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6-K

Foreign Trade Bank Of Latin America, Inc. (BLX)

6-K 2020-03-17 For: 2020-03-17
View Original
Added on April 07, 2026

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 6-K


REPORT OF FOREIGN PRIVATE ISSUER

PURSUANT TO RULE 13a-16 OR 15d-16 UNDER THE

SECURITIES EXCHANGE ACT OF 1934

For the month of March 2020

Commission File Number 1-11414

BANCO LATINOAMERICANO DE COMERCIO EXTERIOR,S.A.

(Exact name of Registrant as specified in its Charter)

FOREIGN TRADE BANK OF LATIN AMERICA,INC.

(Translation of Registrant’s name into English)

Business Park Torre V, Ave. La Rotonda, Costa del Este

P.O. Box 0819-08730

Panama City, Republic of Panama

(Address of Registrant’s Principal Executive Offices)

Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F.

Form 20-Fx Form 40-F ¨

Indicate by check mark if the registrant is submitting the Form 6-K in paper as permitted by Regulation S-T Rule 101(b)(1):

Yes ¨ Nox

Indicate by check mark if the registrant is submitting the Form 6-K in paper as permitted by Regulation S-T Rule 101(b)(7):

Yes¨ Nox


SIGNATURES


Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Date: March 17, 2020

FOREIGN TRADE BANK OF LATIN AMERICA, INC.
(Registrant)
By: /s/ Ana Graciela<br> de Méndez
--- ---
Name:<br> Ana Graciela de Méndez
Title:<br> CFO

NOTE: THE FINANCIAL INFORMATION INCLUDED IN THIS FORM 6-K HAS BEEN PREPARED ON A NON-CONSOLIDATED BASIS AND EXCLUDES FINANCIAL INFORMATION FOR BLADEX HOLDINGS INC., BLADEX REPRESENTACAO LTDA., BLX SOLUCIONES S.A. DE C.V., AND BLADEX DEVELOPMENT CORP., AS REQUIRED BY THE LAWS AND REGULATIONS APPLICABLE TO BANCO LATINOAMERICANO DE COMERCIO EXTERIOR, S.A. ("BLADEX") IN PANAMA, COUNTRY OF INCORPORATION WHERE BLADEX IS REGULATED AS A BANK WITH A GENERAL LICENSE .  WE PROVIDE CONSOLIDATED ANNUAL FINANCIAL STATEMENTS IN OUR ANNUAL REPORT ON FORM 20-F FOR EACH FISCAL YEAR.  THE NON-CONSOLIDATED FINANCIAL INFORMATION CONTAINED HEREIN MAY DIFFER MATERIALLY FROM OUR CONSOLIDATED FINANCIAL RESULTS FOR THE SAME PERIOD.

