

1973 14,851 14,851 45,000 45.000 2,694 176 2,870 - 61974 57.163 57,163 20 - 3,122 3,390 6,512 - 591975 54,120 54,120 - - 2.215 6.786 9,001 - -1976 51,905 51.905 - - 1,172 3.829 5,001 - -3341977 50,399 50.399 - - 2.677 317 2,994 _ 21978 47,724 47.724 - - 2.304 108 2.412 - 21979 45,422 45.422 - - 11.292 8.965 20,257 - 41980 34,134 34,134 e

t tt * THE FOLLOWING FIGURES ARE PROJEClED + t t t *

1980 34,134 34.134 - - 3.865 2,701 6,566 - -1,2991981 28,970 28.970 - - 3,768 2,384 6,152 - -1982 25,202 25,202 - - 3,768 2.067 5,835 -19n3 21,434 21.434 - - 3,768 1,750 5,518 - -1984 17,666 17.666 - - 3,768 1.434 5.202 - 11985 13.899 13.899 - - 3,768 1,117 4,885 - -1986 10,131 10.131 - - 3.768 800 4.568 - -1987 6.363 6.3363 - - 3.768 483 4.251 - -1988 2,595 2.595 - - 2,591 167 2,758 - -1989 4 4 - - _ _ _ _ _

t THIS COIIJMN SHOWS THE AMOUNI OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHFR IN THE TABLE.

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Table 4.2 - COlOMBIAPAGE 43

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSFD AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN, 1, 1900 - DEC. 31, 1980DEBT RFPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR NATIONALIZATION

CREDITOR COUNTRY UNITED STATESYEAR DERT 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 CHIANGES

RTEGINNING OF PFR]OD

nISBURSED INCLUDING COMMIT- DISBURSE- S F R V I C E P A Y M E N T S CANCEL- ADJUST-ONLY UJNDISBURSED MENTS MENTS ------- --------- :----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 21,537 21,537 - - 1,374 704 2,078 - -19!3 20,163 20,163 - - 1,470 1,248 2,718 - -

137-l 18,693 18.G93 - - 1,569 1,236 2.8051975 17,124 17,124 - - 1,677 1,128 2,805 - -

1976 15,447 15,447 - - 1,792 1,013 2,805 - -

1977 13,655 13,655 - - 1,916 - 1,916 - -1978 11,739 11,739 - - 2,047 758 2,805 - -

1979 9,692 9,692 - - 2,1t7 618 2,805 -

1940 7,505 7,505 c

* +* +THE FOLLOWING FIGURES ARE PROJFCIED + * *

198( 7,505 7,505 - - 2,330 507 2,837 - -

1981 5,175 5,175 - - 2,510 349 2,859 - -

1982 2,665 2,665 - - 2,665 180 2,845 - -

THIS COLUMN SHOWS THE AMOUNT 01 ARITHMETIC IMBALANCE IN THE AMOUNT OLTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSiROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 44SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLIJDES ONLY DEST COMMITTED JAN. 1, 19O( - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDIIOR NATIONALIZATION

TOTALYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *

PRINCIPAL INTEREST' TOTAL(t) (2) (3) (4) (5) (6) (7) (8) (9)

1972 21.537 21,537 - - 1.374 704 2.078 - -1973 20,163 20,163 - - 1,470 t,248 2,718 - -

1974 18,693 18.693 - - 1,569 t,236 2,805 - -

1975 17,124 17,124 - - 1.677 1,128 2,805 - -

1976 15,447 15,447 - - 1.792 1,013 2,805 - -1977 13,655 13,655 - - 1,91G - 1,916 - _1978 11.739 11,739 - - 2.047 758 2,805 - -

1979 9,692 9.692 - - 2,187 618 2.805 - -

1980 7.505 7,505

* 4 t e 8 + THE FOLLOWING FIGURES ARE PROJECTED * * 4 *

1980 7.505 7,505 - - 2,330 507 2,837 - -

1981 5,175 5.175 - - 2,510 349 2.859 - -

1982 2,665 2,665 - - 2.665 180 2,845 - -

T tHIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2- COLOMBIA PAGE 45

SFRVICE PAYMENTS, COMMITMFNTS, DISBURSEMENTS AND OUTSTANDING AMOUNIS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR MULTILATERAL LOANS

CREDITOR COUNTRY CORP. ANDINA FOMENTOYEAR 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 CNANGES

BEGINNING OF PERIOD :--- ----- - -: :- - - - _ ___-- - _ - - - - - - - - - _L AD JU S -_____________ ........_

: DISBtJRSED INCLUDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUSTONLY UNDISBIJRSED MENTS MENTS -------- ----------- :----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 -

197.3 -- 19/4 --

1975 - - 5,420 788 _197fi 788 5.420 2.500 2.437 - 139 139 1521977 3,225 7,768 9,500 6.564 4G6 357 823 -1978 9,323 16,802 - 4.074 1,198 907 2.105 - -1691979 12,031 15,435 38.699 1.600 1,445 1.033 2.478 3,043 -1980 12,186 49,646

iHE FOLLOWING FIGURES ARE PROJECTED * * * *

1980 12,186 49,646 - 12,814 3,423 872 4.2951981 21,577 46.223 - 12.323 3.414 571 3,985 _1982 30.487 42,810 - 7.317 4,149 1 719 5.868 - -11982i 33,653 38.660 - 4.236 4.8C5 3.173 8.068 -1984 32,995 33,766 - 770 4,895 3.011 7,906 _1905 28,871 28,871 - - 4,640 2,605 7.245 -198G 24,231 24,231 - - 4,386 2,181 6.567 -1987 19,845 19,845 - - 4 380 1.767 6.153 - -11988 15,458 15,458 - - 4,386 1.353 5.739 -1989 11,072 11,072 - - 4,386 939 5.325 -

1HIS COIUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYFAR 10 THE NEXT. THE MOS COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM FiNE CATFGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBTPAE4

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 3i. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR MULTILATERAL LOANS

CREDITOR COUNTRY IBRDYEAR DEBT OUTSTANDING AT T R A N S A C T I O N 5 D LI R I N G P F P 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 MNS MENTS-------------------LATIONS MENT

* . . . ~~~~~~~~~~ ~~PRINCIPAL INTEREST TOTAL

* (1) ~~~(2) . (3) (4) (5) (6) (7) (8) (9)

1972 390,750 712,395 74,100 82,839 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 504.539 869,017 8.000 85.854 28,730 45.708 74,438 495-1975 561,662 847,792 88.000 105,749 33.863 44.418 78,281 1.594 1976 633.549 900,336 .80.000 75.653 37,583 48.157 85.740 1.329 1977 671,619 941,424 306.000 85,165 40.537 52,587 93.124 2,803 19789 716.247 1.204.084 390,600 82,123 46.901 64,459 111,360 11979 751,466 1,547,782 330,500 138,476 51.509 72.656 124.165 69 1980 838,435 1,826,705 0

****THE FOLLOWING FIGURES ARE PROJECTED *****

1980 838.435 1.826,705 351,000 221,728 51,356 72.732 124,088 1981 1.008,807 2,126,349 - 251,490 70.115 87.596 157,711 --

1982 1,190,182 2.056.234 - 255,178 84,236 100,625 184,861 - 21983 1,36i,126 1.972,000 - 206.890 122.832 110.865 233,697 -

1984 1,445,185 1,849,169 - 154,793 157.321 114.533 271,854 - -21985 1.442,655 1,691,846 - 95,714 154.368 112.237 266,605 - -1986 1.384.000 1,537,477 - 50,667 153,624 106.258 259,882 - 61987 1.281,049 1,383,859 - 54,479 149,918 98.169 248,087 -

1988 1,185.611 1,233,942 - 41,786 145.085 90.296 235,381 - -21989 1,082,310 1.088.855 - 6,445 145.616 81,208 226,824 - 2

THIS COL-UMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 47

SERVICE PAYMFNTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISRURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR MULTILATERAL LOANS

CREDITOR COUNTRY IDAYEAR 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 D 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 ME NTS ENTS ---- ---- ---------------------- LATIONS MENT *

PRINCIPAL : INTEREST TOTAL: (1) (2) (3) (4) (5) : (6) (7) (8) (9)

1972 19.402 19.402 - - 182 239 421 - 1,6631973 20,883 20.883 - - 245 250 495 - 2,3191974 22,957 22.957 - - 118 86 204 - -

1975 22,839 22,839 - - 353 227 580 - -19-76 22 486 22 ,486 - - 236 197 433 - -

1977 22,250 22.250 - - 235 166 401 - -1978 22.015 22,015 - - 235 165 400 - -11979 21,779 21,779 - - 235 163 398 -1980 21,544 21.544 0

t THE FOLLOWING FIGURES ARE PROJECTED t

1980 21.544 21,544 - - 235 159 3941981 21i309 21.309 - - 470 158 628 --1982 20,840 20,840 - - 704 153 857 - -11983 20, 135 20 135 - - 704 148 852 - -1984 19.431 19,431 - - 704 143 847 - -11985 18,726 18.726 - - 704 137 841 - -1986 18,022 18.022 - - 704 132 836 - -11987 17,317 17,317 - - 704 127 831 - -1988 16,613 16,613 - - 704 122 826 - -1989 15.909 15.909 - - 704 116 820 - -1

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTS[ROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 48

SERVICE PAYMENIS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. i, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S DOLLARS)TYPE OF CREDITOR MULTILATERAL LOANS

CREDIlOR COUNTRY IDBYEAR DERT 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 PERTOD

DISBURSED : NCLUDING. COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUST-ONLY UNOISBURSFD MENTS MENTS ----------- ---------- ---- LATIONS MENT +

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 78,232 159,103 39,100 14,911 7,683 6,549 14,232 -1

1973 85,460 190.521 29.100 24,804 8,232 8.277 16,509 - 7,6351974 102.687 219,024 64,500 25,588 7,483 10,262 17,745 1,558 5,5051975 126,291 279,988 - 20,304 7,718 9,743 17,461 1,237 -5.771197G 135,133 265,262 90,070 27,288 7,145 9,262 16,407 - -1,7351977 153,930 346,452 51,000 30,506 9,354 17,545 26,899 1,191 11,1121978 186,129 398,019 71,787 35,085 8,486 24.052 32,538 10,614 18,3441979 231.125 469.050 177,800 43,011 11,031 21,783 32,814 538 3.89311180 267,096 639,174

I .+ +* THE FOLLOWING FIGURES ARE PROJECTED + *

1980 267,096 639.174 99,000 54,045 21,904 21,837 43.741 - 11981 299,238 716.271 - 82,297 21,908 24,148 46,056 - -31982 359,625 694,360 - 86,937 23,132 27,655 50,787 - -1983 423,429 671,228 - 86,223 24,657 31,284 55,941 - -41984 484.992 646,567 - 64,176 34,746 34,118 68,864 - 11985 514,421 611,822 - 45,402 43,766 34,919 78,685 - -198G 516,058 568,056 - 30,050 48,124 33,635 81,759 - -11987 497,982 519,931 - 16,086 49,375 31,301 80.676 - -11988 464,692 470.555 - 5,763 50,366 28,098 78,464 - -11989 420,088 420,188 - 100 50,794 24,319 75,113 - 2

IHIS CnLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGF RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 49

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUN1S OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR MULTILATERAL. LOANS

TOTALYEAR 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 I NC;UDING COMMIT- DISBURSE- S E P V I C E P A Y M F N T S CANCEL- ADJUS TONLY Y UNDISRURSED MENTS MENTS :---- ----------- LATIONS : MFNT

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) B8) (9)

1972 488,384 890,900 113,200 97,750 28,006 34,236 62,242 3,663 1,6641973 559,791 974.095 191.300 100,702 33,284 44,500 77,784 31,067 9,9541974 630,183 1,110.998 72,500 111,442 36,331 56,056 92,387 2,053 5,5051975 710.792 1,150.619 93,420 126,841 41,934 54,388 96,322 2,831 -5,7701976 '791.956 1,193,504 172,570 105,378 44,964 57,755 102,719 1,481 -1,7351977 851,024 1,317.894 366,500 122,235 50,592 70,655 121,247 3,994 11,1121978 933,714 1,640,920 462,387 121,282 56,820 89,583 146,403 10,614 18,1731979 1.016,401 2,054,046 546,999 183,087 64.220 95,635 159,855 3,650 3,894 11980 1,139,261 2,537.069

4 + e+ + *THE FOLLOWING FIGURES ARE PROJECTED t 4 * * *

1980 1.139,261 2.537,069 450,000 288,587 76,918 95,600 172,518 - 11981 1,350,931 2,.910152 - 346,110 95.907 112,473 208,380 - -11982 1.601.134 2,814,244 - 349,432 112,221 130,152 242,373 --

1983 1,838,343 2,702,023 - 297,349 153,088 145,470 298,558 - -21984 1,982,603 2,548,933 - 219,739 197,666 151,805 349,471 - -21985 2,004,673 2,'351,265 - 141.116 203,478 149,898 353,376 - -11986 1,942,311 2,147,786 - 80,717 206,838 142.206 349,044 - 41987 1,816,193 1.940,952 - 70,565 204,383 131,364 335,747 - -11988 1,682,374 1.736,568 - 47,549 200,541 119.869 320,410 - -31989 1,529,379 1,536,024 - 6,545 201,500 106,582 308,082 - 3

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAI7 To THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTIIER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 50

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUOING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY BELGIUMYEAR 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 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) (5) (6) (7) (8) (9)

1972 - - - _ _ _ _ _1973 - - 1,287 - - - - - -77

1974 - 1,210 2.910 1.286 - - - - 1741975 1,384 4,294 1.260 - - - - -1191976 1,265 5,435 640 4,284 - - - 3221977 5,664 6,397 - - - 58 58 - 4461978 6,083 6,843 760 815 - - - _ 1,0501979 7,788 8,653 924 - - 395 395 - 297 11980 8,055 9,874 0

* * * +' * * THE FOLLOWING FIGURES ARE PROJECTED * * t

1980 8,055 9,874 - 430 - 166 166 - -1981 8,485 9,874 - 631 - 179 179 - -1982 9,116 9,874 - 398 - 189 189 - _1983 9,515 9,874 - 225 46 194 240 - -1984 9,693 9,828 - 72 179 194 373 - -1985 9.586 9,649 - 36 311 191 502 - 11986 9,312 9,339 - iB 376 184 560 - -1987 8,954 8,963 - 9 398 177 575 - 21988 8,567 8,567 - - 442 169 611 - -11989 8,124 8,124 - - 442 159 601 - 2

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANOING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TPANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 51

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)

TYPE OF CREDITOR BILATERAL LOANSCREDITOR COUNTRY CANADA

YEAR DEBT OUTSTANDING Al 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT +

PRINCIPAL INTEREST TOTAL:) (2) (3) (4) (5) (6) (7) (8) (9)

1972 7,814 18,264 - 5,008 88 118 206 - 1181973 12,758 18,294 2,730 4,543 8. 111 199 Is -41974 17,225 20,917 7 2,273 179 248 427 24 5181975 19,785 21,239 4,870 821 415 278 693 - -7561976 19,497 24,938 16,680 591 322 272 594 - 6441977 20,390 41,940 4,590 3,353 283 763 1,046 - -2,0831978 21,377 44,164 - 3,976 517 194 711 2,311 -1,558

1979 23,657 39,778 8,500 15,633 1 673 597 2,270 - -7321980 37,220 45,873 m

0o* THE FOLLOWING FIGURES ARE PROJECTED * *

1980 37,220 45.873 - 4.529 2,438 2,124 4,5621981 39,311 43,435 - 2,566 1,458 1,859 3,317 - 11982 40,420 41,978 - 909 1,458 1,611 3,0691983 39,871 40,520 - 416 1,814 1,067 2,881 - l1984 38,473 38,707 - 208 2,056 869 2,925 - -11985 36,624 36,650 - 26 2,163 668 2,831 - 2

1986 34,489 34,489 - - 2,349 464 2,813 - 11987 32,141 32.141 - - 1,286 446 1,732 -1

1988 30,854 30,854 - - 1,286 564 1,850 - 1

1989 29,569 29,569 - - 1,286 537 1,823 - I

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYFAR TO THE NEXT. TFIE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONF CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROOECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBtJRSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNIRY CZECHOSLOVAKIAYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G P E R T 0 D OTHER CHANGES

: 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 UNDISBURSED MENTS MENTS ----------- :---------------------- LATIONS MENT t

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 - 6.000 - 466 - - - -1973 466 6.000 - - 33 14 47 -1974 433 5,967 - - 94 35 129 - 271975 366 5,900 - - 66 21 87 - -1976 300 5,834 - - 67 17 84 - -1977 233 5,767 - - 67 13 80 5,534 -1978 166 166 - - 66 9 75 --1979 100 100 - - 67 7 74 -

1900 33 33 X

* * * * * 4 THE FOLLOWING FIGURES ARE PROJECTEI) t * 4 *

1980 33 33 - - - - - - -33

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA PAGE 53

SERVICE PAYMENTS, COMMItMENTS. DISBURSEMENTS AND OUTSTANDINO AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBE OUTSTANDING INCLUDING UNDISBURSFD AS OF DFC. 31. 1979

TNCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DFC. 31. 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOtlARS)TYPE or CREDITOR BILATERAL LOANS

CREDITOR COUNTRY DENMARKYEAR DEBT OUTSTANDING AT : R A N S A C T I 0 N S l! U P I N G P F R I 0 D OTHMER CHANGES

BEGINNING OF PERIOD

DISBURSED INCILUDING COMMIT- DISBURSE- S E R V I C F P A Y M E N T S CANCEL- ADJUST-ONLY UNDISBURSED MENTS MENTS ----------- :- --------- :----------- LAlIONS MENT(1) : : ::PRINCIPAL INTFREST TOTAL-(1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 1,331 1 867 63 - -1973 1,394 1,867 - -1914 1,394 1 867 - - -- 412 3811975 1, 776 1,776 - - 101 - 101 - -68197(3 1,607 1 607 - - 95 - 95 651977 1 577 1 577 - - 95 - 95 - -531979 1,429 1.429 - - 57 - 57 - 1731979 1,545 1.545 - - 106 - 106 - -261980 1,413 1,413T

THE FOLLOWING FIGURES ARE PROJFCTED * * *

1980 1,413 1.413 - - 113 - 1131981 1,300 1.300 - - 113 - 1131982 1,187 1i187 - - 113 - 113 -.198.3 1,074 1.074 - - 113 113198.1 961 961 - - 113 1131985 848 848 - - 113 - 1131986 735 735 - - 113 113198/ 622 622 - - 113 1131988 509 509 - - 113 - 1131989 396 396 - - 113 - 113

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THIE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCiHANGE RATES AND TRANSFER OF DERISFROM ONF CATEGORY TO ANOTHER IN THIE TABLE.

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Table 4.2 - COLOMBIAPAGE 54

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY FRANCEYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 1,485 3,687 1,821 144 55 199 - 2321973 3,333 3.775 - 220 - 135 135 - 3621974 3,863 4,137 17,608 17,264 2,046 172 2,218 441 2291975 19,134 19,487 5,577 1.340 294 134 428 - -841976 20,274 24,686 8,550 288 575 411 986 - -9411977 19,508 31.720 - 287 1,017 1,650 2,667 - 2091978 18,893 30.912 2.850 3,184 1,556 1,305 2,861 - 5451979 24,611 32.751 3,315 8,254 6.476 1,858 8,334 - 1,0461980 30,259 30,636

t * + * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 30,259 30,636 - 195 4,413 1,372 5,785 - -1981 26,041 26,223 - 91 4,682 1,137 5,819 - -21982 21,448 21.539 - 45 4,682 894 5,576 - I1983 16,813 16,858 - 45 4.682 650 5,332 - -1984 12,176 12,176 - - 2,528 415 2,943 - -i1985 9,647 9,647 - - 1,5C1 325 1,833 - -1986 8,139 8,139 - - 1.508 272 1,780 - -1987 6,631 6,631 - - 1,508 220 1.728 - 11988 5,124 5.124 - - 1,508 166 1,674 - -1989 3,616 3.616 - - 1,371 113 1,484 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTIHER IN THE TABLE.

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Table 4.2 - COLOMBIA PAGE 55

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED UN DEBT OUTSTANDING INCLUDING UNDISBlJRSED) AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 DEC. 31, 1980DEET REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDIIOR COUJNTRY GERMANY, FED.REP. OFYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D tJ 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-- ONiY UNOISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENI $

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 9,804 33,665 5,318 13,734 1,338 849 2,187 - 6291973 22,488 3P,274 5,301 9,948 1,935 1,190 3,125 - 3,0071974 33,018 44,647 4,222 3,589 4.480 2,494 6,974 - 5,6211975 :36,504 50,01( 12,950 6.969 2,681 2,267 4,948 - -9511976 40,873 59,328 55,000 8,647 3,936 3,148 7,084 - 4,8331977 48,701 115,225 21,823 910 2,905 2,536 5,441 - 3,0531978 46,244 137,196 83.246 9.175 3,285 2,862 6,147 7,282 15.7441979 62,275 225.619 - 9,372 7,241 3,683 10,924 - 15,0601980 68,184 233,438

THE FOLLOWING FIGURES ARE PROJECTED * * *

1980 68,184 23-3,4.38 15,880 49,148 20.105 5,189 25,294 - 4941981 97 227 229.707 - 62,379 24,221 17, 391 31,612 - 11982 135,386 205,487 - 39.188 23,706 9,140 32,846 - 21983 150,869 181,783 - 21,444 24,404 9.497 33,901 - -21984 147,906 157,377 - 8,892 25,107 8.804 33,911 - 61985 131,698 132,276 - 290 25,640 7.386 33,026 - -1986 106,346 106,636 - 208 24.048 5,701 29,749 - 21907 82,509 82,590 - 81 15,913 4,232 20,145 - 21988 66,679 66,679 - - 14 503 3. 157 17,660 - -

1909 52,176 52.176 - - 4.429 2,342 6,771 - 3

THIAS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR T0 THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DERTSFROM ONE CATEGORY TO ANODHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 56

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISEURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY ITALYYEAR 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 UNDISBURSED MENTS MENTS ----------- ----------- ----------- : LATIONS MENT t

: : : : . : PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 12.083 14,781 406 430 716 436 1,152 -

1973 11i797 14,471 - 281 6,784 748 7,532 1.790 70

1974 5,364 5.967 - 139 615 261 876 - -261

19.15 4 .627 5.091 800 459 897 319 1,216 - 19

1976 5.007 5.013 - 6 625 195 820 - -549

1977 3,839 3,839 - - 614 130 744 - -19

1978 3,206 3,206 - - 484 105 589 - -340

1979 2.382 2.382 18 a8 498 85 583 - 33

1980 1,935 1i935

i + * + +THE FOLLOWING FIGURES ARE PROJECTED * t * t * *

1980 1.935 1,935 - - 535 60 595 - 1

1981 1,401 1.401 - - 322 32 354 - -

1982 1.079 1.079 - - 110 16 126 - -

1983 969 969 - - 68 10 78 - -

1984 901 901 - - 25 9 34 - I

1985 877 877 - - 25 9 34 - -

1986 852 852 - - 25 8 33 - -

1987 827 827 - - 25 8 33 - -

1988 802 802 - - 25 8 33 - 1

1989 778 778 - - 25 8 33 - -

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 RATFS AND TRANSFER OF DEBTS

FROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 57

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUELIC DEBF

PROJECTTONS BASFD ON DEBT OUTSTANDING INCLUDING UNDISBURSEn AS OF DEC. 3i, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980D)EBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY JAPANYEAR : DEBT OUTSTANDING Ar 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 INCLlJDING 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)

197? 2,339 3,397 - 110 24 P 170 418 948 -1973 2,201 2,201 - - 328 182 510 - 1631974 2,036 2,036 - - 321 156 477 - -431975 1,672 1.672 - - 317 133 450 - -31976 1,352 1,352 - - 313 105 418 1i1977 1.050 1,050 - - 33G 72 408 561978 770 770 731 731 424 114 538 1061979 1.183 1,183 - - 549 85 634 - -66198( 568 568

THE FOLLOWING FIGURES ARE PROJECTLD +

1980 568 568 55,010 6,601 440 93 533 -1981 6,729 55,138 - 13,202 86 415 501 -1982 19.847 55,053 - 16,503 43 1,022 1.065 -1983 36,307 55,010 - 12,102 - 1,716 1,716 - _1984 48.409 55,010 - 3,301 - 2,187 2,1871985 51,709 55,010 - 1,650 - 2,336 2.336 -1996 53,360 55.010 - 1,100 - 2,408 2.408 -1987 54,460 55,010 - 550 4,075 2,408 6,483 - -1988 50,935 50,935 - - 4,075 2,245 6,320 - -1989 46,860 46,860 - - 4.075 2,063 6,138 -

1 1115 COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING LJNDISBURSED FROM ONEYEAR 10 THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBISFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA- - ~~~~~~~~~~~~~~PAGE 58

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY NETHERLANDSYEAR 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 UNDISBURSED MENTS MENTS ----------- ----------- :----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 3,553 4.262 - ii 255 110 365 - 281973 3,337 4.035 88 178 540 153 693 608 141974 2,989 2,989 4,829 215 589 268 857 - 421975 2,657 7,271 4,967 426 485 151 636 - 991976 2,565 11,852 7,250 - 299 264 563 - 371977 2,277 18,840 10,910 3,908 643 361 1,004 - 1,5171978 5,557 30,624 - 20,709 675 332 1,007 - 4,2391979 26,322 34,188 6,002 558 543 498 1,041 75 7041980 26,367 40.276

* * * THE FOLLOWING FIGURES ARE PROJECTED * * * *

1980 26,367 40,276 - 1,770 179 1,006 1,185 - 11981 27,959 40.098 - 3,331 179 1,053 1,232 -1932 31,112 39.919 - 4,153 436 1,120 1,556 - 11983 34,830 39,484 - 3,012 946 1,165 2,111 - -11984 36,894 38.537 - 821 1,172 1,156 2,328 - -1985 36,544 37.365 - 411 1,594 1,117 2,711 - _1986 35,360 35,771 - 273 1,594 1,059 2,653 - 11987 34,041 34,178 - 137 2,100 1.231 3,331 - 11988 32,079 32,079 - - 2,100 1,152 3,252 - 11989 29,980 29,980 - - 2,100 1,071 3,171 - 2

TIIS COLUMN SHOWS THF AMOUNT OF ARITHiMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FRO(M ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHiANGES IN EXCHANGE RATES AND TRANSFER OF DE8ISFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 59

SERVICE PAYMFNTS, COMMTTMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASFD ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEET REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY POLANDYEAR 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

[)ISBURSED 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) (B) (9)

1972 - - - - _ _ _1973 - - - - - - _ _1974 - - 172 172 56 2 581975 116 116 - - 52 7 59 - -

1976 64 64 - - 9 2 11 - -

1977 55 55 - - 18 4 22 - -

1978 37 37 - - 18 2 20 - -11979 18 18 - - 18 1 19 - -

1980

t t t *~ * THE FOLLOWING FIGURES ARE PROJECTED t * t * *

TIHIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOllNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 60

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNIS OF EXIERNAL PUBLIC DEBT

PROOECTIONS BASED Off DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY ROMANIAYEAR 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 CHIANGES

BEGINNING OF PERIOD

D [ISBURSED 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)

1972 - - - - -1973 - - - - - -1974 - - 170 170 83 5 881975 87 87 - - 87 5 92197C - - - -_ _1977 - - - - _ _ _1978 -1979 - - - - - _ _ I

19790 -

f f E * F + THE FOLLOWING FIGURES ARE PROJECTED * * * * *

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA PAGE 61

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY UNITED KINGDOMYEAR : 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

D DISBURSED INCLUDING : COMMIT- DISBURSE- S E R V i C E P A Y M E N T 5 CANCEL- ADJUST-ONlY UNDISBllRSED MENTS MENTS ----------- - ----------- : LATIONS MENT

: : : : : PRINCIPAL. INTERFST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 - -1973 - - 11,817 - - - - - -1974 - 11,817 - - - - - 3,012 -1975 - 8.805 - - -1976 - 8,805 - 1,918 - - - - -

1977 1,918 8.805 - 5,109 193 133 326 - 9071978 6,833 9,519 - 1.521 258 230 488 - 1381979 7,981 9,399 1,204 2,410 2,553 226 2,779 - 1,4311980 9,269 9.481 T

* + w + F + THE FOLLOWING FIGURES ARE PROJECTED E * t *

1980 9,269 9,.481 - 96 512 276 788 - -

1981 8,853 8,969 - 5B 512 263 775 - -11982 8,398 8,456 - 39 512 249 761 - -1983 7,924 7,944 - 19 512 235 747 - -11984 7.431 7,431 - - 512 219 731 - -1985 6,919 6,919 - - 512 204 716 - -11986 6,406 6,406 - - 512 188 700 -

1987 5,894 5,894 - - 512 173 685 - -11988 5,381 5.381 - - 512 157 669 -1989 4,869 4,869 - - 512 142 654 - -1

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIA

PAGE 62SERVICE PAYMENTS. COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL LOANS

CREDITOR COUNTRY UNITED STATESYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 659,875 787,663 108,765 59.340 13,123 12,770 25,893 564 -631973 706,075 882,678 51,398 92,324 17,688 14,755 32,443 6,525 1491974 780.775 910.012 22,390 53.093 20.099 13.830 33,929 4,701 41975 813,962 907.606 35,078 41.151 24.291 15.225 39,516 17.721 -1976 830,823 900,672 44.046 28,681 30,967 19,776 50,743 7,913 -41977 828,533 905,834 26,000 20,723 31,679 18.499 50.178 383 -51978 817,575 899,767 25,000 31,481 25.993 17,877 43,870 179 -1979 823,054 898.595 12,500 38,121 34.453 20,467 54.920 551 -1980 826,722 876,091

* * * * * +. THE FOLLOWING FIGURES ARE PROJFCrED * * * * * *

1980 826,722 876,091 5,350 22,330 37,859 21.480 59.339 - 21981 811,194 843,584 - 16,965 40,752 21,680 62.432 - 21982 787,410 802,834 - 9,056 39,242 21.303 60,545 - 21983 757,226 763,594 - 4,510 40,404 21,020 61,424 - -1984 721,332 723,190 - 1,689 38.864 19,817 58,681 - -31985 684.155 684.323 - 168 35.505 18,672 54.177 - 21986 648.820 648,820 - - 36,051 17,431 53,482 - -11987 612,768 612,768 - - 34.006 t6.338 50,344 - -31988 578,759 578.759 - - 33.013 15,245 48,258 - 11989 545,747 545,747 - - 29,981 14,227 44,208 - -

THIS COlUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEVEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 63

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNIS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980

DHEBI REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S_ DOIIARS)

TYPE OF CREDITOR BILATERAL LOANSCREDITOR 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 D OTHER CiHANGES

BEGINNING OF PERIOD :

DISBURSED INCLUDING: COMMIT-- DISBURSE- S E R V I C F P A Y M E N T S CANCEL- ADJUST-

ONtL Y UNDISBURSED MENTS MENTS :-----------:----- -:---------- LATIONS MENTPRINCIPAI INTERESI TOTAL :

(1) (2) (3) (4) (5) (6) (7) (8) (9)

1972 -

1913 - - -1974 - - - -__

1975 ----- _

1976 - - - - -1977 - - 1,332 261 - -

1978 261 1,332 - 975 - 15 15 -

1979 1,236 1.332 - 62 - 41 41 33 5

19Po 1,304 1.304

THE FOLLOWING FIGURES ARE PROJECIED t *

1 913 1,304 1.304 - - 137 83 220

1981 1,167 1,167 - - 137 74 211 - -11982 1,029 1,029 - - 137 65 202 -

1983 892 892 - - 137 56 193 -

1984 755 755 - - 137 47 184 -

1985 618 618 - - 137 38 175 - -11986 480 480 - - 137 29 166

1987 343 343 - - 137 20 157 -

1988 206 206 - - 137 11 148

1989 69 69 - - 69 2 71

THIS COL.UMN 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 CHANGFS IN EXCHANGE RATES AND TRANSFER OF DFBTS

FROM ONF CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 64

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF CREDITOR BILATERAL: LOANS

TOTALYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U P 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 UNUISRURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT

PRINCIPAL INTEREST TOTAL: (1) (2) : (3) (4) (5) (6) (7) : (8) (9)

1972 698,284 873,586 114,489 80,983 15.912 14,508 30,420 1,512 9441973 763,849 971,595 72,621 107,494 27,396 17,288 44.684 8,938 3,6841974 847,097 1,011,566 52,308 78,201 28,562 17,471 46,033 8,650 6,6921975 902.070 1,033,354 65,502 51,166 29,686 18,540 48,226 17,721 -1,8631976 923,627 1.049,586 132,166 44,415 37,208 24,190 61.398 7,913 4,4181977 933,745 1,141,049 64,655 34,551 37,85o 24,219 62,069 5,917 4,0281973 928,431 1,165,965 112,587 72,567 33,333 23,045 56,378 9.772 20,0961979 982,152 1,255,543 32,463 74,428 54,177 27,943 82,120 659 17,7521980 1,011,329 1,250,922

C)* THE FOLLOWING FIGURES ARE PROJECTED * * * * *

198() 1,011,329 1,250,922 76,240 85,099 66,731 31,849 98,580 - 4651981 1,029,667 1,260.896 - 99,223 72,462 34.083 106,545 - 11982 1,056,432 1,1R8,435 - 70,291 70,439 35,609 106,048 - 61983 1,056,290 1,118,002 - 41,773 73,126 35,610 108,736 - -31984 1,024,931 1,044,873 - 14,983 70.693 33,717 104,4iO - 21985 969,225 974,182 - 2,581 67.508 30,946 98,454 - 31986 904.299 906,677 - 1,599 66,713 27,744 94,457 - 31987 839,190 839,967 - 777 60,073 25,253 85,326 - I1988 779,895 779,895 - - 57,714 22,874 80,588 - 31989 722,184 722.184 - - 44,403 20,664 65,067 - 8

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.2 - COLOMBIAPAGE 65

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS EASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOI-LARS)TOTAL

YEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U P I N G P E R I 0 D OTHER CHANGESBEGINNING OF PERIOD

DISRURSED INCLUDING COMMIT- DISBURSE- S F R V I C E P A Y M E N T S CANCEL- ADJUJST-ONLY UNDISEURSFD[ MENTS MENTS ----------- :- -------- :----------- LATIONS MFNT *

PRINCIPAL INTEREST TOTAL: (I) : (2) (3) (4) (5) (6) (7) (8) (9)

1972 1.383,930 2.100.540 359,904 337,487 96,319 58,175 154.494 5,994 5.9191973 1,631,697 2.364,050 530,058 408,075 131,446 78,205 209.651 43,483 16,8381974 1,913'701 2 ,736,017 236,342 377,891 207,565 102,832 310,397 12,725 14.4901975 2.092.942 2 ,766,559 411,431 390,211 135,285 113,680 248.965 24,191 -8,0261979 2,347,962 3.010.488 518,156 261,633 152,873 125,430 278,303 10,565 -4,6011977 2,452,640 3,360,605 527,515 371.146 175,824 137,319 313,143 19,435 17,3751978 2,670,275 3,710,236 805,832 319,189 227,172 171.025 398,197 20,836 51,2991979 2,802,950 4,319.359 1,504,115 1,040,609 433,135 230,632 663,767 4,595 33,0061980 3,426,224 5.418.750

THE FOLLOWING FIGURES ARE PROJECTFD + t *

198( 3.426.224 5,418,7(50 1,115,030 747,421 298,789 318,985 617,774 _ -7,1491981 3,866,598 6,227,842 - 637,716 340,528 372,838 713,366 - 519P2 4,163,792 5,887,319 - 555,587 321,912 401,173 723.085 - 91983 4.397,475 5,565.416 - 438,759 378,728 419,281 798,009 - -11984 4,457,502 5,186.687 - 342.597 515,417 416,088 931.505 - 51985 4,284,690 4.671.275 - 178,734 565,446 385,728 951.174 - 2198G 3.897,978 4,105,831 - 82,316 550.703 333,443 884,146 - 41987 3,429.596 3,555,132 - 71,342 530.218 275,763 805,981 - -11988 2,970,719 3.024,913 - 47,549 510,557 218,219 728,776 - 21989 2,507,713 2,514.358 - 6,545 422,452 160.516 582,968 - 9

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANONIER IN THE TABLE.

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Table 4.3 - COLOMB3IA PAGL I

EXTERNAL PUBLIC DEBT OUISIANDING INCLUDING UNDISBURSED AS OF DEC. 31, 19'9

DEBT REPAYABLE IN LOCAL CURRENCY(IN THOUSANDS OF U.S. DOLLARS)

TYPE OF CREDITOR D E B T UTST A N D I N G I N A R R E A R S

CREDITOR COUNTRY ----------------------------------- --------- ------- ---

CURRENCY OF DRAWINGS DISBURSED UNDISBURSED: TOTAl PRINCIPAL INIERESI

MULTILATERAL LOANSIOB

DRAWINGS IN LOCAL CURRENCY 84.913 82,831 167,744 -

DRAWINGS IN FOREIGN CURRENCY 104,072 - 104,072TOTAL IDB 188.985 82,831 271.816

TOTAL MULTILATERAL LOANS 188.985 82,831 271,816 -

BILATERAL LOANSUNITED STATES

DRAWINGS IN LOCAL CURRENCY 1,903 - 1.903TOTAL UNITED STATES t.903 - 1,903 -

TOTAL BILATERAL lOANS 1.903 - 1.903

TOTAL EXTERNAL PUBLIC DEBT 190,888 82,831 273.719

0NOTES: (1) ONLY DEBTS WITH AN ORIGINAL OR EXTENDED MATURITY OF OVER ONE YEAR ARE INCIlUDED IN lliIS TAR1IF.(2) DEBT OUTSTANDING INCLUDES PRINCIPAL IN ARREARS RIJI EXCLUDES INIFEREST IN ARREAR'

EXTERNAL DEBT DIVISIONECONOMIC ANALYSIS AND PROJECTIONS DE1'ARTMENT

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Table 4.4 - COLOMBIA

PAGESERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR N.A.

TYPE OF CREDITOR SUPPLIERS CREDITSYEAR DEBr OUTSTANDING AT T R A N S A C T I n 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) (4) (5) (6) (7) (8) (9)

1973 - - - - _1974 --

1975 - -- - - _1976 -- -1977 - - 577 - - - _ _1978 - 577 - 577 231 64 295 -1979 346 346 - - 115 16 131 -1980 231 231 e

* ++ * * + THE FOLLOWING FIGURES ARE PROJECTED I

1980 231 231 - - 116 17 133 -1981 116 116 - - 116 7 123

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONFYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT PAGE 2

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR N.A.

TYPE OF CREDITOR BILATERAL LOANSYEAR 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 UNDISBURSED MENTS MENIS ----------- ------------ ---- : LATIONS MENT +

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (B) (9)

1973 - - - _1974 - - - _ _ _1975 - - - _ _1976 - - - - _1977 - - 26,000 - - - -

1978 - 26.000 - 1,861 - - -

1979 1,861 26.000 - 21,629 4.000 613 4,6131980 19,490 22.000

+ t * f THE FOLLOWING FIGURES ARE PROJECTED t t + * I

1980 19.490 22,000 - 2.290 4.400 1,356 5,756 - -

1981 17,380 17.600 - 220 4.400 1.146 5.5461982 13.200 13.200 - - 4,400 847 5.2471983 8.800 8.800 - - 4,400 539 4.9391984 4.400 4,400 - - 4,400 231 4.631

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. IHE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THF TABLE.

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Table 4.4 - COLOMBIAPAGE 3

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBIIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSEO AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR N,A.

