OFICIO por el que, en cumplimiento al artículo 29-I, antepenúltimo párrafo de la Ley Federal de Derechos, se dan a conocer a las entidades sujetas a la inspección y vigilancia que presta la Comisión Nacional Bancaria y de Valores en términos de la legislación aplicable, las cuotas anual y mensual que deberán pagar éstas durante el ejercicio fiscal 2018. |
Miércoles 11 de abril de 2018 |
256 |
FONDO SANTANDER CORPORATIVO 2, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
257 |
FONDO SANTANDER DE COBERTURA CAMBIARIA, S.A. DE C.V. |
|
1,414,441 |
95,086 |
7,924 |
28,908 |
2,409 |
258 |
FONDO SANTANDER DE DEUDA GUBERNAMENTAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
259 |
FONDO SANTANDER DE DEUDA PREVISIÓN SOCIAL CUATRO, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
30,337 |
2,529 |
260 |
FONDO SANTANDER DE DEUDA PREVISIÓN SOCIAL DOS, S.A. DE C.V. |
|
1,414,441 |
63,921 |
5,327 |
44,911 |
3,743 |
261 |
FONDO SANTANDER DE DEUDA PREVISIÓN SOCIAL TRES, S.A. DE C.V. |
|
1,414,441 |
258,636 |
21,553 |
57,174 |
4,765 |
262 |
FONDO SANTANDER DE DEUDA PREVISIÓN SOCIAL UNO, S.A. DE C.V. |
|
1,414,441 |
130,096 |
10,842 |
60,426 |
5,036 |
263 |
FONDO SANTANDER DE DEUDA PREVISIÓN SOCIAL, S.A. DE C.V. |
|
1,414,441 |
340,296 |
28,358 |
152,807 |
12,734 |
264 |
FONDO SANTANDER DE DEUDA RECURSO, S.A. DE C.V. |
|
1,414,441 |
1,312,130 |
109,345 |
118,076 |
9,840 |
265 |
FONDO SANTANDER DE RENDIMIENTO, S.A. DE C.V. |
|
1,414,441 |
575,835 |
47,987 |
453,405 |
37,784 |
266 |
FONDO SANTANDER DÓLAR, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
267 |
FONDO SANTANDER FFI1, S.A. DE C.V. |
|
1,414,441 |
384,952 |
32,080 |
29,498 |
2,459 |
268 |
FONDO SANTANDER INDIZADO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
269 |
FONDO SANTANDER PATRIMONIAL, S.A. DE C.V. |
|
1,414,441 |
34,075 |
2,840 |
28,378 |
2,365 |
270 |
FONDO SANTANDER PLUS DE CORTO PLAZO, S.A. DE C.V. |
|
1,414,441 |
419,776 |
34,982 |
545,281 |
45,441 |
271 |
FONDO SANTANDER RECOLECTOR, S.A. DE C.V. |
|
1,414,441 |
642,250 |
53,521 |
84,994 |
7,083 |
272 |
FONDO SANTANDER RV 6, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
273 |
FONDO SANTANDER RV 7, S.A. DE C.V. |
|
1,414,441 |
105,945 |
8,829 |
28,378 |
2,365 |
274 |
FONDO SANTANDER RV 8, S.A. DE C.V. |
|
1,414,441 |
64,034 |
5,337 |
28,378 |
2,365 |
275 |
FONDO SANTANDER RV 9, S.A. DE C.V. |
|
1,414,441 |
44,119 |
3,677 |
28,378 |
2,365 |
276 |
FONDO SANTANDER RV PATRIMONIAL DOS, S.A. DE C.V. |
|
1,414,441 |
47,609 |
3,968 |
28,378 |
2,365 |
277 |
FONDO SANTANDER RV PATRIMONIAL UNO, S.A. DE C.V. |
|
1,414,441 |
124,045 |
10,338 |
28,378 |
2,365 |
278 |
FONDO SANTANDER RV, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
279 |
FONDO SANTANDER RV1, S.A. DE C.V. |
|
1,414,441 |
58,058 |
4,839 |
28,378 |
2,365 |
280 |
FONDO SANTANDER RV2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
281 |
FONDO SANTANDER RV3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
282 |
FONDO SANTANDER RV4, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
283 |
FONDO SANTANDER S1, S.A. DE C.V. |
|
1,414,441 |
862,766 |
71,898 |
1,021,257 |
85,105 |
284 |
FONDO SANTANDER S11, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
285 |
FONDO SANTANDER S12, S.A. DE C.V. |
|
1,414,441 |
478,002 |
39,834 |
28,633 |
2,387 |
286 |
FONDO SANTANDER S13, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
287 |
FONDO SANTANDER S14, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
48,524 |
4,044 |
288 |
FONDO SANTANDER S15, S.A. DE C.V. |
|
1,414,441 |
675,430 |
56,286 |
29,498 |
2,459 |
289 |
FONDO SANTANDER S16, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
290 |
FONDO SANTANDER S17, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
291 |
FONDO SANTANDER S18, S.A. DE C.V. |
|
1,414,441 |
583,509 |
48,626 |
28,378 |
2,365 |
292 |
FONDO SANTANDER S19, S.A. DE C.V. |
|
1,414,441 |
303,163 |
25,264 |
28,378 |
2,365 |
293 |
FONDO SANTANDER S2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
294 |
FONDO SANTANDER S20, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
295 |
FONDO SANTANDER S21, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
296 |
FONDO SANTANDER S22, S.A. DE C.V. |
|
1,414,441 |
126,124 |
10,511 |
28,378 |
2,365 |
297 |
FONDO SANTANDER S3, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
48,673 |
4,057 |
298 |
FONDO SANTANDER S4, S.A. DE C.V. |
|
1,414,441 |
61,262 |
5,106 |
28,378 |
2,365 |
299 |
FONDO SANTANDER S5, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
300 |
FONDO SANTANDER S6, S.A. DE C.V. |
|
1,414,441 |
383,091 |
31,925 |
322,377 |
26,865 |
301 |
FONDO SANTANDER S7, S.A. DE C.V. |
|
1,414,441 |
302,654 |
25,222 |
211,952 |
17,663 |
302 |
FONDO SANTANDER S8, S.A. DE C.V. |
|
1,414,441 |
226,006 |
18,834 |
283,880 |
23,657 |
303 |
FONDO SHERPA-HKE DYNAMIC, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
304 |
FONDO SÓLIDO DE RENDIMIENTO, S.A. DE C.V. |
|
1,414,441 |
55,449 |
4,621 |
28,378 |
2,365 |
305 |
FONDO TÉCNICO ACTINVER, S.A. DE C.V. |
|
1,414,441 |
210,929 |
17,578 |
28,378 |
2,365 |
306 |
FONDO UMS NAFINSA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
307 |
FONDO VALMEX 15 EN BONOS DE TASA FIJA, S.A. DE C.V. |
|
1,414,441 |
31,113 |
2,593 |
28,378 |
2,365 |
308 |
FONDO VALMEX 17 EN INSTRUMENTOS DE DEUDA EN TASA REAL, S.A. DE C.V. |
|
1,414,441 |
140,145 |
11,679 |
38,666 |
3,223 |
309 |
FONDO VALMEX 2000, S.A. DE C.V. |
|
1,414,441 |
113,067 |
9,423 |
58,249 |
4,855 |
310 |
FONDO VALMEX CS MEXICO FUNDAMENTAL FOCUS, S. A. DE C. V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
311 |
FONDO VALMEX DE CAPITALES "C", S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
312 |
FONDO VALMEX DE CAPITALES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
313 |
FONDO VALMEX DE CRECIMIENTO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
314 |
FONDO VALMEX DE DEUDA VALMEX16, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
248,961 |
20,747 |
315 |
FONDO VALMEX DE RENDIMIENTO DE DEUDA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
316 |
FONDO VALMEX DE RENDIMIENTO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
317 |
FONDO VALMEX EN DÓLARES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
318 |
FONDO VALMEX ESPAÑOL DE CAPITALES, S.A. DE C.V. |
|
1,414,441 |
96,861 |
8,072 |
28,378 |
2,365 |
319 |
FONDO VALMEX INTERNACIONAL VALMEX 28, S.A. DE C.V. |
|
1,414,441 |
46,694 |
3,892 |
28,378 |
2,365 |
320 |
FONDO VALMEX PLUS, S.A. DE C.V. |
|
1,414,441 |
63,485 |
5,291 |
60,002 |
5,001 |
321 |
FONDO VALMEX XXI, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