BALANCE SHEET<br><br><br><br>BANCO LATINOAMERICANO DE COMERCIO EXTERIOR, S.A.<br><br><br><br>DECEMBER 2018 - DECEMBER 2019<br><br><br><br>(In Thousand Balboas) * MARCH 3th  2020
Absolute 2018 2019
--- --- --- --- --- --- --- --- --- --- --- --- --- --- --- ---
Variation % December January February March April May June July August September October November December
LIQUID ASSETS -566,848.23 -32.49 1,744,950.91 1,091,572.24 690,132.51 803,262.73 499,314.97 635,998.24 869,190.91 362,567.35 595,660.66 981,207.75 553,403.38 442,317.76 1,178,102.69
Local Deposits in<br> Banks -1,424.87 -27.20 5,238.60 4,999.28 5,563.37 4,260.50 54,092.34 3,950.78 4,043.91 3,335.94 3,431.42 3,085.06 2,410.71 3,271.98 3,813.73
Demand -1,424.87 -27.20 5,238.60 4,999.28 5,563.37 4,260.50 4,092.34 3,950.78 4,043.91 3,335.94 3,431.42 3,085.06 2,410.71 3,271.98 3,813.73
Time 0.00 0.00 0.00 0.00 0.00 0.00 50,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Foreign Deposits<br> in Banks -565,423.36 -32.50 1,739,712.31 1,086,572.96 684,569.14 799,002.22 445,222.63 632,047.46 865,147.00 359,231.41 592,229.24 978,122.68 550,992.67 439,045.78 1,174,288.95
Demand -535,423.36 -31.69 1,689,712.31 986,572.96 634,569.14 799,002.22 445,222.63 632,047.46 865,147.00 359,231.41 592,229.24 978,122.68 550,992.67 439,045.78 1,154,288.95
Time -30,000.00 -60.00 50,000.00 100,000.00 50,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20,000.00
Less Allowance 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Local 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Foreign 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Others 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
CREDIT PORTFOLIO 116,373.58 2.05 5,678,695.41 5,401,553.82 5,387,997.23 5,378,236.59 5,431,253.32 5,368,465.78 5,468,971.19 5,147,349.79 5,106,568.97 5,454,037.34 5,433,109.43 5,505,886.35 5,795,068.99
Local 6,884.39 1.44 477,498.00 475,184.69 474,558.82 492,691.36 425,511.93 349,909.44 386,583.69 339,218.35 328,126.26 358,071.54 351,055.35 337,780.22 484,382.39
Foreign 107,688.11 2.03 5,300,926.59 5,023,734.23 5,009,424.67 4,986,480.24 5,106,421.43 5,118,422.44 5,183,990.37 4,904,224.87 4,873,920.98 5,196,186.97 5,184,624.22 5,271,277.05 5,408,614.70
Less Allowance -1,801.07 -1.81 99,729.18 97,365.10 95,986.26 100,935.00 100,680.04 99,866.10 101,602.86 96,093.44 95,478.27 100,221.17 102,570.14 103,170.91 97,928.11
Local 661.09 14.03 4,711.87 4,673.29 4,630.35 4,546.54 4,457.21 4,262.03 4,705.78 4,413.84 4,274.07 3,911.43 3,891.36 3,527.04 5,372.96
Foreign -2,462.17 -2.59 95,017.31 92,691.81 91,355.90 96,388.47 96,222.83 95,604.08 96,897.08 91,679.60 91,204.19 96,309.74 98,678.78 99,643.88 92,555.14
INVESTMENT SECURITIES -25,347.58 -20.55 123,359.81 123,506.39 120,628.95 106,877.71 104,966.26 104,103.08 104,194.74 115,055.91 105,062.59 106,181.44 101,958.06 103,763.42 98,012.22
Local 1,516.84 4.37 34,688.10 34,607.22 31,734.23 30,294.77 28,441.02 28,421.02 28,399.09 29,878.29 29,857.27 32,834.59 34,122.96 36,225.55 36,204.94
Foreign -26,892.18 -30.28 88,812.09 89,020.56 89,026.95 76,705.91 76,648.09 75,805.12 75,918.46 85,302.99 75,331.06 73,479.64 67,959.11 67,666.88 61,919.92
Less Allowance -27.75 -19.77 140.39 121.40 132.22 122.98 122.86 123.06 122.81 125.36 125.74 132.79 124.01 129.02 112.63
Local 6.88 10.45 65.87 64.93 65.05 65.19 65.31 65.46 65.00 68.10 68.26 75.20 78.30 83.30 72.75
Foreign -34.63 -46.48 74.52 56.46 67.17 57.79 57.54 57.60 57.81 57.26 57.48 57.59 45.71 45.71 39.88
OTHER ASSETS 111,774.61 123.84 90,257.24 141,396.15 190,389.47 188,361.12 110,532.29 178,957.72 159,846.31 110,291.37 184,568.79 165,068.06 109,224.07 127,261.82 202,031.86
Local -15,724.62 -33.41 47,062.00 24,271.35 25,313.52 54,061.11 55,066.64 55,674.57 47,093.26 42,861.06 44,904.86 52,220.59 39,984.79 38,028.75 31,337.37
Foreign 127,499.24 295.17 43,195.25 117,124.81 165,075.96 134,300.02 55,465.65 123,283.15 112,753.06 67,430.31 139,663.93 112,847.47 69,239.27 89,233.08 170,694.48
TOTAL ASSETS -364,047.62 -4.77 7,637,263.38 6,758,028.60 6,389,148.17 6,476,738.15 6,146,066.84 6,287,524.81 6,602,203.16 5,735,264.42 5,991,861.01 6,706,494.58 6,197,694.94 6,179,229.35 7,273,215.76
DEPOSITS -82,486.02 -2.78 2,970,821.98 2,721,363.20 2,726,737.38 2,747,574.08 2,780,340.57 2,830,468.87 3,014,487.87 2,469,799.80 2,619,663.98 2,851,470.04 2,620,921.21 2,484,047.13 2,888,335.96
Local 148,267.58 37.03 400,401.04 419,234.13 419,524.89 462,712.60 466,607.37 442,564.20 569,231.23 449,478.53 457,959.99 502,951.14 492,044.47 519,088.61 548,668.62
Government 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Customers 39.08 0.02 175,123.54 170,112.00 170,436.48 180,507.76 180,788.99 180,681.29 200,692.61 140,426.45 130,309.15 120,155.76 155,203.82 165,112.25 175,162.63