TOTALYEAR DEBT OUTSTANDING AT T R A N S A C T T 0 N S D U R I N G F

3E 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 : MENT

PRINCIPAL INTEREST TOTAL(1) (2) (3) 14) (5) (6) (7) (8) (9)

1973 - - - -1974 - - - -1975 - - - - .- -_1976 - - - - _ _1977 - - 26,577 - - - -1978 - 26,577 - 2,438 231 64 2951979 2,207 26,346 - 21,G29 4,115 629 4,7441980 19,721 22,231

* t*t * '4 *THE FOLLOWING FIGURES ARE PROJECTED +

1980 19,721 22,231 - 2,290 4,516 1,373 5,889 -1981 17,496 17,716 - 220 4,516 1,153 5,6691982 13,200 13.200 - - 4,400 847 5,2471983 8,800 8,800 - - 4.400 539 4,9391984 4,400 4,400 - - 4.400 231 4,631

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARF CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY 10 ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 4SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 -- DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL GOVERNMENT

TYPE OF CREDITOR SUPPLIERS CREDITSYEAR 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- ADJUST-: ONLY UNDISBURSED MENTS MENTS ------------------------------- : LATIONS MENT 4

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 16,818 61,162 - 27,662 18,004 915 18,919 - 2841974 26,760 43,442 22,981 6,955 12,543 2,793 15,336 -1

1975 21,174 53,881 11,487 39,104 16,828 1,683 18,511 - 2421976 43,692 48,782 4,578 5,958 13,332 1,600 14,932 920 -2741977 36,044 38,834 14,253 9,872 15,121 948 16,069 - -5181978 30,277 37.448 24,818 23,759 28,330 786 29,116 - 1471979 25,853 34,083 8.557 8,557 15,874 401 16,275 - -8941980 16,550 25,872

* *+ * 8THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 16,550 25,872 1,370 2,151 9,135 808 9.943 - -1.0801981 8,425 17,027 - 2,796 7,646 512 8,158 - -1982 3,575 9,381 - 2,581 1,632 355 1,987 - -1983 4,523 7,749 - 2,043 1,632 424 2,056 - -11984 4,934 6,116 - 1,182 1,632 438 2.070 - -1985 4,484 4,484 - - 1,632 2367 1,999 - 11986 2,853 2,853 - - 1,143 219 1,362 - -1987 1,710 1,710 - - 525 128 653 - -1988 1,185 1,185 - - 395 87 482 - -1989 790 790 - - 395 55 '30 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT.. IHF MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 5SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS or EXTERNAL PUBLIC DEBT

PROUFCTIONS BASED ON DEBT OUTSTANDING INCLUDING UNOISBURSED AS OF DEC. 31, 1979

INClUDES ONLY DEBT COMMITTED JAN. i. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN TIIOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL GOVERNMENT

TYPE OF CREDITOR FINANCIAL INSTITUTIONSYEAR 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 UNDISBURSED MENTS MENTS ---------- ----------- :----------- LATIONS MENT

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1973 90,453 90,453 145,380 55,291 11,012 5,724 16,736 -

1974 134,732 224,821 1,125 90,879 74,833 10,237 85,070 - -

1975 150,778 151,113 100,000 100,229 1,023 17,193 18,216 17 -3291976 249,655 249,744 25,220 - 3.170 16,078 19,248 - -568

1977 245,918 271,226 690 6,656 14,643 10,914 25,557 81978 237,939 257,281 - 16,339 29,084 19,340 48,424 - 4991979 226,555 228,696 408,699 411,398 110,055 42,661 152,716 - -6661980 526,674 526,674 1

* * '* i ' * TIIE FOLLOWING FIGlJRES ARE PROJECTED ' * * * t

1980 526,674 526,674 495,250 195.350 24,689 78,776 103,465 - 131

1981 697,336 997,366 - 94,160 49,490 98,158 147,648 - -1982 742,006 947,876 - 65,735 31,752 106,684 138,436 - 2

1983 775,990 916,126 - 46,972 32,185 112,636 144,821 -1984 790,777 883,941 - 65,215 97,788 114,760 212,548 - -1985 758,204 786,153 - 27,949 160,030 106.651 266,681 - -2

1986 626.121 626,121 - - 157,266 86,686 243,952 -1

1987 468,854 468,854 - 155,465 63,714 219,179 - -11988 313,388 313,388 - - 155,032 40,675 195,707 - -1989 158,356 158,356 - 115,033 17,751 132,784 -2

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMEALANCE IN THE AMOUJNT OUTSTANDING INCLLJDING UJNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND IRANSFER OF DEBTS

FROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 6SERVICE PAYMENTS. COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. i, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL GOVERNMENT

TYPE OF CRFDITOR BONDSYEAR 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 UNDISBOLRSED MENTS MENTS ----------- :--- ----------- LATIONS MENT

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1973 5.084 5,084 45,000 45,000 1.137 74 1,211 - 61974 48.953 48.953 1 - 1,749 2.798 4.547 - -

1975 47,205 47,205 - - 1.298 6,633 7.931 - -

1976 45,907 45,907 - - 615 3,648 4.263 - -851977 45,207 45.207 - - 1,881 94 1.975 - 21978 43,328 43,328 - - 1.940 38 1.978 - 21979 41i390 41.390 - - 7,946 8.965 16.911 - 41980 33.448 33.448

0* * * * * t THE FOLLOWING FIGURES ARE PROJECTED * * * * * t

1980 33.448 33,448 - - 3.865 2,701 6.566 - -6131981 28.970 28,970 - - 3.768 2,384 6,152 - -

1982 25,202 25.202 - - 3.768 2.067 5.835 - -

1983 21.434 21,434 - - 3.768 1,750 5,518 - -1984 17.666 17.666 - - 3,768 1,434 5,202 -1985 13,899 13.899 - - 3.768 1.117 4.885 - -1986 10.131 10,131 - - 3.768 800 4.568 - -1987 6,363 6.363 - - 3,768 483 4.251 - -1988 2,595 2.595 - - 2.591 167 2.758 - -1989 4 4 - - - - _ _

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE i

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INClUDES ONLY DEBT COMMIltED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL GOVERNMENT

TYPE OF CREDITOR NATIONAlIZATIONYEAR DEBT OUISTANDING 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 0THER C\lANGES

-BEGINNING OF PFRIOD : -

DISBURSED INCLJDING COMMIT- DISBURSE- S E R V I C E P A Y M E N T S CANCEL- ADJUST-ONLY UNOISBURSED MFNTS MENTS ---------- ------------------------ : LATIONS MENT

PRINCIPAL INrEREST : TOIAL

(1) (2) (3) (4) (5) (6) (7) (8) : (9)

1973 20,163 20,163 - - 1.470 1,248 2,7181974 18.693 18,693 - - 1,569 1,236 2,8051975 17 124 17,124 - - 1i677 1,128 2,8051976 15,447 15,447 - - 1,792 1,013 2.8051977 13.655 13,655 - - 1.916 - 1,9161978 11.739 11,739 - - 2.047 758 2.8051979 9,692 9.692 - - 2,187 618 2.8051980 7.505 7.505

* * * * * + THE FOLLOWING FIGURES ARE PROJECTED 4 * * 4 * 0

1980 7,505 7,505 - - 2.330 507 2.8371981 5,175 5,175 - - 2,510 349 2.8591982 2,665 2,665 - - 2.665 180 2.845

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMFTIC IMBAlANCE TN THE AMOUNT OUTSTANDING INCLUDING UJNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 8

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. i, 1900 - DEC. 31. 1980DEBT RFPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL GOVERNMENT

TYPE OF CREDITOR MULTILATERAL LOANSYEAR 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 UNDISBURSED MENTS MENTS ---------------------- : ----- : LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 142,586 337,504 - 46,954 7,086 10,065 17,151 31,000 2,3151974 184.775 301,733 8,000 43,545 7,769 17,781 25,550 479 -2351975 220,313 301,250 - 21.240 10,138 13,167 23,305 3,465 -371976 231,415 287,610 109,800 13,375 12,205 13,794 25,999 2,669 -2181977 232.367 382,318 224.000 15,856 11,873 14.508 26,381 2,846 2001978 236,550 591,799 152,500 24,794 12,371 17,486 29,857 - 5181979 249.489 732,446 80,500 53,677 11,573 19,444 31,017 - 2181980 291.823 801,591 1

* * * * * + THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 291,823 801,591 16,000 107,700 16,127 20,173 36,300 -1981 383,396 801,464 - 109,849 25,442 25,421 50,863 - 11982 467,806 776,023 - 96,413 33,165 29,442 62,607 - 21983 531,053 742,860 - 74,985 46,097 31,770 77,867 - -1984 559,941 696,763 - 54,256 49,339 32,185 81,524 - -11985 564,854 647,423 - 36,570 48,971 31,532 80,503 - -11986 552,452 598,451 - 23,512 51,035 30,073 81.108 - 31987 524,932 547,419 - 14,434 51.530 27,998 79.528 - 31988 487,838 495,892 - 7,825 49,798 25,422 75,220 - -51989 445,860 446,089 - 227 50,181 22,547 72,728 - 3

+ THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN 7HE TABLE.

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Table 4.4 - COLOMBIA

PAGE 9

SERVICF PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSlANOING AMOJUNIS OF EXTERNAL PUBLIC DEBT

PROJECIIONS BASFO ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DWC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL GOVERNMENT

TYPE OF CREDITOR BILATERAL LOANS

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 D OTHER CHANGFS

BEGINNING OF PERIOD :

DISBlJRSED 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 INFEREST : TOTAL: (1) : (2) (3) (4) (5) (6) : (7) (8) (9)

1973 605,983 -772,550 45,704 83,787 9,772 11,382 21,154 4,998 -5641974 679,476 802.920 21,224 52,775 11,923 11.001 22,924 6,013 -657

1975 719,591 805,551 30,597 28,820 14,761 12,694 27,455 17,553 -8231976 732,828 803,011 119,766 24,687 22,099 16,341 38,440 7,913 11977 735,184 892,766 9,830 26,380 22,53G 15,972 38.508 25 2,5921978 739,184 882,627 25,000 43,584 18,428 15,474 33,902 2,396 2,6751979 768,648 889,478 23,945 35.561 30,874 19,050 49,924 187 966

198V 774,290 883,328

THE FOLLOWING FIGURES ARE PROJECTED

1980 774,290 883,328 15,880 48,435 36,471 20,328 56,799 - 494

1981 786,254 863,231 - 38,355 39,540 21,515 61,055 - 2

1982 785,072 823,693 - 23,040 39,568 21.923 61,491 - -1983 768,546 784,125 - 11,854 42,487 22,040 64,527 - -3

1984 737,907 741.635 - 3,125 42,016 20,812 62,828 - -3

1985 699,014 699,616 - 386 42,366 19,430 61,796 - 2

1986 657,035 657,252 - 144 42,961 17,758 60,719 - -1

1987 614,218 614,290 - 72 33,659 16,667 50,326 - -3

1988 580,628 580,628 - - 33,433 15.740 49,173 - 1

1989 547,196 547,196 - 30,394 14.705 45.099 - 2

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBRUPSED FROM ONEYFAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 10

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 3t. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)

TYPE OF DEBTOR CENTRAL GOVERNMENTTOTAL

YEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N 5 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 MENT

PRINCIPAL INTEREST TOTAL

: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 881,087 1.286,916 236,084 258,694 48,481 29.408 77,889 35,998 2,041

1974 1,093,389 1,440,562 53,331 194,154 110,386 45,846 156,232 6,492 -891

1975 1,176,185 1,376,124 142,084 189,393 45,725 52,498 98,223 21,035 -947

1976 1,318.944 1,450,501 259,364 44,020 53,213 52,474 105,687 11,502 -1,1441977 1,308,375 1,644,006 248,773 58,764 67,970 42,436 110.406 2.871 2,284

1978 1,299,017 1,824,222 202,318 108.476 92 200 53,882 146,082 2,396 3,841

1979 1,321,627 1,935,785 521,701 509.193 178,509 91,139 269,648 187 -372

1980 1,650,290 2.278,418

* * t t * + THE FOLLOWING FIGURES ARE PROJECTED + * * * + U

1980 1,650,290 2,278,418 528,500 353,636 92,617 123,293 215.910 - -1,068

1981 1,909,556 2,713,233 - 245,160 128,396 148,339 276.735 - 3

1982 2,026,326 2,584,840 - 187,769 112,550 160.651 273.201 - 4

1983 2,101,546 2,472,294 - 135,854 126,169 168,620 294,789 - -4

1984 2,111,225 2,346,121 - 123,778 194,543 169,629 364,172 - -3

1985 2.040.455 2,151,575 - 64,905 256,767 159,097 415,864 - -1986 1,848,592 1,894,808 - 23,656 256,173 135,536 391,709 - 1

1987 1,616,077 1,638,636 - 14,506 244,947 108,990 353,937 - -1

1988 1,385,634 1,393,688 - 7,825 241,249 82,091 323,340 - -4

1989 1.152,206 1,152,435 - 227 196,003 55,058 251,061 - 3

* 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 DEBTSFROM ONE CATEGORY To ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 11

SERVICE PAYMENTS, COMMITMENTS, DISBURSFMENTS AND OUJTSTANDING AMOUNIS Or EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSFD AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITrED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL ClJRRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL BANK

TYPE OF CREDITOR FINANCIAL INSTIFUTIONSYEAR 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 CHANGLS

BEGINNING OF PERIOD

DISBURSED INCLUDING COMMIT- DISBURSE S E R V I C F P A Y M E N T 5 CANCEL- ADJUST-ONLY UNDISBURSED MENTS MENTS ----------- :------- --- :----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) : (2) : (3) (4) (5) (6) (7) (8) (9)

1973 8,000 8,000 - - 2,000 268 2,268 -1974 6,000 6,000 - 2,000 616 2,616 -1975 4,000 4,000 - - 2,000 343 2,3431976 2,000 2,000 - - 2,000 80 2,080 -1977 - - - - -1978 - - - - - - _1979 - - - _ _ _1980 -

+ + THE FOLLOWING FIGURES ARE PROJECTED t

THIlS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGF RATES AND 'RANSFER OF DERTSFROM ONE CATEGORY TO ANOTHER IN IHE TABLE.

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Table 4.4 - COLOMBIA

PAGE 12SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. i. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL BANK

TYPE OF CREDITOR MULTILATERAL LOANSYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------: LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 77,124 98,440 60,000 11,093 4,519 6,201 10,720 67 _1974 83,698 153.854 - 18.130 6,253 6,910 13,163 - -11975 95,574 147,600 5,500 24,265 8,389 7,701 16,090 122 11976 111,451 144,590 80,000 21,174 9,668 8,771 18,439 533 -1977 122,957 214,389 2,500 34,679 12,249 10,414 22,663 - -1978 145,387 204,640 - 26,087 16,593 13,531 30,124 - -1701979 154,711 187,877 189 18,229 21,844 14,694 36,538 69 -1980 151,097 166.153 F

* * #* * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 151,097 166,153 217,000 25,746 13,989 12,989 26,978 - -1981 162,854 369,164 - 42,557 14,016 14,413 28,429 - -1982 191,395 355,148 - 44,543 14,697 16,548 31,245 - -11983 221,240 340.450 - 38,290 14,674 18,703 33,377 - -1984 244.856 325,776 - 29,260 28,555 20.090 48,645 - -1985 245,561 297,221 - 16,940 30.505 19,865 50,370 - -1986 231,996 266,716 - 10,430 30,529 18,617 49,146 - -1987 211,897 236,187 - 14,490 26,556 17,185 43,741 - -1988 199,831 209,631 - 9,800 27,446 16,024 43,470 - -11989 182,184 182,184 - - 28,211 14,366 42,577 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITIIMETIC IMBALANCE IN THF AMOUNT OUTSTANDING INCLUDING LJNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTFiER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 13SERVICE PAYMEN7S, COMMITMENTS, DISBURSEMENIS AND OU7STANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASFD ON DEBT OUTSTANDING INCLUDING UNDISEURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. I. 1900 - DEC. 31, 1980DEET REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL BANK

TYPE OF CREDITOR BILATERAL LOANSYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G P E P I 0 D OTIHER 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: (l) : (2) (3) (4) (5) (6) (7) (8) (9)

1973 22,088 36,798 - 3.872 548 740 1,288 13 -

1974 25,399 36,237 892 1,343 629 744 1,373 1.700 -1531975 25.902 34,647 - 1.991 580 868 1,448 - 541976 27.275 34,121 - 352 893 1.007 1,900 - -1

1977 26,733 33,227 11.490 250 894 1,006 1,900 5,534 161978 26,088 38,305 2 1,381 892 806 1,698 - 3.3911979 29,968 40,806 - 4,349 4.196 1,627 5,823 75 1,0501980 29, 701 37 ,585

4 * 4 * THE FOLLOWING FIGURES ARE PROJECTED * *

1980 29,701 37,585 - 3.568 984 1.272 2,256 - -331981 32,252 36,568 - 2.489 1,074 1,471 2,545 - -1982 33,667 35,494 - 1,429 902 1,549 2,451 - 1

1983 34,193 34,593 - 217 902 1,559 2.461 - -

1984 33.509 33,691 - 91 908 1,539 2,447 - 21985 32,694 32,785 - 46 914 1 513 2 ,427 - 21986 31.827 31,873 - 46 920 1.489 2,409 - 11987 30.954 30.954 - - 926 1.461 2,387 - 21988 30,030 30,030 - - 1.575 1,422 2,997 -

1989 28.455 28,455 - - 1,582 1,345 2,927 - 2

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 14

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBUJRSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR CENTRAL BANK

TOTALYEAR DEBT OUTSTANDING AT : R A N S A C T I U N S D U R I N G P E R I 0 D 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 tJNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT -

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 107,212 143,238 60,000 14,965 7,067 7,209 14,276 80 -1974 115,097 196,091 892 19,473 8,882 8,270 17,152 1,700 -1541975 125,476 186,247 5,500 26,256 10.969 8,912 19,881 122 551976 140,726 180,711 80.000 21,526 12,561 9,858 22,419 533 -11977 149,690 247,616 13,990 34,929 13,143 11,420 24,563 5,534 161978 171,475 242,945 2 27,468 17.485 14,337 31,822 - 3,2211979 184,679 228,683 189 22,578 26,040 16,321 42,361 144 1,0501980 180,798 203,738

* * THE FOLLOWING FIGURES ARE PRODJECTED * * A * +

1980 180,798 203,738 217,000 29,314 14,973 14,261 29,234 - -331981 195,106 405.732 - 45,046 15,090 15,884 30,974 -1982 225,062 390,642 - 45,972 15,599 18,097 33.696 - -1983 255,433 375,043 - 38,507 15,576 20,262 35,838 - -1984 278,365 359,467 - 29,351 29,463 21,629 51.092 - 21985 278,255 330,006 - 16,986 31,419 21,378 52,797 - 21986 263,823 298,589 - 10,476 31,449 20,106 51,555 - 11987 242,851 267.141 - 14,490 27,482 18,646 46,128 - 21988 229,861 239,661 - 9,800 29,021 17,446 46,467 - -11989 210.639 210,639 - - 29,793 15,711 45,504 - * 2

k THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISRlJRSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 15

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJEC1IONS BASED ON DFBT OUTSTANDING INCLUDING UNDISBURSFD AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FORFIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR LOCAL GOVERNMENT

TYPE OF CREDITOR SUPPIIERS CREDITSYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N S D U R I N G P E R T 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 UNDISRURSED MENTS MENFS ----------- :----------:----------- LATIONS MENT: : : : : PRINCIPAL INTEREST TOTAIL

(1) (2) : (3) (4) (5) (6) (7) (8) (9)

1973 37,851 49,389 22,255 17.629 7,108 2,520 9,628 981 7821974 48,421 64,337 12,217 14,079 10,823 2,168 12,991 82 1,3471975 49,139 66,996 20,383 14,153 8,582 1,919 10,501 440 -1,2941976 57,705 77,063 26,524 21,392 17,426 3,122 20,548 61 -1,5491977 60,884 84,551 14,377 18,086 13,281 7,339 20,620 9 1,7091978 67,085 87,347 7,090 14,068 15,637 4,185 19,822 92 4,5681979 68,519 83,276 2,846 9,331 19,402 4,811 24,213 124 -5281980 57,496 66,068 I

+ * * t ' TlHE FOLLOWING FIGURES ARE PROJECTED * t 4

1980 57,496 66,068 - 4,113 17,623 4,189 21,812 - -1,8391981 42,147 46,606 - 2,177 14.135 3,154 17,289 - 51982 30,193 32,476 - 1,377 9,728 2,286 12,014 - 21983 21,845 22,750 - 667 8,536 1,611 10,147 - 31984 13.978 14,217 - 239 4,584 1,028 5,612 - 31985 9,636 9.636 - - 3,241 718 3.959 - -11986 6,394 6,394 - 2,614 471 3,085 - -1987 3,780 3,780 - - 2,110 265 2,375 - 21988 1,672 1,672 - - 1,203 100 1,303 - -

1989 469 469 - - 469 21 490 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING LJNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 16

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR LOCAL GOVERNMENT

TYPE OF CREDITOR FINANCIAL INSTITUTIONSYEAR 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 UNDISBURSED MENTS MENTS --------- ----------- :----------: LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 1,630 3,750 - 829 398 84 482 - -

1974 2,061 3,352 4,209 2,290 778 178 956 _ -11975 3.573 6,782 20,420 17,998 641 766 1,407 -

1976 20,930 26,561 37,305 19.906 753 1,972 2,725 - -11977 40.082 63,112 12,963 18,330 4,718 3,320 8,038 - 11978 65,225 71,358 - 3,309 8,626 5,511 14,137 - 2231979 59,907 62,955 5 2,155 11,895 5,797 17,692 - -1021980 50.167 50,963

* * t t t * THE FOLLOWING FIGURES ARE PROJECTED t } t * t t

1980 50,167 50,963 - 796 18,419 6,569 24,988 - -1891981 32,355 32,355 - - 15,086 4,014 19,100 - 21982 17,271 17,271 - - 8,549 2,128 10,677 - 31983 8,725 8,725 - - 5,628 949 6.577 - -

1984 3,097 3,097 - - 2,060 266 2,326 - 11985 1,038 1,038 - - 769 77 846 - -1986 269 269 - - 269 10 279 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN FXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 17SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNIS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUrTSANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCIUDES ONLY DEBT COMMITTED JAN. 1. 1900 -- DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR LOCAL GOVERNMENT

TYPE OF CREDITOR BONDSYEAR DEBT OUTSTANDING Al 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT +

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 9,767 9,767 - - 1,557 102 1.659 -

1974 8.210 8,210 19 1.373 592 1,965 - 591975 6.915 6,915 - _ 917 153 1,070 -

1976 5,998 5,998 - - 557 181 738 - -2491977 5,192 5,192 - - 796 223 1,019 -1978 4,396 4,396 - 364 70 434 -

1979 4,032 4,032 - - 3,346 - 3,3461980 686 686 1

* s + * * + THE FOLLOWING FIGURFS ARE PROJECTED t * *

1980 686 686 - - - - - -686

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING TNCLUDING UNDISBURSEE) FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RAIES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 18

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMODJNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCIUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR LOCAL GOVERNMENT

TYPE OF CREDITOR MULTILATERAL LOANSYEAR 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 UNDISBURSED MENTS MENTS ----------- :----------------------: LATIONS MENT *

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 235,802 293,646 77,200 24,872 11,182 17,262 28,444 - 3,8521974 249.456 363,516 19,200 27,524 11.768 18,487 30,255 16 1,8151975 267,026 372,747 - 26,629 12,924 19,001 31,925 210 -3,4121976 277,472 356,201 - 23,506 13,722 17,187 30,909 - -8581977 286,388 341,621 - 16,300 16,182 22,605 38,787 3 4,3571978 290.862 329,793 13,800 15,969 19,020 26,423 45,443 - 6,6551979 294,451 331,228 - 13,115 19,782 25,503 45,285 - 2,7571980 290,532 314,203

* * t +* THE FOLLOWING FIGURES ARE PROJECTED * t * * * *

1980 290,532 314,203 21,600 8,789 24,600 19,110 43,710 - 31981 274,724 311,206 - 7,457 25,305 18,017 43,322 - -41982 256,872 285,897 - 7,053 26,351 16,734 43,085 - 11983 237,576 259,547 - 7.259 26.219 15,370 41.589 - -2

1984 218,614 233,326 - 6,044 25,070 14,012 39,082 - -1985 199,588 208,256 - 4,126 23,936 12,637 36.573 - -31986 179,775 184,317 - 2,797 22,785 11,211 33,996 - 11987 159,788 161,533 - 1.436 21,611 9.737 31,348 - -1988 139,613 139,922 - 309 18,667 8,339 27,006 - I1989 121,256 121,256 - - 17,337 7,073 24,410 - -1

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGF /9

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBI REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR LOCAL GOVERNMENT

TYPE OF CREDITOR BILATERAL LOANSYEAR 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 U 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)

1973 31,637 41,670 1.044 5.790 2,267 1,190 3.457 2,725 2141974 35.390 37,936 3,318 893 2,411 1,228 3.639 2 5881975 34,603 39,429 - 821 2.282 1,001 3,283 62 -4921976 32,674 36,593 - 591 2,233 960 3,193 - 1,0651977 31,742 35.425 - - 2,349 775 3,124 - -1,0391978 28,306 32,037 731 5,362 2,344 575 2,919 - -3811979 30,043 30,043 18 18 3,801 913 4,714 - 8331980 27,093 27.093

* * TIIE FOLLOWING FIGURES ARE PROJECTED * * + + *

1980 27,093 27,093 - - 2,976 689 3,665 - 21981 24,119 24.119 - - 2,096 546 2,642 - -31982 22,020 22,020 - - 1,732 449 2,181 - 11983 20.289 20,289 - - 1,627 374 2.001 - -1984 18,662 18,662 - - 1.200 307 1,507 - 11985 17,463 17,463 - - 1,200 258 1,458 -1986 16,263 16,263 - - 1,200 209 1,409 - -11987 15,062 15,062 - - 922 162 1,084 - -11988 14,139 14,139 - - 591 140 731 -t989 13,548 13,548 - - 538 133 671 - 1

1tJIS COLUMN SHOWS TtlE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCIUDING iJNDISPBURSED FROM ONEYEAR TO THE NEXT. THF MOST COMMON CAUSES oU IMBALANCES ARE CHANGES IN EXCHANGE RArFS AND TRANSFER OF DEBTSFROM ONF CATEGORY TO ANOtEFR IN THE TABLF.

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Table 4.4 - COLOMBIAPAGE 20

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR LOCAL GOVERNMENT

TOTALYEAR 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 MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 316,687 398.222 100.499 49.120 22.512 21,158 43,670 3.706 4,8481974 343.538 477.351 38,963 44,786 27,153 22.653 49,806 100 3,8081975 361.256 492.869 40,803 59.60t 25,346 22.840 48.186 712 -5.1981976 394.779 502,416 63,829 65,395 34,691 23,422 58,113 61 -1,5921977 424,288 529,901 27,340 52.716 37.326 34,262 71.588 12 5.0281978 455,874 524,931 21.621 38,708 45,991 36.764 82,755 92 11.0651979 456,952 511,534 2.869 24,619 58,226 37,024 95.250 124 2,9601980 425.974 459,013

t * * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 425,974 459,013 21.600 13.698 63.618 30,557 94,175 - -2.7091981 373,345 414,286 - 9,634 56.622 25,731 82,353 - -1982 326,356 357,664 - 8,430 46.360 21.597 67,957 - 71983 288.435 311,311 - 7.926 42.010 18.304 60,314 - 11984 254.351 269,302 - 6.283 32,914 15,613 48,527 - 51985 227,725 236,393 - 4.126 29,146 13,690 42,836 - -41986 202,701 207,243 - 2,797 26,868 11,901 38,769 - -1987 178,630 180,375 - 1,436 24,643 10,164 34,807 - 11988 155,424 155,733 - 309 20,461 8,579 29,040 - 11989 135,273 135,273 - - 18,344 7,227 25.571 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING [JNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCIIANGE RATES AND IRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE IABLE.

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Table 4.4 - COLOMBIAPAGE 21

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUJNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTS1AND1ING INCLUJDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMIrTED JAN. 1, 1900 - DEC. 31, 1980

DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS(IN THOUSANDS OF U.S. DOlLARS)

TYPE OF DEBTOR PUBLIC CORPORATIONTYPE OF CREDITOR SUPPLIERS CREDITS

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 CHANGESBEGINNING 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)

1973 53,130 82,032 6,354 12,278 9.514 2,006 11,520 842 1311974 55,183 78,161 15,116 23,045 12,575 2,866 15,441 - -3991975 65,283 80,303 67,402 16,963 10,594 3,276 13,870 153 -41976 71,779 136,954 12,927 45,655 15,884 6,736 22,620 - -1,7591977 99,912 132,238 1,990 20,055 13,858 7,210 21,068 511 1541978 106,275 120,013 52,980 19,566 21,159 5,738 26,897 - 1.0671979 105,358 152,901 44,526 21,862 18,624 7,178 25,802 4 1,5841980 110,065 180,383

* + * * * * THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 110,065 180,383 14,910 17,561 27,514 8,469 35.983 - -1,7211981 97,969 166,058 - 22,124 29,338 8,140 37,478 - -31982 90,750 136,717 - 19.925 29,425 7,628 37,053 - -41983 81,249 107,288 - 15,920 25,307 6,786 32,093 - 31984 71,862 81.984 - 9,455 21,753 5,824 27,577 - -11985 59,565 60,230 - 666 20,902 4,477 25,379 - 11986 39,329 39,329 - - 15,885 2,852 18.737 - -11987 23,443 23,443 - 11,395 1.682 13,077 - -11988 12,047 12,047 - - 7,159 839 7.998 - -1989 4,888 4,888 - 4,216 308 4,524

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCF IN lHE AMOUJNT OUJTS1ANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RAIES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 22

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNOISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE TN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR PUBLIC CORPORATION

TYPE OF CREDITOR FINANCIAL INSTITUTIONS

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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENTPRINCIPAL INTEREST TOTAL

: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1973 52,484 68,196 29,848 24,016 10,628 2,083 12,711 384 1.097

1974 67,346 89,029 55,866 50,888 23,607 4,611 28,218 1.940 1,255

1975 95,538 120,603 32,817 17.859 17.518 5,562 23,080 614 9781976 96,590 136,266 106,866 18,929 10,408 7,336 17,744 190 -2,624

1977 103,240 229,910 36,510 126,361 16,825 11,175 28,000 9,004 8331978 213,426 241,424 145,970 47,722 21,748 19,795 41,543 358 6.461

1979 242,095 371,749 422,020 291,791 122,544 34,111 156,655 158 11,962

1980 416,912 683,029

* * * * + t THE FOLLOWING FIGURES ARE PROJECTED * * * t

1980 416,912 683.029 77,260 153,764 46,249 63,852 110,101 - -1,619

1981 522,807 712,421 - 71,126 44,870 76,616 121,486 - I

1982 549,064 667,552 - 46,246 48,733 79,950 128,683 - -1983 546,576 618,819 - 34,035 66,612 79,487 146,099 - -1

1984 514,000 552,206 - 31,784 108,127 74,013 182,140 - 1

1985 437,658 444,080 - 6,422 98,272 62,483 160,755 - 1

1986 345,809 345,809 - - 90,361 49,221 139,582 - -1987 255,448 255,448 - - 86,653 35,926 122,579 - -1

1988 168,794 168,794 - - 80,076 22,959 103,035 - 2

1989 88,720 88,720 - - 53,513 10.696 64,209 - -

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISEURSED FROM ONEYEAR 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.

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Table 4.4 - COLOMBIAPAGE 23

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS or EXrERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSIANDING INCLUDING UNDISOURSED AS or DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DFC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF( US. DOLLARS)TYPE OF DEBTOR PUBLIC CORPORATION

TYPE OF CREDITOR MUITILATERAL tOANSYEAR DEBT OUTSTANDING AT Tr R A N S A C T I 0 N S D lU R I N G P F R I U D OTHER CHANGES

: BEGINNING OF PFRIOD :

* DISBURSED : INCIUDING COMMIT- DISBUISE- 5 E R V I C F P A Y M E N 1 S CANCEL- ADJUST-ONLY UNDISBlJRSED MENTS MENTS -------- LATIONS MENT +

PRINCIPAL INTERLST TOTAl(1j (2) : (3) . (4) (5) (,) ( 7) (8) : 9)

197:1 192,001 349,830 36f,000 34,662 10,332 13,21-7 23,549 3,8911974 216,986 379,389 54,500 41,494 10,561 15,046 25,607 4,269 3,4191975 251,333 422,478 82,500 46,369 11,-770 16,891 28,661 1,446 -4561976 285,714 491,306 32,500 39,681 12,722 19,635 32,357 342 -6771977 312,395 510,065 153,000 44,409 14,294 23,804 38,098 5,362 6,5491978 348,995 649,958 296,087 56,414 16,627 31,420 48,107 13,803 11, 1611979 399,951 926,716 487,510 100,528 20.072 33,638 53,710 3,321 9181980 481,417 1.391,751

+ t * * + ztTHE FOLLOWING FIGURES ARE PROJECTED t

1980 481,417 1,391,751 219,400 174,597 31,934 42,450 74,3841981 624,080 1,579,217 - 215,010 39,494 54,333 93,827 - -51982 799,591 1,539,718 - 211,875 48,491 67,869 116,360 - -21983 962,972 1,491.225 - 184.872 77,650 79,465 157,115 - -51984 1,070,190 1,413,570 - 130,977 106,887 84,450 191,337 - -

1985 1,094,281 1.306.683 85,251 112,677 83,928 196,605 - -31986 1,066,853 1,194,003 - 50,723 114,281 80,029 194.310 - 21987 1,003,296 1,079,724 - 39,963 116,357 73,958 190,315 - -41988 926,898 963,363 - 24,834 115,648 67,112 182,760 - -21989 836,082 847,713 - 11,533 115,710 59,394 175,104 - -1

THIS COLlJMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOSI COMMON CAUSES OF IMBAtANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATFGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAI PAGE 24

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, t980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR PUBLIC CORPORATION

TYPE OF CREDITOR BILATERAL LOANSYEAR DEBT OUTSTANDING AT T R A N S A C T I 0 N 5 D 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) (5) (6) (7) (8) (9)

1973 64,204 76,626 25,785 11,672 4,382 2,167 6,549 14 3,1051974 74,057 101,120 26,281 22,572 8.659 3,154 11,813 935 6,0891975 92,696 123,896 34,905 19.004 8,300 2,918 11,218 35 -1,4841976 104,055 148,982 10,400 18,785 7,661 4,900 12.561 - 2,9591977 117,219 154,680 11,665 7,837 7,795 5,617 13,412 358 2,3141978 116,031 160,506 86,854 18,688 7,946 5,600 13,546 7,376 12,7871979 134.637 244,825 8,500 12,564 9,101 5,284 14,385 397 14,4631980 145,501 258,290

* * * ~* * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 145,501 258,290 60,360 29,921 20.680 7,653 28,333 - 21981 154,743 297,972 - 56.390 24.332 8,861 33,193 - 21982 186,805 273,642 - 43,610 23,230 10.273 33,503 - 41983 207,189 250,416 - 28.080 23,501 10,499 34,000 - -1984 211,768 226,915 - 11.325 21,785 10,224 32,009 - 21985 201,310 205,132 - 1,928 22,256 9,167 31,423 - -21986 180,980 182.874 - 1.262 20,827 7,752 28,579 - 31987 161,419 162,050 - 631 23.728 6.445 30,173 - 21988 138.324 138,324 - - 21.277 5,077 26,354 - -1989 117,047 117,047 - - 11,051 4,011 15,062 - 3

+ THJS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

PAGE 25SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSIANDING INCLUDING UNDISEURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR PUBLIC CORPORATION

TOTALYEAR 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 F P A Y M E N T S CANCEL- : ADJUST-ONLY UNDISBlJRSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT

PRINCIPAL INTFREST TOTAL(i) (2) (3) (4) (5) (6) (7) (8) (9)

1973 361,819 576,684 97,987 82.628 34,856 19,473 54,329 1,240 9,1241974 413,572 647,699 15l,763 137,999 55,402 25,677 81,079 7,144 10,3641975 504,850 747,280 217,624 100,195 48,182 28,647 76.829 2,248 -9661976 558,138 913,508 162,693 123.050 46,675 38,607 85,282 532 -2,1011977 632,766 1,026,893 203,165 198,662 52.772 47,806 100,578 15,235 9,8501978 784,727 1,171,901 581,891 142,390 67,540 62,553 130,093 21.537 31,4761979 882,041 1.696,191 962,556 426,745 170,341 80,211 250,552 3.880 28,9271980 1,153,895 2.513,453 1

THE FOLLOWING FIGURES ARE PROJECTED * t*

1980 1,153,895 2.513,453 371,930 375.843 126,377 122,424 248,801 - -3,338

1981 1,399,599 2,755,668 - 364,G50 138,034 147,950 285,984 - -51982 1,626,210 2,617,629 - 321,656 149,879 165,720 315,599 - -2

1983 1,797,986 2,467,748 262,907 193,070 176,237 369,307 - -31984 1,867,820 2,274,675 - 183,541 258,552 174,511 433,063 - 2

1985 1.792,814 2,016,125 - 94,267 254,107 160,055 414,162 - -31986 1,632,971 1,762,015 - 51,985 241,354 139,854 381,208 - 41987 1,443,606 1,520,665 - 40,594 238,133 118,011 356,144 - -4

1988 1,246,063 1,282,528 - 24,834 224.160 95,987 320,147 - -1989 1,046,737 1,058,368 - 11,533 184,490 74,409 258,899 - 2

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIA

SERVICE PAYMENTS, COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED dAN. i. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR OFFICIAL DEVELOPMENT BANK

TYPE OF CREDITOR MULTILATERAL LOANSYEAR 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 OrHER CHANGES

: 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 UNDISBURSED MENTS MENTS- ----------- :---------------: LATIONS MENT +

PRINCIPAL INTEREST TOTAL: (I) (2) (3) (4) (5) (6) (7) (8) (9)

1973 18.037 18,147 - 110 2,705 901 3.606 -

1974 15.442 15,442 - - 2,635 755 3.390 -

1975 12,808 12,808 - - 2,634 607 3,2411976 10.174 10,174 - - 2,635 456 3,091 -

1977 7.539 7,539 15,000 - 2,635 308 2,943 -

1978 4.904 19.904 - 831 892 268 1,160 -1

1979 4,844 19,013 - 6,232 892 411 1,303 -

1980 10,184 18,121

* +- + * * *THE FOLLOWING FIGURES ARE PROJECTED * * * * *

1980 10,184 18,121 - 6,440 892 795 1,687 -

1981 15,732 17,229 - 900 2,142 1,178 3,320 -1

1982 14,491 15,088 - 597 2,142 1.106 3,24B -1983 12.946 12,946 - - 1.696 1,008 2,704 -

1984 11.250 11.250 - - 1,250 897 2,147 - -1985 10.000 10.000 - - 1.250 794 2.044 - -1986 8,750 8,750 - - 1,250 692 1,942 - -1987 7,500 7.500 - - 1.250 589 1,839 - -1988 6.250 6.250 - - 1.250 487 1,737 - -1989 5.000 5.000 - - 1,250 384 1,634 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 27

SERVICE PAYMENTS. COMMITMENTS. DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR OFFICIAL DEVELOPMENT BANK

TYPE OF CREDITOR BILATERAL LOANSYEAR 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 UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 18,410 21,116 - 968 431 383 814 1.188 -1974 18.947 19,497 590 587 457 413 870 - -1975 19.077 19.630 - 530 714 442 1,156 71 1311976 18.892 18.976 - - 736 562 1i298 - -1977 18,156 18.240 5.670 84 1,147 458 1,605 - -1978 17.093 22.763 - - 1,157 446 1.603 - 1.4191979 15,936 23.025 - - 1,057 430 1,487 - 2881980 14.884 22.256

4 +t * 4 * THE FOLLOWING FIGURES ARE PROJECTFD * t

1980 14.884 22.256 - 885 1.452 404 1,856 - -1981 14,317 20.804 - 1.769 1.477 413 1,890 -

1982 14.610 19,328 - 2.212 1.025 443 1.468 -

1983 15,798 18,304 - 1,622 503 484 987 - -

1984 16.916 17.801 - 442 615 503 1,118 - -

1985 16,744 17.186 - 221 772 495 1,267 -

1986 16,194 16,415 - 147 772 478 1.250 -

1987 15.570 15,644 - 74 772 459 1,231 - -1988 14.872 14.872 - - 772 438 1.210 - 21989 14,102 14,102 - - 772 415 1.187 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCFIANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 28

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR OFFICIAL DEVELOPMENT BANK

TOTALYEAR 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 UNDISBURSED MENTS MENTS ------------ _-_----- ----------- LATIONS MENT *

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 36,447 39,263 - 1,078 3,136 1,284 4,420 1,188 -

1974 34,389 34,939 590 587 3,092 1.168 4,260 -1975 31,885 32,438 - 530 3,348 1,049 4,397 71 1311976 29,066 29,150 - - 3,371 1,018 4,389 - -1977 25,695 25,779 20,670 84 3,782 766 4,548 - -

1978 21,997 42.667 - 831 2.049 714 2,763 - 1.4201979 20,780 42,038 - 6,232 1,949 841 2,790 - 2881980 25.068 40,377

* + * * * * THE FOLLOWING FIGUJRES ARE PROJECTED * + t + * *

1980 25,068 40,377 - 7,325 2,344 1,199 3,543 - -1981 30.049 38,033 - 2.669 3,619 1,591 5,210 - 21982 29,101 34,416 - 2,809 3,167 1,549 4,716 - 11983 28,744 31,250 - 1,622 2,199 1,492 3,691 - -1984 28,166 29,051 - 442 1.865 1,400 3,265 - -1985 26,744 27,186 - 221 2,022 1,289 3,311 - I1986 24,944 25,165 - 147 2,022 1,170 3,192 - 11987 23,070 23,144 - 74 2,022 1,048 3,070 - -1988 21,122 21,122 - - 2,022 925 2,947 - 21989 19,102 19,102 - - 2,022 799 2,821 - -

* THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOIIBIAPAGE 29

SFRVICE PAYMENTS, COMMITMENTS. DISBURSEMFNTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DrEBT

PROJECTIONS BASED ON DEB1 OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDFS ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31. 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CUJRRENCY AND GOODS

(IN THOUSANDS OF U.S. DOllARS)TYPE OF DEBTOR PRIVAIE

TYPE OF CREDITOR SUJPPLIERS CREDTTSYEAR DEBT OUTS1ANDING AT T R A N S A C 1 1 0 N S D IJ K I N G P E R 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 CANCEL- ADJUST-: ONLY UJNOISBURSED MENTS MFNTS ---------- :----------:------------ LATIONS MENT

PRINCIPAL INTEREST TOTAL: (1) : (2) (3) (4) (5) (6) (7) (8) (9)

1973 4,637 12,306 2,300 2.156 2.600 854 3.454 1,2711974 2,342 10,735 - 112 459 303 762 - 31

1975 1,994 10,307 - 5.898 866 520 1.386 2,415 141976 7.040 7.040 --1028 566 1.594 - -1751977 5,837 5,837 - - 1,843 437 2.280 - 461978 4,040 4.040 - - 4.103 86 4,189 - 631919 -- - -

1980 -

* * t * t THE FOLLOWING FIGURES ARE PROJECTED +

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UJNDISRURSED FROM ONEYFAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCH-ANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4- COLOMBIAPAGE 30

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENJTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUT'STANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR PRIVATE

TYPE OF CREDITOR FINANCIAL INSTITUTIONSYEAR 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

* DBEGINNING OF PERIOD

: DISBURSED INCLUDING COMMIT- DISBURSE- S E R V I C E P A Y M F N T S CANCEL- AOJUST-ONLY UNDISBURSED MENTS MENT'S ----------- :-----------:----------- LATIONS MENT

PRINCIPAL INTEREST TOTAL(1) : 2) (3) (4) (5) (6) (7) (8) (9)

1973 8,040 8,058 15,000 15,018 5,338 539 5,8771974 17,720 17,720 - - 363 907 1,270 - -

1975 17,357 17,357 - - 1,721 1,576 3,2971976 15,636 15,636 -- - 3,736 1,153 4,8891977 11,900 11,900 15,000 15,000 2,500 785 3,285 - -1978 24,400 24.400 - - 3,750 2,026 5.776 - -

1979 20,650 20,650 38,000 38,000 2,750 2,496 5,246 - -

1980 55.900 55,900

t * * * t THE FOLLOWING FIGURES ARE PROJECTED t t t t

1980 55,900 55,900 - - 5,200 5.392 10,5921981 50,700 50,700 - - 5,200 7,647 12,847 - -

1982 45,500 45,500 - - 3,000 6,999 9,999 - -

1983 42,500 42,500 - - 8,846 6,289 15,135 - -

1984 33,654 33,654 - - 7.346 4,897 12,243 - -

1985 26,308 26,308 - - 5.846 3,867 9,713 - -1986 20,462 20,462 - - 5,846 2,957 8,803 - -11987 14,615 14,615 - - 5,846 2,047 7,893 - -

1988 8,769 8,769 - 5,846 1,137 6,983 - -

1989 2,923 2,923 - - 2.923 227 3,150 - -

t THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUJDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 31

SERVICE PAYMFNIS, COMMIIMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS RASED ON DFEB OUTSTANDING INCLUDING UNDTSBURSFD AS OF DEC. 31, 1979

INCLUDFS ONLY DFBT COMMITTED JAN. 1. 1900 - DEC. 31, 1980DEBT REPAYARLE IN FORFIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR PRIVATE

TYPE OF CREDITOR MULTILATERAL LOANSYEAR : DEBI 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 D OTHER CHANGFS

BEGINNING OF PFRIOD :

* DISBURSED INCLUDING COMMIr- : DIBURSEI : S E R V I C E P A Y M E N T S CANCEL- ADJL)STONLY :JNDISBURSED MENTS MENIS --- ------ :------------------- --- : LATIONS MEN1 I

PRINCIPAL : NTEREST TOTAL: (l) (2) (3) (4) (5) (Ci (7) (8) (i)

1973 24,248 24,248 4,527 1,456 5,983 - --11974 19,720 19,720 - - 4,222 1 .268 5,490 - 691975 15,567 15,567 5,420 788 4,016 977 4,993 - -3011976 12,038 18,670 - 2,437 3,868 870 4,738 152 -11977 10,606 12,649 7,000 5,584 4,451 803 5,254 - -1978 11,739 15,198 - 2,916 3,215 1,028 4,243 - -11979 11,439 11,982 -- 1.179 950 2,129 543 -1980 10,260 10,260 I

* t * +THE FOLLOWING FIGURES ARE PROJECTED * , r * t

1980 10,260 10,260 - 3,376 799 4,1751981 6,884 6,884 -- - 3.369 504 3,873 -

1982 3.516 3,516 - - 1,967 208 2,175 - -

1983 1,549 1,549 - - 575 103 678 -1984 975 975 - - 577 59 636 - -

1985 398 398 - -- 324 16 340 - -

1986 74 74 74 3 77 - -

r THIs COWUMN SlHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT_ THF MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOIHiER IN THE TARI3E.