322 |
FONDO VALMEX, S.A. DE C.V. |
|
1,414,441 |
529,528 |
44,128 |
119,095 |
9,925 |
323 |
FONDO VALUE CRECIMIENTO, S.A. DE C.V. |
|
1,414,441 |
192,982 |
16,082 |
37,526 |
3,128 |
324 |
FONDO VALUE EMPRESARIAL, S.A. DE C.V. |
|
1,414,441 |
430,299 |
35,859 |
417,411 |
34,785 |
325 |
FONDO VALUE EN INSTRUMENTOS DE DEUDA, S.A. DE C.V. |
|
1,414,441 |
327,275 |
27,273 |
336,709 |
28,060 |
326 |
FONDO VALUE GUBERNAMENTAL, S.A. DE C.V. |
|
1,414,441 |
862,617 |
71,885 |
48,673 |
4,057 |
327 |
FONDO VALUE INSTITUCIONAL, S.A. DE C.V. |
|
1,414,441 |
859,032 |
71,586 |
412,073 |
34,340 |
328 |
FONDO VALUE INTERNACIONAL, S.A. DE C.V. |
|
1,414,441 |
99,057 |
8,255 |
28,378 |
2,365 |
329 |
FONDO VALUE MONTERREY, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
330 |
FONDO VALUE PATRIMONIAL, S.A. DE C.V. |
|
1,414,441 |
1,273,576 |
106,132 |
1,406,084 |
117,174 |
331 |
FRANKLIN GLOBAL GROWTH FUND, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
332 |
FRANKLIN MUTUAL BEACON FUND, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
333 |
FRANKLIN TEMPLETON DEUDA CORTO PLAZO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
334 |
FRANKLIN TEMPLETON DEUDA TASA REAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
335 |
FRANKLIN U.S. OPPORTUNITIES FUND, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
336 |
GBM 101, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
337 |
GBM 102, S.A. DE C.V. |
|
1,414,441 |
29,881 |
2,491 |
30,495 |
2,542 |
338 |
GBM 103, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
29,234 |
2,437 |
339 |
GBM 104, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
28,378 |
2,365 |
340 |
GBM 105, S.A. DE C.V. |
|
1,414,441 |
555,885 |
46,324 |
28,378 |
2,365 |
341 |
GBM 106, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
342 |
GBM 107, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
343 |
GBM 108, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
344 |
GBM CAPITAL BURSÁTIL, S.A. DE C.V. |
|
1,414,441 |
157,651 |
13,138 |
38,423 |
3,202 |
345 |
GBM FONDO DE CORTO PLAZO, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
702,677 |
58,557 |
346 |
GBM FONDO DE CRECIMIENTO, S.A. DE C.V. |
|
1,414,441 |
233,594 |
19,467 |
82,465 |
6,873 |
347 |
GBM FONDO DE INSTRUMENTOS GUBERNAMENTALES, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
732,626 |
61,053 |
348 |
GBM FONDO DE INVERSIÓN EN DÓLARES, S.A. DE C.V. |
|
1,414,441 |
146,143 |
12,179 |
28,378 |
2,365 |
349 |
GBM FONDO DE INVERSIÓN EN EL MERCADO INTEGRADO LATINOAMERICANO EN ACCIONES DE INFRAESTRUCTURA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
350 |
GBM FONDO DE INVERSIÓN EN VALORES DENOMINADOS EN DÓLARES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
351 |
GBM FONDO DE INVERSIÓN MODELO, S.A. DE C.V. |
|
1,414,441 |
167,726 |
13,978 |
30,282 |
2,524 |
352 |
GBM FONDO DE INVERSIÓN TOTAL, S.A. DE C.V. |
|
1,414,441 |
1,376,751 |
114,730 |
28,633 |
2,387 |
353 |
GBM FONDO DE INVERSIONES BRASILEÑAS, S.A. DE C.V. |
|
1,414,441 |
35,387 |
2,949 |
28,378 |
2,365 |
354 |
GBM FONDO DE INVERSIONES DISCRECIONALES, S.A. DE C.V. |
|
1,414,441 |
544,440 |
45,370 |
29,498 |
2,459 |
355 |
GBM FONDO DE INVERSIONES LATINOAMERICANAS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
356 |
GBM FONDO EN ACCIONES PARA CLIENTES INSTITUCIONALES, CALIFICADOS Y FONDOS DE PENSIONES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
357 |
GBM FONDO GUBERNAMENTAL DE LIQUIDEZ INMEDIATA, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
141,296 |
11,775 |
358 |
GBM FONDO PARA PERSONAS MORALES EXENTAS, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,003,984 |
83,666 |
359 |
GBM FONDO PATRIMONIAL, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
65,306 |
5,443 |
360 |
GBM INSTRUMENTOS BURSÁTILES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
50,932 |
4,245 |
361 |
GBM INVERSIÓN EN FIBRAS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
362 |
GBM INVERSIÓN EN INFRAESTRUCTURA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
363 |
GBM INVERSIONES BURSÁTILES, S.A. DE C.V. |
|
1,414,441 |
36,686 |
3,058 |
50,055 |
4,172 |
364 |
GBM INVERSIONES EN ÍNDICES INTERNACIONALES DE RENTA VARIABLE, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
365 |
GBM INVERSIONES INTERNACIONALES, S.A. DE C.V. |
|
1,414,441 |
65,595 |
5,467 |
28,378 |
2,365 |
366 |
GBM PORTAFOLIO AGRESIVO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
367 |
GBM PORTAFOLIO BOLSA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
368 |
GBM PORTAFOLIO CONSERVADOR, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
369 |
GBM PORTAFOLIO ESPECIALIZADO EN DEUDA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
370 |
GBM PORTAFOLIO MODERADO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
371 |
GBM PORTAFOLIO PIGGO DEUDA, S.A. DE C.V. |
|
1,414,441 |
1,258,793 |
104,900 |
28,378 |
2,365 |
372 |
GBM RENTA VARIABLE, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
373 |
GBM SIGNATURE EN MONEDA NACIONAL, S.A. DE C.V. |
|
1,414,441 |
266,308 |
22,193 |
28,378 |
2,365 |
374 |
GBM TRACKERS GLOBALES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
375 |
GBM VALORES DE DEUDA, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,090,951 |
90,913 |
376 |
HORIZONTE BANAMEX CATORCE, S.A. DE C.V. |
|
1,414,441 |
71,383 |
5,949 |
28,378 |
2,365 |
377 |
HORIZONTE BANAMEX CINCO, S.A. DE C.V. |
|
1,414,441 |
631,065 |
52,589 |
29,498 |
2,459 |
378 |
HORIZONTE BANAMEX CUATRO, S.A. DE C.V. |
|
1,414,441 |
248,399 |
20,700 |
28,378 |
2,365 |
379 |
HORIZONTE BANAMEX DIECIOCHO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
380 |
HORIZONTE BANAMEX DIECISEIS, S.A. DE C.V. |
|
1,414,441 |
106,931 |
8,911 |
28,633 |
2,387 |
381 |
HORIZONTE BANAMEX DIECISIETE, S.A. DE C.V. |
|
1,414,441 |
83,383 |
6,949 |
48,673 |
4,057 |
382 |
HORIZONTE BANAMEX DIEZ, S.A. DE C.V. |
|
1,414,441 |
46,217 |
3,852 |
28,378 |
2,365 |
383 |
HORIZONTE BANAMEX DOCE, S.A. DE C.V. |
|
1,414,441 |
40,450 |
3,371 |
28,378 |
2,365 |
384 |
HORIZONTE BANAMEX DOS, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
518,950 |
43,246 |
385 |
HORIZONTE BANAMEX NUEVE, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
386 |
HORIZONTE BANAMEX OCHO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
387 |
HORIZONTE BANAMEX QUINCE, S.A. DE C.V. |
|
1,414,441 |
84,169 |
7,015 |
28,633 |
2,387 |
388 |
HORIZONTE BANAMEX SEIS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
389 |
HORIZONTE BANAMEX SIETE, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
390 |