Demand 112.36 223.51 50.27 38.73 102.55 173.82 356.86 249.16 260.48 254.99 137.69 155.76 203.82 112.25 162.63
Time -73.27 -0.04 175,073.27 170,073.27 170,333.94 180,333.94 180,432.13 180,432.13 200,432.13 140,171.46 130,171.46 120,000.00 155,000.00 165,000.00 175,000.00
Savings 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
From Banks 148,228.49 65.80 225,277.50 249,122.13 249,088.41 282,204.84 285,818.38 261,882.91 368,538.62 309,052.08 327,650.84 382,795.38 336,840.65 353,976.36 373,505.99
Demand 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Time 148,228.49 65.80 225,277.50 249,122.13 249,088.41 282,204.84 285,818.38 261,882.91 368,538.62 309,052.08 327,650.84 382,795.38 336,840.65 353,976.36 373,505.99
Foreign -230,753.60 -8.98 2,570,420.94 2,302,129.06 2,307,212.49 2,284,861.48 2,313,733.20 2,387,904.67 2,445,256.64 2,020,321.27 2,161,703.99 2,348,518.90 2,128,876.75 1,964,958.51 2,339,667.34
Government 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Customers -92,894.26 -43.04 215,817.78 241,280.13 239,713.85 257,471.27 232,171.28 208,047.57 162,465.76 117,466.19 101,918.37 162,336.14 163,626.65 173,318.95 122,923.52
Demand -10,630.31 -96.66 10,997.17 650.34 1,069.42 3,537.97 726.55 1,956.21 1,142.48 1,012.89 356.46 357.45 356.97 753.07 366.86
Time -82,263.95 -40.16 204,820.61 240,629.80 238,644.42 253,933.31 231,444.73 206,091.36 161,323.28 116,453.29 101,561.91 161,978.69 163,269.68 172,565.88 122,556.66
Savings 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
From Banks -137,859.34 -5.85 2,354,603.17 2,060,848.93 2,067,498.65 2,027,390.21 2,081,561.92 2,179,857.11 2,282,790.88 1,902,855.08 2,059,785.62 2,186,182.75 1,965,250.10 1,791,639.57 2,216,743.83
Demand -115,077.28 -57.44 200,333.57 73,374.84 140,012.58 18,225.61 181,138.19 158,350.72 68,252.29 72,506.53 159,868.30 145,016.71 67,049.61 30,896.75 85,256.29
Time -22,782.06 -1.06 2,154,269.59 1,987,474.09 1,927,486.06 2,009,164.59 1,900,423.72 2,021,506.39 2,214,538.59 1,830,348.55 1,899,917.32 2,041,166.04 1,898,200.49 1,760,742.82 2,131,487.53
BORROWINGS -379,557.05 -10.67 3,558,213.99 2,864,387.29 2,439,718.66 2,541,237.84 2,255,439.44 2,300,599.90 2,433,186.77 2,128,563.59 2,171,611.95 2,681,931.49 2,419,756.81 2,573,194.95 3,178,656.94
Local 18,686.00 0.00 0.00 0.00 0.00 19,023.47 18,946.83 18,869.67 18,820.51 18,747.23 18,628.39 18,899.60 18,829.01 18,755.58 18,686.00
Foreign -398,243.05 -11.19 3,558,213.99 2,864,387.29 2,439,718.66 2,522,214.38 2,236,492.62 2,281,730.23 2,414,366.26 2,109,816.36 2,152,983.56 2,663,031.89 2,400,927.80 2,554,439.37 3,159,970.94
OTHER LIABILITIES 74,911.71 71.18 105,245.00 158,894.74 200,207.22 181,578.15 111,728.07 151,369.52 142,523.69 126,298.01 181,467.05 154,334.22 149,776.94 108,592.35 180,156.70
Local -3,663.84 -22.23 16,479.34 21,809.76 19,233.30 19,711.63 38,472.25 20,732.72 19,762.26 38,873.35 21,364.44 22,353.97 55,297.19 17,432.13 12,815.50
Foreign 78,575.55 88.52 88,765.65 137,084.97 180,973.92 161,866.52 73,255.82 130,636.80 122,761.43 87,424.66 160,102.60 131,980.25 94,479.75 91,160.23 167,341.21
STOCKHOLDERS´ EQUITY 23,083.74 2.30 1,002,982.41 1,013,383.38 1,022,484.91 1,006,348.08 998,558.75 1,005,086.52 1,012,004.83 1,010,603.02 1,019,118.03 1,018,758.83 1,007,239.98 1,013,394.91 1,026,066.15
Capital 1,782.82 0.53 338,750.73 338,908.03 339,040.47 339,211.74 339,354.40 339,504.43 339,648.20 339,798.36 339,947.52 340,090.87 340,241.03 340,385.38 340,533.55
Capital Reserves 0.00 0.00 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15
Other Reserves -2,548.32 -1.87 136,427.05 135,355.05 135,376.83 134,801.07 134,590.41 133,232.52 132,679.47 133,656.79 134,457.18 133,556.58 133,169.24 133,404.02 133,878.72
Dynamic Provision 0.00 0.00 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57
Other Reserves -2,548.32 -623.87 408.47 -663.52 -641.74 -1,217.50 -1,428.16 -2,786.05 -3,339.11 -2,361.78 -1,561.40 -2,461.99 -2,849.34 -2,614.55 -2,139.85
Retained Earnings -51,131.95 -12.13 421,363.53 433,191.82 433,191.82 416,009.24 400,783.55 400,783.55 400,783.55 385,536.67 385,536.67 385,629.91 370,383.03 370,383.03 370,231.58
Net Income 74,375.14 628.79 11,828.29 11,152.20 19,866.00 21,140.65 28,502.07 36,329.62 43,467.03 56,107.89 63,703.18 64,010.17 68,020.86 73,817.68 86,203.44
Gain or Loss in Securities<br> available for sale 606.05 -101.46 -597.34 -433.88 -200.36 -24.78 118.16 26.25 216.43 293.16 263.34 261.14 215.66 194.64 8.71
Subordinated Debt 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
LIABILITIES AND STOCKHOLDER'S<br> EQUITY -364,047.62 -4.77 7,637,263.38 6,758,028.60 6,389,148.17 6,476,738.15 6,146,066.84 6,287,524.81 6,602,203.16 5,735,264.42 5,991,861.01 6,706,494.58 6,197,694.94 6,179,229.35 7,273,215.76