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Table 4.4 - COLOMBIAPAGE 32

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)TYPE OF DEBTOR PRIVATE

TYPE OF CREDITOR BILATERAL LOANSYEAR 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 UNDISBURSED MENTS MENTS ----------- ----------- :----------- LATIONS MENT t

PRINCIPAL INTEREST TOTAL(1) (2) (3) (4) (5) (6) (7) (8) : 9)

1973 29,137 30,482 88 1,405 10,419 1,719 12,138 - 2941974 20,417 20,445 3 31 4,900 1,182 6,082 - -it1975 15,537 15,537 - - 3,422 814 4,236 - 631976 12,178 12,178 2,000 3,937 573 4.510 _ 141977 8,255 10,255 - - 3,520 558 4,078 - 31978 4,740 6,738 - 1,691 2.943 260 3.203 - 121979 3,500 3,807 - 307 1,533 121 1,654 - -11980 2,273 2,273 1

* * * + * * THE FOLLOWING FIGURES ARE PROJECTED * * * * * *

1980 2,273 2,273 - - 237 53 290 - -1981 2,036 2,036 - - 12 43 55 -1982 2,024 2,024 - - 12 42 54 - -1983 2,012 2,012 - - 12 41 53 - -1984 2,000 2,000 - - - 40 40 - -1985 2,000 2,000 - - - 40 40 - -1986 2,000 2,000 - - 33 40 73 -1987 1,967 1,967 - - 66 59 125 -1988 1,902 1,902 - - 66 57 123 - -1989 1.836 1,836 - - 66 55 121 - -

* TtIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 33

SERVICE PAYMENTS. COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF FXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31, 1979

INCLUDES ONLY DEBT COMMIJTED JAN 1. 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CURRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLIARS)TYPE OF DEBTOR PRIVATE

TOTALYEAR DEBT OUTSTANDING AT T R A N S A C T I U N S D U R I N G P E R I 0 D OTtiER 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)

1973 66,062 75,094 17,388 18,579 22,884 4,568 27,452 1.271 2931974 60.199 68,620 3 143 9,944 3.660 13,604 - 891975 50,455 58,768 5,420 G,686 10,025 3,887 13,912 2,415 -2241976 46,892 51,524 2,000 2,437 12,569 3.162 15,731 152 -1621977 36,598 40.641 22.000 20,584 12,314 2,583 14,897 - 491978 44,919 50,376 - 4,607 14,011 3,400 17,411 - 74

1979 35,589 36,439 38,000 38,307 5,462 3,567 9,029 543 -11980 68,433 68,433

F TIIHE FOILOWING FIGURES ARE PROJECTED *

1980 68,433 68,433 - 8,813 6,244 15,057 -

1981 59.620 59,620 - 8.581 8,194 16,775 -1982 51.040 51,040 - 4,979 7.249 12,228 - -1983 46,061 46,061 - 9,433 6,433 15,866 -

1984 36,629 36,629 - - 7,923 4,996 12,919 - -

1985 28,706 28,706 - 6,170 3,923 10.093 -

1986 22,536 22,536 - - 5,953 3,000 8.953 - -l1987 16.582 16,582 - - 5,912 2,106 8,018 11988 10,671 10,671 - - 5,912 1,194 7,106 - -

1989 4,759 4,759 2.989 282 3,271 -

- THIS COLUMN SH(iWS THi- AMOUNI OF ARITHMETIC IMBAIANCF IN THE AMOUNT OUTSTANDING INCLUDING llNDISBURSED FROM ONEYEAR 'O THE NEXT. ,-HE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES lN EXCHANGE RATES AND TRANSFER or DEBTSFROM ONE CATEGORY 1T ANOTHER IN THE TABLE.

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Table 4.4 - COLOMBIAPAGE 34

SERVICE PAYMENTS, COMMITMENTS, DISBURSEMENTS AND OUTSTANDING AMOUNTS OF EXTERNAL PUBLIC DEBT

PROJECTIONS BASED ON DEBT OUTSTANDING INCLUDING UNDISBURSED AS OF DEC. 31. 1979

INCLUDES ONLY DEBT COMMITTED JAN. 1, 1900 - DEC. 31, 1980DEBT REPAYABLE IN FOREIGN AND LOCAL CIJRRENCY AND GOODS

(IN THOUSANDS OF U.S. DOLLARS)

TOTAlYEAR 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 :UNDISBURSED MENTS MENTS ----------- :-----------:----------- LATIONS MENT +

PRINCIPAL INTEREST TOTAL: (1) (2) (3) (4) (5) (6) (7) (8) (9)

1973 1,769,314 2,519,417 511,958 425,064 138,936 83,100 222,036 43,483 16,3061974 2,060,184 2,865,262 245,542 397,142- 214,859 107,274 322,133 15,436 13,2171975 2,250,107 2,893,726 411,431 382,661 143,595 117,833 261,428 26,603 -7,1491976 2,488,545 3.127,810 567,886 256,428 163,080 128,541 291,621 12,780 -5,0001977 2,577,412 3,514,836 562,515 365,739 187,307 139,273 326,580 23,652 17,2271978 2,778,009 3,883,619 805,832 324.918 239,507 171,714 411,221 24,025 51,0971979 2,903,875 4,477,016 1,525,315 1,049,303 444,642 229,732 674,374 4.878 32,8521980 3,524,179 5,585,663

* + * * * t THE FOLLOWING FIGURES ARE PROJECTED +* t

1980 3,524.179 5,585,663 1,139,030 782,106 313,258 299,351 612,609 - -7,1471981 3,984,771 6,404,288 - 667.379 354,858 348,842 703,700 - 11982 4,297,295 6.049,431 - 566,636 336.934 375,710 712,644 - 101983 4,527,005 5,712.507 - 446,816 392,857 391,887 784,744 - -51984 4,580,956 5,319,645 - 343.395 529,660 388,009 917,669 - 61985 4,394,699 4,789,991 - 180,505 579,631 359,432 939,063 - -41986 3,995,567 4,210,356 - 89,061 563,819 311,567 875,386 - 61987 3.520,816 3,646,543 - 71,100 543,139 258,965 802.104 - -11988 3,048,775 3,103,403 - 42.768 522,825 206,222 729,047 - --21989 2,568,716 2,580,576 - 11,760 433,641 153,486 587,127 - 7

THIS COLUMN SHOWS THE AMOUNT OF ARITHMETIC IMBALANCE IN THE AMOUNT OUTSTANDING INCLUDING UNDISBURSED FROM ONEYEAR TO THE NEXT. THE MOST COMMON CAUSES OF IMBALANCES ARE CHANGES IN EXCHANGE RATES AND TRANSFER OF DEBTSFROM ONE CATEGORY TO ANOTHER IN THE TABLE.

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-138-

Table 5.1 - COLOMBIA: PUBLIC SECTOR RESOUR!CES

OR INVES57ENT, 194-80

(In Millions of Colombbian Pesos)

Actual P_ rel.1974 1975 L976 1977 1978 1979 1980

I. SOURCESA. Current Account Surplus 1/ 12,935 22,871 30,012 39,365 50,129 76,499 .727

1. Central Government 16,518 571 33,647 4632 58,071 _7.688 103,015a. National Government 16,065 24,980 32,432 45,132 58,622 76,435 101,041

b. National Highway Fund 1,285 1,736 2,737 3,927 4,901 7,465 9,544c. CAVECINALES -22 -36 -78 -72 -64 -139 -178d. Social Secuirity -810 -1,109 -1,444 -2,755 -5,388 -6,073 -7,392

2. National Decetntralized

Agencies -2,176 -2 255 1 833 -5,159 -4,569a. ICCE -367 -467 -86 -134 -164 -221 -279

b. CVC 252 413 535 846 1,366 2,283 3,279c. Rest. -2,061 -2,C01 -2,520 -3,545 -6,361 -6,871 -7,569

3. National NonfinancialPublic Enterprises 988 1,840 2,391 1,143 3 694 10.442 12,995

a. TELECOM 708 1,369 1,214 1,156 1,930 3,343 4,489b. COLPUERTOS 316 65 255 420 213 320 293

c. ECOPETROL 2,032 1,709 ,836 356 -828 -1,110 -2,316d. IDEMA -2,040 -283 -341 -741 1,938 4,170 5,705

e. CORELCA -18 -30 -8 68 39 290 416

f. Rest. -10 -990 -565 -122 402 3,429 4,408

4. Departments -2,894 -2,526 -5.017 -6,095 -9,125 -10,767 -16,365

5. Municipalities 499 41 Lp062 918 268 3,945 4,651- E.P.M. 490 563 1,511 1,490 1,602 1,722 1,839- E.A.A.B. 240 563 251 759 1,020 1,366 1,798- E.E.E.B. 348 755 920 523 1,015 1,046 2,040

- Rest. -579 -1,612 -1,620 -1,854 -989 -189 -1,026B. Capital Account Revenues 2,779 2,826 3,316 3.927 4,814 6,640 8,226C. Borrowing 21,807 20,471 17,61 29,21 18,790 59,932 8,707

1. External 10,243 12,168 9,170 14-098 13,000 41,022 -48,6982. Domestic 11,564 8,303 7,991 15,723 15,790 18,910 -39,991

TOTAL 37,521 46.168 50.489 3,1j 73,733 143.071 116,66

II. USESA. Investment Expenditure 23,639 28,956 35 412 47,466 55J688 77,974 104,887

1. Gross Fixed Investment 19.990 23,966 31,725 40.460 48,764 70,230 91,833

a. Central Government 4,596 4,723 5,411 7375 10,651 14.996 22.129

- National Government 1,512 1,743 1,559 1,920 2,765 3,662 9,577

- National Highway Fund 2,439 2,492 3,328 4,584 6,619 9,319 10,242

- CAVECINALES 282 241 252 484 822 1,580 1,591- Social Security 363 247 272 187 445 435 719

b. National DecentralizedAgencies 5,927 5.599 6,776 8,912 9,873 19.649 23,734

- ICCE 814 235 632 896 860 1,016 1,109

- CVC 949 487 708 1,009 1,357 2,226 4,496

- Rest. 4,164 4,877 5,436 7,007 7,656 16,407 18,129c. National Nonfinancial

Enterprises 3,202 5,078 7,467 9,388 10,270 14.191 19,778- TELECOM 328 350 692 1,095 1,388 2,466 3,422

- COLPUERTOS 4 154 272 338 315 620 850*- ECOPETROL 2,136 3,699 5,039 6,000 6,492 8,350 11,669- IDEMA 193 76 48 88 63 20 20

- CORELCA . 211 176 903 1,201 1,214 1,665 2,334

- Rest. 330 623 513 666 798 1,070 1,483

d. Departments 1.783 2,462 4,151 5.014 6.404 7.978 9,932

e. Municipalities 4,482 6,104 ',920 9,971 11.566 13,416 16.260

- E.P.M. 1,090 1,307 1,871 2,189 2,486 2,822 3,203

- E.A.A.B. 483 1,201 2,000 993 1,520 2,325 3,534

- E.E.E.B. 316 589 703 1,062 3,239 2,915 3,448

- Rest. 2,593 3,007 3,346 5,727 4,321 5,354 6,0752. Financial Investment 3.649 5,030 3,687 7,006 6.924 7,744 13.054

B. Amortization Payments 13,768 15,405 13,092 23,996 20,356 62,510 11,773

1. External 5,636 4,243 5,355 6,688 9,840 17,716 11,7732. Domestic 8,132 11,162 7,737 17,308 10,516 44,794 n.a.

C. Cash Balances 2/ 114 1,767 1.985 1,651 2,311 2,587 n.a.

TOTAL 37,521 46,168 50,489 73,113 73,733 14A3071 116,660

n.a. - not available

1/ Before transfers2/ Balancing item

Source: Financial Report oi the Comptroller's Office, Sanco de la Republica and staff esvimates.

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Table 5.2 - COLOMBIA: ANALYSIS OF CONSOLIDATED PUBLIC SECTOR FINANCES 1974-198(

(In Millions of Colombian Pesos)

Actual Prel.1974 1975 1076 1977 1°7R 1Q70 1 fPF

CENTRAL GOUERNMENTCurrent revenue 31,063 45,819 58,97P 78,115 102,610 141,471 187,304Current expenditure 15,445 20,24P 25,331 31,883 44,539 63,7P3 84,289Current accotnt surplus/deficit /1 16,518 25,571 33,647 46,232 58,071 77,68P 103,015Savings ratio O.S1 0.55 0.57 0.59 n.56 n.54 0.55

Gross fixed investment 4,596 4,723 5,411 7,175 10,651 14,996 22,129Savings as percent of gross

fixed investment 359.3 541.1 621.8 644.3 545.2 518.0 465.5

NATIONAL DECENTRAI,ZFfO AGENCIESCurrent reveniue 1,643 3,276 4,314 5,449 6,690 9,122 13,471Current expenditure 3,819 5,331 6,385 P,282 11,849 13,921 18,040Current account surplis/deficit /1 -2,176 -2,055 -2,071 -2,833 -5,159 -4,809 -- 4,569Savings ratio -1 .32 -n.62 -0.48 -0.52 -0.77 -o.52 -n.33Gross fixed investment 5,927 5,599 6,776 8,q12 9,873 19,649 23,734Savings as percent of gross

fixed investment -36.7 -36.7 -30.5 -31.7 -52.2 -24.4 -1°.2

NATIONAL NONFINANCIAI PIIBLJCENTERPR ISFS

Current revenuie 14,106 17,119 30,366 40,164 51,164 75,836 104,540Current expendituire 13,11P 15,779 27,Q75 3q,021 47,470 65,394 91,945Current account surplus/deficit /1 988 1,840 2,391 1,143 3,694 10,442 12,995Savings ratio 0.07 -0.10 n.07 0.02 0.07 n.13 0 .12Cross fixed investment 3,022 5,078 7,467 9,388 10,270 14,191 19,778Savings as percent of gross

fixed investment 32.6 36.2 32.n 12.1 3S.9 73.5 65.7

DEPARTMENTSCurrent revenue 10,617 14,717 18,273- 24,937 30,833 38,P45 49,644Current expenditure 13,511 17,243 23,290 31,032 40,008 49,612 62,511Current account surpIlUs/deficit /1 -2 ,894 -2,526 -5,017 -6,095 -9,125 -10,767 -12,867Savings ratio -0.27 -0.17 -0.27 -0.24 -0.29 -0.27 -0.25Gross fixed investment 1,783 2,462 4,151 5,034 6,404 7,978 9,932Savings as percent of gross

fixed investment -162.3 -1(2.6 -120.8 121 .5 142.4 -134.9 -129.5

MUNICIPALITIESCurrent revenue 9,467 11,999 15,414 1Q,890 25,666 33,109 42,710Current expenditure 8,968 11,958 14,3$2 18,972 23,018 29,164 38,05qCurrent account surplus/deficit /1 49q 41 1,0)62 918 2,648 3,945 4,651Savings ratio 0.05 - 0.06 0.04 0.20 0.11 0.10Cross fixed investment 4,482 6,104 7,920 9,971 11,566 13,416 16,260Savings as per v'ent of gross

fixed investment 11.1 0.6 13.4 9.2 22.8 29.4 28.6/

CONSOLIDATED PtI8LIC SECTORCurrent revenue 67,796 92,930 127,345 168,555 217,013 298,3P3 397,729Current expenditure 54,861 70,059 97,331 129,190 166,RP4 221,874 ?94,444Adjustment for intrapublic sector

cuirrent transfers -9,479 -8,025 -6,885 -10,969 -12,826 -17,110 -25,039Current account surplus/deficit 22,414 30,896 36,897 50,334 62,955 93,619 128,324Savings raeio 0.33 0.33 n.29 0.30 0.29 0.31 0.32Capital revenue 2,779 2,P26 3,316 3,927 4,814 6,640 8,226Cross fixed investment 19,990 23,966 31,725 40,460 48,764 70,230 91,833Savings as percent of gross

fixed investment 112.1 128.9 116.3 124.4 129.1 133.3 139.7Financial investment 3,649 5,030 3,687 7,006 6,924 7,744 13,054Adjustment for intrapublic sector

capital transfers 9,707 11,559 10,856 14,271 18,204 22,293 42,600Overall surplus or deficit -8,153 -6,833 -6,055 -7,476 -6,123 -8 -10,937

Financing: 8.153 6,833 6,055 7,476 6.123 8 10,9371. External (net) 4.607 7,925 3.815 7,410 3.160 23.306 36,925

- Borrowing 10,243 12,168 9,170 14,098 13,000 41,022 48,698- Amortization 5,636 4,243 5,355 6,688 9,840 17,716 11,773

2. Domestic (net) 3,432 -2.859 254 -1.585 5.274 -25.884 -25,988- Borrowing 11,564 8,303 7,991 15,723 15,790 18,910 n.a.- Amortization 8,132 11,162 7,737 17,308 10,516 44,794 n.a.

3. Cash balance 114 1.767 1,986 1,651 -2,311 2,586 n.a.

/1 Before transfers.Source: Comptroller's financial report, Ministry of Finance and Planning Office,

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Table 5.3 - COLOMBIA: NATIONAL GOVERNMENT OPERATIONS, 1974-80

(In Millions of Colombian pesos)

Actual Prel.1974 1975 1976 1977 1978 1979 1980

I. Current Revenues 26,354 38.328 48,832 63,444 84,000 115,726 152,8051. Total revenue including CATs

and CDTs 28,638 40.108 50,022 64,538 85,391 118,614 56.260a. Income and net wealth tax 10,725 17,632 20,912 23,813 30,459 38,485 50,565b. Sales tax 3,944 7,757 9,501 12,758 17,743 24,898 32,350c. Customs revenues 5,652 5,651 7,362 9,763 13,568 15,494 19,740d. Special exchange account 3,041 3,640 5,500 8,880 10,900 23,800 31,600e. Other 5,276 5,427 6,747 9,404 12,721 15,937 22,005

2. Less: Taxes paid throughredemption of CATs and CDTs -2,284 -1,780 -1,190 -1,094 -1,391 -2,888 -3,455

II. Current Expenditure 17,906 25,159 32,156 41,363 56,827 85,783 116,1431. Personal services 7,102 9,106 10,230 .1315 16,412 22.031 28,374

a. Wages and salaries 7,102 9,106 10,230 11,315 16,412 22,031 28,3742. Goods and services 1,248 1,494 2,227 2,735 3,790 7,063 9,1493. Transfers 7.889 12,277 16,491 24,075 33,068 51,506 69,362

a. To decentralized agenciesand public enterprises 1,025 2,131 4,606 5,705 6,399 9,133

b. To departments and municipa- 56,447lities 4,162 6,536 8,130 12,436 19,430 29,359

c. To private sector 122 358 636 832 952 4,627 4,649d. Abroad 150 108 99 192 658 387 334e. Contribution to social

security institutions 2,430 3,144 3,020 4,190 5,629 8,000 7,9324. Interest 1,667 2,282 3,208 3,238 3,566 5,183 9,258

a. Internal debt 681 847 1,560 1,281 1,239 1,816 2,911b. External debt 986 1,435 1,648 1,957 2,327 3,367 6,347

III. Current Account Surplus or Deficit 8,448 13,161 16,676 22,081 71 173 29,943 36,662

IV. Investment Expenditures 11,219 13,302 12,415 16,191 20,695 25,955 52.1771. Gross fixed investment 1,512 1,743 1,559 1,920 2,765 3,662 9,5772. Capital transfers 9,707 11,559 10,856 14,271 18,204 22,293 42,600

a. Agencies and publicenterprises 9,143 10,535 9,700 13,086 17,584 20,482 n.a.

b. Departments and municipalities 564 1,024 1,156 1,185 620 1,811 n.a.

V. Overall Surplus or Deficit (-) -2,771 -141 4,261 5,890 6,204 3,988 -15,515

VI. Financing 2,771 -141 -4,261 -5,890 -6,204 -3,988 -15,515A. Foreign financing (net) 314 -549 -1,196 -1,631 -2,150 5,214 n.a.B. Domestic financing (net) 1,940 -822 -222 -2,066 1,625 -295 n.a.C. Cash Balance 517 1,512 -2,843 -2,193 2,429 -8,907 n.a.

Source: Ministry of Finance, Financial Report of the Comptroller's Office and Banco de la Republica.

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Table 5.4 - COLOMBIA: NATIONAL GOVERNMENT REVENUES, 1974-80

(In Millions of Colombian pesos)

Actual Prel.1974 1975 1976 1977 1978 1979 1980

Total Revenue Including CATs and CDTs 28.638 40.108 50.022 64,358 85,391 118,614 156,260

A) Taxes on Income and Property 11,259 17.885 21,050 23,944 30,603 38.649 50_7651. Income and net wealth tax 10,725 17,633 20,912 23,813 30,459 38,485 50,5652. Other 534 252 138 131 144 164 200

a) Inheritance and gift taxes (380) (218) (104) (90) (98) (109) (135)b) Cattle tax (125) - - - - - -

c) Tax on land property (29) (34) (34) (41) (46) (55) (65)

B) Taxes on Foreign Trade 8,697 9,293 12.862 18.563 24,468 40.645 53.0201. Customs 4,846 5,308 7,362 9,763 13,568 15,494 19,7402. Three percent import surcharge 1/ 801 341 - - - 1,350 1,6803. Special exchange account 3,040 3,640 5,500 8,800 10,900 23,800 31,600

a) Coffee export tax (1,982) (2,364) (4,257) (6,604) (7,825) (8,496) (10,152)b) Others 2 (1,058) (1,271) (1,243) (2,196) (3,075) (15,304) (21,448)

4. Others 5 2 - - - 1 -

C) Taxes on Domestic Consumptionand Transactions 7.340 11,608 15,019 20,127 27.387 36,665 49,445

1. Sales tax 3,944 7,757 9,501 12,758 17,743 24,898 32,3502. Gasoline tax 1,546 1,726 1,208 4,491 5,848 8,013 13,1103. Stamp taxes 1,791 1,658 1,748 2,176 2,876 3,176 3,9704. Service tax (proturismo) 59 77 100 141 178 ) 578 155. Liquor Sales tax - 390 462 561 742 ) )

D) Nontax Revenue 1.347 1,324 1,091 1,904 L 933 2,656 3,0301. Fees and fines 962 942 830 1,709 2,647 2,175 2,5002. Royalties and contractual income 385 382 261 195 285 481 530

a) Share in petroleum exploration (205) (85) (63) (59) (91) (n.a.) (n.a.)b) Other (180) (297) (198) (136) (195) (n.a.) (n.a.)

Less: Tax Credits Certificates 3/ -2,284 -1,780 -1,190 -1,094 -1,391 -2,888 Z3,455

Total Current Revenue 26,354 38.328 48,832 63,444 84,OCO 115.726 152,805

1/ Beginning in 1975, resources earmarked for PROEXPO are transferred directly.2/ Includes transfer of profits from the Banco de la Republica, earnings on international reserves and

gains from foreign exchange transactions.3/ CATs and CDTs.

Source: Comptroller's General Office and Ministry of Finance.

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Table 5.5 - COLOMBIA: NATIONAL DECENTRALIZED AGENCIES OPERATIONS, 1974-80 1/ 2/

(in millions of Colombian pesos)

Actual Prel.1974 1975 1976 1977 1978 1979 1980

Own Current Revenues 1,643 3,276 4,314 5,449 6,690 9,112 13,4711. Sale of goods and services 1,189 2,688 3,851 4,994 6,152 6,973 9,6752. Other current revenue 454 588 463 455 538 2,149 3,796

Current Expenditure 3.819 5,331 6 385 8 282 11 849 13 921 18,0401. Remuneration 2,096 2,909 3,344 4 6,371 77 10102. Purchases of goods and services 1,031 1,226 1,724 2,210 2,790 3,369 4,5633. Interest 305 544 655 753 1,340 1,483 1,6024. Transfers to private sector 387 652 662 917 1,348 1,194 1,772

Savings Generated -2,176 -2L055 -2,071 -2,833 -5,159 -4,809 -4.569

Current Public Sector Transfers (net) 6.268 8.146 8,869 12,263 16.394 23,110 32,0871. Transfer revenues 6,446 8,255 9,038 12,416 16,699 23,618 32,863

a.From National Government (6,401) (8,153) (8,944) (12,390) (16,658) (23,286) (32,510)b.From rest of public sector (45) (102) (94) (26) (41) (332) (353)

2. Transfer expenditures 75 109 169 153 305 508 776a.To National Government (58) (80) -(96) (60) (223) (265) (477)b.To rest of public sector (17) (29) (73) (93) (82) (243) (299)

Current Account Surplus or Deficit 4,092 6,091 6,798 9,430 11,235 18,301 27,518

Other Revenues 545 514 517 610 794 757 815

Capital Expenditures 7,350 7,870 7.985 10,883 12,036 21.148 28,9661. Fixed capital formation 5,927 5,599 6,776 8,912 9,873 19,649 23,7342. Financial investment 1,423 2,271 1,289 1,971 2,163 1,499 5,232

Overall Surplus or Deficit -2,713 -1.265 -670 -843 -7 -2,090 -633

Financing: 2,713 1,265 670 843 7 2,090 6331. External (net) 1,331 1,165 1,331 1,155 489 1,341 n.a.2. Domestic (net) 368 226 371 1,634 1,621 1,320 n.a.3. Cash balance 1,014 -126 -1,032 -1,946 -2,103 -571 n.a.

1/ National Decentralized Agencies i'ncluded in this table are listed in the attachement.

2/ Actual basis.

Sources: Comptroller's General Office and mission's estimates.

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Table 5.5-1 - COLOMBIA: SUMMARY ACCOUNTS OF MAJOR NATIONALDECENTRALIZED AGENICES OPERATIONS, 1974-80

(in millions of Colombian pesos)

Actual Prel1974 1975 1976 1977 1978 1979 1980

I. ICCE

I. OWN CURRENT REVENUES 11 11 2 2 11 3 3Sale of goods and services - - 2 2 11 3 3Other current revenues 11 11 - - - - -

I1. DIRECT CURRENT EXPENDITURES 378 478 88 136 175 224 282Remuneration 326 422 58 83 121 155 195Purchases of goods and services 46 34 24 43 40 53 72Interest payments - - - - - - -Current transfers to private

sector 6 22 6 10 14 16 15Others - - - - - - -

III(a)SAVINGS GENERATED -367 -467 -86 -134 -164 -221 -279

III(b)CURRENT PUBLIC SECTOR TRANSFER(net) -3 -4 -5 -2 -11 644 689

III(c)CURRENT ACCOUNT SURPLUS ORDEFICIT -370 -471 -91 -136 -175 423 410

IV. OTHER REVENUE 359 568 404 615 864 1 1Capital transfers from public

sector 359 568 404 615 864 1 1Other - - - - - - -

V. CAPITAL EXPENDITURES 814 235 632 896 860 1,016 1,109Fixed capital formation 814 235 632 896 860 1,016 1,109

VI. OVERALL SURPLUS OR DEFICIT -826 -138 -319 -417 -171 -594 -698

VII. LONG-TERM FINANCING - - - - - - -Loans grantedLoans receiveda.Foreign, netb.Domestic, net

VIII. SNOPT-TERM FINANCE AND CASHBALANCES 826 138 319 417 171 594 698

II. CVC

I. OWN CURRENT REVENUES 414 673 850 1,200 1,807 2,749 3,833Sale of goods and services 337 539 754 1,088 1,658 2,539 3,235Other current revenues 77 135 96 112 149 210 598

II. DIRECT CURRENT EXPENDITURES 162 260 315 354 441 466 554

Remuneration 13 17 20 16 20 30 37Purchases of goods and services 7 7 8 9 12 18 24Interest payments 134 236 287 321 398 404 478Current transfers to private

sector 9 - - 8 11 14 15Others - - - - - - -

III(a)SAVINGS GENERATED 252 413 535 846 1,366 2,283 3,279

III(b)CURRENT PUBLIC SECTOR TRANSFER(net) - - - - - 258

III(c)CURRENT ACCOUNT SURPLUS ORDEFICIT 252 413 535 846 1,366 2,540 3,279

IV. OTHER REVENUE 66 259 172 163 399 41 202Capital transfers from publicsector 66 259 172 163 399 - -

Other - - - - - 41 202

V. CAPITAL EXPENDITURES 963 508 708 1,009 1,357 2,226 4,49EFixed capital formation 949 487 708 1,009 1,357 2,226 4,496Financial investment 14 20 - - - - -

VI. OVERALL SURPLUS OR DEFICIT -646 165 -1 - 408 314 -1,015

VII. LONG-TERM FINANCING 631 -107 106 -21 -362 -312 1,19:1Loans granted - 21 - - - - -

Loans received 631 -128 106 -21 -362 -312 1,19La.Foreign, net 642 41 28 -299 -305 -469 1,747b,Domestic, net -11 -170 78 278 -57 157 556

VIII. SHORT-TERM FINANCE AND CASHBALANCES 15 -58 -105 21 -46 -2 -176

Source: Comptroller's General Office and mission's estimates,

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Table 5.6 - COLOMBIA: NATIONAL NONFINANCIAL PUBLIC ENTERPRISES, 1974-80

(in millions of Colombian pesos)

Actual Prel.1974 1975 1976 1977 1978 1979 1980

OWN CURRENT REVENUES 14,106 17,119 30,366 40,164 51,164 75,836 104,540Sale of goods and services 13,317 15,820 29,138 38,392 49,287 72,792 100,358Other current revenue 789 1,299 1,228 1,772 1,877 3,044 4,182

DIRECT CURRENT EXPENDITURE 13,118 15,279 27,975 39,021 47,470 65,394 91,545

Remuneration 3,242 4,416 5,819 7,355 9,970 13,491 18,318Purchases of goods and

services 6,876 8,173 19,001 25,936 29,703 39,755 54,058Interest 1,092 886 1,473 2,720 3,152 5,756 9,976Transfers to private sector 1,674 1,508 1,671 3,010 4,633 6,355 9,193Others 233 296 11 - 12 37 -

SAVINGS GENERATED 988 1,840 2,391 1,143 3,694 10,442 12,995

CURRENT PUBLIC SECTORTRANSFERS (NET) 1,775 140 -1,151 449 292 2,340 8,624

Transfer revenues 2,059 656 649 1,080 867 3,233 10,011From National Government (2,059) (656) (649) (1,080) (867) (3,233)(10,011)From rest of public sector ( - ) ( - ) ( - ) ( - ) ( - ) ( - ) ( - )

Transfer expenditures 284 516 1,800 631 575 893 1,387To National Government (208) (419) (1,730) (542) (455) (680) (1,055)To rest of public sector (76) (97) (70) (89) (120) (213) (332)

CURRENT ACCOUNT SURPLUS OR DEFICIT 2,763 1,980 1,240 1,592 3,986 12,152 21,619

OTHER REVENUES 417 755 820 970 1,529 1,850 2,446

CAPITAL EXPENDITURES 3,544 5,219 7,581 10,361 11,027 15,083 21,041Fixed capital formation 3,202 5,078 7,467 9,388 10,270 14,191 19,778Financial investment 342 141 114 973 757 892 1,263

OVERALL SURPLUS OR DEFICIT -364 -2,484 -5,521 -7,799 -5,512 -451 3,024

FINANCING 364 2,484 5,521 7,799 5,512 451 -3,024External (net) 1,873 2,089 5,929 10,570 11,287 21,110 n.a.Domestic (net) 3,258 2,870 3,142 7,593 5,360 7,707 n.a.Cash balance -4,767 -2,475 -3,550 -10,364 -11,135 -28,366 n.a.

n.a. - not available

Source: Comptroller's General Office and mission's estimates.

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Table 5.6-1 - COLOMBIA: SUMMARY ACCOUNTS OF MAJOR NONFINANCIAL PUBLIC ENTERPRISES, 1974-818

(in millions of Colombian pesos)

Actual Frei.1974 1975 1976 1977 1978 1979 1980

I. ECOPETROL

OWN CURRENT REVENUES 62 7,354 7,344 17,529 23,204 37,271 51,3291. Sale of goods and services 6,759 7,334 12,344 17,256 22,731 36,668 50,4802. Other cujrrent revenues 65 20 - 273 473 603 849

DIRECT CURRENT EXPENDITURES 4,792 5,645 10,508 17,173 24 032 38,381 53,6451. Remuneration 679 978 1,266 1,583 2,281 2,997 4,0662. Purchases of goods and services 3,593 4,402 8,484 13,651 18,267 30,154 40,9763. Interest paYments 41 125 360 919 1,496 2,689 4,7794. Current transfers to private sector 473 140 398 1,020 1,988 2,541 3,8245. Others 6 - - - - - -

SAVINGS GENERATED 2,032 1,709 1,836 356 -828 -1,110 -2,316

CURRENT PUBLIC SECTOR TRANSFERS (NET) -254 -150 -1,338 -196 -365 -494 -1,82o

CURRENT ACCOUNT SURPLUS OR DEFICIT 1,778 1,559 498 160 -1 193 -1,604 -4,136

OTHER REVENUE 117 - 375 157 367 63 831. Capital transfers from public sector - - - - - - -2. Others 117 - 375 157 367 63 83

CAPITAL EXPENDIrURE 2,293 3,840 5039 6,492 8818 12,2881. Fixed capital formation 2,136 3,699 5,039 6,000 6,492 8,350 11,6692. Financial investment 147 141 - - - 468 619

OVERALL SURPLUS OR DEFICIT -388 -2,281 -4,167 -5,683 -7 318 -10 359 -16,34]

LONG TERM FINANCING 934 754 3722 5,041 6,588 9,875 16,3411. Loans granted (net) - - - - - n.a.2. Loans received 934 754 3,722 5,041 6,588 9,875 n.a.

a. Foreign (net) (970) (728) (3,686) (3,487) (6,588) (9,902) (n,a.)b. Domestic (net) (-36) (26) (36) (1,554) ( - ) ( -27) (n.a.)

SHORT TERM FINANCING AND CASH -546 1,527 445 642 730 484 n.a,

II. IDEMA

OWN CURRENT REVENUES 334 783 5,875 7,089 7,516 92611. Sale of goods and services 174 598 5,752 6,777 7,377 9,153 12,64!2. Other current revenues 160 185 123 312 139 108 IO9

DIRECT CURRENT EXPENDITURES 2,374 1,066 6,216 7 830 5,091 7,0491. Remuneration 273 384 448 419 445 561 7'il2. Purchases of goods and services 1,555 252 5,507 6,890 4,660 3,813 5,1903. Interest payments 473 350 164 302 326 531 9424. Current transfers to private sector 73 80 97 219 147 186 1565. Others - - - - - - -

SAVINGS GENERATFD -2,040 -283 -341 -741 1,938 4,170 5,705

CURRENT PUBLIC SECTOR TRANSFERS (NET) 1,689 -26 -33 -51 -12 -60 -216

CURRENT ACCOUNT SURPLUS OR DEFICIT -351 -309 -374 -792 1,926 4,110 5,489

OTHER REVENUE 19 18 10 45 55 108 1421. Capital transfers from public sector - --2. Others 19 18 10 45 55 108 [42

CAPITAL EXPENDITURE 224 76 63 88 64 35 421. Fixed capital formation 193 76 48 88 63 20 202. Financial irnestment 31 - 15 - 1 15 22

OVERALL SURPLUS OR DEFICIT -556 -367 -427 -835 1

,917 4,183 5,589

LONG TERM FINANCING 591 572 310 1,799 -553 -807 L_a

1. Loans granted (net) - - - - - - n.a.2. Loans received 591 572 310 1,799 -553 -807 ni.a.

a. Foreign (net) (22) (7) (-22) (-24) (-26) (-29) (ii.a.)b. Domestic (net) (569) (565) (332) (1,823) (-527) (836) (ni.a.)

SHORT TERM FINANCING AND CASH -35 -205 117 -964 -1 -3,376 n.a.

n.a.- not available

Source: Comptroller's General Office and mission's estimates.

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Table 5.6-1 - COLOMBIA: S'E1ARY ACCOUNTS OF MAJOR NONFINANCIAL PUBLIC ENTERPRISES, 1974-SO (cont'd.)

(In millions of Colombian pesos)

Actual Prel.1974 1975 1976 1977 1978 1979 1980

IrI. TELECOM

OWN CURRENT REVENUES 1,992 2,904 3,873 4,216 5,929 9,112 12,5451. Sale of goods and services 1,708 2,320 3,595 4,096 5,720 8,819 12,1432. Other current revenues 284 584 278 120 209 293 402

DIRECT CURRENT EXPENDITURES 1,284 1,535 2,659 3,060 3,999 5,769 8,0561. Remuneration 681 855 1,101 1,396 1,788 2,519 3,4252. Purchases of goods and services 231 266 1,230 1,286 1,647 2,428 3,2983. Interest payments 70 19 112 108 177 292 5224. Current transfers to private sector 74 99 205 264 375 493 8115. Others 227 296 11 6 12 37 -

SAVINGS GENERATED 708 1,369 1,214 1,156 1,930 3,343 4,489

CURRENT PUBLIC SECTOR TRANSFERS (NET) -225 -458 -210 -153 -176 -264 -974

CURRENT ACCOUNT SURPLUS OR DEFICIT 482 911 1,004 1,003 1,754 3 079 3,515

OTHER REVENUE - 36 36 68 196 325 428I. Capital transfers from public sector2. Others - 36 36 68 196 325 428

CAPITAL EXPENDITURE 328 350 692 1,095 1,388 2,466 3,4301. Fixed capital formation 328 350 692 1,095 1,388 2,466 3,4222. Financial investment - - - - - - 8

OVERALL SURPLUS OR DEFICIT 155 597 348 -24 562 938 513

LONG TERM FINANCING 23 57 104 169 204 327 -5131. Loans granted (net) - - - - - - n.a.2. Loans received 23 57 104 169 204 327 (n.a.)

a. Foreigri (net) (41) (-11) (43) (151) (17) (332) (n.a.)b. Domestic (net) (-17) (68) (61) (18) (187) (-5) (n.a.)

SHORT TERM FINANCING AND CASH -178 -654 -452 -145 -766 -1,265 n.a.

IV COLPUERTOS

OWN CURRENT REVENUES 1,384 1,648 2,201 3,081 4,349 6,542 8,9901. Sale of goods and services 1,384 1,648 2,192 3,068 4,293 6,459 8,9322. Other current revenues

DIRECT CURRENT EXPENDITURES 1,068 1,583 1,946 2,661 4,136 6,222 8,6971. Remuneration 663 948 1,189 1,593 2,619 3,838 5,2022. Purchases of goods and services 174 315 324 485 726 1,204 1,6223. Interest payments 23 26 37 50 58 51 824. Current transfers to private sector 208 294 396 533 742 1,129 1,7915. Others - - - - - -

SAVINGS GENERATED 316 65 255 420 213 320 293

CURRENT PUBLIC SECTOR TRANSFERS (NET) - -10 -17 -19 -22 -35 -129

CURRENT ACCOUNT SURPLUS OR DEFICIT 316 55 238 401 191 285 164

OTHER REVENUE - - - - - -

1. Capital transfers from public sector2. Others

CAPITAL EXPENDITURE 77 154 272 338 315 620 8631. Fixed capital formation 4 154 272 338 315 620 8502. Financial investment 73 - - - - - 13

OVERALL SURPLUS OR DEFICIT 239 -99 -34 63 -146 -335 -699

LONG TERM FINANCING -155 -39 57 160 124 304 6991. Loans granted (net) - - - - - - n.a.2. Loans received -155 -39 57 160 124 304 n.a.

a. Foreign (net) 11 2 -1 100 30 140 n.a.b. Domestic (net) -166 -41 58 60 94 164 n.a.

SHORT TERM FINANCING AND CASH -84 138 -23 -223 22 31 n.a.

n.a. - not available

Source: Comptroller's General Office and mission's estimates.

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Table 5.6-1 - COLOMBIA: SUMNARY ACCOUNTS OF MAJOR NONFINANCIAL PUBLIC ENTERPRISES, 1974-SO (cont'd.)