HORIZONTE BANAMEX TRES, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
391 |
HORIZONTE BANAMEX UNO, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
124,885 |
10,408 |
392 |
HORIZONTE BANAMEX VEINTINUEVE, S.A. DE C.V. |
|
1,414,441 |
857,307 |
71,443 |
487,694 |
40,642 |
393 |
HORIZONTE COBERTURA PLUS, S.A. DE C.V. |
|
1,414,441 |
327,481 |
27,291 |
465,717 |
38,810 |
394 |
HORIZONTE EN INSTRUMENTOS DE DEUDA, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
395 |
HORIZONTE LIQUIDEZ PLUS, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
396 |
HORIZONTE PLAZO, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,229,674 |
102,473 |
397 |
HORIZONTE PLUS, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
398 |
HORIZONTES BALANCEADOS 2, S.A. DE C.V. |
|
1,414,441 |
53,860 |
4,489 |
62,017 |
5,169 |
399 |
HORIZONTES BALANCEADOS 3, S.A. DE C.V. |
|
1,414,441 |
104,335 |
8,695 |
28,574 |
2,382 |
400 |
HORIZONTES BALANCEADOS 4, S.A. DE C.V. |
|
1,414,441 |
71,248 |
5,938 |
28,378 |
2,365 |
401 |
HORIZONTES BANAMEX VEINTICINCO, S.A. DE C.V. |
|
1,414,441 |
358,257 |
29,855 |
28,378 |
2,365 |
402 |
HORIZONTES BANAMEX VEINTICUATRO, S.A. DE C.V. |
|
1,414,441 |
43,890 |
3,658 |
28,378 |
2,365 |
403 |
HORIZONTES BANAMEX VEINTIDOS, S.A. DE C.V. |
|
1,414,441 |
41,358 |
3,447 |
28,378 |
2,365 |
404 |
HORIZONTES BANAMEX VEINTISEIS, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
28,378 |
2,365 |
405 |
HORIZONTES BANAMEX VEINTITRES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
406 |
HORIZONTES BANAMEX VEINTIUNO, S.A. DE C.V. |
|
1,414,441 |
483,175 |
40,265 |
28,633 |
2,387 |
407 |
HORIZONTES CICLO DE VIDA 1950, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
408 |
HORIZONTES CICLO DE VIDA 1960, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
409 |
HORIZONTES CICLO DE VIDA 1970, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
410 |
HORIZONTES CICLO DE VIDA 1980, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
411 |
HORIZONTES CICLO DE VIDA 1990, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
412 |
HORIZONTES GLOBAL EQUITY, S.A. DE C.V. |
|
1,414,441 |
113,269 |
9,440 |
28,378 |
2,365 |
413 |
HORIZONTES INVERSIONES ESTRATÉGICAS, S.A. DE C.V. |
|
1,414,441 |
799,767 |
66,648 |
287,314 |
23,943 |
414 |
HORIZONTES INVERSIONES GLOBALES, S.A. DE C.V. |
|
1,414,441 |
47,544 |
3,962 |
28,378 |
2,365 |
415 |
HORIZONTES MONEY MARKET, S.A. DE C.V. |
|
1,414,441 |
624,248 |
52,021 |
71,877 |
5,990 |
416 |
HORIZONTES TREINTA Y UNO, S.A. DE C.V. |
|
1,414,441 |
53,118 |
4,427 |
28,378 |
2,365 |
417 |
HORIZONTES TREINTA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
418 |
HORIZONTES VEINTIOCHO, S.A. DE C.V. |
|
1,414,441 |
78,959 |
6,580 |
28,378 |
2,365 |
419 |
HORIZONTES VEINTISIETE, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
420 |
HSBC FONDO 1, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
421 |
HSBC FONDO 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
422 |
HSBC FONDO 4, S.A. DE C.V. |
|
1,414,441 |
73,357 |
6,114 |
28,633 |
2,387 |
423 |
HSBC FONDO 5, S.A. DE C.V. |
|
1,414,441 |
154,493 |
12,875 |
28,633 |
2,387 |
424 |
HSBC FONDO 6, S.A. DE C.V. |
|
1,414,441 |
89,475 |
7,457 |
28,378 |
2,365 |
425 |
HSBC FONDO GLOBAL 1, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
426 |
HSBC-D1, S.A. DE C.V. |
|
1,414,441 |
332,516 |
27,710 |
48,673 |
4,057 |
427 |
HSBCD10, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
585,569 |
48,798 |
428 |
HSBC-D2, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
429 |
HSBC-D7, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
46,633 |
3,887 |
430 |
HSBC-D9, S.A. DE C.V. |
|
1,414,441 |
670,541 |
55,879 |
941,704 |
78,476 |
431 |
HSBC-DE, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
106,778 |
8,899 |
432 |
HSBC-DG, S.A. DE C.V. |
|
1,414,441 |
1,406,121 |
117,177 |
295,751 |
24,646 |
433 |
HSBC-DH, S.A. DE C.V. |
|
1,414,441 |
107,809 |
8,985 |
110,285 |
9,191 |
434 |
HSBC-DL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
435 |
HSBC-E2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
436 |
HSBC-E3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
437 |
HSBC-FF, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
438 |
HSBC-V2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
439 |
HSBC-V3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
440 |
IBUPLUS, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
441 |
INBUMAX, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
156,394 |
13,033 |
442 |
INBUREX, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
443 |
INBURMEX, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
444 |
INTERCAM FONDO DINÁMICO, S.A. DE C.V. |
|
1,414,441 |
33,307 |
2,776 |
28,378 |
2,365 |
445 |
INTERFONDO DE CAPITALES, S.A. DE C.V. |
|
1,414,441 |
102,380 |
8,532 |
68,669 |
5,723 |
446 |
INVERSIÓN HORIZONTE 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
447 |
INVERSIÓN HORIZONTE, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,030,903 |
85,909 |
448 |
IXE API CORTO PLAZO, S.A. DE C.V. |
|
1,414,441 |
1,326,326 |
110,528 |
28,633 |
2,387 |
449 |
IXE ESPECIAL, S.A. DE C.V. |
|
1,414,441 |
164,343 |
13,696 |
29,498 |
2,459 |
450 |
IXE FINANCIERO, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
155,243 |
12,937 |
451 |
IXE FONDO ASESOR, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
452 |
IXE FONDO COMÚN, S.A. DE C.V. |
|
1,414,441 |
288,914 |
24,077 |
204,047 |
17,004 |
453 |
IXE FONDO DE ALTA LIQUIDEZ, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
454 |
IXE FONDO DE CORTO PLAZO, S.A. DE C.V. |
|
1,414,441 |
512,565 |
42,714 |
318,747 |
26,563 |
455 |
IXE FONDO DE MEDIANO PLAZO, S.A. DE C.V. |
|
1,414,441 |
302,621 |
25,219 |
132,176 |
11,015 |
456 |
IXE FONDO DE PLAZO, S.A. DE C.V. |
|
1,414,441 |
411,309 |
34,276 |
130,715 |
10,893 |
457 |
IXE FONDO DIVISAS 2, S.A. DE C.V. |
|
1,414,441 |
106,224 |
8,852 |
28,378 |
2,365 |
458 |
IXE FONDO DIVISAS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
459 |
IXE FONDO ESTRATEGIA 1, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
460 |
IXE FONDO ESTRATEGIA 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
461 |
IXE FONDO ESTRATEGIA 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
462 |
IXE FONDO IXEMIL, S.A. DE C.V. |
|
1,414,441 |
423,357 |
35,280 |
30,045 |
2,504 |
463 |
IXE FONDO IXETR+, S.A. DE C.V. |
|
1,414,441 |
225,060 |
18,755 |
28,378 |
2,365 |
464 |
IXE FONDO PATRIMONIAL, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
321,397 |
26,784 |
465 |
IXE FONDO PREMIUM, S.A. DE C.V. |
|