*Monetaryunit at par and equivalent with US$ dollars.

Thisis a translation from Spanish original version, taken from the monthly publication of the Superintendency of Banks of Panama

(website:  http://www.superbancos.gob.pa).

NOTE: THE FINANCIAL INFORMATION INCLUDED IN THIS FORM 6-K HAS BEEN PREPARED ON A NON-CONSOLIDATED BASIS AND EXCLUDES FINANCIAL INFORMATION FOR BLADEX HOLDINGS INC., BLADEX REPRESENTACAO LTDA., BLX SOLUCIONES S.A. DE C.V., AND BLADEX DEVELOPMENT CORP., AS REQUIRED BY THE LAWS AND REGULATIONS APPLICABLE TO BANCO LATINOAMERICANO DE COMERCIO EXTERIOR, S.A. ("BLADEX") IN PANAMA, COUNTRY OF INCORPORATION WHERE BLADEX IS REGULATED AS A BANK WITH A GENERAL LICENSE .  WE PROVIDE CONSOLIDATED ANNUAL FINANCIAL STATEMENTS IN OUR ANNUAL REPORT ON FORM 20-F FOR EACH FISCAL YEAR.  THE NON-CONSOLIDATED FINANCIAL INFORMATION CONTAINED HEREIN MAY DIFFER MATERIALLY FROM OUR CONSOLIDATED FINANCIAL RESULTS FOR THE SAME PERIOD.