(In millions of Colombian pesos)

Actual Prel.1974 1975 1976 1977 1978 1979 198')

V. CORELCA

OWN CURRENT REVENUES 168 219 372 669 963 1,915 2,6131. Sale of goods and services 73 141 264 514 745 1,094 1,5052. Other current revenues 95 78 108 155 218 821 1,108

DIRECT CURRENT EXPENDITURES 186 249 380 601 924 1,625 2,1971. Remuneration 21 30 39 51 117 175 2782. Purchases of goods and services 64 123 199 322 486 801 1,0813. Interest payments 100 94 142 214 314 632 8784. Current transfers to private sector 1 2 - 14 7 17 -5. Others - - - - - - -

SAVINGS GENERATED -18 -30 -8 68 39 290 416

CURRENT PUBLIC SECTOR TRANSFERS (NET) 40 243 382 600 694 1,533 5,649

CURRENT ACCOUNT SURPLUS OR DEFICIT 22 213 374 668 733 1,823 6,055

OTHER REVENUE - 1 - - - - -1. Capital transfers from public sector - - - - - - -2. Others - - - - - - -

CAPITAL EXPENDITURE 211 176 909 1,344 1,822 2,065 2,8831. Fixed capital formation 211 176 903 1,201 1,214 1,665 2,3342. Financial investment - - 6 143 608 400 549

OVERALL SURPLUS OR DEFICIT -189 38 -535 -676 -1,089 -242 3.182

LONG TERM FINANCING 184 -23 354 900 999 162 -3,1821. Loans granted (net) - - - - - - na.2. Loans received 184 -23 354 900 999 162 n,a.

a. Foreign (net) (45) (96) (343) (600) (338) (45) (n,a.)b. Domestic (net) (139) (-119) (1i) (300) (661) (117) (n.a.)

SHORT TERM FINANCING AND CASH 5 -15 181 -224 90 80 -

VI. REST OF NONFINANCIAL PUBLIC ENTERPRISES

OWN CURRENT REVENUES 3,404 4,211 5,701 7,580 9203 11735 16,3091. Sale of goods and services 3,219 3,779 4,991 6,681 8,421 10,599 14,6532. Other current revenues 185 432 710 899 782 1,136 1,656

DIRECT CURRENT EXPENDITURES 3,414 5,201 6,266 7,702 8,0 8,306 11,9011. Remuneration 925 1,221 1,776 2,313 2,729 3,401 4,6362. Purchases of goods and services 1,259 2,815 3,257 3,302 3,917 1,355 1,8913. Interest payments 385 272 658 1,127 781 1,561 2,7734. Current transfers to private sector 845 893 575 960 1,374 1,989 2,6015. Others - - - - - -

SAVINGS GENERATED -10 -990 -565 -122 402 3,429 4,408

CURRENT PUbLIC SECTOR TRANSFERS (NET) 525 541 65 268 173 1,660 6 114

CURRENT ACCOUNT SURPLUS OR DEFICIT 515 -449 -500 146 575 5,089 10,522

OTHER REVENUE 281 700 399 700 911 1,354 1,7931. Capital transfers from public sector - - - - - - -2. Others 281 700 399 700 911 1,354 1,793

CAPITAL EXPENDITURE 421 623 612 1,496 946 1,079 l5351. Fixed capital formstion 330 623 513 666 798 1,070 1,41832. Financial investment 91 - 99 830 148 9 52

OVERALL SURPLUS OR DEFICIT 375 -372 -713 -650 540 5,364 10,780

LONG TERM FINANCING 35 3,638 4,524 10,094 9,307 18,956 n.a.1. Loans granted (net) - - - - - -

2. Loans received 3,553 3,638 4,524 10,094 9,307 18,956 n.a.a. Foreign (net) (784) (1,267) (1,880) (6,256) (4,362)(10,720) (n.a.)b. Domestic (net) (2,769) (2,371) (2,644) (3,838) (4,945)( 8,236) (n.m.)

SHORT TERM FINANCING AND CASH -3,928 -3,266 -3,811 -9,444 -9,847 -24,320 n.m.

n.a. - not available.

Source: Comptroller's General Office and mission's estimates.

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Table 3.7 - COLOMBIA: SUMMARY ACCOlTNTS OF THE DEPARTMENTS OPERATIONS, 1974-80 1/ 2/

(in millions of Colombian pesos)

Actual Prel.1974 1975 1976 1977 1978 1979 1980

Current Revenue 10,617 14,717 18,273 24,937 30,883 38,845 49,6441. Tax revenues 4,421 5,683 6,976 9,321 11,809 12,898 16,4822. Nontax revenues 6,196 9,034 11,297 15,616 19,074 25,947 33,162

a) Sales of goods and services (5,473) (7,666) (9,202) (12,217) (14,660) (20,874) (26,662)b) Others (723) (1,368) (2,095) (3,399) (4,414) (5,073) (6,500)

Current Expenditure 13,511 17,243 23,290 31,032 40,008 49,612 62,5111. Wages and salaries 8,062 10,262 13,905 18,128 23,566 29,801 36,1072. Purchases of goods and services 3,652 4,263 5,808 7,958 10,238 12,942 17,1623. Interest 604 747 1,139 1,369 1,735 2,205 3,0384. Others 1,193 1,971 2,438 3,577 4,469 4,664 6,204

Savings Generated -2,894 -2,526 -5,017 -6.095 -9_125 -10,767 -12,867

Current Public Sector Transfers (net) 4,7i 5,250 8,480 11,771 ]_6,50 20,826 29,0061. Transfer revenues 5,072 5,533 8,801 12,165 17,002 21,337 29,596

a) From National Government (4,967) (5,447) (8,650) (11,781) (16,500) (20,537) (28,472)b) From rest of National Public

Sector (47) (53) (66) (312) (416) (543) (671)c) Municipalities (58) (33) (85) (72) (86) (257) (453)

2. Transfer expenditures 318 283 321 394 442 511 590a) To National Government (9) (16) (24) (13) (22) (25) (30)b) To rest of National Public

Sector (57) (18) (31) (99) (65) (85) (98)c) To Municipalities (252) (249) (266) (282) (355) (401) (462)

Current Account Surplus or Deficit 1,860 2,724 3,463 5,676 L,435 1,59 16,_139

Other Revenues 181 171 510 465 505 709 946

Capital Expenditures 1,783 2,462 4,151 5,014 6,404 7,978 9,0321. Fixed capital formation i,7b3 2,46Z 4,151 5,014 n,404 7,97o 9,0322. Financial investment - - - - - - -

Overall Surplus or Deficit 258 433 -178 1,127 1,536 29 _6_,207

Financing -258 433 -178 -1,127 -1,536 n.a. n.a.1. External (net) - 43 55 - - n.a. n.a.

2. Internal (net) 545 1,537 1,594 1,383 1,509 n.a. n.a.3. Cash balance -823 -2,013 -1,827 -2,510 -3,045 n.a. n.a.

1/ Includes capitals, decentralized agencies and nonfinancial public enterprises.

2/ Accrual basis.

n.a.- not available.

Source: Comptroller's General Office and mission's estimates.

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Table 5.8 - COLOMBIA: SU1MARY ACCOUNTS OF THE MLUNICIPALITIES OPERATIONS, 1974-8C

(in millions of Colombian pesos)

Actual Est.1974 1975 1976 1977 1978 1979 1980

Current Revenue 9,467 11.999 15,414 19,890 25,666 33,109 42,7101. Tax revenue 2,967 3,537 4,115 4,137 6,514 8,903 10,6772. Nontax revenue 6,500 8,462 11,299 14,753 19,152 24,206 32,033

a) Sales of goods and services (5,842) (7,486) (10,019) (13,151) (17,234) (21,785) (28,829)b) Other (658) (976) (1,280) (1,602) (1,918) (2,421) (3,204)

Current Expenditure 8,968 11.958 14,352 18,972 23.018 29,164 38,0591. Wages and salaries 4,417 5,867 7,248 10,035 11,934 14,815 19,3342. Purchases of goods and services 2,507 3,569 3,825 5,150 5,748 7,932 10,3523. Interest 1,760 2,220 2,924 3,279 4,696 5,600 7,3074. Others 284 302 355 508 640 1,447 1,066

Savings Generated 499 41 1,062 918 2,648 3,945 4,651

Current Public Sector Transfers (net) 1,664 2,285 3,160 3788 4,803 8,290 10,7531. Transfer revenues 1,832 2,592 3,597 4,060 5,268 8,893 11,534

a) From National Government (788) (1,685) (2,395) (3,390) (4,363) (7,382) (9,573)b) From rest of National Public

Sector (126) (42) (52) (104) (85) (133) (173)c) Departments (918) (865) (1,150) (566) (820) (1,378) (1,888)

2. Transfer expenditures 168 307 437 272 465 603 781a) To National Government (11) (25) (21) (39) (42) (48) (62)b) To rest of National Public

Sector (11) (13) (14) (21) (28) (36) (48)c) To Departments (146) (269) (402) (212) (395) (518) (671)

Current Account Surplus or Deficit 2,163 2,326 4.222 4,706 7,451 12,235 15,404

Other Revenues 327 251 193 166 197 177 158

Capital Expenditures 4.482 6,104 7,920 9,971 11 566 13 416 16 2601. Fixed capital formation 4,482 6,104 7,920 9,971 11 566 1 T 16;2602. Financial investment - - - - - - -

Overall Surplus or Deficit -1,992 -3,527 -3.505 -5,099 -3,918 -1,004 -698

FinancinR 1,992 3,527 3,505 5,099 3.918 1,004 6981. External (net) 1,138 1,284 2,713 2,331 2,162 n.a. n.a.2. Internal (net) 1,043 1,724 1,509 2,631 2,535 n.a. n.a.3. Cash balance -189 519 -177 137 -779 n.a. n.a.

n.a. - not available.

Source: Comptroller's General Office and mission's estimates.

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tat i 3.u-1 - COu40ul-. S2,,IARY ACCOUi,-5 oprm uPC. 'Ž, P.1NONFINANCIAL PUBLIC ENTERPRISES, 19.4-80

(:z. mil]ions of Co"obhian Pesos)

1974 1997 19' 1W 1978 _ 97_ 1'h'

,. tpresas Publicas de Medellin (EPM)

I 0500 inurrc,n Revenues 3969 1,161 303 2,664 3,265 4,0 0 4,900Sale of goods and

services 883 1,019 1,881 2,291 2,998 3,680 4,508Other currenit revenues 113 142 422 370 267 320 302

II Direct Orlruon Foporoitures f 5 596 792 1,174 1,663 2,355 3,061Remuneration n.a. n.a. n.a. n.a. n.a. n.a. n.a.Purchases of goods and

services n.c. ra. na. na. na. n.a. n.a.Interest pavyments n.a. n.a. n.a. n.a. n.a. n.a. n.a.Current transfers to

private sector n.a. n.a. n.a. n.a. n.a. n.a. n.a.Others n.a. n.a. n.a. n.a. n.a. n.a. n.a.

IIl(a)Savings Generated 4_0 553 1,511 3.4901 1,602 12ff2 1,83911I(b)Curreuit Public Sector

Transfer F (_nct) _35 _44 45 -98 -122 152 -189III(c)CCurrent Account Surolus

or Deficit 4,' 520 1,462 1,392 1,480 1,570 1,650

IV Otdrer isvroti - - - 107 420 800 t1106

Capita] tranEsf- cr fEropuAlC mou- - - - 107 420 800 1,100

Other

V cat] -x1 enciEcre 1 1,422 2,022 2 189 2,486 2 822 32 03Fixed Capital fornatior 1.090 1,307 1,873 2,189 2,486 2,822 3,203

-Iancial i,wet rotent 5 1 114 150 -

VI Overall lurc or je4ic4t -726 -902 -56" -69C -586 -452 -453

VII tt' sr - re corS 392 ',91 556 88P 948 265 L.a.Loars granted 11 14 - - n.a. 0..Loans rec(cled 381 477 556 888 948 n.a. 0.5a.c,oei,zl-, net 152 165 106 552b.F0orestic, . 249 312 450 336 -

VIII Shcrt Terr' Oinao anocrs1 Balar. cs 334 411 4 -198 -362 -247 n.a.

17. Pry resa de Acueducto p Alcantarillado de Bogota D.E. (E.A.A.B.)

I tzV,n Correct Revenues 570 744 960 1,485 1,912 2,461 ,Saie of i, ,ods cn seir 48F4 6'2 928 1,141 1,875 2,412 3,104Other current r'cenues 82 118 32 344 37 49 63

L. Direct O':r,,t Lcpecoiturcs 330 409 709 726 892 1,095 1,369Operating expe0 1 ditures 289 3b6 632 726 892 1,095 1,369Interest ca,ol nts 41 43 77 - - - -

131(a)v ines Gcenerated 240 395 251 759 1,020 1,798III(b)Current Public Sector 11 234 313 416

Transfer ½•ntl 1 2321 1lll(c)O,urrer,t Accotort SurIOU-S

or Transfer u240 335 251 770 1,254 1,679 2,214

I'l Other Pevenues nu6 8 - -

V §a l Pxpendituc_s 403 1,201 2,000 993 1,520 2,325 3,534Fixed capital foriration 483 1,201 2,000 993 1,520 2,325 3,534Financial it'estvrett - - - _-__

Ov ()erall_ "1 " Oeticit -207 -858 -1,749 -223 -266 -646 -1,320

V II L, com to. 97 6 2u9 1,3C4 3 h 213 516 ,Loacs granted, nOt - -

Loans received 97 629 8449 308 213 516 n.a.5.ioreIOn, cot 8 590 249 - - - (n.a.)b.Dnor,esti cot 15 49 6c0 - - - (n.a.)

tIIl Sbort Tcro Finaucinz and6Cas h Ounces 110 228 600 -35 53 13C n.a,

n.a. - 1o0. l's .l'.L

Source: Fi.,ancial Rhnors of tht Comptroller's Office.

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Table 5.8-1 - COLOMBIA: SUMMARY ACCOUNTS OF MAJU{ MIUNICIPALNONFINANCIAL PUBLIC ENTERPRISES, 1974-80 (cont'd)

(in millions of Colombian pesos)

Actual Est.1974 1975 1976 1977 1978 1979 1980

III. Empresa de Energia Electrica de Bogota (EEEB)

I Own Current Revenues 910 1,422 1,701 2,7 3,408 4,753 6, 625Sale of goods and services 767 1,016 1,378 1,982 3,020 4,248 5,916Other current revenues 143 406 323 488 388 505 709

II Direct Current Expenditures 562 667 781 1,947 2,393 3,527 4,585Operating expenditures 358 - 558 1,815 1,905 2,578 3,347Interest payments 158 - 198 132 488 949 1,238Other 47 - 25 - - - -

III(a)Savings Generated 348 755 920 523 1,015 1,046 040III(b)Current Public Sector

Transfer (net) - - - - - -

III(c)Current Account SurplusDeficit 348 755 920 523 1,015 1,046 2,040

IV Other Revenues - - - 978 493 584 691

V Capital Expenditures 510 937 996 1,062 3,956 3,852 4,561Fixed capital formation 316 589 703 1,062 3,239 2,915 3,448Financial investment 193 349 293 - 717 937 1,113

VI Overall Surplus or Deficit -162 -182 -76 439 -2,448 -2,222 -1,830

VII Long-Term Financing 59 529 50 -438 1,752 2,088 n.a.Loans granted, net 18 - - - - -

Loans received 41 529 50 n.a. n.a. n.a. n.a.a.Foreign, net (-7) (529) (50) (n.a.) (n.a.) (n.a.) (n.a.)b.Domestic, net (48) ( - ) ( _ ) (n.a.) (n.a.) (n.a.) (n.a.)

VIII Short-Term Financing andCash Balance 103 346 26 -1 696 134 n.a.

n.a. - not available

Source: Financial Report of the Comptroller's Office and mission's estimates.

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Table 5.9 - COLOMBIA: SUMMARY ACCOUNTS OF THE NATIONAL FINANCIAL ENTERPRISES OPERATIONS, 1974-80

(in millions of Colombian pesos)

Actual Est,1974 1975 1976 1977 1978 1979 1980

Current Fevenue 2,938 3,727 4,868 7,024 8,900 11,877 15,357

1. Tax revenue 380 756 1,884 2,576 3,537 4,245 5,8052. Nontax revenue 2,558 2,971 2,984 4,448 5,363 7,632 9,552

a. Sale of goods and services (1,371) (1,707) (2,227) (3,505) (4,299) (5,566) (7,307)

b. Current transfers (1,187) (1,264) (757) (943) (1,064) (2,066) (2,245)

Current Expenditure 2,420 2,879 2,792 3,506 4,182 5,854 7,903

1. Wages and salaries 226 327 407 544 732 996 1,3432. Purchases of goods and services 116 142 218 309 326 394 4503. Current transfers 676 700 199 219 348 378 5534. Dett service 2/ 1,402 1,710 1,968 2,434 2,776 4,086 5,557

Savings Cenerated 518 848 2,076 3,518 4,718 6,023 7,454

Capital Fevenue 345 184 274 292 318 384 463

Capital Expenditure 3,538 5,276 6,466 7,757 9,936 12,676 15,972

1. Direct investment 2,392 4,116 5,116 6,402 8,205 9,708 12,4262. Incirect investment 1,146 1,160 1,350 1,355 1,731 2,968 3,546

Overall 'urplus or Deficit -2,675 -4,244 -4,116 -3,947 -4,900 -6,269 -8,055

Financing 2,675 4,244 4,116 3,947 4,900 6,269 8,0551. Ixternal 146 483 35 - 108 295 3782. lnternal 1,262 2,825 2,172 2,945 4,191 5,317 6,8303. Cash balance 1,467 936 1,909 1,902 601 657 857

1/ Accrual basis.2/ Inclu(les amortization plus interest.

Note: The National Financial Enterprises include PROEXPO, CFT, IFI, ICETEX, INSCREDIAL and FONADE (see

attachment).

Source: Financial reDort of the Comptroller's General Office and mission's estimates.

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Table 5.10 - COLOMBIA: NONFINANCIAL PUBLIC SECTOR TRANSFERS, 1974-80

(in millions of Colombian pesos)

Actual Est.1974 1975 1976 1977 1978 1979 1980

Current Transfers

From: National Government to rest ofNonfinancial Public Sector:

47.617 11,811 15 756 23 051 31 458 46 492 64,379To: Agencies and Public Enterprises 3,455 5,275 76610,615 173 n.a.

Departments and municipalities 44,162 6,536 8,130 12,436 19,430 29,359 n.a.

From: Rest of Nonfinancial Public Sector289 544 1.871 679 748 1 026 1 379

To: National Government 289 544 1,871 679 T 1,026 1;379

Capital Transfers

From: National Government to rest ofNonfinancial Public Sector:

9.707 11.559 10.856 14 271 18 204 25 871 42,600To: Agencies and Public Enterprises 9,143 10,535 9,700 TT3,36 T'3758 20:482 n.a.

Departments and municipalities 564 1,024 1,156 1,185 620 1,811 n.a

Total Transfers

From: National Government to rest ofNonfinancial Public Sector:

17,334 23,370 26,612 37.322 49,662 68,785 108,979

To: Agencies and Public Enterprises 12,598 15,810 17,326 23,701 29,612 37,615 n.a.Departments and municipalities 4,726 7,560 9,286 13,621 20,050 31,170 n.a.

Transfers Payment as a Percentage ofNational Government Current Revenue

1. Current Transfers 28.9 30.8 32.2 36.3 3,'.4 40.1 42.1

2 Capital Transfers 36.8 30.1 22.2 22.4 21.6 22.3 27.83. Total Transfer Payments 65.7 60.9 54.4 58.7 59.0 62.4 69.9

n.a. - not available

Source: Planning Departments and mission's estimates.

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Table 5.11 - COLOMBIA: SOCIAL SECURITY SYSTEM OPERATIONS, 1974-80

(in millions of Colombian pesos) 2/

Actual Prel.1974 1975 1976 1977 1978 1979 1980

I. Own Current Revenues 4,285 5,714 7.361 10.688 13,644 18.211 24.8681. Sale of goods and services 156 204 280 428 552 562 9092. Other current revenues 4,129 5,510 7,081 10,260 13,092 17,649 23,959

II. Direct Current Expenditure 5.095 6.823 8.805 13,443 19.032 24.284 32.2601. Remuneration 1,548 2,093 2,499 3,635 5,104 6,753 9,1712. Purchases of goods and services 1,172 1,622 2,204 3,135 3,950 4,838 6,1793. Interest 54 25 7 1 - 12 -4. Transfers to private sector 2,321 3,083 4,095 6,672 9,978 12,681 16,910

IlIa. Savings Generated -810 -1.109 -1.444 -2.755 -5.388 -6.073 -7.392

IIIb. Current Public Sector Transfers (net) 1.682 2.179 2.687 4.506 5.354 7.666 9.8491. Transfer revenues 1,712 2,237 2,760 4,612 5,481 7,833 10,109

a.from Central Government (1,404) (1,859) (2,416) (4,066) (5,226) (7,361) (9,444)

b-from rest of public sector (308) (378) (344) (546) (255) (472) (665)2. Transfer expenditures 30 58 73 106 127 167 260

a.to Central Government (26) (20) (28) (21) (61) (71) (120)b.to rest of public sector (4) (38) (45) (85) (66) (96) (140)

IIIc. Current Account Surplus or Deficit 872 1.070 1.243 1.751 -34 1.593 2.457

IV. Other Revenues 1.309 1.135 1,276 1.716 1.789 3,147 3.861

V. Capital Expenditures 2,015 2.629 2.265 3.735 4.449 5.720 7.1951. Fixed capital formation 363 247 272 187 445 435 7192. Financial investment 1,652 2,382 1,993 3,548 4,004 5,285 6,476

VI. Overall Surplus or Deficit 166 -424 254 -268 -2,694 -980 -877

VII. Financing -166 424 -254 268 2.694 980 8771. External - - - - - - -2. Domestic 5 - - - - - -3. Cash balance -161 424 -254 268 2,694 980 877

1/ Includes CAPRECOM, CAJANAL, ISS, Caja de Prevision Social de la Superintendencia Bancaria, Caja deSueldos de Retiros de las Fuertas Militares and Caja de Sueldos de Retiros de la Policia Nacional.

2/ Accrual basis.

Source: Comptroller's General Office and mission's estimates.

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Table 5.12 - COLOMBIA: BUOYANCIES WITH RESPECT TO GDP OF NATIONAL GOVERNNENT REVENUES, 1974-80

Actual Prel.1974 1975 1976 1977 1978 19B79 1980

Total Revenue including CATs and CDTS 0.89 1.53 0.84 0.84 1.18 1.28 1.07

A) Taxes on Income and Property 0.64 2.30 0.60 0.40 1.01 0.87 1.061. Income and net wealth tax 0.63 2.51 0.63 0.40 1.01 0.87 1.062. Other: 0.59 -1.93 -1.54 -0.15 0.36 0.46 0.74

a) Inheritance and gift taxes 1.36 -1.56 -1.78 0.39 0.32 0.37 0.80b) Cattle tax -0.25 - - - - - -c) Tax on land property 0.10 0.63 - 0.60 0.44 0.64 0.61

B) Taxes on Foreign Trade 1.16 0.29 1.31 1.28 1.15 2.18 1.031. Customs 0.87 0.42 1.03 0.94 1.41 C.47 0.922. Three per cent import surcharge 2.20 -2.10 - - - - 0.82

3. Special exchange account 1.47 0.72 1.74 1.74 0.86 3.91 1.114. Other -0.47 -2.20 - - - - -

C) Taxes on Domestic Consumption andTransactions 1.07 2.13 1.00 0.98 1.31 1.12 1.18

1L. Sales tax 1.71 3.54 0.76 0.99 1.42 [.33 1.012. Gasoline tax 0.18 0.43 2.92 1.16 1.09 1L.22 2.153. Stamp tax 0.86 -0.27 0.18 0.71 1.17 0.34 0.844. Service tax (Proturismo) 1.05 1.11 1.02 1.19 0.9 - -

D) Nontax Revenue 0.53 -0.06 -0.60 2.16 1.96 -0.31 0.471. Fees and fines 0.50 -0.08 -0.40 3.07 1.99 -0.59 0.502. Royalties and contractual income 0.61 -0.03 -1.08 -0.73 1.69 2.25 0.34

a) Share in petroleum explora-tion 1.29 -2.14 0.88 -0.18 1.97 n.a. n.a.

b) Other 0.06 2.38 -1.13 -0.91 1.57 n.a. n.a.

Less: Tax Credits Certificates 1.61 -0.90 -1.13 -0.23 -0.98 3.56 0.66

Total Current Revenue 0.83 1.66 0.93 0.87 1.17 1.25 1.08

n.a. - not available.

Source: Tables 5.4 and 2.3.

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Table 5.13 - COLOMBIA: TAX BURDEN, 1972-80

(% of CDP)

1972 1973 1974 1975 1976 1977 1978 1979 1980

Total Revenue Including CATs and CDTS 8.7 8.4 8.6 9.7 9.3 9.0 9.2 9.8 10.0

A. Taxes on Income and Property 4.3 3.8 3.4 4.3 3.9 3.3 3.3 3.2 3.31. Income and net wealth tax 4.1 3.6 3.3 4.3 3.9 3.3 3.3 3.2 3.32. Other 0.2 0.2 0.1 - - - - -

B. Taxes on Foreign Trade 2.2 2.5 2.6 2.3 2.4 2.6 2.6 3.4 3.41. Customs 1.5 1.5 1.5 1.3 1.4 1.4 1.4 1.3 1.32. 3 per cent import surcharge 0.2 0.2 0.2 0.1 - - - 0.1 0.13. Special exchange account 0.5 0.8 0.9 0.9 1.0 1.2 1.2 2.0 2.0

C. Taxes on Domestic Consumption andTransactions 1.8 1.6 2.2 2.8 2.8 2.8 3.0 3.0 3.1

1. Sales tax 1.0 1.0 1.2 1.9 1.8 1.8 2.0 2.0 2.12. Gaosline tax 0.7 0.6 0.5 0.4 0.6 0.6 0.6 0.7 0.83. Stamp taxes 0.7 0.6 0.6 0.4 0.6 0.3 0.3 0.3 0.24. Service tax - - - - - - - - -5. Liquor sales tax - - - 0.1 0.1 0.1 0.1 - -

D. Nontax Revenue 0.4 0.5 0.4 0.3 0.2 0.3 0.3 0.2 0.2

Less: Tax Credit Cerrificates -0.6 -0.6 -0.7 -0.6 -0.2 -0.1 -0.2 -0.2 -0.2

Total Current Revenue 8.1 7.8 7.9 9.1 8.9 8.9 9.0 9.6 9.8

Sources: Tables 5.4 and 2.3.

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Table 5.14 - COLOMBIA: PROJECTIONS OF THE NATIONAL GOVERNMENT OPERATIONS, 1980-85

(In Millions of Colombian pesos)

Prel. Prol,ected1980 1981 P 1982 i e 1984 1985

Current Revenue 152.805 186,924 234,304 289,259 353.419 434,4591. Total revenue, including CATS AND CDTS 156,260 191,070 239,270 295,229 360,583 443,056

a) Income and Net Wealth Tax 50,565 65,233 86,300 112,763 139,573 178,112b) Sales Tax 32,350 40,860 50,910 62,820 76,640 91,890c) Customs Revenues 19,740 25,550 32,685 42,240 54,560 70,430d) Special Exchange Account 31,600 27,930 29,256 31,126 35,833 39,980e) Other revenue 22,005 31,497 40,128 46,280 53,977 62,644

2. Less Taxes paid with CATS and CDTS -3,455 -4,146 -4,975 -5,970 -7,164 -8,597

Current Expenditure 116,143 148.466 184,649 232,740 292,258 367.0971. Personal Services 28,374 36.120 45,475 56,389 68.794 83,928

a) Wages and Salaries 28,374 36,120 45,475 56,389 68,794 83,9282. Goods and Services 9,149 11,528 14,525 18,301 23,060 29,0553. Current Transfers 69,362 90.171 111873 142,080 180,441 229.160

a) To national agencies and enterprises 56 447 73,296 89,783 113,320 142,909 180,331b) To departments and municipalitiesc) To private sector 4,649 6,046 7,914 10,304 13,447 17,495d) To international agencies 334 542 710 923 1,205 1,567e) Contributions to social security 7,932 10,287 13,466 17,533 22,880 29,767

4. Interest Payments 9,258 10,647 12,776 15,970 19,963 24,954a) Internal debt 2,911 3,194 3,833 4,791 5,989 7,486b) External debt 6,347 7,453 8,943 11,179 13,974 17,468

Current Account Surplus/Deficit 36,662 38,458 49,655 56,519 61L,16 67,362

Investment Expenditures 52.177 69,289 80,738 95,427 108,873 130.6481. Gross fixed investment 9,577 11,779 14,724 18.404 22,453 26,9442. Capital transfers 42,600 57.510 66,014 77,023 86L,42 103,704

a) To national agencies and enterprises n.a. n.a. n.a. n.a. n.a. n.a.b) To departments and municipalities n.a. n.a. n.a. n.a. n.a. n.a.

Overall Surplus or Deficit -15.515 -30,831 -31,083 -38,908 -4 7,712 -63,286

Source: Ministry of Finance and mission's estimates and projections.

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Table 5.15 - COLOMBIA: PROJECTIONS OF THE NATIONAL GOVERNMNT REVENWES, 1980-85

(In Millions of Colombian pesos)

Prel. Projected1980 1981 1982 1983 1984 1985

Total Revenue In_cludin CATS 156.260 191.070 239.279 295.229 360.583 443.056A) Taxesonu ineome and CATopercy 50,765 65.458 86,555 113.,048 139,898 178.482

A) Taxes on income and_E pro_t ________

1. Income and not wealth tax 50,565 65,233 86,300 112,763 139,573 178,1122. Other: 200 225 255 285 325 370

Inheritance and gift (135) (155) (180) (205) (235) (270)Cattle tax - _ _ _ _ _Tax on land property (65) (70) (75) (80) (90) (100)

B. Taxes on foreign trade 53.020 55,650 64,721 76,.956 95,033 116,3951. Customs 19,020 55,650 32,685 42,240 54,560 70,4302. Three percent import surcharge 1,680 2,170 2,780 3,590 4,640 5,9853. Special exchange accounts 31,600 27,930 29,256 31,126 35,833 39,980

Coffee export tax (10,152) (8,805) (9,131) (11,101) (14,698) (18,235)Others (21,448) (19,125) (20,125) (20,025) (21,135) (21,745)

C) Taxes on domestic con5umption 49.445 66,502 84,048 100.710 120.497 142,2891. Sales tax 32,850 40,860 50,910 62,820 76,640 91,8902. Gasoline tax 13,110 21,175 27,780 31,460 36,165 41,1503. Stamp taxes 3,970 4,450 5,340 6,410 7,670 9,225

4. Service tax (Pro turismo) 15 17 18 20 22 245. Liquor sales tax

D. Non tax revenue 3.030 3,460 3,955 4,515 5,155 5,8901. Fess and fines 2,500 2,875 3,310 3,805 4,375 5,0302. Roval ties and contractual income 530 585 645 710 780 860

Share in petroleum n.a. n.a. n.a. n.a. n.a. n.a.Other na. n.a. n.a. n.a. n.a. n.a.

Less: Tax credit certificates -3,455 -4,146 -4,975 -5,970 -7,164 -8,597

TOTAL CURRENT REVENLE 152.805 186,924 234,304 289,259 353,419 434,459

Source: Ministry of Finance and mission's estimates and projections.

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Table 5.16 - COLOMBIA: PUBLIC SECTOR INVESTMENT PROGRAM AND ITS FINANCING, 1980-85

(Millions of Colombian Pesos)

Preliminary Projected1980 1981 1982 1983 1984 1985

Resource Requirements 116X660 170,606 255X410 351X988 487,642 657,602

Gross Fixed Investment 91,833 138,373 215,442 296,470 404X044 548,2061. Central Government 22,129 28X574 39,790 51,739 65,982 81,412

(National Government) 9,577 11,779 14,724 18,404 22,453 26,944(National Highway Fund) 10,242 14,031 21,748 29,360 38,755 48,831(CAVECINALES) 1,591 1,909 2,291 2,749 3,299 3,960(Social Security) 719 855 1,027 1,226 1,475 1,677

2. National Decentralized Agencies and 43,512 7/635 121,292 173,638 248,411 353,426'ionfinancial Public Enterprises

3. Departments 9,932 16 1 26679 3116 44X670 60290

4. Municipalities 16,2] 0 20,813 37,681 35,985 44,981 53,1 78

Finaicial Investment 15012 19X714 20X902 24X874 28 968

Amortization 11773 17_,221 20,254 34,608 58,724 80,428

Financing 116,660 170,606 255,410 351,98 8 487,642 657,602

Public Sector Savings 99,727 123,212 166,140 214,124 266,983 340,8561. Central Government 103,015 126,616 161,454 199,006 242,016 296X803

(National Government) 101,041 122,041 152,904 187,372 226,950 277,460(National Highway Fund) 9,544 11,662 14,718 17,882 21,477 25,815(CAVECINALES) -178 -213 -256 -307 -369 -442(Social Security) -7,392 -6,874 -5,912 -5,941 -6,042 -6,030

2. Decentralized Agenices and Non-financial Public Enterprises 8,426 10i953 13,911 18084 24052 2230

3. Departments -16,365 -19,752 -15,591 -10,223 -8,850 -3,651

4. Municipalities 4,651 5,395 6,366 7,257 9X765 15X474

Capital Revenues 8,226 73 183 28 21756

Loan Disbursements 8s,707 37,038 76,542 122,591 202,331 294,990External 48,698 55,119 78,526 120,137 171,040 219,514Internal -39,991 -18,081 -1,984 2,454 31,291 75,476

Note: Inflation has been projected to be 27% in 1981, 25% in 1982, 23% in 1983, 22% in 1984 and 20% in

1985.

Source: Comptroller General's Office, Ministry of Finance, Planning Department and mission's estimatesfor 1980 and mission's projections for 1981-85.

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rLl,1 ~ 6.1I COL.n.Q:ii1A: -Sfn-ARY ACiOliNTS OF TFiE F2NANTIAI.L <rM z'-s

(i iILn f C.lwlbia - sS

I Q7 5 -- - ----- 1 97 6 _ 137 7 ----- 78 -- ,-- -- I 7 9 I 9 8 -- -

(Cl30=tOSSI) (Col 3 5=VS$ 15 rl)?vs $4=:;I (f14 SSI ) 0( I^f , C1

te nvrntoce -94 7jR633 _ 3 4 7,2_04 5 _25 71,538O 17J4 _4'59 L L 13 3. 9 1 MI 37 n)AAweets ~~~~~ ~ ~~~~~~ ~ ~~ ~~~~~~~18,477 37125 '3 0 12 b66,S84 72,2 91 s,672 1 0], /40 1 67,fl5n B 1(.3R 739 9l 2,>7 JRlIxiabilities 19,420 -2~~~~ ~ ~~~~~~~~ ~ ~~~~~~~1,492 -25,974 -1 9, 3BO -21,04n -23llH4 -2,5 43 2 '9 -46.503 -59,s57 -6, >,;81b-tt ncrme jUi Aiset * 1~~~~~~ ~~~~~ ~~~29 29b I6 9 161 19798 397 1 84 ?47,8 34 t 91 9,e,nL9 I I-- 291,- VIr L48 73b 4i48 7 fA

envaal Adminirtrarion~~~~~~~~~~~~~~~ nnt 17!,72 7.911 7,911 S,723 5,72!3 1,050 I 0 WS -21.211 -21 .211 -1, 85.1 -17 8 4Asvel7 (~~~~~~ ~ ~~~~~~~~ ~ ~~~~11 8875 N ,811) L9,881) (9,78u! (9,78$, 59,421) '9,4215 (q.301) 119 301x (938De918LA iblie L1,125, (-1,979 (-1,970i (-4 (( 1 (-4,1362') (-B371s -8,371 -310,>12. (-30 512s -7',232l 37,2i2Res t of l:n.ldie Sectol Lner) ~~~~ ~ ~ ~~~ ~ ~~6(05 479 470 7,0722 7,072 2 49f) 2,4 90 -?, SI -2.751 -17,373 _I 7.8/.AS eC t t7 929 (1t .81'3f ( Lo,<3132 (20,753) (ZD,758) ( 19,969) ( i9,969i j 19.8}e > .19 3i5-0,756lh,812)9) 16,) 8 h Iid .ilisies (-R 5~~~~~~~~~~~~~~~8:34i (-lO,43 (-(,43) -1-3 6 6J <-ls.bbb) i-17,14i9) -749 -2:2, ,7) 19?2..47li 34:1,6) 4 8'eriIi razlled S-:rpL.s -),18 -7439 -. 39 -123 236 -36 -4.0 ,400') 1441 -1.:1 -26,S20 -2ifb, 65 2Credit r Lrival Set[il1-9,i07 153,558 153,S58 l4'93 194,993 $1? 91! ?< l 7 11,2 31'.,172 47,h 4;s,2"I ncblk aLe ,5 3,096 3,9 1,95' 1,954 2 2P:7 2,2er7 3,2SR ,6258 14,4f6G 1z~,$,Net ttns Lassif idAss-tt I ,592 4,195, 41 -2,3 2,2 -2,322 3,333 39 L gf65 9 h6t M4 ?/ 2,4 750DRA rl_a-tol a1d io A c 5 0 2782,19 I_9 ,973 2,8 22h ~ L2,2()2 -4,'-z IluMediu.s-L- a l-m_ no-ei f .hl o-7, ,7u 7_1SeJo ,93 9,9-33 h LLR5 El 4I2f )8 It ~2 6-9 92)f.l

t irhil ne 5,|pple Pr *;ate SccL sr ~~~~~~~ ~~90.1465 I2,5 125,77 t164 8n4 I232 21 9, BR, I 2< S7 3<7 Tw n ,2b , .7 42f>, J.:NaTrnf MLloce N1ply (MI) (s8,9/15) (79,383) t79,383) (103,503) (11713,5033i (134,890) (134,R90) (167 ,6371 (167,637) (:21?,19',) ?:s1CurrencS in Circletion (2nfl8l~~~~~~~~~~~96) (8778) (28,778) (40),4691 (40,469 I (53,406) 346 (66, ;0:; (66, 105 ! (831, 925 (Rl,3'92)Drmeod nenP-it, (38,94 5(50,605 iio,60 (63,05) (63,035) (Si,484) (81,484) (I of) 32) (fOl, 932 I Wl(,h3 (ld)IN IOQuas -mnl1ew ,3L,2318 t46 37~~~~~~~~~~~~~~~~~~~~~4) j4,74) (6f I (t31) (84,99'4) (84,994) (112,6tM) L112JO.9) (2L4,z412i (214-12,*IrLgs epcsl S ~~~~~~~~~~~~~~(32 ,?34) (16 ,9117 0 6,917) (24, 17a) Q24,1781 (33,651) (13,h51) (L;]*q7l) (11 , I(, (h h 32) f 112 ,-3rercificstes~~~~~~~~~~~~~~~~~~~ vfDPti S240)I (9,1I08) (9,L08) (12,790) (12 , 190 (I b, ?30) (I16 .230i (13.,621 ! 13 ,h2L ( 94, 462) i 9,4z i1)c Ar~ , re tsE (13 ,703) (19,4 73) (19,473) (22,573) (227, J3) (29,8IF) (2q , Rt(, (,),1' C~O , nl .E98) i3 ,988inhtD . itLi CAVs (-B(7Gi (8/6) (1,760) (I 760) ('),295) (,29') (3,nQ3) (3,0o3) (2,33')! j2, Y)3 3_ndh and (e-cifi-ates 1,087 S,V54 5,054 12,007 12,0o 13 220 13.220 25,2as2 20c t~ .,(49 h ,h493Clid exh ,gal for txcLLgeCertt fivates~~~~~~ ~ ~~~~~~ ~ ~~~~~ f930) ( I94 ) 03.940) 62 (62) t30s, 1 309) I n235 1 ,0231 /10,AF2i b L31nhiCel-lficatef of Pxchtngt ~~~~~ ~ ~~~~ ~ ~~~(157) (27r) (270; 1 vL, 91,5) (1445) '12 911 (12,9(11) )? q(7 12, .C4) 6 x f; 3)5Apse_ ndilsttial Lvnds (-) ( Z ( ) (-) (- ! >-) 6 1 <4 ,2 :4) 4,224) { J ( I~~~~~~~~~~~~~~~~~~~~~~~~~4.24 42/~-'ar ic pa I zv I vd P. I) (a42 ~8to 5() -) - 006: i7 h6s z21,31 2 (21 ,372)Ad.,an,e imp. L deposits 1,973 912 912 5,294 S,,294 '>939 '9410 138 Lo.138 12,7.2i 2, 2 .2~COlh- LJi.bili'i., -nldn epit"I and -PI-tt 2b,88-1 37,L21 37,151 50,156 50,156 65,6ss 65.t.,9 7R,1I , tl 7P.I'0 1I/I, 72h t 14 , 728

Sourses- 0 1.no el Rep,sblica; and luL-d sz. FffecRt

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Table 6.2 - COLOMBIA: SUMMARY ACCOUNTS OF THlE MONETARY AUTHORITIES 1/, 1975-80

(in millions of Colombian pesos)

197 5 -- - - - -1976 -- - - - - -1977 -- - - - - - 1978 -- - - - - -1979 -- - - - - - tt0- -- -

Dec Dec Dec Dec Dee Dec- Dec Dec Dec <ec Dec

(Coi$30=US$l) (Col353USSl) (ColS38=S$U81 (Col$40=US$l) fTC. l$ 43=lU1S1~- ~C c1 $4 8 - S

Net Isternational Reserves 16,41 34,975 4080 64037 69,526 94,310 99,274 164,284 _176 ~ 2 3 6.124 L

Ass.e ts~ 16,578 35,146 41,004 b4,245 6,594718 9,0 6.6 7,0 3.2 6,3Liabilitie. ~~~~~~~~~~-160 -171 -200 -208 - 2 26 -408 -430 -280 -301 -140 -178

Net Domestic Assets 14,643.. 5~i. 4,194 191 3, 701 3,0 47,251 -8.251 -48.116 -48,116 x922! Z%9,60

Central Adisisistration (set) 9,093 5,680 5,680 3,252 3 ,2 52 -1.336 -1,336 -723,684 -23, 684 -15,442 -15,442

Assets (10,059) (7,650) (7,650) (7,246) (7,2467 (7.035) (7,035) (6.828) (6,8281 '9,49 7(9.419 3)

'iabi liti es (-966) (-1,970) (-1,970) (-3,994) (-3,9941 (-8,371) i-8.3717 (-30.512) (-30,5127 (-24,937) -24 , 937)

Rest of Po,blic Sector (set) 430 672 6 72 5372 532 243 243 321 321 -18,217 -18,217

Assets (1,144) (1,314) (1,314) (1,527) (1,527) '11638) (1,638) (1.8447 ~ 1,8447 (2,0714) (2,094)

Liabilities (-714) (-642) (-642) (-995) (-995) (-1,395) (-1.3955 (-1.9237 '-19231 (-7.7,7211 (-7)0,221)