1,414,441 |
50,973 |
4,248 |
28,533 |
2,378 |
466 |
IXE GUB MORALES, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,155,844 |
96,321 |
467 |
IXE GUB, S.A. DE C.V. |
|
1,414,441 |
569,324 |
47,444 |
118,480 |
9,874 |
468 |
IXE-BNP PARIBAS DE ACCIONES MERCADOS BRIC, S.A. DE C.V. |
|
1,414,441 |
113,295 |
9,442 |
28,378 |
2,365 |
469 |
IXE-BNP PARIBAS DE ACCIONES MERCADOS DESARROLLADOS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
470 |
IXE-BNP PARIBAS DE ACCIONES MERCADOS EMERGENTES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
471 |
IXE-BNP PARIBAS DE DEUDA MERCADOS EMERGENTES, S.A. DE C.V. |
|
1,414,441 |
505,421 |
42,119 |
28,378 |
2,365 |
472 |
LATIN 10, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
473 |
LATIN 11, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
474 |
LATIN 13, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
475 |
LATIN 14, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
476 |
LATIN 15, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
477 |
LATIN 2, S.A. DE C.V. |
|
1,414,441 |
322,435 |
26,870 |
28,378 |
2,365 |
478 |
LATIN 3, S.A. DE C.V. |
|
1,414,441 |
747,766 |
62,314 |
219,759 |
18,314 |
479 |
LATIN 5, S.A. DE C.V. |
|
1,414,441 |
903,783 |
75,316 |
413,094 |
34,425 |
480 |
LATIN 6, S.A. DE C.V. |
|
1,414,441 |
281,816 |
23,485 |
28,378 |
2,365 |
481 |
LATIN 7, S.A. DE C.V. |
|
1,414,441 |
264,650 |
22,055 |
28,378 |
2,365 |
482 |
LATIN 8, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
483 |
LATIN 9, S.A. DE C.V. |
|
1,414,441 |
219,369 |
18,281 |
28,378 |
2,365 |
484 |
MÁS FONDOS LIQUIDEZ GUBERNAMENTAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
485 |
MÁS FONDOS MEDIANO PLAZO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
486 |
MODERADO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
487 |
MULTIAS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
488 |
MULTIFONDO DE AHORRADORES, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
489 |
MULTIFONDO DE ALTO RENDIMIENTO, S.A. DE C.V. |
|
1,414,441 |
470,495 |
39,208 |
338,656 |
28,222 |
490 |
MULTIFONDO DE LA MUJER, S.A. DE C.V. |
|
1,414,441 |
315,354 |
26,280 |
28,633 |
2,387 |
491 |
MULTIFONDO EMPRESARIAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
492 |
MULTIFONDO INSTITUCIONAL, S.A. DE C.V. |
|
1,414,441 |
126,032 |
10,503 |
28,633 |
2,387 |
493 |
MULTIRENTABLE, S.A. DE C.V. |
|
1,414,441 |
244,638 |
20,387 |
170,917 |
14,244 |
494 |
MULTISI, S.A. DE C.V. |
|
1,414,441 |
1,129,461 |
94,122 |
194,266 |
16,189 |
495 |
MULTIVA FONDO ACTIVO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
496 |
MULTIVA FONDO BALANCEADO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
497 |
NORTEGLOB, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
498 |
NORTERV, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
499 |
NORTESELECTIVO, S.A. DE C.V. |
|
1,414,441 |
263,681 |
21,974 |
43,313 |
3,610 |
500 |
NORTESP, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
501 |
NORTEUS, S.A. DE C.V. |
|
1,414,441 |
42,294 |
3,525 |
28,378 |
2,365 |
502 |
NTEGUB, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,105,091 |
92,091 |
503 |
NTELIQ, S.A DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
874,945 |
72,913 |
504 |
NTETRIM, S.A. DE C.V. |
|
1,414,441 |
89,608 |
7,468 |
28,378 |
2,365 |
505 |
OLD MUTUAL DEUDA CORTO PLAZO, S.A. DE C.V. |
|
1,414,441 |
849,976 |
70,832 |
28,378 |
2,365 |
506 |
OLD MUTUAL DEUDA ESTRATÉGICA, S.A. DE C.V. |
|
1,414,441 |
47,167 |
3,931 |
28,633 |
2,387 |
507 |
OLD MUTUAL RENTA VARIABLE ESTRATÉGICA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
508 |
OLD MUTUAL RENTA VARIABLE MÉXICO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
509 |
PRINCIPAL DEUDA 1, S.A. DE C.V. |
|
1,414,441 |
636,218 |
53,019 |
29,498 |
2,459 |
510 |
PRINCIPAL DEUDA LP, S.A. DE C.V. |
|
1,414,441 |
965,183 |
80,432 |
28,378 |
2,365 |
511 |
PRINCIPAL DEUDA R, S.A. DE C.V. |
|
1,414,441 |
34,068 |
2,839 |
28,378 |
2,365 |
512 |
PRINCIPAL HORIZONTE C, S.A. DE C.V. |
|
1,414,441 |
679,925 |
56,661 |
48,673 |
4,057 |
513 |
PRINCIPAL HORIZONTE E, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
514 |
PRINCIPAL INSTITUCIONAL, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
437,665 |
36,473 |
515 |
PRINCIPAL RV A1, S.A. DE C.V. |
|
1,414,441 |
413,347 |
34,446 |
28,378 |
2,365 |
516 |
PRINCIPAL RV, S.A. DE C.V. |
|
1,414,441 |
272,741 |
22,729 |
28,378 |
2,365 |
517 |
PRINCIPAL S, S.A. DE C.V. |
|
1,414,441 |
279,610 |
23,301 |
113,717 |
9,477 |
518 |
PRINCIPAL SAM I, S.A. DE C.V. |
|
1,414,441 |
84,122 |
7,011 |
28,378 |
2,365 |
519 |
PRINCIPAL SAM II, S.A. DE C.V. |
|
1,414,441 |
284,316 |
23,693 |
28,378 |
2,365 |
520 |
PRINCIPAL SAM III, S.A. DE C.V. |
|
1,414,441 |
48,517 |
4,044 |
28,378 |
2,365 |
521 |
PRUDENTIAL DÓLARES DE LARGO PLAZO PLUS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
522 |
PRUDENTIAL DÓLARES DE LARGO PLAZO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
523 |
SAURO CAPITAL FUND, S.A. DE C.V. |
|
1,414,441 |
325,238 |
27,104 |
28,378 |
2,365 |
524 |
SCOTIA CARTERA MODELO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
525 |
SCOTIA CRECIMIENTO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
526 |
SCOTIA DINÁMICO, S.A. DE C.V. |
|
1,414,441 |
62,576 |
5,215 |
28,378 |
2,365 |
527 |
SCOTIA DISPONIBILIDAD, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
528 |
SCOTIA DIVERSIFICADO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
529 |
SCOTIA ESTRATEGIA 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
530 |
SCOTIA ESTRATEGIA 4, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
531 |
SCOTIA ESTRATÉGICO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
532 |
SCOTIA GLOBAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
533 |
SCOTIA GUBERNAMENTAL PLUS, S.A. DE C.V. |
|
1,414,441 |
42,851 |
3,571 |
28,378 |
2,365 |
534 |
SCOTIA GUBERNAMENTAL, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,406,084 |
117,174 |
535 |
SCOTIA INDIZADO, S.A. DE C.V. |
|
1,414,441 |
219,453 |
18,288 |
35,445 |
2,954 |
536 |
SCOTIA INTERNACIONAL, S.A. DE C.V. |
|
1,414,441 |
31,829 |
2,653 |
28,378 |
2,365 |
537 |
SCOTIA INVERSIONES PLUS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
538 |
SCOTIA INVERSIONES, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
29,498 |
2,459 |
539 |
SCOTIA OBJETIVO 1, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
540 |
SCOTIA OBJETIVO 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
541 |
SCOTIA OBJETIVO 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
542 |