INCOME STATEMENT BANCO LATINOAMERICANO DE COMERCIO EXTERIOR, S.A. DECEMBER 2018 - DECEMBER 2019 (In Thousand Balboas) * MARCH 3th  2020
2018 2019
--- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- ---
December January February March April May June July August September October November December Year to date
Interest Income 258,462.30 25,939.74 23,236.11 24,375.81 23,675.52 23,559.30 23,291.95 23,476.10 21,536.14 20,500.41 21,924.49 20,472.14 21,644.54 273,632.27
Loans 239,976.16 23,196.25 21,279.94 22,778.87 22,001.90 22,084.29 21,473.86 21,735.86 20,161.60 19,096.39 20,169.47 19,394.89 20,044.99 253,418.32
Deposits 15,587.48 2,394.24 1,663.66 1,296.36 1,414.87 1,204.44 1,559.32 1,465.09 1,118.83 1,171.79 1,507.98 848.87 1,359.20 17,004.65
Investments 2,898.66 349.25 292.52 300.58 258.75 270.57 258.78 275.14 255.70 232.23 247.03 228.38 240.35 3,209.30
Financial Leases 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Other Income 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Interest Expense 148,808.58 16,431.29 14,076.44 15,030.69 14,359.16 14,316.98 13,935.28 14,011.59 12,801.08 12,576.66 13,007.22 11,748.48 12,610.86 164,905.73
Interest 148,746.49 16,426.98 14,075.41 15,029.66 14,349.14 14,312.90 13,934.28 13,980.74 12,756.66 12,114.20 13,073.20 11,651.00 12,450.75 164,154.92
Commissions 62.09 4.32 1.03 1.03 10.02 4.07 1.00 30.85 44.42 462.46 -65.99 97.48 160.11 750.81
Net Interest Income 109,653.72 9,508.44 9,159.67 9,345.12 9,316.36 9,242.33 9,356.67 9,464.51 8,735.06 7,923.76 8,917.27 8,723.66 9,033.69 108,726.54
Other Income 132,450.62 8,360.94 6,224.15 7,145.41 4,470.28 8,437.03 9,008.98 20,903.74 7,902.24 17,642.62 9,021.47 7,342.83 14,400.74 120,860.44
Commissions 17,238.47 793.89 794.40 766.39 988.58 892.14 3,259.39 959.80 1,052.34 1,339.11 1,113.86 1,000.07 3,411.05 16,371.03
Foreign currency operations 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Dividends 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Other Income 115,212.15 7,567.05 5,429.75 6,379.02 3,481.70 7,544.89 5,749.58 19,943.94 6,849.90 16,303.52 7,907.62 6,342.75 10,989.69 104,489.41
Operating Income 242,104.34 17,869.39 15,383.82 16,490.53 13,786.64 17,679.36 18,365.65 30,368.25 16,637.30 25,566.38 17,938.75 16,066.49 23,434.42 229,586.98
Operating Expenses 172,761.08 9,506.52 8,031.78 10,123.06 6,623.87 10,770.02 9,300.29 23,142.38 9,973.13 18,301.77 11,505.21 9,665.45 16,009.60 142,953.07
Administrative expenses 31,083.78 1,534.21 1,678.97 3,858.74 2,259.77 2,221.91 2,662.85 2,164.94 2,356.40 1,339.88 2,304.26 2,373.85 2,454.22 27,210.02
General expenses 6,724.43 334.44 404.47 346.99 724.92 610.47 323.47 420.82 603.00 355.85 626.89 399.55 850.12 6,001.00
Depreciation 2,237.87 147.29 143.42 499.03 269.27 264.48 295.17 236.50 302.89 283.51 302.46 278.80 275.02 3,297.85
Other expenses 132,714.99 7,490.57 5,804.92 5,418.29 3,369.90 7,673.16 6,018.81 20,320.11 6,710.84 16,322.52 8,271.59 6,613.25 12,430.23 106,444.20
Net Income before provision for loan losses 69,343.26 8,362.87 7,352.04 6,367.47 7,162.78 6,909.34 9,065.36 7,225.87 6,664.17 7,264.61 6,433.54 6,401.04 7,424.83 86,633.90
Provision for loan losses 57,514.96 -2,789.33 -1,361.76 5,092.81 -198.65 -918.21 1,927.95 -5,414.99 -931.12 6,957.62 2,422.85 604.21 -4,960.93 430.47
Net Income 11,828.29 11,152.20 8,713.80 1,274.66 7,361.42 7,827.55 7,137.40 12,640.86 7,595.29 306.99 4,010.69 5,796.82 12,385.76 86,203.44

*Monetary unit at par and equivalent with US$ dollars.

This is a translation from Spanish original version, taken from the monthly publication of the Superintendency of Banks of Panama

(website:  http://www.superbancos.gob.pa).