Comes-eial lacks (net) -7,160 -13,810 -13,610 -14,537 -14 , 32 -26,458 -26,458 -40-900 -40,500 -s,9,978 -69,978

Assets (14,136) (14,785) (14,785) (27,571) (27,5717 (31,8581 (31.9587 135,9761 (35.976) (10,880) (10,8601

Liabilities (-21,296) (-28,395) (-28,395) (-42,103) (-43,103' 7-58,316) (-58.316) (-Ii,4765 (-76.4761 (-80,838) (-80,838)

Specialized Sasis (not) 3,293 5 ,2 93 5,293 6,676 6,676 10,286 10,286 4.,8746 4.846 7,150 7.150

Asset (12,886) (13,012) (13,012) (19,669) (19,669) 177,673) 2 7 ,67 3) 125.079) 775,0791 (sP,),02) (58,302)

Liabilities (-5,593) (-7,719) (-7,719) (-12,993) (-12,993) 1-17,387 (-17,3871 (-20,223) (-20,223) -1,5)(-51,152)

Credit to Private Sector 2,184 2,976 2,976 3,659 3,659 4,475 4,475 5.249 5,249 '6,218) (6,2187

Net Unclassified Assets 2,803 3,180 3,180 4,114 4,114 4,539 4,539 4,642 4,642 10,663 10,6637

SIN Allocation and SlstonAdstmn 1_ 22 -2,064 3,007 962 5,936 2,083 6,598 654 12,202 22_431 - 1,1

Nedlom- an4ogtr oegnLaiiis ~ ] 4,545Z 5,306 6,007 6.,52 2 8,1529 89( 10l L,306 1_1,079 12,1,Q,4 IL2h31

Liabilities, to tbe Private Sector- 257 3668 36,682 60,769 60,769 75,447 75,447 105,208 105,208 166,795 166,795

Corre-cy in Cireslatien 20,374 2§,205 28,208 39,695 39,695 52,428 5,2 5556,1 1328,9

Demand Deposits 56 41 41 1 52 1 52 130 130 28 7 28 7 662 66,2

Advance Import Deposits 1,973 912 91 2 5,294 5,294 5,939 5,939 10,138 10,138 12,752 12, 7452

lends and Certificates 1,087 5,054 5,054 12,007 12,007 13,220 13,220 25,205 25,205 4,5.549 65,649

Swaps and ot(e,e Liabilities 2,084 2,467 2,467 3,621 3,621 3,730 3,730 4,063 4,063 534 0 6,340

learres: lance de la Republica; and Fsnd stof8 estimates,

/1 1 tludes financial fonds

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Table 6.3 - COLONMTA: SUMMARY ACCOUNTS OF ThE CO.'MERCIAL BANKS, 1975-83

(in millions of Colombian pesos)

reliminary ~ erelimnenary19…5 ----- 1976 -- _19 ----- 197… ----- ----- 1979 ----- .--- 1980 ---

Dec De ec De e DcDc-e e sec Dec(CoIS30=LS$7 (C *1535=US5T) (Col$38=US$l) (col40-US51 (*1$43-Us(C'4D-1SJ)

Nct Internatio-al Reserve, -l 141 ,715 _68 -146178 -15 394 -16,617 _17492 -34,384 -36,963 -45 ,73 -50 872

Assets 1,875 1,920 2,240 2,240 2,432 1 ,733 1,824 3 286 3,532 3 ' 81 4,332Li chili ties -17,289 -19,635 -22,908 -16,418 -17,826 -18,350 -19,316 -31,670 -40,495 -49,4;4 -55,204

Net Donestic Assets 73,;18 101,853 101,853 120,194 120,194 155,339 155,339 208,967 208,967 31P,Ot5 318,015

Central Ad.inistration (net) 1,669 2,231 2,231 2 471 2,471 2 ,386 2,386 2,473 2.473 2,915 2,915Assets (1,828) (2,231) (2,231) (2,539) (2,539) (2,5101 (2,5101 (2,4737 (f2473) (2,915) (2,915)

Liabilities (-159) ;-) (-) (-68) (-687 (-124) (-124( (( () (-

Rest of Public Sector (net) 4,911 7,077 7,077 12.003 12,0()3 14,142 14,142 13,924 13.924 13,3S7 13,357

Assets (5,100) (7,083) (7,083) (12,053) (12,053) (14,265) (14,265) (14,070) (14,070) (13,744) (13,744)

Liabilities (-189) (-6) (-6) (-50) (-50) (-123) (-1231 (-146j (-146t (-387) ( 387)

Net Claims on Monetary A.thorities 8,917 16,711 16,711 16,218 16,218 28,665 28,665 43 758 43.758 69,165 69,16';Assets (21,398) (29,282) (29,282) (42,600) (42,6001 (60 175( (60.175) (79,463) (79,4635 (10)5,796) (105 ,796)

Liabilities (-12,481) (-12,5715 (-12,571) (-26.382) (-;6,382) (-11.510) (-31.510) -35,7057) (-3,705) (-36,631) (-36,631)Net Claims on Specialieed Banks 3,095 2,409 2,409 1,414 1,414 1,905 1,905 1,668 1,668 2,420 2,420

Assets (9,508) (6,491) (6,491) (7,012) (7,012) (9,177) (9.177) (11,955) (11,955) (14,994) (14 994)Liabilities (-2,413) (-4,082) (-4,082) (-5,598) (-5,598) (-7,272) (-7,2727 (-10,287) (-10,287) (-12,574) (-72,574

Official Capital as, So,rplos -1,093 -1,170 -1,170 -1,371 -1,371 -1.553 -1.553 -230 -230 -24(7 -247)Credit to Private Sector 55,556 73,527 73,527 88,644 88,644 107,966 107,966 140,823 140,823 215,013 215,018Net Unclassified Assets 363 1,068 1,068 813 813 1.828 1.828 665S 6,551 15,380 15.380

Valoation Adjstent - 1235 9 - 2599 -

Median- and Tong-tern Foreign Liabilities 266 183 214 211 230 2886 301 268 288 233 260

Liabilities to the Private Sector 57,73S 80,971 80,971 104,570 104,570 137 ,546 137 ,546 171716 171 716 266, e3 _66,883Denand Deposits 35,429 47,386 47,386 58,463 58,463 76,465 76,465 93,551 93,551 121,393 121,393Savings Deposits 7,084 9,891 9,891 14,414 14,414 21,425 21,425 30.385 31(,38# 38,123 38,123Term Deposits 3,982 6,834 6,834 9,497 9.497 11,756 11,756 13,576 13.576 58,tt 53 ,080Other Liabilities, including capital and ssrpl-s 11,243 16,860 16,860 22,196 22,196 27,900 2' ,970 34,204 34.204 54,207 54 ,2d7

Source: Banco de la Repsblica; and Fund staff estimates.

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Tlble b.4 COLOMBIA: SMOMARY ACCOUNTS OF THE SPECIALIZED BANKS, 1975-80

(T. millions .f Colombian pesos)

1975 1976-1977-1979 Preliminary Preli.inary1975--__--- 1976 ------ ------ 1977 ______-__-___ 197 ---- ------ 1979 ----- -1-- 1980 ------Dec Dec Dec D DeDec Dec DPC DeI Dec Dec Dec(Col$3i-US$I1 (Col$35=US$l) (Col$38=USSI) (Col7hO-USSI (Co1$43=US$I) (Col$48-US$1)

Net Foreign Assets -1,947 -1,626 ~ 189 -2,653 -' 860 -4.153 -4,372 -5,309 - .7 -10,17' LL2,39Assets 24 60 77 38 106 220 232 -- -- -232 -260Liabilities -1,971 -1,686 -1,967 -2,751 -2,986 -4,.373 -4,604 -5,309 -5,707 9,943 11,099

Net Domestic Assets 41,239 55,746 55.746 73.290 73,290 1006,97 100,897 130,814 130,814 210,92) 210.325Central Administration (net) -- -- -- -- -- -- -- -- -5.327 -5,327

Assets (--) (--) (-~) (--) (--) (--) (--) .-) (--) (6,9 0 P) (6,968)

Liabilities () () ()()()()( ()(~) (-12,29S) (-12,295)

Rest of Public Sector (net) -5,946 -7,279 -7,279 -5,463 -5,463 -11,895 -11,895 -1o,996 -16,996 -13,013 -13,013Assets (1,685) (2,416) (2,416) (7,178) (7,178) (4,066i (4,066) (3,902' (3,902) (1,064) (1,064)Liabilities (-7,613) (-9,695) (-9,695) (-12,641) (-12,641) (-15,961) (-15,961) (-20,898) (-20,898) (-14,077) (-14,077)

Net Claims on Monetary Authorities -7,296 -5,298 -5,298 -6,408 -6,403 -10,286 -10,286 -4,856 -4,856 1,326 1,326Assets (5,590) (7,714) (7,714) (13,201) (13,2bt) 117,J87) (17,387) (20,223) (20,223) (25,207 (25,207) a'Liabilities (.12,886) (413,012) (-13,012) (-19,669) (-19,669) (-27,673) (-27,673) (-25,079) (-25,079) (-23,88el (-23,881)

Net Claims on Co.-ercial Banks -,O9S -2,409 -2,409 _1,414 -6,414 -1,905 -1905 -1,668 -1,668 4,3e3 4,383Assets (2,413) (4,082) (4,082) (5,598) (5,598) (7,727) (7,272) (10,287) (10,287) (15.3S8) (15,3i8)Liabilities (-5,508) (-6,491) (-6,491) (-7,012) (-7,012) (-9,177) (-9,177) (-11,955) (-11,955) (-10,979) (-10,975)

Official Capital and Surplus -2,625 -6,269 -6,269 -8,865 -8,865 -12,452 -12,452 -14,188 -14,188 -26,28. -26,280Credit to Private Sector 61,767 77,055 77,055 102,690 102,690 140,471 140,471 171,050 171,050 255,032 255.032Net Unclassified Assets -1,566 -54 -54 -7,250 -7,250 -3,036 -3,036 -2,528 -2,528 -5,79' -5,796

Valuation Ad3ustment -687 -- 759 -- -546 -- -1,113 975 _2529 --

Medium- and Long-term Foreign Liabilities 3.200 2.929 3,417 3.715 4,034 5035 5,929 7,695 11,56 12,908

Liabilities to the Rest of the Private Sector 36.779 51.191 51.191 66,922 66.922 91,709 116,835 116,835 18605 186,058Demand Deposits 2,397 3,053 3,053 4,234 4,234 4,677 4,677 8,74 8,7743Savings Deposits 5,204 7,026 7,026 9,764 9,764 12,217 12,217 20,262 20,262

Certificates of Deposit 1,258 2,274 2,274 3,293 3,293 4,489 4,498 41,629 41.332UPAC Deposits 13,703 19,473 19,473 22,573 22,573 29,816 29,816 58,98F 58,988

Other Deposits in Savings and Loans -- 876 876 1,760 1,760 5,296 5,296 2,330 2,330

Other Liabilities, including Capital and Surplus 14,217 18,489 18,489 2';,298 25,298 35,214 35.214 54,101 54.101

Sources: Banco de la Republics; and Fond staff estimates.

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Table 6.5 - COLOMBIA: THE MONEY SUPPLY AND THE HDNEY MULTIPLIERS, 1970-8O

Preimina'x Prelimtinary1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

Private Sector Monetary Holdings

Currency in hands of public 7,866 8,627 10,863 12,762 16,094 20,816 28,778 40,469 53,406 66,705 83,137Demand Deposits 13,761 15,368 18,978 25,810 30,019 38,099 50,605 63,034 81,484 100,932 131,526Money (Ml) 21,672 23,995 29,841 38,572 46,113 58,915 79,383 103,503 134,890 167,637 214,663Quasi-money 3,565 4,206 6,103 12,802 20,821 31,886 49,615 70,082 99,794 125,343 210,989Money and Quasi-money (M2) 25,192 28,201 35,944 51,374 66,934 90,801 128,998 173,585 234,684 292,980 425,652

Actual Reserves Held by Commercial Banks" 5,616 6,040 7,536 11,365 12.566 16,921 24,647 34,058 47,528 64,883 86,985

Base Money (currency in hands of publicplus actual reserves held bycommercial banks) 13,482 14,667 18,399 24,127 28,660 37,737 53,425 74,527 100,934 131,589 170,122

Money Multipliers

Ratio of Ml to Base money 1,604 1,636 1,622 1,599 1,609 1,561 1,486 1,389 1,336 1,274 1,262Ratio of 142 to Base money 1,869 1,923 1,954 2,129 2,335 2,406 2,415 2,329 2,325 2,226 2,502

Currency in hands of public 20.0 9.7 25.9 17.5 26.1 29.3 38.2 40.6 32.0 24.9 24.6Demand deposits 15.7 11.7 23.5 36.0 16.3 26.9 32.8 24.6 29.3 23.9 30.3Money (Ml) 17.2 10.9 24.4 29.3 19.6 27.8 34.7 30.4 30.3 24.3 28.0Quasi-money ---- 18.0 45.1 109.8 62.6 53.1 55.6 41.3 42.4 25.6 68.3Money and quasi-money (M2) ---- 11.9 27.5 42.9 30.3 35.7 42.1 34.6 35.2 24.8

Actual Reserves held by commercial banks 19.6 7.5 24.8 50.8 10.6 34.7 45.7 38.2 39.6 36.5 34.1

Base money 19.8 8.8 25.4 31.1 18.8 31.7 41.6 39.5 35.4 30.4 29.3

Inflation rate (Obreros index-annual average) 6.7 11.8 13.8 22.0 25.2 23.6 20.0 34.8 16.8 26.7 27.2

Source: Banco de la Republica,

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Tabl 6.6 - COLOMBIA: COMPOSITION AND GROWTH OF 'lIE MONEY SUPPLY ;->60, 970-8O)

(Millions of Pesos)

Currencv Total Percentage Currency witI

End of CuLrrency with the Demand Money Increase Public as '4 of

Period Outstanding Public Deposits Supply /I During Period Monev SoLppI

1960 1,724 1,606 2,497 4,103 10.4 39.1

1970 8,357 7,866 13,761 21,627 17.2 36.4

1971 9,137 8,627 15,368 23,995 10.9 36.0

1972 11,400 10,863 18,978 29,841 21.- 36.4

1973 13,432 12,762 25,810 38,572 29.3 33.1

1974 16,895 16,094 30,019 46,113 19.6 34.9

1975 22,075 20,816 38,099 58,915 27.8 35.3

1976 30,105 28,778 50,60S 79,383 34.7 36.3

1977 42,160 40,469 63,034 103,503 30.4 39.1

1978 55,485 53,406 81,484 134,890 30.3 39.6

1979 69,887 66,706 100,931 167,637 24.3 39.8

198( 89,270 83,137 31 ,2?s 214,663 21.8 38.7

1976 I 15,571 13,737 46,891 60,628 2.9 22.7

1976 II 17,254 15,308 47,444 62,752 3.5 24.4

1976 III 16,284 14,234 51,050 65,284 4.0 21.8

1976 IV 30,091 28,778 50,481 79,259 21.4 36.3

1977 1 20,420 17,838 63,167 81,005 2.0 92.0

1977 TI 21,410 20,721 69,536 90,457 11.7 22.9

1977 III 23,045 21,076 69,596 90,672 0.2 23.2

1977 IV 42,160 40,469 63,034 103,503 14.2 39.1

1978 I 28,296 25,286 79,219 104,505 1.0 24.2

1978 II 31,154 28,442 85,184 113,626 8.7 25.0

1978 TIT 31,583 28,979 90,664 119,643 5.3 24.2

1978 IV 55,432 53,406 81,484 134,890 12.7 39.6

1979 I 35,537 32,358 96,521 128,879 -4.5 25.1

1979 II 41,057 37,786 104,163 141,949 10.1 26.6

1979 III 39,535 36,114 112,048 148,162 4.4 24.4

1979 TV 69,886 66.706 100.931 167,637 13.1 39.8

1980 I 50,629 45,096 123,810 /2 168.906 0.8 26.7

1980 II 52,943 46,470 131,869 178,339 5.6 26.1

1980 lII 51,401 44,945 131,352 /2 176,297 /2 -1.1 25.5

1980 v 89,270 83,137 131,526 214,663 /2 21.8 38.7

/1 Currency Outstanding less cash holdings of baniks equials Currency with the Pulblic.

Adding Demand Deposits to Cuirrency with the Public gives Total Money Stupply, MlI

defined as to exclude deposits of the Governmenit and offici:fl enitities in the

Central Bank.

12 Preliminary.

Soturce: Banco de la Republica.

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-167-

Table 6.8 - COLOMBIA: BANKING SYSTEM LOANS, BY QUARTER, 1960, 1965, 1970-8D /I(Loans Outstanding at end of Quarter, Millions of Pesos)

Commercial Bank Loans 2/ Total Banknin System Loans _

Short 4/ Medium 5/ Long 6/ Total Short 4/ Medium 5/ Long 6/ Total

1960 Dec. 2,183.3 430.4 105.0 2,718.7 2,571.0 931.4 942.0 4,444.4

1965 Dec. 4,315.2 1,069.7 386.5 5,771.4 5,172.5 2,093.2 2,028.4 9,294.1

1970 I 7,208.5 1,714.2 1,264.1 10,186.8 9,054.7 4,629.3 5,281,1 18,965.1II 7,530.1 1,741.7 1,329.1 10,600.9 9,315.1 4,730.8 5,703.8 19,469.7III 8,173.1 3,677.1 1,395.6 11,235.8 10,100.4 4,819.0 6,198.8 21,118.2IV 8,493.9 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 23,606.4II 8,830.8 1,909.7 1,753.0 12,493.5 10,811.4 5,505.8 8,264.1 24,581A3III 9,440.7 2,041.1 1,804.4 13,286.2 11,676.6 5,840.8 9,023.5 26,540.9IV 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 1 10,578.1 2,107.6 2,005.1 14,680.8 13,062.3 6,044.7 10,306.5 29,413.5II 10,836.9 2,214.1 2,105.5 15,156.5 13,276.9 6,362.4 10,880.4 30,519.7III 11,106.3 2,310.6 2,195.2 15,612.1 13,760.8 6,513.2 11,427.8 31,701.8TV 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,'61.6 33,786.8El 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 16,853.2 7,092.7 13,128.3 37,219.2IV 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 41,682.4II 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 45,657.7IV 21,444.4 3,555.3 4,481.5 29,481.2 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 51,510.0II 24,050.3 3,814.3 4,880.7 32,745.3 28,143.7 8,099.4 16,339.6 53,082.7III 28,095.4 3,788.3 5,030.6 36,914.3 32,339.6 8,225.6 17,)36.4 57,601.6IV 29,016.8 3,796.8 5,249.9 38,063.5 33,422.1 8,565.5 17,S07.8 59,395.5

1976 I 30,817.2 3,712.2 5,296.3 39,825.7 35,152.6 8,406.0 17,S77.7 61,036.2II 30,997.2 3,721.6 5,463.4 40,182.2 35,510.4 8,630.4 17,777.1 61,917.9III 35,087.6 3,976.7 5,545.4 44,609.7 40,018.6 9,171.3 17,793.8 66,983.7IV 38,298.5 4,387.3 5,966.2 48,652.0 43,522.4 9,936.5 18,137.7 71,626.6

1977 I 41,728.6 4,932.9 6,263.5 52,925.0 47,292.0 10,919.0 18,399.0 76,609.0II 44,423.0 6,244.4 6,676.1 57,343.5 50,290.0 12,831.0 18,832.0 81,962.0IIT 48,788.5 7,773.2 7,394.4 63,956.1 55,269.0 15,212.0 19,513.0 89,944.0IV 50,831.8 10,754.2 8,442.6 70,028.6 58,375.0 19,177.0 20,598.0 98,15(.0

1978 I 49,679.8 12,352.4 8,900.2 70,932.4 57,455.0 21,907.0 21,001.0 100,360.0II 54,009.5 14,035.1 9,365.9 77,410.5 61,698.0 23,990.0 21,732.0 104,420.0III 55,374.9 15,062.8 10,145.4 80,583.1 63,799.0 26,196.0 22,789.0 112,780.0IV 58,752.0 15,706.0 10,964.0 85,422.0 67,653.0 27,565.0 23,831.0 119,049.0

1979 I 57,762.0 16,303.0 10,697,0 84,762.0 n.a. n.a. n.a. n.a.II 57,862.0 17,436,0 11,680.0 86,978.0 n.a. n.a. n.a. n.a.

III 59,965.0 18,085.0 12,279,0 90,329.0 n.a. n.a. n.a. n.a.IV 64,464.0 18,497,0 12,928,0 95,889.0 n.a. n.a. n.a. n.a.

1980 I 65,189.0 18,767.0 13,081.0 97,037.0 n.a. n.a. n.a. n.a.II 71,468.0 18,791.0 13,646.0 108,905.0 n.a. n.a. n.a. n.a.

III 73,821.0 18,995,0 14,792.0 107,608.0 n.a, n.a. n.a. n.a.IV n,a. n.a. n.a. n.a. n.a. n.a. n.a. n.a.

/1 Figures may not add to row totals because of rounding, 1960-67 (year end)./2 Includes Popular Bank and Livestock Bank./3 Includes Commercial Banks, Mortgage Banks and Agricultural Credit Bank./4 Less than one year.15 One to five years./6 More than five years.

n.a. Not available

Snurce: Banco de la Republica.

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Table 6.9 - COLOMBIA: BOO)A ANI) EI)EDI,lN STOCiK EX('CHANGES, 1960, 1970-8'!

196n 19 7n 1971 1972 191 3 1974 19 i 1976 1 77 1978 1979 19Oc

I'otal tra Isact ionas fmill ions ofColombian pes , 1973 1 724 9 172 3,237 4,877 '3,72 n 6,473 7.772 12.1( 16,86( 41,638

Bogot a I, 304 |4 16 1, 1 4 1, 26 2 ,2 2 3, 36 7 2, ,,( 6,057 ,6? 31 1 1 9c8 30,362

Bedel>lin 70)4 SS7 42( 646 98S I, 710 1 ,192 1 ,417 1,71I7 3,47(1 4,02 11,276

lercentage of trransn, t ions(Bogota) 1)) 1Of) 10 1(I( 1() 1( 00 0 1) 1()() ll) l()

Banking and f i nant jal sharu,es 20 1o 17' 9 II 9 8 6 8 18 14 8

lndustrial shares 44 34 '3 2() 22 17 16 10 1S 26 12 14

Boinds 12 21 14 16 18 29 22 21 22 1 5 1i ,IfIs ;1nd :D0ls I1 "23 21 38 S7 49 47 3? 17 2Y 23 1c

Other 12 1 1 1 - 19 46 26 18 26 6h

I('erceita-t ceange in pries(Bogjotta - end of vear)

Baniking and financial slCares S9.6 -21.)) -20. 3 -16.1 11.1 -13.6 -2. I -19.4 1.8 *6.7 2 .I -20,4

lnzdcistriol shares 10.9 - 2.4 -2 3.6 - 2. 7 12.8 -1'3. 4.3 42. 1 2() .1 48.( 3X 63 -32 )Cost of Ii vi ni (na t I onaI -

wihite collar) 8.', 7.2 12.f, 14. 21 22.1 2i.2 17.7 2.4 27.7 19.7 27.7 24,

/ I Tax c redi t cert j t icates granted Bv [he overnment for minor exports .irid touirist development pro jects.

/2 2 'AS, TAC., 'IFA, I 8

Sotirce Ilanco de la Repiublica.

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Table 7.1 - COLOMBIA: PRODUCTION OP PRINCIPAL CROPS, 1962-80 /a

(000 Metric Tons)

Avg. Annual /h

1962-64 1966-68 /b /c Growth RateAv. Av. 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980 1970-80

CEREALSRice (Paddy) 578 707 702.2 851.9 997.5 1.151.1 1.540.4 1.614.0 1.560.0 1.307.0 1.714.7 1.932.5 1.797.9 9.4

Barley 113 88 88 107.2 98.0 81.5 96.9 121.8 71.4 81.3 118.9 136.6 109.5 2.2

Wheat 112 110 110 53.2 69.2 72.4 58.8 38.9 45.3 38.5 37.7 42.0 45.7 -4.5

Corn - - - 818.5 806.2 739.1 791.5 722.6 883.7 752.8 862.2 870.2 853.6 0.4

Sorghum 27 87 87 239.6 210.0 280.2 336.6 335.0 427.7 406.2 516.7 501.3 430.5 12.6

COTTON AND OILSEEDSSeed cotton 201 274 376.4 322.4 412.1 344.8 420.3 400.9 408.6 480.4 330.3 281.6 352.9 -0.7

Soy beans 31 78 131.9 100.7 104.6 97.2 114.0 168.9 75.1 102.9 130.8 145.6 154.5 2.5

Sesame 34 35 17.9 31.4 28.3 18.1 17.2 20.7 20.7 13.0 13.7 15.6 12.9 -6.2African Palm oil - - 26.9 36.2 41.4 44.0 50.8 39.2 38.6 48.1 52.6 59.6 63.6 6.5

OTHER EXPORT CROPS

Sugar /f and / 399 600 672.2 744.0 823.7 809.9 894.8 969.7 934.6 853.3 1.025.9 1.096.0 1.306.9 5.3 3Bananas 553 728 335.0 351.0 282.0 301.0 469.7 559.0 521.5 593.1 719.0 782.0 912.5 12.0

Tabaco /f 40 43 42.0 39.3 36.1 39.7 41.1 57.6 38.6 58.3 46.6 59.6 63.6 4.8 /d

Caraota Begns - - 8.0 12.9 18.2 9.1 15.6 27.5 3.5 2.7 - - - -13.7

OTbER FOODCROPSYuca 760 859 1.956.0 1.990.4 2.010.4 1.998.4 2.125.9 2.021.1 1.845.7 1.972.6 2,044.1 1.908.9 2.150.4 0.2Patatoes 770 830 868.9 868.9 823.4 1.030.5 1.012.0 1.320.0 1.515.8 1.608.5 1,995.6 1.965.1 1,726.7 11.7Platano 1.315 1.538 1.382.8 1.517.3 1.562.3 1.653.1 1.678.9 1.791.7 1.852.0 1.844.0 2,192.0 2.235.8 2.348.0 5.2Panela 643 677 444.0 457.0 508.0 524.0 557.2 805.6 833.5 837.6 965.4 984.7 987.8 9.9

Beans (Common) 74.7 83.6Cacao 16 18 18.5 19.0 20.0 22.0 23.0 21.2 29.2 27.0 31.0 32.3 34.4 6.7

Vegetales - - - - - 1.871.0 1.477.3 978.8 1.313.3 1.321.3 1,341.8 1.352.8 1.367.9 -2.0

/a Calendar year data before 1970; Crop year thereafter.lb Preliminary data for permanent and semi-permanent crops.Tc Preliminary.Td 197n-77.

Ie 1973-80.Tf Refers to calendar year.a Series may not be comparable between 60's and 70's.fh Least squares growth rates.

Source: Ministerio de Agricultura, OPSA.

Note: This information refers to harvested area.

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Table 7.2 - COLOMBIA: AREA UNDER CULTIVATION, PRINCIPAL CROPS, 1962-81 /a

(000 hectares)

Avg. Annual1962-64 1966-68 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980 /b 1981 /c Growth RatesAAvg. vg, __ ____1971-81

CERLALSRice (paddy) 279 302 257.3 241.8 258.2 291.0 354.5 372.5 365.6 324.4 406.1 442.0 415.8 431.0 5.8Barley 55 54 51.1 55.6 63.5 52.4 59.1 75.6 68.0 46.6 68.4 73.9 62.8 80.0 2.4Wheat 121 95 45.4 46.9 60.7 56.5 45.1 30.1 32.8 33.0 29.7 30.7 37.6 44.0 -4.3Corn 719 808 661.4 666.5 624.5 580.3 570.1 572.7 647.5 580.5 670.9 615.6 614.4 665.0 0.4Sorghum 11 40 53.6 92.1 84.0 135.4 151.2 134.0 173,6 189.5 224.8 221.2 206.0 240.0 10.5

COTTON AND OILSEEDSCotton 153 180 266.6 219.0 242.3 250.8 258.4 280.7 285.6 377.2 327.9 186.5 216.9 211.0 -0.7Soybeans 20 44 66.5 55.1 54.0 54.0 57.0 87.8 37.6 56.7 69.0 71.3 78.1 68.0 3.0Sesame 56 51 27.4 47.0 43.2 37.0 32.2 41.6 36.1 23.7 24.9 27.7 24.2 24.0 -6.7African Palm oil - - 12.8 13.8 15.0 16.5 18.2 15.7 16.0 17.4 19.0 21.8 22.7 23.6 5.0

OTHER EXPORT CROPSSugar Cane /f 67 94 69.0 64.0 72.9 78.6 75.1 75.7 83.0 76.5 86.5 91.1 104.0 100.0 4.1Bananas /f and /g 54 58 17.6 14.0 15.7 13.3 14.9 14.2 16.3 19.5 20.8 22.0 23.2 23.3 6.2Tobacco 21 24 22.7 23.0 26.3 26.2 25.5 34.1 29.7 33.3 28.8 31.0 28.1 n.a. 2.5Caraota Beans /f - - 4.5 8.8 15.8 8.5 10.7 24.7 2.8 2.3 - - - - 2.3 /d

OTHER FOOD CROPSYuca 135 146 244.5 248.8 251.3 249.8 250.8 256.7 223.3 218.3 216.9 221.7 207.7 208.0 -2.2Potatoes 73 76 88.6 88.3 89.5 98.6 92.0 110.0 125.0 130.0 141.6 148.0 142.0 159.5 6.6Plantain 193 228 320,1 324.9 324.8 326.7 327.9 341.0 340.1 386.3 400.1 412.1 432.6 420.0 3.4Canetor Panela 245 236 178.0 183.0 188,0 194.0 196.9 173.5 171.5 178.9 197.8 200.0 199.0 180.0 0.3Beans (common) 112.4 115.4 119.0 2.9Cacao 35 38 45.7 49.0 52.6 54.9 57.9 52.6 54.5 57.5 60.5 62.7 64.1 68.0 2.8Vegetables - - - - - 64.6 50.4 60.1 111.7 118.0 118.9 119.2 120.2 n.a. 13.7 /e

/a Calendar year date before 1970. Crop year thereafter./b Preliminary data for permanent and semi-permanent crops./c Preliminary. /d Refers to Calendar year. Le 1973-80/f Refers to Calendar year. a& Series may not be comparable between 60s and 70s./h Least squares growth rates.

Source: Ministerio de Agricultura, OPSA.

Note: This information refers to harvested area.

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Table 7.3: COLOMBIA: CROP YIELDS PER HECTARE, 1962-81(Metric Tons/ha)

Avg. Annual1962-64 1966-68 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980 1981 /a Growth Rate

______________-_ __ _vg _ _Avg __ _ _ __ _ ____ _ __ ______________ __ _ _ _ _ ____ _ 1971-81 /b

CEREALSRice (paddy) 2.1 2.3 2,7 3.5 3.9 4.0 4.3 4.3 4.3 4.0 4.2 4.4 4.3 4.3 1.45Barley 2.1 1.6 1.7 1.9 1.5 1.6 1.6 1.6 1.1 1.7 1.7 1.8 1.8 1.9 1.15Wheat 0.9 1.2 1.2 1.1 1.1 1.3 1.3 1.3 1.4 1.2 1.3 1.4 1.2 1.4 1.55Corn 1.1 1.1 1.3 1.2 1.3 1.3 1.4 1.3 1.4 1.3 1.3 1.4 1.4 1.4 1.04Sorghum 2.4 2.2 2,2 2.6 2.5 2.1 2.2 2.5 2.5 2.1 2.3 2.3 2.1 2.4 -0.82

COTTON AND OILSEEDSCotton 1.3 1.5 1.4 1.5 1.7 1.3 1.6 1.4 1.4 1.3 1.0 1.5 1.6 1.8 0.08Soybeans 1.6 1.8 2.0 1.8 1.9 1.8 2.0 1.9 2.0 1.8 1.9 2.0 2.0 2.0 0.81Sesame 0.6 0.7 0.65 0.67 0.66 0.49 0.53 0.5 0.6 0.5 0.6 0.6 0.5 0.6 -0.73African palm oil /c /d /d 2.1 2.6 2,8 2.7 2.8 2.5 2.4 2.8 2.8 2.7 2.8 2.8 0.44

OTHER EXPORT CROPSSugar /c 6.0 6.4 9.7 11.6 11.3 10.3 11.9 12.8 11.3 11.2 11.9 12.0 12.6 11.5 0.65Bananas /c 10.2 12.6 19.0 25.1 18.0 22.6 31.5 39.4 32.0 30.4 34.6 35.6 39.3 39.3 6.24Tobacco 1.9 1.8 1.9 1.7 1.4 1.5 1.6 1.7 1.3 1.8 1.6 1.9 2.3 2.3 3.95Caraota Beans - - 1,8 1.5 1.2 1.1 1.5 1.1 1.3 1.2 1.2 - - - 3.49 /f

OTHER FOODCROPSYuca 5.6 5.9 8,0 8.0 8.0 8.0 8.5 7.9 8.3 9.0 9.4 8.6 10.4 10.6 2.77Potatoes 10.5 10.9 10.9 9.8 9.2 10.5 11.0 12.0 12.1 12.4 14.1 13.3 12.2 13.7 3.74Plantain 6.8 6.7 4,3 4.7 4.8 5.1 5.1 5.3 5.4 4.8 5.5 5.4 5.4 5.7 1.52Panela /c 2.6 2.9 2.5 2.5 2.7 2.7 2.8 4.6 4.9 4.7 4.9 4.9 5.0 5.0 8.39Beans (common) 0.56 0.56 0.58 0.59 0.62 0.61 0.64 0.7 0.7 0.6 0.6 0.7 0.7 0.8 1.96Cacao 0.46 0.47 0.40 0.39 0.38 0.40 0.40 0.35 0.54 0.47 0.51 0.5 0.5 0.6 4.37

/a OPSA estimates./b Least squares estimates./c Yield per planted acre including non-bearing./d Plantations mainly in non-bearing stage./e Series subject to revision.Tf 1970.81

Source: OPSA, Ministerio de Agricultura.

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Z .4 - ('1I OMPIA: CAT"I'L. POPI't)ATIL,; ANI) EXIRACTIGN, 3963, 1967, G 9Th-EL

(Million llead, LUnless Otherwise Noted)

1963 1967 1970 1971 1972 1973 1974 19757 197i6 1977 1978 1979 1980(/a

Cattle on hliad, Jan. 1 16.2 18.1 2(0.2 21.0 21.7 22.(0 22.S 23.2 23.8 24.4 25.3 26.2 26.8

Births .... .... 4.4 4.6 4.7 4.1 4.1 4 8 5.0 5.3 5.5 5.1 5.1

Deaths .... .... 0.8 0.8 0.9 0.9 1.( l.() 1.0 1.1 1.1 1.1 1.l

Extraction- Registered slaughters 2.0 1.8 2.4 2.6 2.5 2.0 2.1 2.4 2.5 2.3 2.5 2.8 2.8

- Registered exports ... . .... (0.1 '0.1 0. .01 .02 0.2 0.1 0.1 0.1 .1 ( ).1

- Unregistered extraction 0.3 0.4 0.3 0.4 0.5 0 7 0.9 0.7 0.8 (.9 (.9 0.5 ().5

Total Extracti)on 2.4 2 2.2 2.8 3.1 '3.1 2.7 3.0( 3.13 3.4 3.3 3.5 3.4 3E4

Total Extraction as T ofTotal Cattle 14.8 1 12.2 13.9 14.8 14.'3 11.9 1l3.3 13.8 14.6 13.6 13.8 14.1 12.7

"_I Est t.d.

Soorce: OPSA, Mtinister'o .T- A l-i IP ra.

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-] 73-

Table 7.5 - COLOMBIA: GROSS VALUE OF AGRICULTURAL PRODUCTION, 1950-80

(In millions of 1970 Ccl$)

Year Crops Livestock Other Total

1950 9,011.5 7,724.5 2,843.1 19,579.11951 10,225.7 6,704.7 2,410.7 19,341.11952 11,080.8 6,879.6 2,621.9 20,582.31953 11,250.7 6,856.8 2,449.0 20,556.51954 11,411.2 7,056.7 2,793.7 21,261.61955 11,252.3 7,912.3 2,841.6 22,006.21956 11,569.0 8,324.5 2,738.4 22,631.91957 12,357.2 8,695.8 2,801.8 23,854.81958 12,920.5 8,946.3 2,747.6 24,614.41959 13,874.6 9,125.2 2,767.1 25,766.9196C 13,461.0 9,631.5 2,954.0 26,o46.51961 13,916.9 9,841.8 3,302.4 27,061.11962 14,432.9 10,400.1 3,211.7 28,044.71963 14,082.3 11,168.4 2,945.5 28,196.21964 15,184.7 11,358.7 3,174.1 29,717.51965 15,037.7 11,398.6 3,396.3 29,832.61966 15,727.2 11,428.1 3,716.3 30,871.61967 16,825.9 12,175.7 4,104.4 33,106.01968 18,181.1 12,758.3 4,356.6 35,296.01969 18,399.9 13,615.6 4,483.7 36,499.21970 12,234.2 14,326.5 4,824.7 38,385.41971 19,640.7 14,681.0 4,975.6 39,297.31972 20,947.2 15,364.0 5,377.9 41,689.11973 22,192.8 15,993.6 5,414.6 43,601.01974 23,560.2 17,120.2 5,922.9 46,603.31975 25,196.4 18,620.0 5,944.6 49,761.01976 25,797.9 19,405.9 5,557.8 50,761.61977 26.774.0 29,658.3 5,478.2 51,910.51978 29,894.6 20,698.8 6,390.4 56,983.81979/a 31,173.5 21,905.6 5,964.5 59,043.61980/b 32,108.2 22,199.0 6,510.5 60,817.7

/a Preliminary./b Estimated.

Source: Banco de la Republica and OPSA.

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-174-

Table 7.6 - C0LOMIB-A: IIDICES OF PHYSICAL VOLUME OF GROSSAGRICULTURAL PRODUCTION, 195C-80

(1970 = 100)

Year All Crops Coffee Only Livestock Other Total

1950 46.9 68.4 53.9 58.9 51.01951 53.2 74.9 46.8 50.0 50.41952 57.6 83.6 48.o 54.3 53.61953 58.5 84.o 47.9 50.8 53.61954 59.3 82.5 49.3 57.9 55.41955 58.5 75.2 55.2 58.9 57.31956 60.i 81.6 58.1 56.8 59.01957 64.2 96.8 60.7 58.1 62.11958 677.2 97.7 62.4 56.9 64.11959 72.1 102.6 63.7 57.4 67.11960 T0.0 93.3 67.2 61.2 67.91961 72.4 102.5 68.7 68.4 70.51962 75.0 97.3 72.6 66.6 73.11963 73.2 97.6 78.0 61.1 73.51964 78.9 104.1 79.3 65.8 77.41965 M8"2 98.4 79.6 70.4 77.71966 8i.8 101.7 79.8 77.0 8o.41967 87.5 96.3 85.9 85.1 86.21968 94.5 100.0 89.1 90.3 92.01969 95.7 100.0 95.0 92.9 95.11970 100.0 1CO.0 100.0 100.0 100.01971 102.1 95.4 102.5 103.1 102.41972 108.9 100.2 107.2 111.5 108.61973 115.4 110.2 111.6 112.2 113.61974 122.5 99.2 119.5 122.8 121.41975 131.C 106.2< 130.0 123.2 129.61976 134.1 108.1 135.5 115.2 132.21977 139.2 122.8 137.2 113.5 135.21978 1S5,4 1.39.2 144.5 132.5 148.51979 /a 162.1 150.8 152.9 123.6 153.81980 166.9 164.8 154.9 126.4 158.4

/a Preliminarv./b Estimated.

Source: Banco de la Republica and OPSA.

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Table 7.7 - COLOMBIA: AGRICULTURAL GROSS VALUE ADDED,

IN CONSTANT 1970 PRICES, 1950-80

(At market prices, millions of pesos)

Year Crops Livestock Other Total

1950 8,345.3 6,740.8 2,270.1 17,356.21951 9,400.8 5,850.4 1,944.3 17,195.51952 10,199.4 6,0o6.5 2,104.9 18,310.81953 10,328.9 5,983.0 1,987.0 18,298.91954 10,449.7 6,162.6 2,244.1 18,856.41955 10,286.6 6,904.6 2,274.5 19,465.71956 10,608.1 7,271.8 2,197.1 20,077.01957 11,407.7 7,592.0 2,246.5 21,246.21958 11,860.4 7,811.2 2,301.3 21,672.91959 12,693.4 7,966.9 2,216.1 22,876.41960 12,287.0 8,412.5 2,365.9 23,CM65.41961 12,772.0 8,592.4 2,615.2 23,5179.61962 13,149.3 9,076.4 2,543.2 24,768.91963 12,867.7 9,748.5 2,414.1 25,030.31964 13,885.7 9,920.3 2,523.0 26,329.01965 13,742.8 9,951.5 2,680.9 26,375.21966 14,329.9 9,974.9 2,918.5 27,223.31967 15,187.1 l,184.9 3,208.3 28,5i80.31968 16,271.2 10,833.8 3,399.3 30,co04.31969 16,375.4 11,667.1 3,529.6 31,635.11970 17,059.3 12,222.6 3,720.9 33,002.81971 17,463.0 12,512.4 2,842.7 33,818.11972 18,534.5 13,113.2 4,149.4 35,797,11973 19,464.8 13,613.6 4,168.1 37,2'46.51974 20,602.2 14,740.2 4,580.7 39,S23.11975 21,908.4 16,091.0 4,336.8 42,336.21976 22,177.0 16,756.1 4,173.4 43,o06.51977, 22,972.5 17,009.0 4,125.2 44.106.71978 26,076.5 17,986.9 4,571.4 46,634.81979 T. 27,304.6 18,978.8 4,429.6 50,713.01980/. 27,913.0 19,233.0 4,835.1 51,981.1

/a Preliminary./b Estimated.

Source: Banco de la Republica.