SCOTIA OBJETIVO 4, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
543 |
SCOTIA OBJETIVO 5, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
544 |
SCOTIA PARA NO CONTRIBUYENTES, S.A. DE C.V. |
|
1,414,441 |
528,738 |
44,062 |
349,307 |
29,109 |
545 |
SCOTIA PATRIMONIAL PLUS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
546 |
SCOTIA PATRIMONIAL, S.A. DE C.V. |
|
1,414,441 |
62,808 |
5,234 |
28,378 |
2,365 |
547 |
SCOTIA PLUS, S.A. DE C.V. |
|
1,414,441 |
61,284 |
5,107 |
38,462 |
3,206 |
548 |
SCOTIA PREVISIONAL DE LIQUIDEZ RESTRINGIDA, S.A. DE C.V. |
|
1,414,441 |
337,146 |
28,096 |
72,500 |
6,042 |
549 |
SCOTIA PRODUCTIVO, S.A. DE C.V. |
|
1,414,441 |
725,708 |
60,476 |
227,759 |
18,980 |
550 |
SCOTIA PROGRESIVO, S.A. DE C.V. |
|
1,414,441 |
40,250 |
3,355 |
28,378 |
2,365 |
551 |
SCOTIA REAL, S.A. DE C.V. |
|
1,414,441 |
262,031 |
21,836 |
77,216 |
6,435 |
552 |
SCOTIA RENDIMIENTO, S.A. DE C.V. |
|
1,414,441 |
527,101 |
43,926 |
595,870 |
49,656 |
553 |
SCOTIA SOLUCIÓN 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
554 |
SCOTIA SOLUCIÓN 3, S.A. DE C.V. |
|
1,414,441 |
143,751 |
11,980 |
28,378 |
2,365 |
555 |
SCOTIA SOLUCIÓN 4, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
556 |
SCOTIA SOLUCIÓN 5, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
557 |
SCOTIA SOLUCIÓN 6, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
558 |
SINCA BANREGIO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
559 |
SINCA GBM, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
560 |
SINCA INBURSA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
561 |
SURA 1, S.A. DE C.V. |
|
1,414,441 |
86,460 |
7,205 |
73,333 |
6,112 |
562 |
SURA 13, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
563 |
SURA 1E, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,124,228 |
93,686 |
564 |
SURA 2, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
275,592 |
22,966 |
565 |
SURA 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
566 |
SURA 30, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
44,598 |
3,717 |
567 |
SURA 30E, S.A. DE C.V. |
|
1,414,441 |
244,459 |
20,372 |
128,168 |
10,681 |
568 |
SURA ASIA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
569 |
SURA BONO, S.A. DE C.V. |
|
1,414,441 |
90,598 |
7,550 |
38,261 |
3,189 |
570 |
SURA CORPORATIVO, S.A. DE C.V. |
|
1,414,441 |
111,169 |
9,265 |
104,084 |
8,674 |
571 |
SURA CRECIMIENTO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
572 |
SURA DEUDA CORTO PLAZO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
573 |
SURA DIVERSIFICADO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
574 |
SURA FONDEO, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
1,067,334 |
88,945 |
575 |
SURA GLOBAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
576 |
SURA GUBERNAMENTAL, S.A. DE C.V. |
|
1,414,441 |
676,182 |
56,349 |
149,091 |
12,425 |
577 |
SURA INDIZADO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
578 |
SURA MILA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
579 |
SURA MONEDA, S.A. DE C.V |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
580 |
SURA MULTIESTRATEGIA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
581 |
SURA PATRIMONIAL, S.A. DE C.V. |
|
1,414,441 |
29,642 |
2,471 |
28,378 |
2,365 |
582 |
SURA REAL, S.A. DE C.V. |
|
1,414,441 |
216,388 |
18,033 |
86,507 |
7,209 |
583 |
SURA RENTA VARIABLE, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
584 |
SURA SOLUCIONES 1, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
585 |
SURA SOLUCIONES 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
586 |
SURA SOLUCIONES 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
587 |
SURA SOLUCIONES 4, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
588 |
SURA SOLUCIONES 5, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
589 |
SURA SOLUCIONES 6, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
590 |
SURA SOLUCIONES 7, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
591 |
SURA UDIZADO, S.A. DE C.V. |
|
1,414,441 |
461,480 |
38,457 |
28,633 |
2,387 |
592 |
SURA USD, S.A. DE C.V. |
|
1,414,441 |
57,966 |
4,831 |
29,527 |
2,461 |
593 |
TEMPLETON ASIAN GROWTH FUND, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
594 |
TEMPLETON EMERGING MARKETS BOND FUND, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
595 |
TEMPLETON GLOBAL BOND FUND, S.A. DE C.V. |
|
1,414,441 |
33,699 |
2,809 |
28,378 |
2,365 |
596 |
VALORUM CUATRO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
597 |
VALORUM SEIS, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
598 |
VALORUM TRES, S.A. DE C.V. |
|
1,414,441 |
152,383 |
12,699 |
56,842 |
4,737 |
599 |
VALORUM UNO, S.A. DE C.V. |
|
1,414,441 |
484,701 |
40,392 |
249,585 |
20,799 |
600 |
VECTOR CARTERA DE FONDOS 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
601 |
VECTOR CARTERA DE FONDOS 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
602 |
VECTOR CARTERA DE FONDOS 4, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
603 |
VECTOR FONDO AR, S.A. DE C.V. |
|
1,414,441 |
38,600 |
3,217 |
28,378 |
2,365 |
604 |
VECTOR FONDO COB, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
605 |
VECTOR FONDO DE CRECIMIENTO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
606 |
VECTOR FONDO DE INVERSIÓN ESTRATÉGICA, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
607 |
VECTOR FONDO DE PATRIMONIO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
608 |
VECTOR FONDO EMPRESARIAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
609 |
VECTOR FONDO FI, S.A. DE C.V. |
|
1,414,441 |
189,622 |
15,802 |
122,141 |
10,179 |
610 |
VECTOR FONDO ÍNDICE, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
611 |
VECTOR FONDO MD, S.A. DE C.V. |
|
1,414,441 |
908,723 |
75,727 |
800,885 |
66,741 |
612 |
VECTOR FONDO MDC, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
613 |
VECTOR FONDO MIXTO, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
614 |
VECTOR FONDO PM, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
615 |
VECTOR FONDO PRE, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
168,432 |
14,036 |
616 |
VECTOR FONDO RF, S.A. DE C.V. |
|
1,414,441 |
578,758 |
48,230 |
161,633 |
13,470 |
617 |
VECTOR FONDO SIC, S.A. DE C.V. |
|
1,414,441 |
72,405 |
6,034 |
28,378 |
2,365 |
618 |
VECTOR FONDO TASA REAL, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
619 |
Z CAP 1, S.A. DE C.V. |
|
1,414,441 |
44,310 |
3,693 |
28,378 |
2,365 |
620 |
Z CAP 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
621 |
Z CAP 3, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
622 |