NOTA:  LA INFORMACION INCLUIDA EN EL PRESENTE REPORTE 6-K FUE PREPARADA EN UNA BASE NO CONSOLIDADA Y EXCLUYE LA INFORMACION FINANCIERA DE BLADEX HOLDINGS INC., BLADEX REPRESENTACAO LTDA., BLX SOLUCIONES S.A. DE C.V., Y BLADEX DEVELOPMENT CORP., SEGUN LO EXIGIDO POR LAS LEYES Y REGULACIONES A LAS CUALES ESTAMOS SUJETOS EN PANAMA, EL PAIS DONDE LA SOCIEDAD SE ENCUENTRA CONSTITUIDA Y DONDE ESTAMOS REGULADOS COMO UNA INSTITUCION FINANCIERA.  PROPORCIONAMOS LOS ESTADOS FINANCIEROS ANUALES CONSOLIDADOS EN EL REPORTE 20-F QUE SE PRESENTA PARA CADA AÑO FISCAL ANTE EL SECURITIES AND EXCHANGE COMMISSION.  LA INFORMACION FINANCIERA NO CONSOLIDADA CONTENIDA EN EL PRESENTE PODRA SER SUBSTANCIALMENTE DIFERENTE DE  NUESTROS RESULTADOS FINANCIEROS CONSOLIDADOS PARA EL MISMO PERIODO.