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Table 7.8 - COLOMBIA: PRICE DEFLATORS FOR AGRICULTURE, NON-AGRICULTURE,

AND TOTAL GDP, 1950-80

(1970 = 100)

Agriculture Non TotalYear Crops Livestock Total Agriculture GDP

1950 17.2 14.8 16.0 15.8 15.81951 19.9 15.4 18.0 17.3 17.,41952 19.0 17.9 18.2 17.6 17.71953 20.5 19.5 19.7 18.1 18.51954 25.9 21.6 23.7 19.3 20.61955 23.1 22.'( 22.5 19.9 20.61956 27.8 22.4 25.2 21.0 22.21957 32.6 25.7 29.3 24.7 26.01958 33.5 30.0 31.6 28.7 29.51959 32.5 35.8 32.9 31.0 31.41960 34.4 39.8 35.6 33.6 3k4.31961 37.8 40.0 38.1 36.6 37.01962 38.4 40.9 39.2 39.6 39.51963 49.8 45.9 48.2 48.8 48.81964 66.4 54.o 60.7 54.9 56.51965 65.6 62.8 64.3 60.6 62.21966 73.9 74.7 73.4 69.9 71.21967 76.8 82.8 78.2 76.2 77.21968 84.8 86.3 84.7 83.7 84.21969 92.2 90.4 91.7 90.4 91.11970 100.0 100.0 100.0 100.0 100.01971 110.4 113.9 111.1 110.2 lo.41972 128.7 137.3 130 a 123.5 125.21973 168.9 183.8 171.0 147.2 152.81974 204.8 229.5 212.0 189.8 195.01975 264.2 248.7 257.0 228.8 235.61976 3149.4 316.1 330.4 279.3 291.31977 505.6 410.2 461.4 347.c 373.81978 /a 500.0 491.0 501.9 417.7 437.81979 lb 573.2 576.5 585.5 529.7 542.51980 697.4 700.6 712.5 664.5 675.7

/a Preliminary./b Estimated.

Source: Banco de la Republica.

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Table 7.9: COLOMBIA: LOANS EXTENDED TO THE AGRICULTURAL SECTOR, 1970-80(Millions of pesos)

1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

1. Agricultural Financial rund 959.6 1,032.3 1,291.7 1,897.5 6,153.6 6,047.3 7,664.7 10,778.9 12,0C2.Q 16,792.2 21,669.2

1.1. Rotated crops 959.6 1,032.3 1,291.7 1,897.5 3,316.8 3,902.4 4,333.7 5,818.9 6,225.7 8,073.2 11,016.91.2. Other Activities - - - - 2,836.8 2,144.9 3,331.0 4,960.0 5,777.2 7,919.0 10,652 3

1.2.1. Permanent and semi-permanent crops - - - - 354.6 234.3 632.3 728.3 638.5 1,113.2 2,139.31.2.2. Annual crops - - - - 4.4 68.6 68.8 78.5 84.8 134.0 288.8

1.2.3. Fishery - - - - 1,822.4 1,237.7 1,447.7 2,114.6 2,988.5 3,810.1 4,797.31.2.4. Similar activities - - - - 655.4 604.3 1,182.3 2,038.5 2,065.4 2,861.7 3,426.9

2. Caja Agraria 2,227.5 2,648.8 3,130.7 4,040.4 4,601.7 5,136.6 6,015.4 9,721.5 10,343.5 12,044.5 11,637.1

2.1. Crops 1,271.5 1,514.8 1,592.8 2,007.1 2,337.3 3,254.1 3,747.3 5,355.7 5,602.7 7,684.4 7,987.2

2.2. Livestock 669.5 619.1 1,052.4 1,394.8 837.9 578.5 1,436.4 3,024.0 3,066.9 3,408.6 2,769.12.3. other 286.5 514.9 485.5 638.5 1,178.4 1,203.9 708.1 1,155.8 1,536.1 951.5 880.82.4. Crop and livestock industry - - - - 248.1 100.1 123.6 186.0 137.8 - -

3. LEY 26 1,520.8 1,819.9 1,416.8 1,219.5 - - - - -3.1. Crops 522.7 635.1 606.8 565.23.2. Livestock 998.1 1,184.8 810.0 654.3 - - - - -

4. INCORA 191.9 228.1 267,2 485.2 489.7 434.6 322.5 584.1 564.2 986.2 582.8

4.1. Crops 75.1 97.7 82.2 125.7 196.4 169.0 125.5 227.8 203.1 423.2 264.0

4.2. Livestock 94.4 68.3 137.6 200.7 130.9 154.8 114.8 251.2 214.4 408.9 243.64.3. Other 22.4 62.1 47.4 158.8 162.4 110.8 82.2 105.1 146.7 154.1 7, 2

5. PDDZC (Prodesarrollo) - 58.9 88.1 111.1 89.2 91.5 95.6 130.5 211.7 134.2 427,1

5.1. Crops - 26.1 30.8 36.0 31.2 59.9 77.0 106.5 127.9 95.0 185.25.2. Livestock - 32.8 57.3 75.1 58.0 31.6 18.6 24.0 10.5 30.9 21.0

5.3. Other - - - - - - - - 73.3 8.1 220.9

TOTAL 4,899.8 5,788.0 6,194.5 7,753.7 11,334.2 11,710,0 14,098.2 21,215.0 23,122.3 29,957.1 34,316.2

ANNUAL CHANGE 7, - 18.1 7.0 25.2 46.2 3.3 20.4 50.5 9.0 29.6 14.6

Source: OPSA, Ministerio de Agricultira.

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Table 7.11: COLOMBIA: FERTILIZER PRODUCTION AND PLANT NUTRIENT SUPPLY, 1970-79

1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 /a

NATIONAL FERTILIZER PRODUCTION (Thousands metric tons)

Mixed 221 264 284 365 350 233 185 302 410 409Nitrogenous (mainly urea and

ammonium nitrate) 102 109 112 101 112 101 91 87 36 37Phosphates (mainly Esorias Thomas) 54 58 42 68 66 65 73 54 58 72Others 2 3 3 2 3 5 - - - -

Subtotal 379 434 441 536 531 404 361 443 504 518

IMPORTSFOR DIRECT APPLICATION

Mixed - 15 27 76 20 - - - - -Urea 5 19 71 128 130 - 7 98 215Amnonium Sulfate - - - - - - 13 - 3 -Phosphates - - - - - - 36 51 88 _

Total Supply 384 468 540 740 681 404 417 592 810 -

NUTRIENT SUPPLY

Nitrogen (N) 61 74 77 80 81 66 61 69 65 66Phosphorus (P205) 49 51 52 79 63 52 47 64 73 75Potassium(K) 32 39 36 51 52 22 22 53 65 50

IMPORTED NUTRIENTS AS PERCENTOF TOTAL SUPPLY (percent)Nitrogen (N) 45 58Phosphorus (P 205 ) 88 87Potassium (K) 100 100

Weighted All 68 75

/a OPSA Estimate.

Source: Martin Echavarria: "Elementos para un diagnostico de los fertilizantes quimicos en Colombia",Ministerio de Agricultura, OPSA, September 1974, data from AgriculturalSector, 1977 and OPSA.

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Table 7.12 - COLOMBIA: CENSUS FARMS BY SIZE, 1960 AND 1970/71 /a

Si-ze UlelativeClass 1960 1970/71 Change

(hectares) ~Thousands) (Percent)

Less than 1 298.1 268.7 -9.9

1 - 1.9 191.3 177.8 -7.1

2- 2.9 117.0 112.5 -3.8

3 - 3.9 92.0 84.7 -7.9

4- h.9 58.2 56.4 3.0

5 - 9.9 169.1 159.7 -5.6

10 - 19.9 1114.2 117.8 3.2

20 - 49.9 86.8 100.0 15.2

50 - 99.9 4o.o 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 o.8 1.1 40.5

All Farms 1 ,209.7 1,176.8 -2.7

/a Data do not include La Guajira and Choco.

Scurce : DANE: Censo Nacional Agropecuario, 1970-71: Resumen Nacional(Bogota: DecO 197T), Part B, Table 1.

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Table 7.13 - COLOMBIA: CENSUS FARMS AND FARMLAND BY TENURE AND SIZE, 1960 and 1970/71 a/

Tenure and Farms FarmlandSize Class 1960 1970/71 Change 1960 1970/71 Chbnge

(Size in hectares) (Thousands) (Percent) (Thous. hectares) (Percent)

FULL OWNERSLess than 1.0 187.9 191.7 2 81 90 '1l

1.0 to 1.9 106.2 114.9 8 155 156 12.0 to 4.9 152.1 163.6 8 487 508 45.0 to 9.9 108.4 109.2 1 753 744 -1

10.0 to 19.9 77.8 81.6 5 1,077 1,111 320.0 to 49.9 62.0 72.9 18 1,896 2,225 I[750.0 to 99.9 28.5 35.4 24 1,934 2,379 23

100.0 to 499.9 26.9 33.1 23 5,334 6,441 21500.0 or more 5.5 6.5 19 8,063 9,469 L7

Subtotals 755.3 808.8 7 19,780 23,122 17

RENTERSLess than 1.0 55.8 20.7 -63 21 9 -56

1.0 to 1.9 29.1 13.5 -54 38 18 -532.0 to 4.9 29.3 15.9 -46 84 47 -45.0 to 9.9 11.0 7.7 -30 71 53 -26

10.0 to 19.9 5.5 4.4 -19 72 58 -1920.0 to 49.9 3.6 3.3 -9 108 100 -750.0 to 99.9 1.5 1.4 -6 108 96 -11

100.0 to 499.9 1.3 1.2 -7 267 227 -15500.0 or more 0.2 0.2 -6 279 216 -23

Subtotals 137.3 68.4 -50 1,048 825 -21

SQUATTERSLess than 1.0 4.5 6.8 53 2 3 39

1.0 to 1.9 4.3 5.7 33 5 7 342.0 to 4.9 7.4 9.3 25 23 27 205.0 to 9.9 5.8 5.5 -4 39 37 -5

10.0 to 19.9 6.0 5.2 -13 80 71 -1120.0 to 49.9 7.6 6.4 -16 227 199 -1250.0 to 99.9 5.8 4.3 -25 363 284 -22

100.0 to 499.9 4.8 3.7 -23 837 671 -20500.0 or more 0.7 0.8 18 1,737 1,634 -6

Subtotals 47.n 47.0 2 3,311 2,7Q3 -1?

SHARECROPPERSLess than 1.0 32.9 21.4 -35 18 11 -40

1.0 to 1.9 29.9 19.9 -33 41 26 -382.0 to 4.9 41.2 27.2 -34 128 78 -395.0 to 9.9 21.7 13.1 -39 156 89 -43

10.0 to 19.9 11.9 8.6 -27 172 116 -3320.0 to 49.9 5.6 5.3 -4 176 158 -1050.0 to 99.9 1.3 1.6 28 94 105 12

100.0 to 499.9 0.7 0.8 11 128 135 6500 or more h/ 0.1 48 47 87 83

Subtotals 145.1 98.1 -32 961 805 --16

OTHER FORMSLess than 1.0 6.1 23.0 273 2 11 :136

1.0 to 1.9 4.1 12.1 193 5 16 :352,0 to 4.9 5.5 14.9 271 14 47 2475.0 to 9.9 3.9 7.4 89 19 51 : 64

10.0 to 19.9 2.7 5.2 98 27 74 L7620.0 to 49.9 1.9 4.2 124 46 129 18250.0 to 99.9 0.7 1.8 160 39 120 206

100.0 to 499.9 0.6 1.5 141 107 293 174500.0 or more 0.2 0.4 144 299 655 L19

Subtotals 25.7 70.5 174 557 1,395 .L50

MIXED FORMSLess than 1.0 10.9 5.1 -54 7 3 -60

1.0 to 1.9 17.8 11.7 -34 26 16 -372.0 to 4.9 31.7 22.9 -28 101 73 -275.0 to 9.9 18.3 16.7 -9 127 115 -9

10.0 to 19.9 10.4 12.7 22 144 168 1720.0 to 49.9 6.1 7.9 29 186 243 3150.0 to 99.9 2.1 3.1 48 143 214 50

100.0 to 499.9 1.7 2.6 54 318 486 53500.0 or more 0.3 0.4 35 627 594 -5

Subtotals 99.4 83.1 -16 1,677 1,913 14

ALL FARMS 1.209.7 1,176.8 -2.7 27,338 30,993 13.4

a/ Data do not include La Guajira and Choco and are rounded.b/ Less than 0.05.

Source: DANE: Censo Nacional Agropecuario. 1970-71: Resumen Nacional(Bogota: Dec. 1974), Part B, Table 1.

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Table 7.14 - COLOMBIA: REGIONAL GROUPINGS OF MTNICIPIOS WITE HIGH CGNCENTFATIONSOF SMALL FARMS, BY COFFEE AND NON-COFFEF AREAS

Departments Group Grouping Point Number of Contiguous All Farms OverMunicipios Farms 20_ as.

COFFFEL AREAS

Caldas I ilanizales 2 4,024 5162 Anserma 3 6,152 5943 Riosucio 5 10,4n8 S344 Pensilvania and Samana 3 (,586 1,218

Ouindic 1 Circasia 1 1,415 65Riseralda I Pereira & Sta. Rosa de Cabal 4 10,425 91Antioquia 1 Sonson 4 11,119 _1,11(

Subtotal 7 22 50,529 5,028

NON-C()FFEE AREAS

Antioquia 1 edellin, Envigado, Itagui, La Fstrella 17 2C,543 1,1202 Yarumal 4 6,937 1,1523 Andes 2 4,144 30,74 Rionegro 8 20,006( 1,21.

Caldas 6 8,6)37 4836 Urrao 2 4,259 1,'20

Bolivar I Carmen de Bolivar ] 2,97G -,IBoyaca 1 Tunja 31 54,332 1,68

2 Chiquinquira 17 24,5,4 1,0213 Duitama, Paipa 29 43,687 1,2894 Sogomoso 14 1/ 20,079 507

Cauca 1 Popayan, El Tambo 14 - 32,632 2,7442 Bolivar 5 17,889 954

Cordoba 1 Monteria, Cerete 2 11,225 1,70h2 Sahagun 2 7,575 1,1783 Lorica 2 2 7,63 1,]I5

Cundinamarca I Bogota 43 - 62,950 2,4,32 Zipaquira 15 25,674 2,1173 Facatativa 15 17,123 8h64 Fusagasuga 5 6,873 4265 Girardot 5 5,055 '-f

Huila 1 Garzon 3 7,758 1,322Narino 1 Pasto, Sardona 18 27,994 1,53a

2 Tuqueres 3 5,421 1183 Ipiales, Tumaco 12 3/ 21,71, 2,342

Santander 1 Charta 2 - 2,199 1492 San Andres 9 11,47(, SF93 San Gil 7 5,608 4654 Velez 13 - 25,235 3,12(

Tolima I lbague and Cuamo 6. 17(f,63 2,324Valle 1 Cali and Palmira 11 - 23,926 2,42 (

Subtotal 37 323 557,113 39,265

TOTAL 44 345 642 44,293

1/ Includes 2 in Narino.

2/ Includes 5 in Boyaca.

3/ Includes 1 in Norte de Santander.

4/ Includes 3 in Boyaca.

5/ Includes 6 in Cauca.

Source: Leonard Kornfeld, New Departures in Rural Development in Colombia.Prepared for AID under Contract 514-182T (Bogota, December 1974).Summarized from Table 11 of Annex 1.

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Table 7.15: COLOMBIA - VALUE OF PRINCIPAL AGRICULTURAL EXPORTS, 1970-80

(US$ Millions)

1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980 a/

Crops 545.2 469.4 540.0 713.4 805.6 959.3 1,177.5 1,756.2 2,272.7 2,697.3 2,830.4

Coffee 466.7 395.4 429.7 597.9 622.3 674.0 967.8 1,497.9 1,936.0 2,320.0 2,259.0

Sugar 14.0 16.4 29.2 30.2 72.2 95.1 24.1 2.2 21.5 47.3 175.5Cotton 34.3 29.7 51.2 38.1 48.6 76.1 59.4 114.4 72.5 52.3 101.8Bananas andPlantains 18.1 14.7 13.7 15.4 25.4 31.6 40.9 45.6 80.0 84.8 108.2Rice 0.6 0.1 0.7 3.4 0.4 22.9 21.4 19.9 4.6 31.7 15.0Flowers 1.0 1.8 3.1 8.4 16.0 19.3 21.6 32.5 53.4 79.2 101.5Potatoes - - - 0.2 0.4 2.3 1.7 4.8 3.0 2.7 3.0

Tobacco 7.2 9.2 9.9 15.3 19.2 12.8 25.4 19.2 27.5 25.4 26.6Other 3.3 2.1 2.5 4.5 1.1 1.1 25.2 19.7 74.2 53.9 39.8

LivestockProducts 22.3 29.5 39.4 48.2 35.8 58.6 55.9 74.2 81.2 59.8 54.3

Cattle 17.2 16.1 13.7 2.7 2.7 26.6 16.3 21.2 9.7 3.0 0.6Beef 4.6 12.1 24.0 40.1 32.2 22.9 21.8 23.8 49.4 31.1 33.1Cheese - 1.0 1.4 3.3 0.3 1.2 2.8 6.8 20.9 20.5 20.6Other 0.4 0.3 0.3 2.1 0.6 7.9 15.0 .9 1.2 5.2 -

Fish 4.6 5.9 9.9 10.6 12.0 12.8 21.6 21.5 25.1 24.2 13.0

Total 572.1 504.8 589.3 772.2 853.4 1,030.7 1,255.0 1,839.4 2,379.0 2,781.3 2,897.7

a/ Preliminary.

Source: Ministerio de Agricultura, Comercio Exterior de Colombia, Bogota, 1981; Instituto Colombiano de

Comercio Exterior (INCOMEX) (based on export registrations).

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Table 7.16: COLOMBIA - VOLUME OF PRINCIPAL AGRICULTURAL EXPORTS, 1971-80

(In thousands of metric tons)

1971 1972 1973 1974 1975 1976 1977 1978 1979 1980 a/

Crops 907.5 956.3 948.5 1,019.4 1,385.2 1.177.9 1,081.3 1,563.6 1.975.0 2,120.6

Coffee 390.0 390.9 405.5 411.6 489.0 371.2 306.6 675.0 834.0 859.6

Sugar 140.4 179.0 144.4 127.0 193.5 83.9 12.6 132.4 275.8 290.0

Cotton 51.6 71.1 52.6 40.5 83.5 55.7 7.67 57.8 33.1 58.1

Bananas and Plantains 229.0 212.5 214.4 336.3 371.7 456.8 455.5 615.7 672.9 769.3

Rice 0.3 3.0 20.3 1.3 75.2 78.3 78.3 19.5 90.8 90.0

Flowers 1.5 2.2 5.6 10.0 11.4 11.8 17.0 24.1 33.5 37.4

Potatoes - - 1.2 3.4 16.0 11.3 28.1 19.0 19.0 n.a.

Tobacco 15.5 13.7 15.9 21.7 10.1 19.5 13.3 20.1 15.9 16.2

Other 79.2 84.0 88.7 67.4 134.8 89.5 93.2 n.a. n.a. n.a.

Livestock Products 54.9 54.7 40.6 28.5 71.6 63.7 47.5 31.7 24.0 14.3

Cattle 37.2 25.0 3.8 4.1 40.2 20.5 28.5 23.1 24.0 14.3

Beef 17.3 27.7 31.8 23.8 18.1 17.4 14.1 2 2 1

Cheese 0.4 1.9 3.3 0.2 1.2 2.8 4.1 7.5 n.a. n.a.

Other 0.1 0.1 1.7 0.5 12.1 23.0 .8 1.1 n.a. n.a.

Fish 2.5 3.4 3.4 3.2 3.2 5.0 3.5 3.0 2.6 2.6

Total 964.8 1,014.4 992.6 1,051.1 1,460.0 1,246.6 14132.3 1,598.3 2,001.6 2,137.5

a! Preliminary.

Note: Subtotals may not equal components due to rounding.

Source: Cifras del Sector Agropecuario, Ministerio de Agricultura, Bogota, TNCOnmY.

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Table 7.17 - COLOMBIA: VALUE OF PRINCIPAL AGRICULTURAL IMPORTS, 1971-79

(US$ millions)

1971 1972 1973 1974 1975 1976 1977 1978 1979*

Crops 53.8 41.5 84.3 140.7 95.3 132.4 150.1 173.5 273.8

Wheat 30.1 28.5 33.9 79.1 54.1 65.1 26.7 61.5 100.0

Pulses 3.1 1.2 6.7 9.0 6.2 9.1 14.1 16.4 18.0

Apples and grapes 2.0 2.4 1.5 3.2 3.1 4.8 3.7 4.5 7.7

Barley 3.0 - 6.5 7.4 2.4 9.7 14.9 11.8 13.5

Oats 1.2 1.5 2.2 2.9 2.3 2.7 2.8 3.1 2.4

Corn 3.6 0.1 10.0 6.2 - 2.2 13.4 .05 9.9Rice - - - - - - .9 .03 .3

Soybean and soybean oil 1.7 1.3 7.3 14.1 4.4 14.3 22.9 33.5 80.5

Cotton oil - - - 0.9 - - .4 .6 .07

Cacao 8.0 5.1 7.6 10.2 5.9 0.6 .02 .08 9.0

Other 1.1 1.4 8.6 7.7 16.9 23.9 50.3 41.9 32.4

Livestock 0.7 1.6 2.2 2.6 19 3 29.7 48.0 36.9 59.0

Cattle 0.1 0.1 0.1 0.3 0.2 0.4 .9 4.0 4.1

Poultry and eggs 0.4 0.6 0.7 0.1 0.7 1.2 1.1 1.3 2.5

Livestock products 0.2 0.8 1.3 2.1 1.7 8.3 20.7 5.2 24.3

Other - 0.1 0.1 0.1 16.7 19.8 25.3 26.4 28.1

Total 54.5 43.1 86.5 143.3 114.6 162.1 198.1 210.4 332.8

* Provisional Data From INCOMEX.

Source: Cifras del Sector Agropecuario, Ministerio de Agricultura.

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-186-

Table 7.18: COLOMBIA - PER CAPITA NET AVAILABILITIES OF FOODS ANDPRINCIPAL NUTRIENTS, 1948, 1957, 1964/66, 1970, 1975 and 1976

Item 1948 1957 1964/66 1970 1975 1976

(Kilos per person per year)

Cereal 72 75 79 85 71 81

Starchy roots and vegetables 98 63 132 118 98 93

Sugar 62 51 48 61 60 66

Pulses 8 5 6 8 5 5

Other products (coffee and cocoa) 12 18 18 11 2 3

Fruit 105 55 40 99 41 44

Meat and eggs 33 37 33 35 24 23

Fish 1 2 1.5 n.a. 2 2

Milk (equiv.) 127 73 99 67 86 88

Fats and oils 3 5 4.7 5 6 7

(Number per person per day)

Calories 2,220 2,050 2,190 2,196 2,107 2,322.0

(Grams per person per day)

Protein 56 48 50 47 45.5 46.0

Source: FAO for 1948, 1957 and 1964/66; ICBF for 1970, 1975, and 1976.

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Table 7.19 - COLOM8IA: AREA PLANTED WITH IMPROVED SEED FOR SELECTED CROPS, 1970, 1973-80 /a

(000 Ha. and Percent of Total Area)

1970 1973 1974 1975 1976 1977 197. .19S3 198(

Area Area AArea ea Area Area Area Area Area

With 2 of With 1 of With o Of With X of With X of With 1 of wtth X of With X of With X of

Improved Total Improved Total Improved Total Improved Total IMproved Total Improved Total Improved Total Improved Total Improved Total

Product Seed Area See Area Seed Area Seed Area Seed Area Seed Area Seed area Seed \rea Seed Area

Sesame 25.2 70.0 4.6 15.5 18.5 53.3 19.7 40.3 5.5 16.5 11.1 30.7 13.2 50 4 9.6 27.5 7.1 34.0

Cotton 225.6 100.0 246.6 100.0 314.2 100.0 220.0 100.0 389.0 100.0 377.2 92.0 149.8 85.2 211.0 93.5 218.8 100.0

Rice 88.7 38.1 137.5 57.9 201.9 54.9 205.3 54.5 195.5 55.7 1,58.2 46.4 195.3 45.0 188.5 42.9 237.3 34.5

Barley 31.7 61.0 33.8 65.4 42.1 62.8 45.1 57.4 31.2 55.1 32.1 53.8 46.4 64.0 47.3 64.7 0.4

Beans 2.7 4.1 2.5 3.0 0.7 0.8 3.2 3.2 3.2 3.5 4.1 4.0 3.5 3.2 2.8 2.5 26.2 40.2

Caraota 6.2 68.9 5.5 70.5 21.1 100.0 7.3 58.9 5.2 98.1 - - - - - 2.6 2.2

Maize 166.8 25.4 158.1 28.5 107.1 19.2 136.4 23.6 129.5 20.3 121.8 17.8 11.9 18.4 71.7 11.5 79.9 12.8

Potatoes 0.9 1.1 - - 0.4 0.4 0.4 0.5 0.3 0.3 0.3 0.2 0.4 0.3 0.5 0.1 0.3 -

Sorghum 67.9 98.4 179.6 100.0 119.0 100.0 185.0 100.0 210.5 100.0 189.5 100.0 273.3 100.0 264.4 100.0 328.0t 100.11

Soybeans 53.4 89.0 48.0 100.0 73.6 89.2 55.3 94.9 45.2 97.0 49.9 94.2 66.9 94.0 810.0 96.0 61.7 94.8

Wheat 16.9 37.1 9.5 17.1 11.1 30.4 9.0 26.1 9.1 25.3 9.4 23.6 7.b 26.2 6.4 20.5 7,3 19.0

Total 686.0 44.6 825.7 51.9 909.7 51.2 886.7 49.6 1,025.4 53.8 954.2 46.9 875.3 47.9 876.8 46.6 969.6 457.5

/a Calendar sear.

Source: Planning Office (OPSA) of the Ministry of Agriculture.

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Table 8.1 - COLOMBIA: INCREASES IN FACTORY EMPLOYMENT, 1960-80

Employment Contribution to Increased Employment Employment -/1960 1960-67 1967-74 1974-80 1960-80 1977 1978 1979 1980

Consumer Goods 146,661 8,722 86,263 18,892 113,877 257,715 260,408 264,692 260,538

Intermediate Goods 70,220 19,661 50,407 11,541 81,609 147,489 149,364 153,009 151,829

Capital Goods 21,182 7,211 16,924 16,278 40,413 56,463 59,031 60,584 61,595

Other 6,114 3.212 11,597 7 121 21,930 25.598 27,227 28,502 28,044

Total 244,177 38,806 165,191 53,832 257,829 487,265 496,030 506,787 502,006 m

a/ Estimated.

Source: DANE

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Table 8.2 - COLOMBIA: INDICATORS OF INDUSTRIAL DOMESTIC DEMAND, 1953, 1963, 1968, 1973, 1975-80

(Values in US$)

1953 1963 1968 1973 1975 1976 1977 1978 1979 1980

Indicators

1. Inports CIF 544 506 643 876 1,341 1,708 2,028 2,685 3,345 4,5332. Gross Value of Manufacturing

Output 994 1,938 a/ 2,585 a/ 4,055 5,681 7,438 9,652 11,169 b/ 13,977 b/ 16,646 b/3. Supply (1 + 2) 1,538 2,444 3,228 4,931 7,022 9,146 11,860 13,854 17,322 21,1794. Industrial Fxports 5 19 54 329 428 621 654 769 1,134 1,1775. Availability of Manufactures

(3-4) 1,533 2,425 3,174 4,602 6,594 8,525 11,026 13,085 16,188 20,0026. Percentage Imports in Avai-

lability of Manufactures 35.5 20.9 20.3 19.0 20.3 20.0 18.4 20.5 20.6 22.6

a. Composition of DomesticDemand

Import CIF 35.5 20.9 20.3 19.0 20.3 20.0 18.4 20.5 20.7 22.6Cross Output 64.8 79.9 81.4 88.1 86.5 87.2 87.5 85.4 86,3 83.2Exports - 0.3 - 0.8 - 1.7 - 7.1 - 6.5 -7.2 - 5.9 - 5.9 - 7.0 - 5.8Total Demand 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0 100.0

b. Average Annual Gro-wthRates b/ of DomesticDemand (in T) c/ 1953-63 1963-68 1968-73 1973-75 1975-76 1963-76 1973-77 1975-78 1977-79 1978-80

Imports, CIF - 0.7 4.9 6.4 23.7 27.4 9.8 23.4 26.0 28.4 29.9Gross Output 6.9 5.9 9.4 18.4 30.9 10.9 24.2 25.3 20.3 22.1Exports 14.3 23.2 43.5 14.1 45.1 31.5 18.7 21.6 31.7 23.7Total Demand 4.7 5.4 7.7 19.7 29.3 10.1 24.4 25.7 21.2 23.6

a/ Production figures have been converted at 1968 prices and converted into US dollars at the principal selling rate of the peso.

b/ Estimated.

c/ Compound Growth Rates.

Source: DANE, IBRD,

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Table 8.4 - COLOMBIA: PAID EMPLOYMENT IN MANUFACTURING INDUSTRIES BY TYPE OF PRODUCTION, 1953, 1958, 1960, 1965, 1967, 1968, 1969-80

(Percent)

1953 1958 1960 1965 1967 1968 1969 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

Non-durable Consumer GoodsFood 20.3 15.0 14.7 14.1 14.4 14.1 13.5 14.7 13.8 14.0 13.5 13.5 14.0 13.3 13.2 13.7 14.3 13.9Beverages 5.9 5.9 5.9 5.9 5.4 5.4 4.7 4.5 4.6 4.7 4.7 4.4 4.5 4.7 4.8 4.9 5.1 5.6

Tobacco Products 3.3 1.9 1.7 1.3 1.2 1.2 1.0 1.1 1.1 0.9 0.8 1.2 1.0 0.8 0.8 0.7 0.7 0.7Sub Total 29.5 22.8 22.4 21.3 21.0 20.7 19.2 20.3 19.5 19.6 19.1 19.2 19.5 18.8 18.8 19.3 20.1 20.2

Textiles 19.5 17.2 17.9 15.6 16.3 16.5 16.9 17.4 18.2 17.2 18.3 16.6 16.6 16.1 16.2 15.5 14.2 14.2Clothing, Footwear 13.4 12.5 11.2 11.0 9.5 9.8 9.9 9.5 10.3 10.0 10.5 10.5 10.4 10.2 10.9 10.8 10.7 10.3Printing 4.0 4.2 4.3 4.0 4.0 4.2 4.1 3.8 3.9 3.7 3.8 3.8 3.9 3.7 3.9 3.9 3.9 3.9Sub Total 36.9 33.9 33.4 30.6 29.8 30.5 30.9 30.7 32.4 30.9 32.6 30.9 30.9 30.0 31.0 30.2 28.8 28.4

Durable Consumer GoodsFurniture, Fixture a/ 1.9 2.2 1.9 1.7 1.7 1.7 1.6 1.9 1.8 1.7 1.6 1.7 1.6 1.6 1.4 1.4 1.4 1.4Rubber Products 1.5 2.2 2,4 2.5 2.4 2.2 2.2 2.0 2.0 1.6 1.8 2.1 1.8 1.7 1.8 1.6 1.8 1.8Sub Total 3.4 4.4 4.3 4.2 4.1 3.9 3.8 3.9 3.8 3.3 3.5 3.8 3.4 3.3 3.2 3.0 3.2 3.2

Intermediate GoodsWooden Products 1.9 2.3 2.3 2.1 2.1 2.0 1.9 2.3 2.0 2.0 1.9 1.9 1.8 1.8 1.2 1.3 1.2 1.0Paper and Products 1.1 1.5 1.6 2.0 2.2 2.1 2.2 2.3 2.4 2.6 2.3 2.4 2.4 2.4 2.4 2.4 2.5 2.5Leather 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 1.7 1.7 1.7 1.7 1.7 1.6Chemicals 5.1 6.0 6.6 7.2 8.3 8.2 7.9 7.1 7.7 7.2 7.4 7.7 7.6 7.5 7.3 7.0 7.0 7.4oil Products 0.9 1.1 0.8 0.7 0.7 0.8 0.8 0.7 0.8 0.7 0.6 1.0 1.0 0.9 1.0 1.0 1.0 1.0Non-metallic Minerals 9.0 8.7 9.0 8.9 8.4 8.4 7.9 7.3 7.2 7.0 7.0 6.8 6.8 6.8 4.0 4.0 4.0 4.0Basic 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 3.5 3.5 3.6 3.5 3.6 3.7Metal Products 3.4 4.3 5.4 4.0 7.0 7.2 7.8 7.0 6.9 6.9 6.4 6.6 6.5 6.4 6.2 6.5 6.4 6.3Sub Total 24.1 28.4 28.7 30.9 31.8 31.8 31.7 31.8 30.4 31.2 30.4 31.3 31.3 31.0 27.4 27.4 27.4 27.5

Capital GoodsMechanical 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 3.2 3.3 3.5 3.6 3.4 3.4Electrical Machinery 0.9 2.0 2.5 3.5 3.3 3.1 3.6 2.5 2.6 2.9 3.0 2.9 2.9 3.1 3.7 3.8 3.9 4.1Transport Equipment 2.8 4.9 4.9 5.1 4.7 5.3 4.8 2.9 2.8 2.8 3.2 3.8 4.1 4.2 4.5 4.5 4.6 4.7Sub Total 4.5 8.2 8.7 10.3 10.0 10.3 10.7 9.1 9.4 9.2 9.7 10.1 10.2 10.0 11.7 11.9 12.0 12.2

Other b/ 1.6 2.3 2.5 2.7 3.3 2.8 3.7 4.2 4.5 5.8 4.7 4.7 4.7 6.3 7.9 8.2 8.5 8.5

Total 100.0 100.0 100.0 100.0 100.0 100.0 100.100.0 inn.n 00.0 100.0 lOO0_ 100 0 100.0 100.0 100.0 100.0 100.0

a/ Includes manufacturing of furniture and accessories and industry of timber and cork products except furniture.

b/ Includes other manufacturing industries as well as manufacturing of professional and scientific measurement and control instruments n.e.s.,

photographic equipment and optical instruments.

Source: DANE.

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Table 8.5 - COLOMBIA: DOMESTIC MANUFACTURING OUTPUT AND IMPORTS BY TYPE OF PRODUCTION, 1966, 1968-80

(Million US$)

1966 1968 1969 1970 1971 1972 1973 1974 1975 1976 1977 a/ 1978 a/ 1979 a/ 1980 a/

Coisumer Goods

Output 1,485 1,577 1,552 1,691 1,855 2,095 2,814 3,409 3,507 4,049 5,000 5,786 7,241 8,624

Imports _47 32 __71 _ 89 _ 98 _107 149 190 168 _ 205 _ 246 _464 _268 570

l'otal 1,532 1,609 1,663 1,780 1,953 2,202 2,963 3,599 3,675 4,254 5,246 6,250 7,509 9,194

Percenit Imports in 'T'otal 3.1 2.0 4.3 5.0 5.0 4.9 5.0 5.3 4.6 4.8 4.7 7.4 3.6 6.2

Intermediate Goods

Output 816 875 973 1,159 1,288 1,443 1,568 2,129 2,073 2,547 3,456 3,999 5,004 5,959

Imports _350 232 _302 375 _417 411 _ 536 936 781 _ 843 1i019 I 394 17

72 2

13

Total 1,166 1,107 1,275 1,534 1,705 1,854 2,101: 3,065 2,854 3,390 4,475 5,393 6,776 8,172

Percent Imports in Total 30.0 21.0 23.7 24.4 24.5 22.2 25.5 30.5 27.4 24.9 22.8 25.9 26.2 27 1

Capital Goods

Output 157 161 235 269 296 347 402 601 648 842 983 1,137 1,423 1,695

Imports 208 _234 _306 __371 398 _332 -298 465 539 661 _763 _ 827 fl305 IL750

Total 365 395 541 640 694 679 700 1,066 1,187 1,503 1,746 1,964 2,728 3,445

Percent Imports in Total 57.0 59.2 56.6 58.0 57.3 48.9 42.6 43.6 45.4 44.0 43.7 42.1 47.8 50.8

Total b/

Outputs 2,509 2,681 2,868 3,194 3,522 3,976 4,853 6,335 6,420 7,438 9,652 11,169 13,9/7 16,646

Imports _674 6_43 _685 _843 _929 _859 l,L962 ,5 9L7 149.5 ._703 2!8 _62 L5 _3L45 4L533

Total 3,183 3,324 3,553 4,037 4,451 4,835 5,915 7,932 7,915 9,146 11,680 13,854 17,322 21,179

Percent Imports in 'Total 21.2 19.3 19.3 20.9 20.9 17.8 18.0 20.1 18.9 18.7

Exchange Rate (Peso/US$) 13.49 16.33 17.36 18.49 19.98 21.92 23.98 26.34 31.49 36.465 17.4 19.4 19.3 21.4

a/ Estimated.h/ Includes miscellaneous production and imports.

Source: DANE.

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Table 8.6 - COLOMBIA: COMMERCIAL BANK CREDIT TO THlE MANUFACTURING SECTOR, 1953, 1958, 1963-79

New Loans _ Loans Outstanding0 /of % of

Total Manufacturing Manufacturing Total Manufacturing Manufacturing

(in Million Pesos) in Total (in Million Pesos) in Total

1953 1,619.8 354.9 21.9 890.0 210.5 23.7

1958 3,127.2 769.5 24.5 1,879.1 523.6 27.9

1963 5,962.6 1,902.1 31.9 4,126.2 1,193.1 28.9

1964 6,667.2 2,445.7 36.7 4,447.9 1,396.2 31.4

1965 7,098.9 2,653.9 37.4 4,996.7 1,487.6 29.8

1966 7,955.2 3,011.2 37.9 5,475.8 1,705.7 31.1

1967 9,103.9 3,628.1 39.9 6,211.9 1,942.2 31.3

1968 12,153.4 4,206.2 34.6 8,826.9 2,344.2 26.6

1969 13,632.7 4,604.6 33.8 8,896.0 2,619.8 29.4

1970 16,058.7 4,710.9 29.3 11,837.7 2,727.6 23.0

1971 18,809.3 4,500.4 23.9 13,810.6 3,004.8 21.7

1972 23,528.3 4,359.5 18.5 16,228.4 2,237.0 13.8

1973 32,926.8 8,320.1 25.3 21,169.0 2,908.0 13.8

1974 14,105.0 11,400.0 27.7 29,481.2 3,470.0 11.8

1975 64,138.0 17,753.0 a/ 27.7 38,063.5 5,111.0 13.4

1976 80,719.0 23,137.0 a/ 28.7 48,652.0 6,066.0 12.5

1977 125,058.0 35,865.0 a/ 28.7 70,029.0 6,044.0 8.6

1978 n.a. n.a. n.a. 85,422.0 7,811.0 9.1

1979 n.a. n.a. n.a. 95,889.0 n.a. n.a.

a/ Includes construction.

n.a. - not available.

Source: Banco de la Republica.

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Table 8.7 - COLOMBIA: INDUSTRIAL EXPORTS, 1970-80

(Thousands US Dollars)

1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

Food Products 10,795.3 11,447.8 15,608.0 8,014.0 186,173.0 244,624.0 152,125.0

Beverages 38.9 32.0 93.0 110.0 145.0 101.0 123.0 63,571.0 55,700.0 90,700.0 100,800.0

Tobacco Products 24.8 25.1 n.a. n.a. 310.0 113.0 23.0

Textiles 19,237.8 23,821.7 32,460.0 64,467.0 102,439.0 75,878.0 101,109.0

140,004.0 167,210.0 250,484.0 258,408.0Clothing, Footwear 3,036.2 3,701.3 13,933.0 42,060.0 63,716.0 34,697.0 42,328.0

Wood and Products 6,046.1 6,379.0 8,017.0 14,080.0 20,755.0 9,028.0 20,538.0

14,348.0 9,594.0 15,090.0 16,800.0Furniture, Fixtures 806.7 1,015.5 2,089.0 11,200.0 15,789.0 1,949.0 2,802.0

Paper and Products 7,522,4 6,629.1 6,955.0 8,990.0 36,003.0 19,859.0 29,124.0

49,724.0 53,373.0 73,888.0 93,755.0Printing 2,432.4 3,302.0 4,614.0 6,814.0 10,996.0 14,409.0 13,300.0

Leather Products 5,422.3 5,450.4 17,222.0 22,565.0 a/ 15,024.0 15,861.0 21,439.0 32,208.0 38,613.0 43,937.0 35,189.0

Rubber Products 1,520.9 1,556.4 1,757.0 2,955.0 5,898.0 7,110.0 6,314.0 19,435.0 17,191.0 23,830.0 29,775.0

Chemical Products 8,573.1 10,816.2 18,532.0 32,927.0 79,183.0 62,291.0 55,295.0 49,524.0 56,039.0 79,491.0 82,275.0

Oil Products 465.1 358.1 n.a. n.a. 4,793.0 4,075.0 3,119.0 104,600.0 155,500.0 146,300.0 260,500.0

Non Metallic Minerals 9,903.9 8,190.2 11,533.0 16,658.0 40,864.0 40,704.0 56,723.0 37,451.0 59,100.0 125,600.0 72,500.0

Basic Metals 1,316.8 1,697.5 15,140.0 6,501.0 7,002.012,302.0 24,990.0 35,152.0 40,781.0 119,598.0 54,397.0

Metal Products 3,032.5 3,887.8 15,107.0 13,684.0 17,115.0

Mechanical Machinery 2,868.1 3,511.1 5,549.0 9,895.0 21,256.0 19,889.0 29,124.0

43,886.0 42,491.o 64,203.0 69,606.0Electrical Machinery 1,240.3 1,384.0 1,794.0 2,380.0 7,061.0 6,763.0 6,427.0

Transport Equipment 1,484.3 2,132.4 2,005.0 2,401.0 7,242.0 9,582.0 22,611.0 25,240.0 23,512.0 22,449.0 27,633.0

Other b/ 5,815.7 9,145.5 21,066.0 58,905.0 30,077.0 25,127,0 33,885.0 39,288.0 49,772.0 _ _78390.0 75291.0

Total 89,151 104,593.1 176,529.0 32,9411.0 677,971.0 612,245.0 620,526.0 654,431.0 768,876.0 1,133,960.0 1,176,929.0

a/ of which 11 million Us$ of reptile and other animal processed leather.

b/ Includes cement and glass.

Source: Comercio Exterior de Colombia, Bogota, 1981, INCOMEX.