Z CAP 4, S.A. DE C.V. |
|
1,414,441 |
35,650 |
2,971 |
46,304 |
3,859 |
623 |
Z COB, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
624 |
Z REF 1, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
526,751 |
43,896 |
625 |
Z REF 2, S.A. DE C.V. |
|
1,414,441 |
28,378 |
2,365 |
28,378 |
2,365 |
626 |
Z REF 3, S.A. DE C.V. |
|
1,414,441 |
87,554 |
7,297 |
48,317 |
4,027 |
627 |
Z REFEX 1, S.A. DE C.V. |
|
1,414,441 |
401,358 |
33,447 |
117,363 |
9,781 |
628 |
Z REFMO 1, S.A. DE C.V. |
|
1,414,441 |
1,414,441 |
117,871 |
209,756 |
17,480 |
|
|
|
|
|
|
|
|
|
Total |
|
888,268,948 |
206,253,483 |
17,188,035 |
93,448,501 |
7,787,575 |
* |
En caso de pagar en su totalidad el resultado del cálculo establecido en la LFD, Art. 29 D, fracción XI, dentro del primer trimestre del ejercicio, se podrá disminuir en un 5%. |
||||||
** |
Si se opta por pagar la cuota de conformidad con el Art. 25 de la Ley de Ingresos, no aplica el descuento del 5% por pronto pago. |
|
XIII. UNIONES DE CRÉDITO |
||||||
|
|
|
(Cifras en pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XIII |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
|
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
1 |
ALTAMIRA UNIÓN DE CRÉDITO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
2 |
CRECE UNIÓN DE CRÉDITO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
3 |
CREDICOR MEXICANO, UNIÓN DE CRÉDITO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
4 |
CREDINOR UNIÓN DE CRÉDITO, S.A. DE C.V. |
|
509,302 |
42,442 |
344,842 |
28,737 |
5 |
CREDIRED UNO, UNIÓN DE CRÉDITO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
6 |
CREDIT UNIÓN EMPRESARIAL, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
7 |
CRÉDITO AGRÍCOLA Y GANADERO, S.A. DE C.V., UNIÓN DE CRÉDITO |
|
241,166 |
20,098 |
241,166 |
20,098 |
8 |
CRÉDITO EMPRESARIAL DE JUAREZ, S.A. DE C.V. UNIÓN DE CRÉDITO |
|
241,166 |
20,098 |
241,166 |
20,098 |
9 |
FICEIN, S.A. DE C.V. UNIÓN DE CRÉDITO |
|
2,184,413 |
182,035 |
1,465,192 |
122,100 |
10 |
MULTIOPCIONES UNIÓN DE CRÉDITO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
11 |
PROTECCIÓN PATRIMONIAL UNIÓN DE CRÉDITO, S.A. DE C.V |
|
312,013 |
26,002 |
241,166 |
20,098 |
12 |
UCB IMPULSA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
13 |
UNIÓN DE CRÉDITO AGRÍCOLA DE CAJEME, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
14 |
UNIÓN DE CRÉDITO AGRÍCOLA DE COREREPE, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
15 |
UNIÓN DE CRÉDITO AGRÍCOLA DE HUATABAMPO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
16 |
UNIÓN DE CRÉDITO AGRÍCOLA DEL MAYO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
17 |
UNIÓN DE CRÉDITO AGRÍCOLA DEL YAQUI, S.A. DE C.V. |
|
298,570 |
24,881 |
241,166 |
20,098 |
18 |
UNIÓN DE CRÉDITO AGRÍCOLA E INDUSTRIAL DE GUASAVE, S.A.DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
19 |
UNIÓN DE CRÉDITO AGRÍCOLA, GANADERA E INDUSTRIAL DEL POTOSÍ, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
20 |
UNIÓN DE CRÉDITO AGRÍCOLA, GANADERO DEL ESTADO DE YUCATAN, S.A.DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
21 |
UNIÓN DE CRÉDITO AGRÍCOLA, PECUARIO Y DE SERVICIOS DEL NOROESTE, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
22 |
UNIÓN DE CRÉDITO AGRICULTORES DE CUAUHTÉMOC, S.A. DE C.V |
|
1,957,509 |
163,126 |
1,292,803 |
107,734 |
23 |
UNIÓN DE CRÉDITO AGROINDUSTRIAL DEL VALLE DE CULIACÁN, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
24 |
UNIÓN DE CRÉDITO AGROINDUSTRIAL, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
25 |
UNIÓN DE CRÉDITO AGROPECUARIA DE GUANAJUATO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
26 |
UNIÓN DE CRÉDITO AGROPECUARIA, INDUSTRIAL Y COMERCIAL DE HUAJUAPAN, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
27 |
UNIÓN DE CRÉDITO AGROPECUARIO E INDUSTRIAL COLONOS DE IRRIGACIÓN, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
28 |
UNIÓN DE CRÉDITO AGROPECUARIO E INDUSTRIAL DEL VALLE DEL YAQUI, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
29 |
UNIÓN DE CRÉDITO ALLENDE, S.A. DE C.V. |
|
593,980 |
49,499 |
328,470 |
27,373 |
30 |
UNIÓN DE CRÉDITO ALPURA, S.A. DE C.V. |
|
1,253,233 |
104,437 |
956,494 |
79,708 |
31 |
UNIÓN DE CRÉDITO AVÍCOLA DE JALISCO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
32 |
UNIÓN DE CRÉDITO CHIHUAHUENSE, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
33 |
UNION DE CREDITO CONCRECES, S.A. DE C.V. |
|
461,332 |
38,445 |
280,529 |
23,378 |
34 |
UNION DE CREDITO CREDIPYME, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
35 |
UNIÓN DE CRÉDITO DE COMERCIO, SERVICIOS Y TURISMO DE CHIAPAS, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
36 |
UNIÓN DE CRÉDITO DE COSTA ESMERALDA, S. A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
37 |
UNIÓN DE CRÉDITO DE DISTRIBUIDORES AUTOMOTRICES, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
38 |
UNIÓN DE CRÉDITO DE GASOLINEROS, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
39 |
UNIÓN DE CRÉDITO DE GOMEZ PALACIO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
40 |
UNIÓN DE CRÉDITO DE HIDALGO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
41 |
UNION DE CRÉDITO DE INDUSTRIALES DE NUEVO LEÓN, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
42 |
UNIÓN DE CRÉDITO DE LA COMARCA LAGUNERA, S.A. DE C.V. |
|
285,096 |
23,758 |
241,166 |
20,098 |
43 |
UNIÓN DE CRÉDITO DE LA HUASTECA VERACRUZANA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
44 |
UNIÓN DE CRÉDITO DE LA INDUSTRIA DE LA CONSTRUCCIÓN DE AGUASCALIENTES, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
45 |
UNIÓN DE CRÉDITO DE LA INDUSTRIA DE LA CONSTRUCCIÓN DE SAN LUIS POTOSÍ, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
46 |
UNIÓN DE CRÉDITO DE LA INDUSTRIA DE LA CONSTRUCCIÓN DE SONORA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
47 |
UNIÓN DE CRÉDITO DE LA INDUSTRIA DE LA CURTIDURÍA DEL ESTADO DE GUANAJUATO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
48 |
UNIÓN DE CRÉDITO DE LA INDUSTRIA LITOGRÁFICA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
49 |
UNIÓN DE CRÉDITO DE LA MIXTECA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
50 |
UNIÓN DE CRÉDITO DE LA PROVINCIA MEXICANA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
51 |
UNIÓN DE CRÉDITO DE PUERTO VALLARTA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
52 |
UNIÓN DE CRÉDITO DE REYNOSA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
53 |
UNIÓN DE CRÉDITO DE TABASCO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
54 |