BALANCE DE SITUACION<br><br><br><br>BANCO LATINOAMERICANO DE COMERCIO EXTERIOR, S.A.<br><br><br><br>DE DICIEMBRE 2018 A DICIEMBRE 2019<br><br><br><br>(En Miles de Balboas) * 3 DE MARZO 2020
Variación 2018 2019
--- --- --- --- --- --- --- --- --- --- --- --- --- --- --- ---
**** Absoluta % Diciembre Enero Febrero Marzo Abril Mayo Junio Julio Agosto Septiembre Octubre Noviembre Diciembre
ACTIVOS LIQUIDOS -566,848.23 -32.49 1,744,950.91 1,091,572.24 690,132.51 803,262.73 499,314.97 635,998.24 869,190.91 362,567.35 595,660.66 981,207.75 553,403.38 442,317.76 1,178,102.69
Depósitos<br> Locales en Bancos -1,424.87 -27.20 5,238.60 4,999.28 5,563.37 4,260.50 54,092.34 3,950.78 4,043.91 3,335.94 3,431.42 3,085.06 2,410.71 3,271.98 3,813.73
A la Vista -1,424.87 -27.20 5,238.60 4,999.28 5,563.37 4,260.50 4,092.34 3,950.78 4,043.91 3,335.94 3,431.42 3,085.06 2,410.71 3,271.98 3,813.73
A Plazo 0.00 0.00 0.00 0.00 0.00 0.00 50,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Depósitos<br> Extranjeros en Bancos -565,423.36 -32.50 1,739,712.31 1,086,572.96 684,569.14 799,002.22 445,222.63 632,047.46 865,147.00 359,231.41 592,229.24 978,122.68 550,992.67 439,045.78 1,174,288.95
A la Vista -535,423.36 -31.69 1,689,712.31 986,572.96 634,569.14 799,002.22 445,222.63 632,047.46 865,147.00 359,231.41 592,229.24 978,122.68 550,992.67 439,045.78 1,154,288.95
A Plazo -30,000.00 -60.00 50,000.00 100,000.00 50,000.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 20,000.00
Menos Provisiones 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Locales 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Extranjero 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Otros 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
CARTERA CREDITICIA 116,373.58 2.05 5,678,695.41 5,401,553.82 5,387,997.23 5,378,236.59 5,431,253.32 5,368,465.78 5,468,971.19 5,147,349.79 5,106,568.97 5,454,037.34 5,433,109.43 5,505,886.35 5,795,068.99
Locales 6,884.39 1.44 477,498.00 475,184.69 474,558.82 492,691.36 425,511.93 349,909.44 386,583.69 339,218.35 328,126.26 358,071.54 351,055.35 337,780.22 484,382.39
Extranjero 107,688.11 2.03 5,300,926.59 5,023,734.23 5,009,424.67 4,986,480.24 5,106,421.43 5,118,422.44 5,183,990.37 4,904,224.87 4,873,920.98 5,196,186.97 5,184,624.22 5,271,277.05 5,408,614.70
Menos Provisiones -1,801.07 -1.81 99,729.18 97,365.10 95,986.26 100,935.00 100,680.04 99,866.10 101,602.86 96,093.44 95,478.27 100,221.17 102,570.14 103,170.91 97,928.11
Locales 661.09 14.03 4,711.87 4,673.29 4,630.35 4,546.54 4,457.21 4,262.03 4,705.78 4,413.84 4,274.07 3,911.43 3,891.36 3,527.04 5,372.96
Extranjero -2,462.17 -2.59 95,017.31 92,691.81 91,355.90 96,388.47 96,222.83 95,604.08 96,897.08 91,679.60 91,204.19 96,309.74 98,678.78 99,643.88 92,555.14
INVERSIONES EN VALORES -25,347.58 -20.55 123,359.81 123,506.39 120,628.95 106,877.71 104,966.26 104,103.08 104,194.74 115,055.91 105,062.59 106,181.44 101,958.06 103,763.42 98,012.22
Locales 1,516.84 4.37 34,688.10 34,607.22 31,734.23 30,294.77 28,441.02 28,421.02 28,399.09 29,878.29 29,857.27 32,834.59 34,122.96 36,225.55 36,204.94
Extranjero -26,892.18 -30.28 88,812.09 89,020.56 89,026.95 76,705.91 76,648.09 75,805.12 75,918.46 85,302.99 75,331.06 73,479.64 67,959.11 67,666.88 61,919.92
Menos Provisiones -27.75 -19.77 140.39 121.40 132.22 122.98 122.86 123.06 122.81 125.36 125.74 132.79 124.01 129.02 112.63
Locales 6.88 10.45 65.87 64.93 65.05 65.19 65.31 65.46 65.00 68.10 68.26 75.20 78.30 83.30 72.75
Extranjero -34.63 -46.48 74.52 56.46 67.17 57.79 57.54 57.60 57.81 57.26 57.48 57.59 45.71 45.71 39.88
OTROS ACTIVOS 111,774.61 123.84 90,257.24 141,396.15 190,389.47 188,361.12 110,532.29 178,957.72 159,846.31 110,291.37 184,568.79 165,068.06 109,224.07 127,261.82 202,031.86
Locales -15,724.62 -33.41 47,062.00 24,271.35 25,313.52 54,061.11 55,066.64 55,674.57 47,093.26 42,861.06 44,904.86 52,220.59 39,984.79 38,028.75 31,337.37
Extranjero 127,499.24 295.17 43,195.25 117,124.81 165,075.96 134,300.02 55,465.65 123,283.15 112,753.06 67,430.31 139,663.93 112,847.47 69,239.27 89,233.08 170,694.48
TOTAL DE ACTIVOS -364,047.62 -4.77 7,637,263.38 6,758,028.60 6,389,148.17 6,476,738.15 6,146,066.84 6,287,524.81 6,602,203.16 5,735,264.42 5,991,861.01 6,706,494.58 6,197,694.94 6,179,229.35 7,273,215.76
DEPOSITOS -82,486.02 -2.78 2,970,821.98 2,721,363.20 2,726,737.38 2,747,574.08 2,780,340.57 2,830,468.87 3,014,487.87 2,469,799.80 2,619,663.98 2,851,470.04 2,620,921.21 2,484,047.13 2,888,335.96
Locales 148,267.58 37.03 400,401.04 419,234.13 419,524.89 462,712.60 466,607.37 442,564.20 569,231.23 449,478.53 457,959.99 502,951.14 492,044.47 519,088.61 548,668.62