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-195-

Table 8.8 - COLOMBIA: PROPORTION OF INDUSTRIAL EXPORTS IN GROSS VALUE OF INDUSTRIAL OUTPUT,

1967, 1970-80

(in Percent)

a/ a/ a! a/ a/1967 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

Food Products 0.70 1.51 1.55 1.93 0.78 6,86 14.27 7.94

Beverages - 0.01 0.01 0.03 0.03 0.03 0.02 0.02 2.00 1.50 2.00 1.80

Tobacco Products 0.05 0.04 0.05 n.a. n.a. 0.26 0.08 0.02 J

Textiles 2.72 5.01 5.11 6.14 8.71 11.47 9.87 10.351i. 8.90 9.20 11.00 9.60

Clothing, Footwear 0.38 2.21 2.24 7.68 18.51 26.11 12.79 14.00b/

Wood and Products 2.56 19.52 18.50 19.03 33.45 32.19 15.37 40.63>I14.80 8.50 10.80 10.10

Furniture, Fixtures - 4.92 5.73 9.56 44.46 45.88 4.99 9.21J

Paper and Products 11.46 6.90 4.99 4.62 4.77 14.73 7.91 9.097t 8.10 7.50 8.40 8.90

Printing 0.12 3.28 3.68 4.15 4.98 6.45 7.91 8.50Jc/

Leather Products 12.39 15.71 15.42 40.42 41.84 21.84 21.72 26.47 28.70 29.80 27.00 18.30

Rubber Products 3.77 2.23 2.14 2.02 3.14 4.50 5.43 4.32 n.a. n.a. n.a. n.a.

Chemicals 1.38 2.24 2.84 4.54 6.33 10.95 7.88 6,31 4.70 4.60 5.20 4.50

Oil Products 0.55 0.43 0.26 n.a. n.a. 2.92 2.41 0.77 19.20 24.70 18.70 27.90

Non Metallic Minerals 5.63 6.29 4.57 6.16 7.44 13.00 12.37 18.67 16.00 21.60 36.70 17.80

Basic Metals 0.44 0.87 1.14 \ 5.28 2.17 2.69 5_3.47 5.99 ~.5.30 5.30 12.40 4.70

Metal Prodlcts 2.16 2.06 2.35 4.27 3.25 6.12

Mechanical Machinery 1.83 7.59 8.07 11.53 16.09 25.56 21.79 18.48-).i10.00 8.40 10.00 9.20

Electrical Machinery 0.84 1.22 1.69 1.44 1.49 3.06 2.96 3.30 J

Transport Equipment 0.06 1.63 1.46 1.15 1.19 2.87 3.31 5.85 4.80 3.90 3.00 3.10

Others 1.33 12.22 11.07 22.98 51.65 20.03 15.41 45.66 6.40 7,00 _8.80 7.10

Total 1.72 -2.79 2.97 4.43 6.75 10.63 8.84 8.00 6.80 6.90 8.10 7.00

a/ Estimated.

b/ Exports include wood (madera bruta) which may not be included in corresponding data for production ofwood a-d products, thus exaggerating the % of exports in total prodaction.

c/ Total production - including reptile leather which is almost entirely exported.

Source: Banco de la Republica and DANE (gross value of output estimates) anid INCOMEX (exports registrations).

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Table 8.10 - COLOMBIA: VOLUME OF PRODUCTION OF MINERALS, 19-G--9 *

MINERALS Unit 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979

Gold Troy Ounce 201,518 188,847 186,811 216,201 264,671 308,676 297,892 257,070 246,446 269,369

Silver Troy Ounce 75,851 67,077 69,678 ?4,407 75,290 87,671 105,723 90,948 76,773 99,331

Platinum Trov Ounce 26,036 28,081 24,111 26,358 21,125 22,114 16,778 17,315 13,939 12,932

/5 Emeralds Karate 2,222,812 774,433 1,881,712 660,348 32,647 248,715 499,801 484,512 894,888 1,228,488

Tron Ore Ton 453,000 453,000 419,950 480,000 510,000 595,000) 542,000 504,8(00 497,000 396,900

lead (Concentrate) Ton 585 411 126 365 301 272 347 276 120 210

Zinc (Concentrate) Ton .389 279 77 54 93 18 - - -

Mercury (Concentrate Pound 17,055 6,479 4,182 10,950 - - - - - _

Copper (Concentrate) Toll 200 225 267 70 - 260 310 400 336

Manganese/i Ton 5,743 2,480 3,401 3,709 5,928 6,650 7,798 11,875 20,011 21,453

ChromiuLm Ton 170 180 200 12,000 - - - - - -

Coal Ton 2,500,000 2,800,000 2,900,oo0 3,360,00O 3,600,000 3,800,000 4,000,000 4,204,000 4,930,000 8,090,000

Coke* Ion 244,000 271,000 194,000 310,000 335,000 319,000 390,000 334,000 357,000 335,0()0

Metallurgic coal Ton 380,000 408,000 481,000 47t),t)00 545,000 541,000 632,000 554,000 582,000 546,000

Limestone Ton 5,007,000 5,341,824 6,591,127 7,000,000 7,620,000 7,800,000 7,800,000 8,112,000 9,431,000 9,700,330

Sulphur (Refinled) Ton 25,837 34,678 23,700 23,800 30,612 25,000 17,80(l 27,000 35,000 16,050 '

Gypsum Ton 189,062 182,000 186,174 193,501 198,000 200,000 205,000 210,000 255,00(1 257,300

Dolomite Ton 13,340 13,670 28,500 43,800 28,000 30,000 23,000 22,000 31,750 28,642

Marble/2 Ton 7,125 5,000 5,500 1,300 7,500 8,750 10,832 8,688 12,039 16,891

Barytes Ton 6,821 5,790 4,098 1,922 2,500 3,000 3,100 3,450 3,500 3,500

Feldspar Ton 23,152 24,836 28,619 30,000 28,700 30.000 30,000 26,508 26,455 29,200

Clay Ton 708,660 766,575 778,293 790,000 820,000 850,000 860,000 790,000 783,000 819,150

Sand Ton 165,375 172,500 202,966 340,000 360,000 370,000 398,342 428,854 440,000 480,000

Mine Salt Ton 419,788 435,283 450,451 469,504 338,446 343,560 338,869 347,020 377,193 383,459

Sea Salt Ton 141,309 390,573 673,965 843,035 670,607 741,233 739,364 594,415 459,558 369,456

Talcum/3 Ton 1,723 355 708 900 800 1,000 2,200 3,380 4,320 6,085

Calcite Ton 13,424 12,736 6,400 7,000 7,500 7,200 7,800 8,280 8,500 8,500

Diatomacite Ton 280 300 100 350 550 600 650 630 630 630

Magnesite Ton 1,560 2,180 1,649 1,800 1,700 785 1,632 1,770 1,400 1,582

Mica Ton 26 32 38 - - - - - - _

Flourite Ton - - 4,200 - - - - - - 300

Phosphoric Rock Ton 4,798 5,520 6,821 10,421 12,000 13,000 9,300 5,800 1,320 6,776

Bentonite Ton - - 1,000 1,200 1,000 1,000 - - -

* Provisional

/1 Series corrected

/2 Series modified 1970-75

/3 Series modified 1976-78

/4 Series modified 1974-78

/5 Exports

Source: Ministry of Mines.

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Table 8.11 - COLOMBIA: VALUE OF PRODUCTION OF MINERALS, 1970-79 *

(Thousands of Current Pesos)

MINERALS 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 *

Gold 154,894 166,526 244,993 508,996 1,184,449 1,559,271 1,280,508 1,410,537 2,012,861 3,375,870Silver 1,977 1,885 2,279 3,448 8,220 11,409 13,823 14,891 13,691 38,305Platinum 57,540 47,241 56,215 84,409 81,205 78,534 58,701 62,456 110,895 150,930

Emeralds 67,018 129,612 1,027,470 1,895,403 170,888 417,842 721,253 1,012,652 1,658,028 4,590,026

Iron ore 20,838 20,701 35,184 54,846 86,700 130,000 139,613 200,523 222,000 214,322Lead (Concentrate) 801 699 244 823 678 626 895 800 365 699Zinc (Concentrate) 669 558 126 263 452 68 - - - -

Mercury (Concentrate) 2,248 972 627 1,643 - - - - - -Copper (Concentrate) 800 900 1,068 - - - 1,038 1,798 2,400 2,184

Manganese 479 227 340 371 640 798 1,037 1,674 3,082 4,046Chromium (Concentrate) 680 720 800 9,600 - - - - - -

Coal 151,458 168,700 182,000 209,500 218,750 342,000 1,249,998 1,487,072 2,193,241 2,957,290

Limestone 200,280 213,673 230,689 245,000 269,782 312,000 757,444 876,501 1,400,807 1,455,050 -Sulphur (Refined) 16,829 21,504 22,006 28,017 30,355 30,000 19,793 30,000 42,840 23,574Gypsum 26,469 22,750 23,272 24,188 24,750 25,000 50,262 59,230 86,521 108,066Dolomite 600 683 676 1,314 840 1,200 2,825 2,507 5,240 5,671Marble 2,850 1,869 3,400 780 4,500 6,300 5,747 5,443 10,804 15,200

Barytes 4,434 3,763 10,655 9,610 12,500 15,600 14,954 18,322 18,772 19,710Feldspar 2,894 3,104 3,434 3,600 3,444 3,900 5,386 6,380 7,891 9,755Clay 40,002 51,336 52,068 52,851 54,858 59,500 177,459 242,462 245,592 303,086Sand 6,119 6,382 10,607 18,700 19,800 22,200 23,897 29,943 41,110 52,800Mine Salt 28,049 29,077 30,090 31,014 23,012 29,369 37,393 68,198 105,967 120,612Sea Salt 23,046 41,197 73,445 96,354 75,501 138,846 92,081 162,206 208,323 259,300Talcum 310 355 269 225 200 250 627 987 1,443 2,398Calcite 1,812 1,783 768 8,400 9,000 8,640 10,818 11,588 12,714 13,985Diatomacite 168 180 65 240 377 480 564 571 644 695Magnesite 546 981 989 1,170 1,105 550 853 1,126 1,937 2,104Mica 21 25 30 - - - - - - -Flourite - 5,455 - - - - - - 700Phosphoric Rock 1,567 897 1,134 1,772 2,040 2,340 7,962 7,951 1,199 8,131Bentonite - - 300 360 300 320 - - - -

* Provisional.

Source: DANE,

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Table 8.12 - COLOMBIA: ENERGY INDICATORS, 1960, 1965, AND 1970-79

Page I of 2

1960 1965 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979

Exploration

Total area (thousands of hectares) 4,539 2,300 2,624 4,000 6,748 9,443 7,747 10,200 8,931 ..

1.1 Concession contracts 4,539 2,300 2,624 2,692 3,659 3,735 2,433 600 263 .. .

1.2 Joint venture contracts 1,308 3,089 5,708 5,314 9,600 8,668

Number of exploratory drills 35 18 17 19 21 20 20 11 17 30 23 27

Development

Total area (thousands of hectares) 1,308 1,696 2,205 2,019 1,913 1,845 1,845 1,870 1,825 . .

1.1 Private companies 796 1,184 1,693 1,507 1,401 1,333 1,333 1,358 1,313 .. .

1.2 Ecopetrol 512 512 512 512 512 512 512 512 512 .. .

Total number of productive drills 2,143 2,172 2,384 2,275 2,266 2,308 2,306 2,301 2,325 .. .

Total number of drills 130 64 69 83 54 48 40 33 65 .

Total number of drilled feet (in thousands) 306 440 425 473 398 320 340 243 418 397 . 236

Petroleum

1. Reserves (nillions of barrels) 908 830 754 688 627 526 931 901 853 6792. Production (thousands of barrels/day) 152 201 219 215 196 184 168 157 146 138 130 1243. Exports (thousands of barrels/day) 86 111 86 70 41 26 1 - - - - -4. Domestic consumption (thousands of

barrels/day) 68 92 134 145 155 156 161 154 142 140 127 1495. Refining (crude plus ingredients)

(thousands of barrels/day)

5.1 Loaded at refineries 73 95 143 153 163 164 166 158 162 165 157 162

5.1.1 Barranca 36 46 84 91 107 198 109 105 105 106 log 1095.1.2 Cartagena 29 39 46 51 44 44 49 43 47 49 45 435.1.3 other 8 12 13 11 12 12 8 10 10 10 9 10

5.2 Refinery production by products(thousands of barrels/day) 63 77 114 124 130 131 136 129 131 134 127 117

5.2.1 Gasoline 24 33 42 45 48 52 55 54 52 54 44 455.2.2 Fuel oil 26 27 45 50 49 48 49 48 49 50 52 425.2.3 Diesel fuel oil 9 12 17 20 25 22 23 18 21 21 22 215.2.4 Kerosene 4 5 10 9 8 9 9 9 9 9 9 9

5.3 Production by refineries(thousands of barrels/day) 63 77 114 124 130 131 136 129 131 134 127 162

5.3.1 Barranca 30 39 68 73 84 86 85 83 80 87 80 1005.3.2 Cartagena 27 27 36 41 37 38 41 37 41 40 39 435.3.3 other 6 11 10 10 9 7 8 9 10 7 8 10

5.4 Refinery Internal Consumption(thousands of barrels/day) 52 64 90 92 98 104 111 110 117 121 123 132

5.4.1 Gasoline 24 33 43 45 48 52 59 58 60 64 69 805.4.2 Fuel oil 14 14 20 21 22 24 24 24 27 27 23 205.4.3 Diesel fuel oil 10 12 17 17 20 19 19 19 21 21 22 245.4.4 Kerosene 4 5 10 9 8 9 9 9 9 9 9 8

5.5 Refinery Capacity (thousands ofbarrels/day) 72 103 137 174 174 174 174 174 174 174 174 194

5.5.1 Barranca 37 46 75 111 111 111 111 111 111 111 111 1315.5.2 Cartagena 26 42 46 50 so 50 50 50 50 50 50 505.5.3 other 9 15 16 13 13 13 13 13 1,. 13 13 13

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Table 8.12 - COLOMLBTA: ENERGY INDICAIORS, 1960, 1965 AND 1970-79

sage 2 ol 2

1960 1965 1970 1971 1972 1973 1974 1975 )976 1977 197L 1979

Natural Gas

1. Reserves (M,M.MP...) . . . . 1,968 1,853 1,611 ,634 1,519 4,689 6,390 4,554 4,412 4,4422. Production (M.M.M.P.C.) 83 94 105 111 1l1 113 117 121 118 122 147 151

3. Utilization

3.1 Transrorn:ed 4 3 4 4 5 5 5 5

3.2 Injected 6 28 33 33 31 30 31 30 25 22 23 163.3 Industry - 34 38 46 47 48 48 50 58 8i 93

3.4 Fields 10 14 14 13 14 13 13 13 12 12 12 12

3.5 Burned 63 34 20 23 20 18 20 25 26 26 27 26

4. Gas lre-ted in Plants (N,M.Mf.P.C.) 29 41 71 72 71 74 74 74 70 65 64 635. Production of Derivatives (millions 54 69 126 126 124 123 121 118 103 94 95 94

of gallons) 54 69 126 126 124 123 121 118 103 94 95 94

5.1 Natural gasoline 30 29 46 45 43 39 38 34 29 29 30 34

5.2 Butane 9 14 33 33 30 31 30 31 28 24 25 23

5.3 G.L.P. in plants 15 26 47 48 51 53 53 53 46 41 40 37

6. G.L.P. Produced in Refineries (millionsof gallons) 7 23 63 59 35 73 -0 65 81 78 70 68

6.1 Barranca 5 14 59 54 70 67 65 58 72 68 59 56

6.2 Cartagena 2 9 4 5 5 6 5 7 9 10 11 12

7. Tutal G.L.P. Production in Plants andRefineries (millions of gallans) 22 49 110 107 126 126 123 118 127 119 110 105

8. G.L.P. Consumption (millions of gallons) 14 49 94 99 109 122 125 118 121 116 103 106

II. EXPORTS

A. Volume (thousands of barrels/day)

1. Crude Petrole-e: 86 111 86 70 41 26 1 - - - - _2. Refined 11 14 29 32 34 29 28 24 24 24 30 25

2.1 By Companies

2.1.1 Ecopetrol - 9 25 27 30 25 27 24 24 24 30 25

2,1.2 Others 11 5 4 5 4 4 1

- not available.

Source: Ministry of Mines and Energy.

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Table 8.13 - COLOMBIA: PRODUCTION AND CONSUMPTION OF OIL DERIVATIVES, 1970-80

(In Thousands of Barrels)

PETROLEUM GASOLINE DIESEL KEROSENE FUEL OIL

Production Imports Production Consumption Imports Production Consumption Exports Production Consumption Production Consumption Exports

197(0 79,590.2 15,283.6 15,925.7 ------- 6,095.0 5,347.4 1,049.3 3,554.4 3,336.7 16,373.7 6,639.6 7,421,0

1971 78,634.3 ------- 16,242.5 16,770.6 813.1 7,299.0 6,281.3 940.8 3,359.1 3,282.9 17,923.4 8,089.0 8,870.0

1972 71,673.7 ------- 17,501.0 17,553.2 218.9 9,044.6 6,797.3 2,429.4 2,997.2 2,968.1 18,047.3 8,389.7 8,978,1

1973 67,088.9 ------- 19,091.5 18,818.3 136.5 8,155.4 7,067.8 1,088.0 3,134.2 3,10(1.0 17,930.2 10,085.7 8,159.6

1974 61,387.2 ------- 20,803.2 20,200.0 206.9 8,304.0 7,197.0 1,143.8 3,329.1 3,245.9 17,926.6 9,073.4 8,701.4

1975 57,258 .6 ------- 19,595.1 21,185.7 1,761.3 6,647.4 6,838.8 ------- 3,360.6 3,233.4 17,496.5 7,602.9 8,690.9

1976 53,376.1 4,725.9 19,507.1 22,550.5 2,616.7 7,491.7 7,421.7 ( 40.0) 3,286.9 3,093.8 18,219.3 8,801.6 8,766.7

1977 50,168.0 9,398.7 20,766.9 23,742.9 3,452.0 7,570.2 7,633.2 ( 210.5) 3,039.2 3,008,4 18,418.1 8,841.1 8,621.1

1978 47,698.7 8,831.8 17,138.3 25,321.3 8,025.4 8,204.4 7,814.5 ( 77.0) 3,148.4 3,006.4 17,344.3 6,925.3 11,079,6

1979 45,033.2 8,995.1 15,270.3 24,503.4 9,303.0 7,778.0 8,397.1 (1,637.9) 3,209.0 2,883.1 15,243.6 6,910.3 8,969.1

1980 45,615.2 7,211.5 7,763.5/2 12,515.6 /2 7,592.5 3,975.3_/ 4,466.6/- (1,026.6) 1,359.4 1,224.3 8,2(05.3 -2 2,440.5 /2 9,488.5

/L Figures in parenthesis correspond to imports. In 1971 58,200 barrels were registered as imports.

/2 Figures correspond to June of 1980.

Source: ECOPETROL, National Planning Department.

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Table 8.14 - AVERAGE WHOLESALE COAL PRICES, 1970-81

(Col$ per ton)

Year Coking Thermal Totall-

1970 N.A. N.A. 61

1971 N.A. N.A. 60

1972 N.A. N.A. 63

1973 N.A. N.A. 62

1974 N.A. N.A. 61

1975 N.A. N.A. 90

1976 N.A. N.A. 312

1977 619 312 354

1978 753 400 445

1979 N.A. 530

1980 590 684 622

1981 767 889 809

1/ The total price quoted is the national weighted average at theminehead.

2/ Estimated.

N.A. Not Available.

Source: Ministry of Mines and Energy; National Planning Department.

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Table 8.15 - COLOMBIA: NATURAL GAS PRICES, 1975-80

Producer Price Retail PriceYear (US$ per thousand cubic feet) (Col$ per thousand cubic feet)

Industry andPetrochemical Electricity Residential

1975 N.A. 23.35 23.35 23.35

1976 N.A. 34.00 34.00 34.00

1977 0.80 38.00 38.00 38.00

1978 0.8125 38.00 38.00 38.00

1979 0.7473 42.00 48.50 55.00

1980 L/ 1.4601 55.00 82.00 93.00

1/ October.

N.A. Not Available.

Source: Ministry of Mines and Energy.

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Table 8.16 - COLOMBIA: CONSUMER PRICES OF SELECTED OIL DERIVATIVES 1970-80

(Pesos per gallon)

Gasoline Diesel Aviation Fuel

Regular Extra Oil Fuel Kerosene Oil

1970 2.41 N.A. 1.87 -

1971 3.42 470 2.43 - 2.25

1972 3.42 4.70 2.43 - 2.25

1973 3.42 4.70 2.43 - 2.25

1974 3.42 4.70 2.43 - 2.25

1975 4.75 9.20 4.25 6.63 4.25

1976 8.50 12.02 8.05 10.03 8.05

1977 12.00 13.50 11.55 12.14 11.55

1978 16.00 20.00 15.00 19.43 15.00 5.60

1979 26.00 32.50 24.50 26.00 24.50 14.01

1980 44.00 52.50 44.00 49.00 44.00 20.80

* Prices 1975-79 December

Prices 1980 October

Source: Ecopetrol, Ministrio de Minas y Energia.

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Table 8.17 - COLOMBIA: AVERAGE ELECTRICAL TARIFFS BY SECTOR AND ENTITY, 1970, 1973, 1975-79

(Col$ per KWh)

RESIDENTIAL COMMERCIAL INDUSTRIAL OFFICIALENTITY 1970 1971 1975 1976 1977 1978 1979 1970 1973 1975 1976 1977 19-78 1979 1970 1973 1975 1976 1977 1978 1979 1970 1973 1975 1976 1977 1978 1979

Antioq.ia Il0.19 - 0.34 0.42 0.59 0.90 1.47 0.30 - 0.49 0.61 0.93 1.63 1.73 0.24 - 0.44 0.55 0.92 1.18 1.42 0.09 0.16 0.23 0.34 0.53 0.86 1.47

Atlantico 0.24 0.35 0.51 0.69 0.88 1.06 1.25 0.27 0.44 0.76 0.98 1.28 1.62 1.83 0.23 0.35 0.50 0.69 1.00 1.28 1.48 0.17 0.26 0.42 0.64 0.85 0.62 1.21

EERBS 0.15 0.25 0.30 0.35 0.46 0.61 0.76 0.30 0.42 0.54 0.62 0.81 1.30 1.82 0.23 0.30 0.39 0.47 0.63 0.93 1.26 - 0.23 0.31 0.37 0.49 0.15 1.05

Bloivar 0.35 0.40 0.50 0.63 0.82 1.06 1.44 0.63 0.49 0.77 1.00 1.31 1.72 2.22 0.23 0.34 0.52 0.72 0.99 1.37 1.79 0.40 0.29 0.42 0.66 0.81 1.10 1.45

Boyaca 0.18 0.38 0.40 0.51 0.59 0.79 1.10 0.26 0.47 0.50 0.57 0.89 1.22 1.65 0.17 0.26 0.31 0.40 0.69 0.94 1.11 0. 17 0.20 0.23 0.36 0.49 0.74 0.62

CHEC 0.22 0.28 0.36 0.41 0.59 0.79 0.91 0.27 0.44 0.58 01.74 1.(7 0.42 1.63 0.15 0.21 0.46 0.53 0.77 0.99 1.20 0.10 0. 11 0.20 0.31 0.48 0.85 0.711

Caq.eta - - - - - 1.04 1.05 - - - - - 1.19 1.11 - - - - - 1.00 1.00 - - - - - 1.00 1.00

C.uca 0.16 0.24 0.35 0.44 0.67 0.71 0.88 0.16 0.29 0.45 (0.56 0.80 1.16 1.44 0.15 0.20 0,50 0.61 0.74 1.01 1.56 0.15 0.23 0.32 0.48 0.52 0.76 N.A.

CVC - - 0.45 0.51 0.63 0.83 1.07 - - 0.54 0.61 0.81 0.99 1.38 - - 0.52 0.72 1.09 1.41 1.76 - - 0.34 0.41 0.54 0.45 N.A.

Ce.ar 0.30 0.59 0.75 0.96 1.34 - 1.87 0.13 0.66 0.85 1.15 1.65 - 2.35 0.27 0.37 0.75 1.02 1.48 - 2.07 0.25 0.51 0.78 1.04 1.48 - 1.9

Cordoba 0.46 0.47 0.61 0.65 0.82 1.09 1.37 0.26 0.50 0.77 0.84 1.13 1.38 1.81 0.15 0.26 0.43 0.49 0.78 1.13 1.50 0.24 0.32 0.48 0.54 0.86 1.15 N.A.

C.ndinamarea 0.29 0.32 0.35 0.45 0.63 0.89 1.37 0.29 0.36 0.45 0.63 0.94 1.34 1.65 0.25 0.27 0.31 0.40 0.58 0.83 1.23 0.22 0.23 0.31 0.40 0.84 0.8 l.A.

Cho"o - - 0.24 0.43 0,62 0.90 1.26 - - 0.37 0.55 0.80 1.16 1.52 - - 0.42 0.52 0.73 1.00 1.40 - - 0.48 0.51 0.72 1.08 N.A.

Cuajira - 0.66 0.72 - - - 1.80 - 0.66 0.89 - - - 2.18 - 0.58 0.65 - - - 1.25 - 0.62 0.69 - - - 1.91

Huila 0.25 0.30 0.36 0.41 0.55 0.86 1.21 0.29 0.39 0.47 0.56 0.77 1.23 1.73 0.14 0.20 0.33 0.50 0.86 1.15 1.22 0.23 0.21 0.29 0.37 0.52 0.80 1.10

Magdalena 0.38 0.51 0.42 0.82 0.97 1.20 1.45 0.39 0.49 0.77 1.08 1.38 1.24 2.18 0.38 0.41 0.65 0.19 1.02 1.34 1.54 0.36 0.7.5 0.65 0.80 1.05 1.35 1.70

RPM 0.18 0.19 0.27 0.33 0.38 0.49 0.60 0.29 0.32 0.56 0.80 I.119 1.32 1.73 0.20 0.22 0.39 0.54 0.74 0.90 1.14 0.13 0.14 0.29 0.37 0.44 0.56 0.73

Narino 0.15 0.23 0.33 0.44 0.61 0.79 0.92 0.15 0.28 0.49 0.61 0.90 0.27 1.58 0.15 0.23 0.51 0.66 0.81 1.25 1.21 0.07 0.21 0.37 0.49 0.65 1.14 1.20

Norte de Santander 0.24 0.35 0.50 0.61 0.75 1.00 1.48 0.30 0.42 0.60 0.78 0.99 1.42 2.06 0.13 0.28 0.42 0.56 0.76 1.06 1.33 0.18 0.28 0.40 0.59 0.76 1.03 1.20

Santander 0.23 0.39 0.44 0.52 0.67 0.96 1.35 0.28 0.47 0.53 0.64 0.91 1.41 1.79 0.27 0.28 0.32 0.42 0.57 0.82 1.12 0.25 0.28 0.29 0.47 0.41 0.87 1.11

San Andre. - - 0.64 0.68 1.10 1.15 1.73 - - 1.11 1.20 1.71 2.02 3.04 - - 0.75 0.81 1.51 1.80 2.53 - - 0.94 0.98 1.60 1.88 2.71

Sucre 0.45 0.48 0.59 0.62 0.99 1.32 1.51 0.43 0.52 0.73 0.82 1.21 1.55 1.88 0.39 0.32 0.48 0.53 1.12 1.43 1.50 0.29 0.33 0.49 0.53 1.03 1.30 1.52

Tolima 0.22 0.34 0.39 0.45 0.57 0.80 1.0810.28 0).19 0.51 u.60 0.78 1.00 1.34' jO.20 0.28 0.I.3 0.54 0).7 3 n094, 116, 02-3 0.26 0.29 0.40 0.52 0.65 1.81

I/ Average of the Electrificadora de Antioquia, Circuito Electrico de Si.ifana and Circuito Electrico de Tamesis.

N.A. Not Available.

Source: National Planning Department.

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Table 9.1 - COLOMBIA: CONSUMER PRICE INDICES FOR B)GO1A,

MEDELLIN AND THE NATION 1970-1981

(December 1978=100)

Bogota Medellin Nation

Empleados Obreros Empleados Obreros Empleados Obreros

1970 24.1 22.1 23.1 21.7 21.9 2(.7

1971 26.4 24.1 25.4 24.5 24.3 23.1

1972 29.6 27.; 28.5 27.8 27.5 26.3

1973 lS.= 33.S 33.6 35.5 32.9 32.1

1974 2.9 42.0 40.7 41.4 40.5 4so.

1975 52.7 52.8 48.9 50.1 49.5 49.7

1976 62.4 62.0 59.1 60.1 59.6 S9.

1977 78.3 80.6 76.8 80.9 78.3 80.3

1978 93.5 94.6 91.5 92.6 93.1 91.7

1979 115.8 117.5 114.4 117.1 315.3 117.(1980 144.3 150.4 144.1 151.0 144.0 148.8

1978 January 84.6 85.6 82.4 84.8 84.7 85.7

Februiary 87.7 88.3 83.7 85,8 86.1 86.8

March 90.1 91.3 86.7 88.5 88.8 89.6

April 92.5 94.9 88.3 90.4 90.1 91.1

May 94.1 97.3 90.1 92.2 92.1 93.3

June 94.9 97.9 91.9 93.7 94.3 96.7

.Eulv 94.5 95.3 92.6 93.6 94.5 95.2

August 94.2 94.7 93.6 94.6 95.0 95.2

September 95.0 95.1 94.6 96.6 95.6 95.S

October 96.1 96.2 96.0 96.1 97.4 97.6

November 98.1 98.2 97.7 97.5 98.7 98.9

December 100.0 100.0 100.0 100.0 100.0 100.0

1979 Januarv 103.3 104.0 102.5 103.6 103.0 103.5

February 105.6 105.8 104.1 104.7 105.1 105.3

March 110.4 110.3 107.4 108.5 109.3 109.6April 111.9 112.7 109.0 110.6 111.0 111.8

Mav 113.8 115.3 111.9 114.5 113.0 114.4

Jtune 115.4 117.7 113.3 116.7 114.4 116.5

July 116.7 118.3 115.7 117.4 116.3 117.8

August 118.2 120.2 117.5 12n.0) 118.1 120.0

September 12(0.9 122.4 120.1 124.1 120.7 122.6

October 121.8 124.4 121.6 125.7 121.9 124.5

November 124.4 128.4 123.9 128.5 124.3 127.8

December 126.7 131.0 126.2 130.9 126.5 129.8

1980 JanuLary 129.7 133.7 129.8 134.8 129.7 132.8

February 131.7 134.9 130.9 136.4 131.3 134.1

March 134.8 138.5 133.2 138.8 133.9 136.9

April 138.7 145.1 137.7 144.4 138.0 142.6

May 142.8 150.4 142.8 149.1 142.5 147.7

June 144.3 152.5 144.6 151.7 143.9 149.7

Jully 146.7 153.1 146.2 153.1 146.0 150.9

Atuguist 147.3 152,5 148.2 155.6 147.0 152.1

September 149.1 155.7 150.1 157.2 149.5 154.7

October 153.0 159.1 152.3 160.0 152.9 158.1

Nlovember 155.9 162.8 155.7 164.3 155.9 161.7

December 157.5 166.4 157.5 166.4 157.5 164.2

1981 Januarv 161.1 169.7 160.7 169.6 160.8 167.7

7ebruary 166.2 177.0 163.(' 171.8 165.0 t72.9

/a Boyota has a weight of 20.2, irn the national total on the 1953 Household Survey.

/7 7 Medellin has a weight of 23.57. in the national total based on the 1953 Household Survey,

Soutrce: DANE, Boletin Mensual de Estadistica, 1980

Note: Prior to 1979 all index nuimbers are recalculated on December 1978 as base.

Original indexes could be found in the Economic Report - Volume II, June 1, 1979.

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Table 9.2: COLOMBIA: CONSUMER PRICE INDICES BYEXPENDITURE CATEGORY, 1970- 81

(December 1978=100)

Foodstuffs Housing Clothing Miscellaneous TotaL

Period A/a B/b A B A B A B A B

1970 18.2 18.1 27.2 25.5 22.4 22.0 26.1 24.6 21.9 20.7

1971 20.4 20.4 29.7 28.5 24.3 24.3 28.7 27.2 24.3 23.1

1972 19.5 23.5 33.7 32.1 27.4 27.6 31.9 30.2. 27.5 26.3

1973 29.8 30.3 38.3 36.4 33.7 33.8 33.1 33.4 32.9 32.1

1974 38.6 39.1 44.8 43.8 41.7 42.3 40.9 39.2 40.5 40.2

1975 48.5 49.7 52.2 50.8 48.4 49.3 50.0 48.5 49.5 49.7

1976 59.2 59.8 62.4 60.6 57.7 58.6 59.5 58.3§ 59.6 59.6

1977 82.7 85.6 75.9 73.9 71.4 72.1 73.5 72.,7 78.3 80.3

1978 95.5 96.3 91.0 89.9 89.9 90.1 90.7 90.3 93.1 93.7

1979 118.8 118.3 111.4 115.3 113.8 114.5 114.9 116.3 115.3 117.0

1980 153.0 152.1 135.3 147.4 137.6 137.7 142.3 142.7 144.0 148.8

1979 January 104.6 104.5 103.2 103.5 100.9 100.9 100.7 100.8 103.0 103.5February 107.2 106.1 103.5 104.2 104.0 104.4 103.9 105.0 105.1 105.3

March 111.1 110.1 106.7 108.3 106.8 107.5 110.5 110.9 109.3 109.6

April 114.5 113.8 107.1 108.6 108.8 110.1 110.6 111.1 111.0 111.8May 116.1 116.2 110.0 112.2 111.2 111.9 112.2 112.8 113.0 114.4

June 118.2 118.8 111.0 114.0 112.9 113.7 113.0 114.0 114.4 116.5

July 119.5 118.7 112.1 116.1 114.4 114.9 116.6 118.5 116.3 117.8

August 121.7 120.8 112.7 118.3 116.7 117.9 118.9 121.5 118.1 120.0

September 124.8 123.2 115.0 121.2 119.6 120.8 121.3 123.4 120.7 122.6

October 126.3 125.4 116.2 123.3 121.2 122.3 122.0 123.9 121.9 124.5

November 128.9 129.3 118.5 126.0 123.7 123.6 124.0 126.4 124.3 127.8

December 132.1 132.1 120.8 127.5 125.1 125.5 124.6 126.9 126.5 129.8

1980 January 135.9 135.9 123.4 129.7 126.2 126.5 128.5 129.4 129.7 132.8

February 137.2 135.8 124.6 132.6 128.5 129.2 130.9 132.0 131.3 134.1

March 139.9 138.3 126.4 135.9 130.2 131.0 134.9 135.4 133.9 136.9

April 147.5 147.5 128 9 138.4 132.2 132.9 135.6 136.1 138.0 142.6

May 152.5 153.2 132.6 142.9 135.5 135.3 140.3 140.8 142.5 147.7

June 154.3 155.3 133.8 145.4 137.3 137.6 141.8 141.3 143.9 149.7

July 156.2 155.3 136.5 148.9 138.6 138.6 143.5 142.8 146.0 150.9

August 156.7 155.3 138.6 151.2 140.7 140.5 145.2 145.8 147.3 152.1

September 159.3 157.6 140.5 155.0 142.1 141.9 147.2 147.6 149.5 154.7

October 163.0 161.0 143.8 158.6 143.7 143.9 151.1 151.0 152.9 158.1

November 166.0 164.5 146.4 162.5 147.2 146.6 153.9 154.7 155.9 161.7December 167.4 165.7 148.6 168.0 149.3 148.9 155.3 155.8 157.5 164.2

1981 January 171.7 169.9 152.8 172.0 150.4 150.2 156.4 156.6 160.8 167.7February 178.0 175.6 155.2 177.2 153.8 153.8 159.6 159.9 165.0 172.9

/a 'PA" refers to Empleados.

/b "B" refers to Obreos.

Note: Prior to 1979 all index numbers are recalculated on December 1978 as base.Original indexes could be found in the Economic Report - Volume II, June 1, 1979.

Source: DANE, Boletin Mensual de Estadistica, Bogota

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Table 9.4 - COLOMBIA: WHOLESALE AND CONSUMER PRICEINDICES AND GROWTH RATES, 1970-81

(DECEMBER 1978-100)

Wholesale Prices/- Consumer Prices /b

Year and Month Index Growth Rates/C Index Growth Rates/c

1970 17.5 - 20.7 -

1971 19.5 11.4 23.1 11.6

1972 23.0 17.9 26.3 13.9

1973 29.4 27.8 32.1 22.1

1974 40.1 36.4 40.2 25.2

1975 50.2 25.2 49.7 23.6

1976 61.8 21.1 59.6 19.9

1977 78.2 26.5 80.3 34.7

1978 92.0 17.6 93.7 16.7

1979 117.6 27.8 117.0 24.9

1980 146.1 24.2 148.8 27.2

1977 January 69.6 0.9 67.1 2.3

February 71.5 3.6 69.8 6.4

March 73.1 5.9 72.7 10.8

April 77.3 12.0 78.2 19.2

May 79.4 15.1 81.9 24.8

June 80.8 17.1 84.6 29.0

July 81.3 17.8 85.5 30.3

August 80.3 16.4 85.0 29.6

September 80.5 16.7 84.8 29.3

October 81.2 17.7 84.4 28.7

November 81.7 18.4 84.5 28.8

December 82.2 19.1 84.9 29.4

1978 January 84.5 2.8 85.7 0.9

February 85.5 4.0 86.8 2.2

March 87.1 6.0 89.6 5.5

April 89.4 8.8 91.1 7.3

May 91.3 11.1 93.3 9.9

June 91.5 11.3 95.7 12.7

July 92.5 12.5 95.2 12.1

August 94.0 14.4 95.2 12.1

September 94.7 15.2 95.5 12.5

October 96.0 16.8 97.6 15.0

November 97.9 19.1 98.9 16.5

December 100.0 21.7 100.0 17.8

1979 January 103.8 3.8 103.5 3.5

February 106.2 6.2 105.3 5.3

March 109.1 9.1 109.6 9.6

April 112.0 12.0 111.8 11.8

May 115.0 15.0 114.4 14.4

June 117.0 17.0 116.5 16.5

July 119.4 19.4 117.8 17.8

August 122.5 22.5 120.0 20.0

September 124.2 24.2 122.6 22.6

October 125.9 25.9 124.5 24.5

November 127.5 27.5 127.8 27.8

December 129.0 29.0 129.8 29.8

1980 January 130.4 1.1 132.8 2.3

February 132.6 2.7 134.1 3.3

March 13s.2 4.8 136.9 5.5

April 139.3 8.0 142.6 9.9

May 144.3 11.9 147.7 13.8

June 145.6 12.8 149.7 15.3

July 147.5 14.3 150.9 16.3

August 149.9 16.2 152.1 17.2

September 152.0 17.8 154.7 19.2

October 156.2 21.0 158.1 21.8

November 158.6 22.9 161.7 24.6

December 161.7 25.3 164.2 26.5

1981 January 163.1 0.8 167.7 2.1

February 167.1 3.3 172.9 3.1

/a Total wholesale prices./b Blue Collar Workers (Obreros)./c Monthly percentage change in index relative to previous December.

Annual percentage change in current year index relative to previous year

index.

Source: Banco de la Republica, Bogota.National Statistics Department (DANE).

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Table 9.5 - COLOMBIA: AVERAGE ANNUAL INCREASES IN SELECTEDPRICE INDICATORS, 1960-80

(Percentage Changes)

InteriorWholesale Prices Consumer Prices GDP Price Coffee

Year Total Excl. Food b/ White Collar Blue Collar Deflator Price

A A/ B A/

1960 4.2 4.5 6.0 5.7 8.5 10.8

1961 6.6 4.7 7.8 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 15.7 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 16.7 14.5 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 18.3 10.4 13.2 13.8 13.4 20.3

1973 27.9 19.6 22.0 22.0 29.3

1974 36.0 23.3 25.2 27.6 13.9

1975 25.4 22.1 23.6 20.8 23.6

1976 22.9 20.5 20.0 23.7 102.8

1977 26.7 31.3 34.8 28.1 29.8

1978 17.6 18.9 16.7 20.0 1.7

1979 27.8 23.9 24.8 23.9 -0.4

1980 24.2 24.5 27.2 24.5 19.2

Source: Banco de la Republica.DANE, Boletin Mensual de Estadistica, Bogota.

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Table 9.6: COLOMBIA: PRICE INDICES OF CONSTRUCTION MATERIALSIN BOGOTA 1970-81

1976 - 100

NonMetallic IronMineral andand Gray Common MetalProducts Cement Bricks Articles Lumber Total

1970 34.5 28.3 30.1 27.5 37.2 34.11971 38.5 36.7 40.7 27.7 40.9 37.41972 44.3 41.2 52.7 31.5 43.4 42.01973 50.3 47.4 55.2 40.6 56.6 50.41974 63.9 63.4 67.7 75.6 75.6 68.61975 78.6 84.7 79.2 87.8 82.6 81.01976 100.0 100.0 100.0 100.0 100.0 100.01977 129.0 126.7 135.7 113.5 130.5 127.11978 175.4 164.5 204.0 153.7 181.8 173.91979 275.3 201.4 291.1 195.2 339.0 223.71980 363.9 334.0 368.5 236.0 408.9 293.3

1977 January 112.0 105.9 112.6 105.5 111.9 111.0February 118.3 104.1 118.4 111.8 112.2 115.6March 122.3 102.4 132.7 112.5 114.0 118.5April 125.3 105.1 132.7 112.6 118.8 121.6May 128.6 103.4 135.6 115.8 130.8 127.3June 129.0 105.1 138.4 116.1 130.6 127.6July 131.9 139.4 136.0 113.8 134.4 129.8August 131.7 150.8 137.2 113.8 138.0 130.7September 134.5 168.3 141.4 114.4 140.0 132.9October 135.6 159.8 146.8 114.0 143.5 134.5November 139.1 142.8 148.2 115.6 145.8 137.4December 139.8 134.3 148.3 116.4 145.6 137.8

1978 January 147.5 153.0 165.9 119.5 158.0 146.0February 148.8 149.6 170.7 129.4 157.1 148.2March 161.5 149.6 190.2 148.8 157.3 158.5April 161.6 148.8 183.3 148.4 162.7 160.0May 168.0 167.1 183.2 152.4 176.8 168.1lune 173.5 173.9 182.8 154.6 173.7 170.7July 178.2 173.4 189.9 158.4 183.4 176.7August 180.3 171.7 217.5 159.0 191.1 163.7September 181.7 169.6 217.4 162.7 199.2 183.6October 198.2 169.6 236.9 166.6 199.7 193.8November 200.4 173.9 252.8 171.8 210.9 199.0December 205.3 173.9 257.2 172.4 211.5 202.0

1979 January 230.6 176.2 272.4 172.4 323.8 200.6February 230.6 185.3 272.4 173.6 334.5 203.6March 240.4 190.6 280.3 174.9 334.5 206.6April 249.2 191.6 280.3 203.0 334.5 216.2May 267.9 191.6 286.1 206.5 334.5 219.5June 272.5 194.8 286.1 205.7 334.5 220.5July 290.0 207.6 294.6 204.5 334.5 230.9August 290.0 205.5 296.5 202.6 334.5 232.6September 308.0 205.5 296.5 200.1 334.5 233.7October 308.0 220.0 296.5 199.7 356.0 237.2November 308.0 224.2 296.5 199.7 356.0 237.7December 308.0 224.2 335.2 199.7 356.0 245.4

1980 January 308.0 230.9 335.2 201.7 381.7 250.8February 314.5 278.2 346.5 203.3 381.7 261.6March 314.5 320.4 346.5 235.1 381.7 272.0April 353.9 317.9 349.0 238.3 384.2 283.3May 357.1 322.7 371.1 238.5 385.9 290.4June 357.1 346.6 376.5 238.1 385.9 295.1July 361.6 351.9 376.5 237.6 407.4 300.0August 371.4 350.9 376.5 237.4 407.4 300.5September 384.5 351.2 376.5 237.1 428.9 302.8October 397.6 368.1 384.1 237.5 443.8 314.9November 417.0 377.5 384.1 263.6 458.8 321.8December 429.3 391.3 399.7 264.3 458.8 326.9

1981 January 429.3 396.7 412.9 264.6 486.3 337.7February 434.4 397.6 412.9 264.8 486.3 345.2

Source: Banco de la Republica.DANE, Boletin Mensual de Estadistica, Bogota.