UNIÓN DE CRÉDITO DE URUAPAN, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
55 |
UNIÓN DE CRÉDITO DEFINE, S.A. DE C.V. |
|
783,368 |
65,281 |
775,700 |
64,642 |
56 |
UNIÓN DE CRÉDITO DEL COMERCIO E INDUSTRIA Y SERVICIOS TURÍSTICOS DE OCCIDENTE, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
57 |
UNIÓN DE CRÉDITO DEL COMERCIO, SERVICIOS Y TURISMO DE NAYARIT S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
58 |
UNIÓN DE CRÉDITO DEL COMERCIO, SERVICIOS Y TURISMO DEL SURESTE, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
59 |
UNIÓN DE CRÉDITO DEL SOCONUSCO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
60 |
UNIÓN DE CRÉDITO DELICIAS, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
61 |
UNIÓN DE CRÉDITO DESARROLLO DE CHIAPAS, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
62 |
UNIÓN DE CRÉDITO EL ÁGUILA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
63 |
UNIÓN DE CRÉDITO EMPRESARIAL DE CUAUHTÉMOC, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
64 |
UNIÓN DE CRÉDITO EMPRESARIAL DE VERACRUZ, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
65 |
UNIÓN DE CRÉDITO ESPHERA, S.A. DE C.V. |
|
567,678 |
47,307 |
461,761 |
38,481 |
66 |
UNIÓN DE CRÉDITO ESTATAL DE PRODUCTORES DE CAFE DE OAXACA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
67 |
UNIÓN DE CRÉDITO GANADERO DE TABASCO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
68 |
UNIÓN DE CRÉDITO GANADEROS DEL NORTE, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
69 |
UNIÓN DE CRÉDITO GENERAL, S.A. DE C.V. |
|
377,308 |
31,443 |
274,198 |
22,850 |
70 |
UNIÓN DE CRÉDITO INDUSTRIAL Y AGROPECUARIA DE TABASCO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
71 |
UNIÓN DE CRÉDITO INDUSTRIAL Y AGROPECUARIO DE LA LAGUNA, S.A.DE C.V. |
|
2,037,297 |
169,775 |
1,902,737 |
158,562 |
72 |
UNIÓN DE CRÉDITO INDUSTRIAL Y COMERCIAL DE LA CONSTRUCCIÓN DEL ESTADO DE MÉXICO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
73 |
UNIÓN DE CRÉDITO INTEGRAL DEL GOLFO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
N/A |
74 |
UNIÓN DE CRÉDITO INTEGRAL, S.A. DE C.V. |
|
420,261 |
35,022 |
241,166 |
20,098 |
75 |
UNIÓN DE CRÉDITO INTERESTATAL CHIAPAS, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
76 |
UNIÓN DE CRÉDITO MEXICANO DE SERVICIOS PROFESIONALES, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
77 |
UNIÓN DE CRÉDITO MIXTA DE COAHUILA, S.A. DE C.V. |
|
434,229 |
36,186 |
447,541 |
37,296 |
78 |
UNIÓN DE CRÉDITO MIXTA DEL CARMEN, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
79 |
UNIÓN DE CRÉDITO MIXTA DEL ESTADO DE VERACRUZ, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
80 |
UNIÓN DE CRÉDITO MONARCA, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
81 |
UNIÓN DE CRÉDITO PARA LA CONTADURÍA PÚBLICA, S.A. DE C.V. |
|
1,319,607 |
109,968 |
625,319 |
52,110 |
82 |
UNIÓN DE CRÉDITO PROGRESO, S.A.DE C.V. |
|
1,377,424 |
114,786 |
900,819 |
75,069 |
83 |
UNIÓN DE CRÉDITO PROMOTORA PARA EL DESARROLLO ECONÓMICO DEL ESTADO DE MÉXICO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
84 |
UNIÓN DE CRÉDITO REGIONAL DEL NORTE DE VERACRUZ, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
85 |
UNIÓN DE CRÉDITO SALTILLO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
86 |
UNIÓN DE CRÉDITO SAN MARCOS, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
87 |
UNIÓN DE CRÉDITO SANTA FE, S.A. DE C.V. |
|
295,936 |
24,662 |
241,166 |
20,098 |
88 |
UNIÓN DE CRÉDITO VIDACREDIT, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
89 |
VALORA UNION DE CREDITO, S.A. DE C.V. |
|
241,166 |
20,098 |
241,166 |
20,098 |
|
Total |
|
32,591,342.00 |
2,716,013 |
28,385,021.00 |
2,345,390 |
* |
En caso de pagar en su totalidad el resultado del cálculo establecido en la LFD, Art. 29 D, fracción XIII, dentro del primer trimestre del ejercicio, se podrá disminuir en un 5%. |
|||||
** |
Si se opta por pagar la cuota de conformidad con el Art. 25 de la Ley de Ingresos, no aplica el descuento del 5% por pronto pago. |
XIV. FINANCIERA NACIONAL DE DESARROLLO AGROPECUARIO, RURAL, FORESTAL Y PESQUERO |
||||||
|
|
|
(Cifras en pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XIV |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
||
1 |
FINANCIERA NACIONAL DE DESARROLLO AGROPECUARIO, RURAL, FORESTAL Y PESQUERO |
|
16,643,946 |
1,386,996 |
10,800,386 |
900,033 |
Total |
|
16,643,946 |
1,386,996 |
10,800,386 |
900,033 |
|
|
|
|
|
|
|
|
XV. FIDEICOMISOS PÚBLICOS |
||||||
|
|
|
(Cifras en pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XV. |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
||
1 |
FIDEICOMISO DE FOMENTO MINERO |
|
2,559,740 |
213,312 |
2,455,450 |
204,621 |
2 |
FONDO DE GARANTÍA Y FOMENTO PARA LA AGRICULTURA, GANADERÍA Y AVICULTURA |
|
2,727,322 |
227,277 |
2,695,815 |
224,652 |
3 |
FONDO DE GARANTIA Y FOMENTO PARA LAS ACTIVIDADES PESQUERAS |
|
2,485,861 |
207,156 |
2,464,982 |
205,416 |
4 |
FONDO DE OPERACIÓN Y FINANCIAMIENTO BANCARIO A LA VIVIENDA |
|
2,840,513 |
236,710 |
2,809,479 |
234,124 |
5 |
FONDO ESPECIAL DE ASISTENCIA TÉCNICA Y GARANTÍA PARA CRÉDITOS AGROPECUARIOS |
|
2,831,755 |
235,980 |
2,801,021 |
233,419 |
6 |
FONDO ESPECIAL PARA FINANCIAMIENTOS AGROPECUARIOS |
|
4,712,952 |
392,746 |
4,036,073 |
336,340 |
Total |
|
18,158,143 |
1,513,181 |
17,262,820 |
1,438,572 |
|
|
|
|
|
|
|
|
XVI. INSTITUTO DEL FONDO NACIONAL PARA EL CONSUMO DE LOS TRABAJADORES |
||||||
|
|
|
(Cifras en pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XVI. |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
||
1 |
INSTITUTO DEL FONDO NACIONAL PARA EL CONSUMO DE LOS TRABAJADORES |
|
15,501,640 |
1,291,804 |
7,008,006 |
584,001 |
Total |
|
15,501,640 |
1,291,804 |
7,008,006 |
584,001 |
|
|
|
|
|
|
|
|
XVII. INSTITUTO DEL FONDO NACIONAL DE LA VIVIENDA PARA LOS TRABAJADORES |
||||||
|
|
|
(Cifras en pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XVII. |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
||
1 |
INSTITUTO DEL FONDO NACIONAL DE LA VIVIENDA PARA LOS TRABAJADORES |
|
29,256,224 |
2,438,019 |
23,154,183 |
1,929,516 |
Total |
|
29,256,224 |
2,438,019 |
23,154,183 |
1,929,516 |
|
* |
En caso de pagar en su totalidad el resultado del cálculo establecido en la LFD, Art. 29 D, fracciones XIV, XV, XVI y XVII, dentro del primer trimestre del ejercicio, se podrá disminuir en un 5%. |
|||||
** |
Si se opta por pagar la cuota de conformidad con el Art. 25 de la Ley de Ingresos, no aplica el descuento del 5% por pronto pago. |
XVIII. SOCIEDADES FINANCIERAS DE OBJETO MÚLTIPLE REGULADAS |
||||||
|
|
|