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Table 10.1 - COLOMBIA: LOAN COMMITMENTS BY AGENCY, 1965, 1970-80

(In Millions of U.S. Dollars)

Prel.1965 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980

AID 63.8 72.1 82.3 89.0 19.4 17.5 24.5 23.4 26.0 25.0 12.5 n.a.

EXIMBANK (USA) 4.0 2.1 22.8 0.3 14.3 7.8 10.6 - - - - n.a.

IDB /1 27.8 23.1 78.9 49.9 32.2 73.7 - 139.8 51.0 71.8 182.7 n.a.

IBRD & IDA - 109.3 153.1 44.1 162.2 8.0 88.0 196.0 306.0 390.6 330.5 518.0

OTHERS 15.1 79.7 62.0 155.0 268.4 92.7 243.4 316.9 144.5 318.4 983.3 n.a.

SUBTOTAL 110.7 286.3 399.1 338.3 496.5 199.7 366.5 676.1 527.5 805.8 1,509.0 1,259.7

PL-480-I - 16.2 3.0 10.4 8.9 - - - - - -

TOTAL 110.7 302.5 402.1 348.7 505.4 199.7 366.5 676.1 527.5 805.8 1,509.0 1,259.7

/1 Includes amounts repayable in local currency.

Source: Statements of Loans of respective agencies and National Planning Department data.

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Table 10.2 - COLOMBIA: IBRD LOANS AND IDA CREDITS COMMITTED, 1949-81

(In Millions of U.S. Dollars)

Calendar Loan or Date of Loan Original Prin- Cumulative Ori-Year Credit No. Purpose Agreement cipal Amount ginal Amount

1949-1970 750.4

1971 738 Water May 28 2.0739 Agriculture May 28 8.1740 Telecommunications May 28 15.0741 Water May 28 88.0742 DFC May 28 40.0

Sub-total 153.1 903.5

1972 842 Program/Export June 28 30.0849 Agriculture June 30 5.0860 Water Oct. 10 9.1

Sub-total 44.1 947.6

1973 874 Power Jan. 12 56.0903 Industry June 11 60.0920 Education July 19 21.2926 Transportation August 8 25.0

Sub-total 162.2 1,109.8

1974 971 Preinvestment March 12 8.0Sub-total 8.0 1,117.8

1975 1071 Industry Jan. 16 5.51072 Water Jan. 16 27.01073 Telecommunications Jan. 16 15.01118 Agriculture June 2 19.51163 Agriculture Sept. 12 21.0

Sub-total 88.0 1,205.8

1976 1223 Industry March 31 80.0Sub-total 80.0 1,285.8

1977 1352 Rural Development Jan. 1 52.01357 Agriculture Feb. 4 64.01450 Telecommunications July 7 60.01451 Industry Sept. 27 15.01471 Roads July 5 90.01487 Nutrition Nov. 10 25.0

Sub-total 306.0 1,591.8

1978 1523 Water June 20 13.81558 Urban July 21 24.81582 Power July 14 126.01583 Power July 14 50.01593 Industry Aug. 1 15.01598 Industry July 27 100.01624 Aviation Dec. 29 61.0

Sub-total 390.6 1,982.4

1979 1628 Power April 9 84.01694 Urban Aug. 31 13.51697 Water Supply Nov. 30 30.01725 Power Nov. 30 72.01726 Water & Sewer Nov. 30 31.01737 Agriculture Nov. 30 20.01762 Mining Dec. 20 80.0

Sub-total 330.5 2,312.9

1980 1807 Power Feb. 6 87.01825 Communications Dec. 19 44.01834 Industry Dec. 10 32.01857 industry Dec. 10 150.01868 Power Dec. 19 125.0

Sub-total 438.0 2,750 9

1981 1953 Power 1/ 85.01966 Roads 1/ 33.01996 Irrigation 1/ 37.01999 Power 1/ 36.02008 Power 1/ 359.0

Sub-total 550.0 3,300.9

I/ To be signed.

Source: IBRD.

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Table 11.1 - COLOMBIA: STUDENT POPULATION BY LEVEL OF EDUCATION, PUBLIC AND PRTVATF, 1963-80

(Thousands of Stuidents)

Level of Edu,cation 1963 1973 1976 1977 1978 1979 1980 Average Annual Rate of Crowth1963-73 1973-79 1979-80

Primary EducatiouPiublic 1,786.6 3,199.5 3,450.9 3,539.2 3,509.6 3,534.8 3,548.2 6.0 1.7 0.4Private 309.8 522,1 607.1 621.4 617.6 621.6 625.1 5.9 3.0 0.6Total 2,096.4 3,751.5 4,058.0 4,160.5 4,127.2 4,156.4 4,173.3 6.0 1.7 0.4

Secondary EdtucatiornPublic '42.7 571.1 799.9 876.2 922.5 969.7 1,012.4 14.9 9.2 4.4Private 202.2 525.7 690.9 739.9 761.0 791.6 811.7 10.0 7.1 2.5Total 344.9 1,096.8 1,490.8 1,616.1 1,683.5 1,761.3 1,824.1 12.3 8.2 3.6

Post SecondaryTechnological Inistitutes

Public - 6.5 9.6 8.3 8.3 7.9 2.5 - 3.3 -68.4Private 13.5 28.1 26.0 17.6 21.2 21.4 7.8 1.0Total - 20.0 37.7 34.3 26.9 29.1 23.9 - 6.5 -18.0

Higher Eduication;Universities

Public 19.9 64.3 111.7 122.3 121.5 121.4 125.7 12.4 11.2 3.5Private 15.2 65.2 97.8 122.7 142.2 146.5 153.5 15.7 14.4 4.8Total 35.1 129.4 209.6 245.0 263.7 267.9 279.2 13.9 12.9 4.2

Source: IANE, Boletin MensuLal de Estadistica, Bogota, various isstues.Mlinisterio de Educacion, Seccion de Estadisticas y Sistemas, Bogota, unpubli shed worksheets.ICFES, Estadisticn' Basicas de la Edticacion Superior, Division de Planeacion v Financiacion,

Bogota, September 1977.

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Table 11.2 - COLOMBIA: PUPIL ENROLLMENT IN PRIMARY SCHOOL,

1963, 1973, 1976-80

Average Annual Growth Rate1963 1973 1976 1977 1978 1979 1980 63-73 73-80 79-80 63-80

All Schools

Rural 781.8 1,239.8 1,396.3 1,436.4 1,417.8 1,432.3 1,443.3 4.7 2.2 0.8 3.7Urban 1,314.6 2,511.7 2,661.7 2,724.1 2,709.4 2,724.1 2,729.9 6.7 1.2 0.2 4.4Total 2,096.4 3,751.5 4,058.0 4,160.5 4,127.2 4,156.4 4,156.4 6.0 1.5 0.4 4.1

Public Schools

Rural 767.8 1,211.3 1,355.3 1,393.1 1,376.0 1,390.3 1,401.1 4.7 2.1 0.8 3.6Urban 1,018.8 1,988.1 2,095.6 2,146.1 2,133.6 2,144.5 2,147.1 6.9 1.1 0.1 4.5 -Total 1,786.6 3,199.5 3,450.9 3,539.2 3,509.6 3,534.8 3,548.2 6.0 1.5 0.4 4.1

Private Schools

Rural 13.9 28.5 41.1 43.3 41.8 42.0 42.3 7.4 5.8 0.8 6.8Urban 295.9 523.6 566.1 578.1 575.8 579.6 582.8 5.9 0.5 4.1Total 309.8 552.1 607.2 621.4 617.6 621.6 625.1 5.9 0.6 4.2

a Preliminary.b DANE Projections.

Source: Ministerio de Educacion, Seccion (le Estadisticas y Sistemas, Bogota, unpublished worksheets.DANE, Boletin Mensual de Estadistica, Bogota.

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Table 11,1 - COLOMBIA: STLIDENT POPULATION BY LEVEI. OF EDlUCATION, PUBLIC AND PRIVATI, 1963, 1973, 1976-80

(Tho-sands of Students)

1963 % 1973 7. 1976 7. 1977 7. 1978 °/. 1979 / 1980

Course of Study

All Schools 344.9 100.0 1,096.8 100.0 1,490.6 100.0 1,616.1 100.0 1,683.4 100.0 1,761.3 100.0 1,824.0 IOO.0Bachillerato 202.0 58.6 808.8 73.7 1,107.5 74.3 1,187.1 73.5 1,258.3 74.7 1,314.5 /4.6 1,358.7 74.5Industrial 15.1 4.4 41.9 3.8 59.9 4.0 68.4 4.2 68.7 4.0 72.2 4.1 77.7 4.2Con=ercial 52.3 15.2 115.9 10.6 152.3 10.2 174.7 10.8 188.3 11.2 197.5 11.2 201.9 11.0Agriculture 3.6 1.0 15.0 1.4 30.2 2.0 40.3 2.5 27.2 1.6 38.5 2.2 49.2 2.7Education 47.7 13.8 65.9 6.0 83.6 5.6 80.4 5.0 75.8 4.5 70.6 4,0 66.8 3.7

INEM'S -- 32.0 2.9 50.2 3.4 55.6 3.3 S5.3 3.3 57.2 3.3 58.8 3.3

Other 24.2 7.0 17.3 1.6 6.9 (1.5 9.6 0.6 9.8 0.7 10.8 0.6 10.9 0.6

Public Schools 142.7 100.0 571.1 10(1.0 799.9 100.0 876.2 100.0 922.4 100.0 969.7 100.0 1,012.4 100.0Bachillerato 75.7 53.0 396.1 69.4 553.4 69.4 600.1 68.5 653.1) 70.8 680.9 70.2 704.3 69.6Industrial 12.8 9.0 35.6 6.2 48.10 6.0 52.1 5.9 52.0 5.6 55.0 5.7 60.2 5.9

Commercial 9.1 6.4 38.4 6.7 50.8 6.4 61.5 7.0 71.0 7 .7 76.8 7.9 79.1 7. 8Agrictulture 3.3 2.3 12.3 2.2 25.7 3.2 34.9 4.0 21.5 2 .3 32.6 3.4 43.8 4,3

Education 28.8 20.2 49.7 8.7 66.4 8.3 65.3 7.5 62.6 6.8 59.3 6.1 56.5 5.6INEM's - - 32.0 5.6 50.2 6.3 55.6 6.3 55.3 6.0 57,2 5.9 58.8 5.8

Other 13.0 9.1 7.0 1.2 5.3 0.7 6.8 0.8 7.0 0.8 7.9 0.8 9.7 1.0

Private Schools 202.2 100.0 525.7 100.0 691.0 100.0 740.0 100.0 761.0 1t)O.0 791.6 100.0 811.6 1(0.0Bachillerato 126.3 62.5 412.7 78.5 554.1 80.2 587.1 79.3 605.3 79.5 633.6 80.0 651,3 80.2

Industrial 2.3 1.1 6.3 1.2 11.9 1.7 16.4 2.2 16.7 2.2 17.1 2.2 17.6 2.2Commercial 43.2 21.4 77.5 14.7 101.6 14.7 113,2 15.3 117.3 15.4 120.7 15.2 122.8 15.1

Agriculture 0.3 0.1 2.7 0.5 4.5 0.7 5.4 0.7 5.7 0.7 5.9 0.7 6.4 0.8

Education 18.9 9.3 16.2 3.1 17.2 2.5 15.1 2.0 13.2 1.7 11.3 1.4 10.3 1.3Others 11.2 5.5 10.3 2.0 1.7 0.2 2.8 0.4 2.8 0.5 2.9 0.5 3.2 0.4

Soturce: Ministerio de Educacinn, Seccion de Estadisticas y Sistcmas, Bogota, unpublished worksheets.

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Table 11.4 - COLOMBIA: ENROLLMENT IN COLOMBIAN UNIVERSITIES, PUBLIC AND PRIVATE, BY COURSE OF STUDIES 1963, 1973, 1975-79(FIRST SEMESTER - JANUARY-JULY)

7. % 2 2 / 7% 21963 of Total 1973 of Total 1975 of Total 1976 of Total 1977 of Total 1978 of Total 1979 of Total

Total 35,162 100.0 124,236 100.0 176,098 100.0 204,563 100.0 237,477 100.0 253,547 100.0 267, S85 100.0Administratfonand Economaics 2,809 8.0 30,878 24.9 48,569 27.6 55,124 27.0 64,910 27.3 73,090 28.8 76,887 28.7

Agriculture 2,726 7.8 7,138 5.7 8,616 4.9 8,654 4.2 9,931 4.2 9,323 3.7 10,119 3.8

Architecture and Arts 3,725 10.6 6,109 4.9 8,259 4.7 8,448 4.1 11,078 4.7 12,096 4.8 13,382 5.0

Physical and NaturalSciences 806 2.3 3,602 2.5 5,097 2.9 6,003 2.9 6,702 2.8 7,116 2.8 7,043 2.6

Health 4,736 13.5 11,854 9.5 14,944 8.5 19,747 9.7 23,321 9.8 25,772 10.1 28,055 10.5

Social Sciences 1,439 4.1 5,477 4.4 8,379 4.7 10,329 5.0 11,258 4.7 12,063 4.8 13,381 5.0

Law 4,977 14.2 14,929 12.0 19,703 11.2 23,767 11.6 27,437 11.6 26,064 10.3 27,229 10.3

Education 2,905 8.3 20,581 16.6 30,458 17.3 35,768 17.5 43,616 18.4 45,851 18.1 48,226 18.0

Humanities 3,017 8.6 2,189 1.8 2,960 1.7 o 3,275 1.6 2,933 1.2 3,292 1.3 3,400 1.3

Engineering 8,216 23.4 22,029 17.7 29,113 16.5 33,448 16.4 36,291 15.3 38,880 15.3 39,763 14.8

Others 256 0.7 - - - - - - - - - -

Source: ICFFS, Estadistica de la Educacion Superior, 1975, Bogota, and Evolucion Estadistica de Algunos Variables de la Educacion Superior,1966-78, Bogota, December 1978.

ICFES, Estadisticas de la Education Superior, Bogota, 1979

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Table 11.5 - COLOMBIA: FIRST SEMESTER ENROLLMENT TN UNIVERSITIES ACCORDING TO TYPE OF PROGRAM AND COURSE OF STUDIES, 1979

Puiblic tJniversities Private Universities All Universities TotalPost Post Post Course

Long Short Grad Long Short Grad Long Short Grad of Stuidy

Administration and Economics 18,406 1,531 364 51,692 4,440 454 70,(98 5,971 818 76,887 28.7

Agrictiltuire 9,175 663 46 235 - - 9,410 663 46 10,119 3.8

Architecture and Arts 3,672 823 - 7,809 1,078 - 11,481 1,901 - 13,382 5.0

Physical and Natural Sciences 4,070 173 19. ',448 422 93 6,518 595 290 7,(143 2.6

Health 13,902 454 627 12,697 113 262 26,599 567 889 28,055 1().5

Social Science 4,135 169 - 8,826 115 136 12,961 284 136 13,381 5.0

Law 4,238 - 151 22,665 - 175 26,9()3 - 326 27,229 1(1.3

Education 32,635 301 473 14,0)83 402 372 46,718 703 845 48,226 18.0

Humanities 1,626 - 21 1,678 - 75 3,3114 - 96 3,400 1.3

Engineering 18,739 4,492 365 15,586 560 21 34,325 5,0'2 386 39,763 14.8

Total 110,598 8,606 2,244 137,719 7,130 1,588 248,317 15,736 3,832 267,885 100.1

Souirce: TCFES, Estadisticas de la Educacion Superior, 1979 Bogota.

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Table 11.6 - COLOMBIA: RATIO OF PUPILS/TEACHER IN PRIMiARY AND SECONDARY SCHOOL, 1963, 1973, 1976-80

1963 1973 1976 1977 1978 /a 1979 /a 1980 /aPublic Private Public Private Public Private Public Private Public Private Public Private Public Private

Primary School 40.4 22.8 36.5 24.6 33.9 .25.3 34.0 25.6 32.6 23.7 32.2 23.7 31.4 23.7Urban 41.7 22.8 37.5 24.9 34.6 25.0 34.6 25.3 32.9 23.0 31.3 23.0 29.6Rural 38.8 26.7 35.6 20.5 32.8 30.6 33.0 31.3 32.1 37.9 33.7 42.0 28.7

Secondary SchoolBachillerato 15.1 11.9 19.0 17.4 24.4 18.0 24.7 18.3 24.9 19.1 24.5 18.3 24.0 18.6Industrial 12.8 11.5 14.0 14.0 17.7 15.4 19.1 17.3 19.2 16.7 18.3 14.3 18.8 14.7Commercial 12.8 11.7 22.0 16.0 22.5 17.1 24.2 18.1 26.3 19.5 24.0 17.8 23.3 17.8Education 12.0 10.5 18.6 14.0 17.1 14.6 16.8 13.3 16.0 11.0 15.2 12.5 13.8 11.4Agriculture 11.0 15.0 13.6 11.0 16.9 15.1 20.0 15.7 10.2 14.3 14.8 11.8 19.0 12.8INEM - - 19.0 - 19.1 - 20.0 - 18.4 - 17.3 - 16.8 -Other - - - - 8.7 9.0 9.2 11.2 7.0 14.0 8.8 9.7 9.7 8.0

/a Estimated.

Source: DANE, Boletin Mensual de Estadistica, Bogota. various issues.CEDE, Universidad de los Andes - Ministerio de Educacion, Seccion de Estadisticas y Sistemas, Bogota,

unpublished worksheets.

Ministerio de Educacion, Seccion de Estadisticas y Sistemas, Bogota

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Table 11.7 - COLOMBIA: NUMBER OF UNIVERSITY PROFESSORS BY TYPE OFACADEMIC FIELD AND DEDICATION, 1979

Tutal Full Time Part Time MinimumProfessors Professors Professors Dedication /a

Academic Field 27,215 10,166 3,037 14,012

Administration and Economics 5,724 1,121 585 4,018

Agriculture 879 636 41 202

Architecture and Arts 1,933 511 270 1,152

Physical and Natural Sciences 2,472 1,560 150 762

Health 3,700 1,731 1,002 967

Social Sciences 1,259 346 145 768

Law 2,340 367 194 1,779

Education 3,387 1,315 266 1,806

Humanities 1,970 1,192 131 647

Engineering 3,551 1,387 253 1,911

All Fields 27,215 10,166 3,037 14,012

/a This charge to the traditional Latin American lecturing system, whereby a professorin charge of a course has as his duty to lecture on the subject (typically twoor three hours a week) and to administer the corresponding tests, without anyfurther obligation with regard to research, spending a certain number of hourshelping students outside the classroom, etc.

Source: ICFES, Estadisticas de la Educacion Superior, 1979, Bogota.

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Table 11.8: COLOMBIA: EDUCATIONAL LEVEL OF THE LABOR FORCEAS REPORTED IN THE NATIONAL CENSUSES -1951, 1964 AND 1973

Educational Level Total Men Women

1951

Total 100.0 50.8 49.2

Primary 435.1 22.2 20.9Secondary 5.5 2.8 2.7University 0.5 0.4 0.1Other Levels 0.8 o.4 0.4No Instruction 50.1 25.0 25e1

1964

Total 100.0 49.0 51.0

Primary 54.3 26.7 27.6Secondary 9.2 4.4 4.8University 0.7 o.6 0.1Other Levels - _ _No Instruction 35.8 17.3 18.5

1973

Total 100.0 48.2 51.8

Primary 53.1 25.3 27.8Secondary 15.2 7.2 8.oUniversity 1.8 1.2 o.6Other Levels 0.3 0.1 0.2No Instruction 24.8 12.0 12.8No Information A 4.8 2.4 2.4

A This category was not included in the 1951 and 1964 censuses.

Source: DANE, La Poblacion en Colombia, 1973, Muestra de Avance, Bogota.

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Table 11.9 - COLOMBIA: DISTRIBUTION BY PROGRAMS OF SENA STU'DENTS 1975, 1977-81

1975 1977 1978 1979 1980 1981No. of Students 7. No. of Students °/ No. of Students 7. No. of Stu,dents 7O No. of Students / No. of Students %7

1. Fixed Center Programs, InstructionProvided in Centers T'hemselves 197,633 50.6 340,182 51.0) 389,536 53.9 370,090 53. 364,008 55.8 310,540 52.4

2. Fixed Center Programs, Instruction ) /Provided Outside Centers 51,489 13.2 11,815 1.7) t

3. Technical Assistance to Enterprises - - - - - - - - - - -

4. Rural Mobile Program 98,133 25.1 192,599 28.9 203,236 28.1 200,326 29.2 167,941 25.7 184,651 31.2 s

5. Urban Mobile Program 24,846 6.4 94,076 14.1 97,451 13.5 92,934 13.5 84,340 13.0 67,661 11.4

6. Middle Management Program 15,079 3.8 28,620 4.3 32,842 4.5 22,773 3.4 36,122 5.5 29,233 5.0

7. Other Programs 3,497 0.9 - - - - - - - - - -

Total 390,657 100.0 667,292 100.0 723,065 100.0 686,123 100.0 652,411 100.0 592,085 100.0

/a Preliminary.

Source: SENA, Informe Sobre la Formacion Professional Impartida Durante el Ano 1977, Bogota, March 1978 and unpublised data.The World Bank, Economic Position and Prospects of Colombia. Statistical Appendix, Washington, D.C., May 10, 1977.

SENA, unpublished data.

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Table 11.10 - COLOMBIA: NATIONAL BUDGETS 1970, 1975-81

(Millions Col$ at Current Value)

National Education Budget

Budget As % of As % of As Z of As % of Other As Z of

Total Total National Primary Education Secondary Education Higher Education Programs Education

Budget Budget Budget Budget Budget

1970 18,237.6 2,485.9 13.6 847.9 34.1 594.5 23.9 619.2 24.9 424.2 17.1

1975 49,846.1 8,561.1 17.2 3,985.2 46.6 1,562.0 18.2 2,026.6 23.7 987.3 11.5

1976 57,795.7 10,439.1 19.8 4,998,0 47.9 2,113.5 20.2 2,223.1 21.3 1,104.5 10.6

1977 62,748.2 14,669.7 21.6 7,662.5 52.2 2,685.0 18.3 3,165.2 21.6 1,157.0 7.9

1978 105,385.9 20,632.0 19.6 8,406,2 40.7 4,754.5 23.0 4,539.3 22.0 2,932.0 14.2 W

1979 154,980.2 28,233.9 18.2 10,749.6 38.1 6,632.8 23.5 6,574.9 23.3 4,276.6 15.1

1980 192,491.4 38,815.0 20.2 16,780.1 43.2 8,542.5 22.0 8,503.2 21.9 4,989.2 12.9

1981 172,944.9 / 38,063.8 22.0 17,811.8 46.8 8,763.0 23.0 7,987.8 21.0 3,501.2 9.2

/1 Subject to revision./2 Does not include debt service.

Source: Informes Financieros Contraloria de la Republica.

Budget Division, Ministry of Education.

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Table 11.11-1 - COLOMBIA: TEN MAIN CAUSES OF DEATH A1ONG PRE-SCHOOL CHILDREN - 1970, 1972-77

Under 1 Year Old - Total Death, % of Total and Rank

1970 1972 1973 1974 1975 1976 1977

TOTAL DEATH, Of Which:

Enteritis and Other DiarrhealDiseases 6,774 19.8 8,223 20.6 8,398 21.7 7,177 19.4 6,778 19.8 6,606 19.4 7lr2Di 22.3

(Rank) 1 1 1 1 1 1 1

Influenza and Pneumonia 5,539 16.2 5,283 13.2 5,709 14.8 5,566 15.0 4,725 13.6 4,858 14.2 4,687 14.7

(Rank) 2 2 2 2 2 2 2

Bronchitis, Emphysema and Asthma 2,923 8.6 3,365 8.4 3,122 8.0 3,104 8.4 2,672 7.8 2,298 6.8 2,132 6.7

(Rank) 3 4 5 5 5 5 6

Related Infections 2,805 8.2 3,741 9.3 3,347 8.6 3,433 9.3 3,792 11.0 4,244 12.4 3,137 9.8

(Rank) 4 3 4 3 3 3 4

Prenatal Mortality 2,617 7.6 2,902 7.3 3,366 8.6 3,338 9.1 3,191 9.3 3,901 11.4 3,174 10.0

(Rank) 5 5 3 4 4 4 3

Avitaminoses and Other NutritionalDeficiency 1,822 5.3 2,834 7.1 2,335 6.0 2,292 6.2 2,188 6.4 1,798 5.3 1,351 4.3

(Rank) 6 6 6 6 6 6 7

Meningitis 7,744 2.2 815 2.0 812 2.1 786 2.1 755 2.2 746 2.2 744 2.3

(Rank) 7 7 8 7 7 7 9

Injuries at Birth 741 2.2 627 1.6 637 1.6 592 1.6 595 1.7 515 1.5 396 1.2

(Rank) 8 10 7 9 9 9 12

Tetanus 574 1.7 .. .. .. . . .. .. .. .. .. .. 375 1.2

(Rank) 9 13

Congenital Anomalies 527 1.5 .. .. . . .. .. .. 556 1.6 480 1.4 533 1.7

(Rank) 10 10 10

Other Bacterial illness .. .. 751 1.9 590 1.5 688 1.8 708 2.1 676 2.0 872 2.7

(Rank) 8 9 8 8 8 8

Tosferina .. .. 665 1.7 . . .. 551 1.5 .. .. .. .. 454 1.4

(Rank) 9 10 11

Respiratory Infections .. .. .. .. 575 1.5 .. .. .. .. 308 0.9 300 0.9

(Rank) 10 14

Diseases of the Heart .. .. .. .. .. . . . .. . . .. . 516 1.5 2,504 7.8(Rank) 9 5

Not Classified 2,850 8.3 3,625 9.1 3,156 8.5 3,136 8.5 2,649 7.7 2,311 6.8 5.18% 16.3

Others 6,257 18.4 7,044 17.8 6,767 17.5 6,378 17.1 5,746 16.8 5,156 15.1(Rank) .. . .. ..

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Table 11.11-2 - COLOMBIA: TEN MAIN CAUSES OF DEATH AMONG PRE-SCHOOL CHILDREN

1970, 1972-77

FROM 1 - 4 Years - Total Death, % of Total and Rank1970 1972 1973 1974 1975 1976 1977

TOTAL DEATH, of Which:

Enteritis & Other OiarrhealDiseases 4,355 22.2 5,598 23.7 5,085 23.6 4,101 21.0 3,486 21.5 3,501 21.3 3,049 22.0

(Rank) 1 1 1 1 1 1 1

Influenza & Pneumonia 2,332 11.9 2,512 10.6 2,679 12.4 2,281 11.7 1,937 11.9 2,172 13.2 1,889 13.6(Rank) 2 3 2 2 2 9 8

Avitaminoses and other Nutritional Def. 1,62* 8.3 2,69§ 11.4 1,983 9.0 1,902 9.8 1,606 9.9 1,42Z 8.7 846 6.1Bronchitis, Emphysema and Asthma 1,552 7.9 1,889 8.0 1,613 6.5 1,473 7.6 1,387 8.5 1.283 7.8 1,037 7.5

(Rank) 4 4 4 4 4 4 3

Measles 1,307 6.7 1,042 4.4 1,067 4.9 949 4.9 305 1.9 529 3.2 632 4.6(Rank) 5 5 5 5 10 6 5

Other Hermintiasis 924 4.8 802 3.4 632 2.9 680 3.5 560 3.4 588 3.6 460 3.3(Rank) 6 6 6 6 5 5 6

Anemia 554 2.8 595 2.5 572 2.6 438 2.2 361 2.2 358 2.2 263 1.9(Rank) 7 8 7 9 8 7 10

Tosferina .. .. 625 2.6 488 2.2 513 2.6 385 2.4 337 2.1 404 2.9(Rank) ., ., 7 9 7 7 9 7

Meningitis 416 2.1 429 1.8 509 2.3 446 2.3 387 2.4 377 2.3 377 2.7(Rank) 8 9 8 8 6 8 8

Other digestive disorders 357 1.8 .. .. .. .. .. .. (Rank) 9

Drowning Accidents 289 1.5 .. .. .. .. 361 1.8 311 1.9 311 1.9 318 2.3(Rank) 10 10 9 10 9

Other infections & Parasitical diseases .. 323 1.4 385 1.8 - -(Rank) 10 10

Others - 3,012 19.6 14,436 18.9 4,341L ?O.1 3,910 20.2 3,507 21.6 3,521 21.4 3@036 21.9

Not Classified 2,034 10.4 2,861 11.3 2,331 10.8 2,409 12.4 2,012 12.4 2,014 12.3 1,555 11.2

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Table 11.11-3 - COLOMBIA: TEN MAIN CAUSES OF DEATH AMONG ALL AGES

1970, 1972-77

All Ages - Total Deaths. % To Total and Rank

TOTAL DEATH, of whieh:

Enteritis & Other Diarrheal Diseases 12,628 9.4 15,858 9.9 15,551 9.6 12,954 7.9 11,726 7.6 11,355 7.4 - 11,375 7.8(Rank) 1 1 1 1 1 1 1

Influenza & Pneumonia 10,706 7.9 10,890 6.8 11,776 7.3 11,623 7.1 9,934 6.5 10,302 6.7 9,515 6.6(Rank) 2 2 2 2 4 4 4

Other Forms of Heart Diseases 8,684 6.4 9,880 6.2 9,910 6.1 10,248 6.3 10,199 6.6 10,926 7.1 9,848 6.8(Rank) 3 3 3 3 3 3

Diseases of the Heart 6,770 5.0 8,490 5.3 8,898 5.5 10,126 6.2 10,471 6.8 10,630 6.9 9,890 6.8(Rank) 4 4 4 4 2 3 2

Bronchitis, Emphysemia and Asthma 6,423 4.8 7,469 4.6 7,108 4.4 6,996 4.3 6,213 4.0 5,512 3.6 4,908 3.4(Rank) 5 5 6 6 6 6 7

Cerebro-Vascular Diseases 5,867 4.4 7,312 4.6 7,779 4.8' 8,580 5.3 8,718 5.7 8,854 5.8 8,625 5.9(Rank) 6 6 5 5 5 5 5

Aritominoses and other Nutritional N

Deficiency 4,534 3.4 7,142 4.4 5,842 3.6 5,763 3.5 5,146 3.5 4,427 2.9 - - N(Rank) 7 7 7 7 7 8

Homicide, Legal Intervention &Operations of War 3,057 2.3 3,821 2.4 4,o84 2.5 4,416 2.7 4,327 2.8 4,722 3.1 5,423 3.7

(Rank) 8 8 8 8 8 7 6

Tumors 2,973 2.2 3,690 2.3 3,773 2.3 4,122 2.5 4,076 2.7 4,ogg 2.6 4,272 2.9(Rank) 9 10 9 9 9 10 8

Prenatal Mortality .. ., .. .. 3,381 2.1 3,950 2.5 - -(Rank) 10

Others 59,078 43.7 68,136 42.4 70,554 43.7 70,821 43.5 66,387 43.3 62,884 40.8 64,279 44.2

Not Classified 11,297 8.4 13,936 8.7 13,045 8.1 13,981 8.6 12,214 8.0 12,032 7.8 10,170 7.0

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Table 11.12 - COLOMBIA: INDIRECT INDICATORS OF NUTRITIONAL STATUS, 1963-76

Percentage of Measles Morta- Rate of Mortality by

Infant Preschool Child Under 5 Year lity Rate Among Intestinal InfectionsYears Mortality Mortality Rate** (A) Old Mortality Less Than 5 Diseases Among Under

Rate* (1-4 Year Old) - In General Year Old Chil- 5 Year Old Children***

(A) (B) (B) dren

1963 88.2 13.8 6.4 50.3 5.7 6.7

1964 83.2 13.3 6.3 48.2 5.7 6.5

1965 83.8 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

1973 (4) 83-77 - - - 3.0 (5) -

1976 (6) - - - 37.9 - -

Mexico 68.4 8.9 7.7 44.1 1.4 1.3

Switzer-land/69(2) 11.6 0.5 23.2 - 0.0 0.0

USA/67(3) 22.4 0.8 28.0 - 0.0 0.4

* Raze 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.(4) Censo de Poblacion 1964, 1973 (DANE)

(5) M-ision Estimate.(6) From Death Registers (Problems of Coverage).

Source: ICBF - El Problema Nutricional y Alimentario de Colombia - Bogota, 1974.

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Table 11.13 - COLOMBIA: RECOMMENDED AND AVAILABLE AVERAGE DAILY PER CAPITA DOSAGE OF CALORIES ANDNUTRIENTS FOR THE COLOMBIAN POPULATION AND THE PERCENTAGE OF ADEQUACY OF SUPPLY, 1976

Recommendations Availability Percentage ofAdequacy /1

Calories and Nutrients

Calories 1,970 2,322.0 118Proteins 54.2 gr. 46.0 gr. 85Calcium 526.0 mg. 493.0 mg. 94Iron 13.0 mg. 11.6 mg. 89Vitamin A 4,185.0 U.I. 2,923.0 U.I. 70Thiamin 0.8 m.g. 0.6 mg. 75Riboflavin 1.0 m.g. 0.4 mg. 40Niacin 12.4 m.g. 10.5 mg. 85Vitamin C 36.0 m.g. 91.0 mg. 253

r'-

/1 Availability divided by recommendations.

Note: ICBF has revised its average daily per capita recommendation from figures of 1975. This revisionis based upon further nutritional research.

Source: ICBF, Hoja de Balance de Alimentos, Colombia, 1976.

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Table 11.14 - COLOMBIA: PERCENTAGE OF ADEQUACY OF' CALORIES AND NUTRIENT CONSUMPTION IN THE DIET OFFAMILIES FROM VARIOUS GEOGRAPHICAL AREAS

Total Average Consumption Above Average Consumption Below 70% ConsumptionCommunity Calories Proteins % of Calories 7 of Proteins % of Calories % of Proteinis

7 7 families % families % families 7 families _

Bolivar 102.8 102.7 39.0 138.0 38.0 139.0 38.0 57.0 34.0 52.0Buenaventura 83.1 83.4 23.0 119.0 22.0 134.0 47.0 47.0 55.0 47.0Zarzal 88.6 87.4 22.0 139.0 26.0 139.0 51.0 53.0 58.0 50.0

Zulta 95.2 100.3 26.0 138.0 33.0 151.0 44.0 55.0 43.0 53.0Cochira 74.6 85.5 14.0 136.0 29.0 133.0 64.0 47.0 57.0 47.0Teorama 71.0 81.0 10.0 137.0 23.0 135.0 67.0 48.0 61.0 48.0Ragonvalia 96.8 105.5 26.0 131.0 43.0 133.0 33.0 55.0 31.0 54.0

Guntica 92.1 81.0 27.0 130.0 26.0 122.0 42.0 52.0 57.0 49.0Cuinchia 82.4 75.1 23.0 126.0 13.0 127.0 53.0 52.0 56.0 45.0Mistrato 112.6 94.0 39.0 128.0 31.0 132.0 23.0 59.0 48.0 55.0

Arma 83.1 76.9 22.0 137.0 18.0 132.0 51.0 47.0 60.0 46.0Mermita 94.4 83.0 24.0 148.0 18.0 149.0 42.0 52.0 60.0 49.0Tablazo 97.3 100.6 30.0 138.0 31.0 143.0 36.0 54.0 37.0 49.0La Cabana 105.9 103.8 38.0 141.0 40.0 135.0 28.0 54.0 36.0 54.0

Tenerife 98.1 111.6 36.0 132.0 42,0 144.0 38.0 56.0 29.0 53.0Guamal 73.6 94.0 11.0 135.0 32.0 134.0 64.0 50.0 46.0 50.0P. Viejo 77.1 92.0 18.0 132.0 27.0 133.0 64.0 53.0 45.0 55.3Pivijay 93.5 101.0 25.0 131.0 34.0 135.0 42.0 59.0 38.0 57.3Cienaga 91.7 105.0 19.0 139.0 36.0 134.0 44.0 58.0 31.0 56.0Aracatica 91.0 107.2 24.0 134.0 38.0 139.0 48.0 55.0 28.0 49.0

Chircales 66.8 68.0 8.0 123.0 10.0 132.0 73.0 48.0 75.0 44.0Usme 64.9 68.2 10.0 125.0 11.0 137.0 77.0 45.0 69.0 41.0Bosa 81.2 80.2 15.0 147.0 23.0 120.0 54.0 50.0 60.0 49.0Tunjuelito 69.4 76.4 10.0 127.0 20.0 133.0 73.0 49.0 64.0 45.0

Morales 72.9 74.4 16.0 139.0 19.0 143.0 70.0 45.0 68.0 40.0Rosas 88.9 71.1 16.0 123.0 22.0 132.0 67.0 41.0 68.0 39.0Piendamo 82.1 84.9 24.0 128.0 31.0 134.0 53.0 44.0 57.0 43.0Coconuco 95.1 93.2 33.0 138.0 33.0 151.0 48.0 52.0 50.0 46.0

Campo de la Cruz 95.0 104.6 31.0 138.0 37.0 158.0 43.0 50.0 43.0 53.0Repelon 85.3 97.5 20.0 141.0 30.0 141.0 51.0 53.0 45.0 54.0Manati 80.7 99.0 23.0 129.0 40.0 136.0 57.0 46.0 47.0 43.0Barranquilla 78.0 91.2 17.C 124.0 26.0 140.0 62.0 53.0 43.0 44.0Sabanalarga 85.8 100.4 18.0 131.0 39.0 137.0 50.0 40.0 44.0 51.0

Baraya 93.8 99.4 29.0 143.0 36.0 134.0 41.0 60.0 39.0 47.0San Agustin 76.1 79.0 18.0 147.0 19.0 133.0 64.0 45.C 60.0 48.0Salado Blanco 88.3 92.5 25.0 142.0 31.0 129.0 48.0 47.0 46.0 45.0

Pinillos 96.7 86.8 33.0 136.0 22.0 139.0 41.0 57.0 48.0 52.0Carmen 99.3 82.7 31.0 136.0 23.0 133.0 37.0 56.0 59.0 50.0Magangue 85.5 85.7 18.0 124.0 23.0 129.0 52.0 58.0 58.0 68.0

Purificacion 88.8 100.5 27.0 136.0 37.0 133.0 51.0 49.0 45.0 51.0Casablanca 92.8 103.0 29.0 138.0 37.0 151.0 42.0 52.0 40.0 51.0Dolores 91.0 107.6 23.0 144.0 45.0 135.0 48.0 51.0 34.0 52.0Chaparral 101.3 101.6 36.0 144.0 43.0 145.0 34.0 53.0 36.0 55.0Planados 107.6 108.7 39.0 139.0 42.0 145.0 28.0 50.3 27.0 50.0

Average Total 87.5 89.5 23.0 139.8 29.6 141.8 50.3 56.0 48.0 54.3

Source: Plan Nacional De Alimentacion Y Nutricion, Informe De Evaluacion Pan Ano 1977 (Documento DNP - PAN Mayo 1978).

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Table 11.15 - COLOMBIA: ANNUAL NEEDS FOR BASIC FOOD GROUPS FOR HUMAN CONSUMPTION

AND nTEIR AVAILABILITY, 1966-1978

(Thousand Metric Tons)

Kilk Meat LegumesYears Needs Avail. Needs Avail. edsvi

1966 2,240.4 1 227.0 50.3 814.7 552.7 65.4 202.7 139.d 6d.o1970 2,772.5 1,412.0 50.9 924.2 745.7 80.7 230.0 170.14 7 .11975 2,280.0 2,096.0 91.9 1,152.0 869.o 75.4 368.o 115.0 31.31976 2,346.0 2,229.0 95.0 1,185.0 835.0 70.5 378.0 117.0 31.01977 2,414.o .. *. 1,220.0 .. .. 389.01978 2.484.0o -. 1255- 0. . 400.0

YearsCereals _ Vegetables FruitNeeds Avail Needs Avail Needs Avail

1966 1,595.9 1,572.3 98.5 597.1 223.4 57.4 3,740.5 1,855.5 49.61970 1,810.4 1,629.8 90.0 677.5 326.7 48.2 41,243.2 2,105.9 149.61975 1,865.o 2,246.0 120.6 735.0 971.0 132.1 2,402.0 1,649.0 68.71976 1,917.0 2,609.0 136,1 757.0 819.0 108.2 2,472.0 1,839.0 74.141977 1,972.0 .. .. 778.0 .. .. a,543.01978 2,030.0 .. .. 800.0 .. .2. ,617.0Years Fats

Needs Avail.

1966 163.7 99.8 61.01970 185.7 115.3 62.21975 2 2 1,p 139.0 62.91976 227.0 185.0 81.51977_ 233.01978 240.0 o .*

Source: ICBF, Hoja de Balance de Alimentos, Colombia, various issues.