(Cifras en pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XVIII |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
||
1 |
AF BANREGIO, S.A. DE C.V., SOFOM E.R. |
|
6,673,706 |
556,143 |
3,780,980 |
315,082 |
2 |
ARRENDADORA AFIRME, S.A. DE C.V., SOFOM E.R. |
|
1,070,898 |
89,242 |
753,644 |
62,804 |
3 |
ARRENDADORA BANAMEX, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
4 |
ARRENDADORA VE POR MÁS, S.A. DE C.V., SOFOM E.R. |
|
1,522,766 |
126,898 |
1,268,410 |
105,701 |
5 |
ARRENDADORA Y FACTOR BANORTE, S.A. DE C.V., SOFOM E.R. |
|
13,304,480 |
1,108,707 |
10,696,758 |
891,397 |
6 |
BANREGIO SOLUCIONES FINANCIERAS, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
7 |
COMERCIOS AFILIADOS, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
8 |
CONSUPAGO, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
9 |
CRÉDITO FAMILIAR, S.A. DE C.V., SOFOM E.R. |
|
1,943,857 |
161,989 |
753,644 |
62,804 |
10 |
FACTORAJE AFIRME, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
11 |
FC FINANCIAL, S.A. DE C.V., SOFOM ER |
|
753,644 |
62,804 |
753,644 |
62,804 |
12 |
FINANCIERA AYUDAMOS, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
13 |
FINANCIERA BAJÍO, S.A. DE C.V., SOFOM E.R. |
|
4,758,863 |
396,572 |
3,186,672 |
265,556 |
14 |
FINANCIERA BANREGIO, S.A. DE C.V. SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
15 |
FINANMADRID MÉXICO, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
16 |
GLOBALCARD, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
17 |
GRAMEEN CARSO, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
18 |
METROFINANCIERA, S.A.P.I. DE C.V., SOFOM, E.R. |
|
5,003,451 |
416,955 |
753,644 |
62,804 |
19 |
MIFEL, S.A. DE C.V., SOFOM E.R. |
|
866,686 |
72,224 |
871,486 |
72,624 |
20 |
MOTUS INVERTERE, S.A. DE C.V., SOFOM, ER |
|
753,644 |
62,804 |
753,644 |
62,804 |
21 |
OPCIPRES, S.A. DE C.V., SOFOM E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
22 |
SABCAPITAL, S.A. DE C.V., SOFOM, E.R. |
|
15,516,860 |
1,293,072 |
753,644 |
62,804 |
23 |
SANTANDER CONSUMO, S.A. DE C.V., SOFOM E.R. |
|
34,860,815 |
2,905,068 |
29,865,634 |
2,488,803 |
24 |
SANTANDER INCLUSIÓN FINANCIERA, S.A. DE C.V., SOFOM, E.R. |
|
753,644 |
62,804 |
753,644 |
62,804 |
25 |
SANTANDER VIVIENDA S.A. DE C.V., SOFOM E.R. |
|
11,067,054 |
922,255 |
14,429,154 |
1,202,430 |
26 |
SOFOM INBURSA, S.A. DE C.V., SOFOM E.R. |
|
28,292,796 |
2,357,733 |
7,873,555 |
656,130 |
27 |
SOLIDA ADMINISTRADORA DE PORTAFOLIOS, S.A. DE C.V., SOFOM, E.R. |
|
6,698,898 |
558,242 |
798,763 |
66,564 |
28 |
TARJETAS BANAMEX, S.A. DE C.V., SOFOM E.R. |
|
48,883,970 |
4,073,665 |
38,936,383 |
3,244,699 |
|
Total |
|
191,016,116.00 |
15,918,021 |
125,273,387.00 |
10,439,458 |
* |
En caso de pagar en su totalidad el resultado del cálculo establecido en la LFD, Art. 29 D, fracción XVIII, dentro del primer trimestre del ejercicio, se podrá disminuir en un 5%. |
|||||
** |
Si se opta por pagar la cuota de conformidad con el Art. 25 de la Ley de Ingresos, no aplica el descuento del 5% por pronto pago. |
XIX. SOCIEDADES CONTROLADORAS DE GRUPOS FINANCIEROS |
||||||
|
|
|
(Cifras en pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XIX |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
||
1 |
AFIRME GRUPO FINANCIERO, S.A. DE C.V. |
|
1,210,368 |
100,864 |
1,118,838 |
93,237 |
2 |
BANREGIO GRUPO FINANCIERO, S.A.B. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
3 |
GRUPO FINANCIERO ACTINVER, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
4 |
GRUPO FINANCIERO BANORTE, S.A.B. DE C.V. |
|
10,157,996 |
846,500 |
8,290,613 |
690,885 |
5 |
GRUPO FINANCIERO BARCLAYS MEXICO, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
6 |
GRUPO FINANCIERO BASE, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
7 |
GRUPO FINANCIERO BBVA BANCOMER, S.A. DE C.V. |
|
16,718,109 |
1,393,176 |
12,990,296 |
1,082,525 |
8 |
GRUPO FINANCIERO CITIBANAMEX, S.A. DE C.V. |
|
10,417,325 |
868,111 |
10,963,555 |
913,630 |
9 |
GRUPO FINANCIERO CREDIT SUISSE (MEXICO), S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
10 |
GRUPO FINANCIERO HSBC, S.A. DE C.V. |
|
5,290,933 |
440,912 |
4,932,360 |
411,030 |
11 |
GRUPO FINANCIERO INBURSA, S.A.B. DE C.V. |
|
4,112,662 |
342,722 |
3,246,825 |
270,569 |
12 |
GRUPO FINANCIERO INTERACCIONES, S.A.B. DE C.V. |
|
1,859,456 |
154,955 |
1,188,268 |
99,023 |
13 |
GRUPO FINANCIERO MIFEL, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
14 |
GRUPO FINANCIERO MULTIVA, S.A.B. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
15 |
GRUPO FINANCIERO SANTANDER MÉXICO, S.A. DE C.V. |
|
10,352,131 |
862,678 |
7,557,001 |
629,751 |
16 |
GRUPO FINANCIERO SCOTIABANK INVERLAT, S.A. DE C.V. |
|
3,068,664 |
255,722 |
1,993,135 |
166,095 |
17 |
GRUPO FINANCIERO VE POR MAS, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
18 |
INTERCAM GRUPO FINANCIERO, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
19 |
INVEX GRUPO FINANCIERO, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
20 |
J.P. MORGAN GRUPO FINANCIERO, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
21 |
MONEX GRUPO FINANCIERO, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
22 |
UBS GRUPO FINANCIERO, S.A. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
23 |
VALUE GRUPO FINANCIERO, S.A.B. DE C.V. |
|
1,096,519 |
91,377 |
1,096,519 |
91,377 |
Total |
|
78,538,910 |
6,544,918 |
67,632,157 |
5,636,023 |
|
* |
En caso de pagar en su totalidad el resultado del cálculo establecido en la LFD, Art. 29 D,, fracción XIX, dentro del primer trimestre del ejercicio, se podrá disminuir en un 5%. |
|||||
** |
Si se opta por pagar la cuota de conformidad con el Art. 25 de la Ley de Ingresos, no aplica el descuento del 5% por pronto pago. |
XX. FONDO DE LA VIVIENDA DEL INSTITUTO DE SEGURIDAD Y SERVICIOS SOCIALES DE LOS TRABAJADORES DEL ESTADO |
||||||
|
|
|
(Cifras en Pesos) |
|||
CONS. |
ENTIDAD |
|
* LEY FEDERAL DE DERECHOS ART. 29-D, FRACCIÓN XX |
** OPCIÓN ART. 25 LEY DE INGRESOS D.O.F. 15/11/17 |
||
|
ANUAL |
MENSUAL |
ANUAL |
MENSUAL |
||
1 |
FONDO DE LA VIVIENDA DEL INSTITUTO DE SEGURIDAD Y SERVICIOS SOCIALES DE LOS TRABAJADORES DEL ESTADO |
|
5,811,613 |
484,302 |
5,877,197 |
489,767 |
|
Total |
|
5,811,613 |
484,302 |
5,877,197 |
489,767 |
|
|
|
|
|
|
|
* |
En caso de pagar en su totalidad el resultado del cálculo establecido en la LFD, Art. 29 D, fracción XX, dentro del primer trimestre del ejercicio, se podrá disminuir en un 5%. |
|||||
** |
Si se opta por pagar la cuota de conformidad con el Art. 25 de la Ley de Ingresos, no aplica el descuento del 5% por pronto pago. |
____________________________