Oficiales 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
De Particulares 39.08 0.02 175,123.54 170,112.00 170,436.48 180,507.76 180,788.99 180,681.29 200,692.61 140,426.45 130,309.15 120,155.76 155,203.82 165,112.25 175,162.63
A la Vista 112.36 223.51 50.27 38.73 102.55 173.82 356.86 249.16 260.48 254.99 137.69 155.76 203.82 112.25 162.63
A Plazo -73.27 -0.04 175,073.27 170,073.27 170,333.94 180,333.94 180,432.13 180,432.13 200,432.13 140,171.46 130,171.46 120,000.00 155,000.00 165,000.00 175,000.00
De Ahorros 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
De Bancos 148,228.49 65.80 225,277.50 249,122.13 249,088.41 282,204.84 285,818.38 261,882.91 368,538.62 309,052.08 327,650.84 382,795.38 336,840.65 353,976.36 373,505.99
A la Vista 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
A Plazo 148,228.49 65.80 225,277.50 249,122.13 249,088.41 282,204.84 285,818.38 261,882.91 368,538.62 309,052.08 327,650.84 382,795.38 336,840.65 353,976.36 373,505.99
Extranjero -230,753.60 -8.98 2,570,420.94 2,302,129.06 2,307,212.49 2,284,861.48 2,313,733.20 2,387,904.67 2,445,256.64 2,020,321.27 2,161,703.99 2,348,518.90 2,128,876.75 1,964,958.51 2,339,667.34
Oficiales 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
De Particulares -92,894.26 -43.04 215,817.78 241,280.13 239,713.85 257,471.27 232,171.28 208,047.57 162,465.76 117,466.19 101,918.37 162,336.14 163,626.65 173,318.95 122,923.52
A la Vista -10,630.31 -96.66 10,997.17 650.34 1,069.42 3,537.97 726.55 1,956.21 1,142.48 1,012.89 356.46 357.45 356.97 753.07 366.86
A Plazo -82,263.95 -40.16 204,820.61 240,629.80 238,644.42 253,933.31 231,444.73 206,091.36 161,323.28 116,453.29 101,561.91 161,978.69 163,269.68 172,565.88 122,556.66
De Ahorros 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
De Bancos -137,859.34 -5.85 2,354,603.17 2,060,848.93 2,067,498.65 2,027,390.21 2,081,561.92 2,179,857.11 2,282,790.88 1,902,855.08 2,059,785.62 2,186,182.75 1,965,250.10 1,791,639.57 2,216,743.83
A la Vista -115,077.28 -57.44 200,333.57 73,374.84 140,012.58 18,225.61 181,138.19 158,350.72 68,252.29 72,506.53 159,868.30 145,016.71 67,049.61 30,896.75 85,256.29
A Plazo -22,782.06 -1.06 2,154,269.59 1,987,474.09 1,927,486.06 2,009,164.59 1,900,423.72 2,021,506.39 2,214,538.59 1,830,348.55 1,899,917.32 2,041,166.04 1,898,200.49 1,760,742.82 2,131,487.53
OBLIGACIONES -379,557.05 -10.67 3,558,213.99 2,864,387.29 2,439,718.66 2,541,237.84 2,255,439.44 2,300,599.90 2,433,186.77 2,128,563.59 2,171,611.95 2,681,931.49 2,419,756.81 2,573,194.95 3,178,656.94
Locales 18,686.00 0.00 0.00 0.00 0.00 19,023.47 18,946.83 18,869.67 18,820.51 18,747.23 18,628.39 18,899.60 18,829.01 18,755.58 18,686.00
Extranjero -398,243.05 -11.19 3,558,213.99 2,864,387.29 2,439,718.66 2,522,214.38 2,236,492.62 2,281,730.23 2,414,366.26 2,109,816.36 2,152,983.56 2,663,031.89 2,400,927.80 2,554,439.37 3,159,970.94
OTROS PASIVOS 74,911.71 71.18 105,245.00 158,894.74 200,207.22 181,578.15 111,728.07 151,369.52 142,523.69 126,298.01 181,467.05 154,334.22 149,776.94 108,592.35 180,156.70
Locales -3,663.84 -22.23 16,479.34 21,809.76 19,233.30 19,711.63 38,472.25 20,732.72 19,762.26 38,873.35 21,364.44 22,353.97 55,297.19 17,432.13 12,815.50
Extranjero 78,575.55 88.52 88,765.65 137,084.97 180,973.92 161,866.52 73,255.82 130,636.80 122,761.43 87,424.66 160,102.60 131,980.25 94,479.75 91,160.23 167,341.21
PATRIMONIO 23,083.74 2.30 1,002,982.41 1,013,383.38 1,022,484.91 1,006,348.08 998,558.75 1,005,086.52 1,012,004.83 1,010,603.02 1,019,118.03 1,018,758.83 1,007,239.98 1,013,394.91 1,026,066.15
Capital 1,782.82 0.53 338,750.73 338,908.03 339,040.47 339,211.74 339,354.40 339,504.43 339,648.20 339,798.36 339,947.52 340,090.87 340,241.03 340,385.38 340,533.55
Reservas de Capital 0.00 0.00 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15 95,210.15
Otras Reservas -2,548.32 -1.87 136,427.05 135,355.05 135,376.83 134,801.07 134,590.41 133,232.52 132,679.47 133,656.79 134,457.18 133,556.58 133,169.24 133,404.02 133,878.72
Provisiones Dinámicas 0.00 0.00 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57 136,018.57
Otras Reservas -2,548.32 -623.87 408.47 -663.52 -641.74 -1,217.50 -1,428.16 -2,786.05 -3,339.11 -2,361.78 -1,561.40 -2,461.99 -2,849.34 -2,614.55 -2,139.85
Utilidad de Periodos<br> Anteriores -51,131.95 -12.13 421,363.53 433,191.82 433,191.82 416,009.24 400,783.55 400,783.55 400,783.55 385,536.67 385,536.67 385,629.91 370,383.03 370,383.03 370,231.58
Utilidad de Periodo 74,375.14 628.79 11,828.29 11,152.20 19,866.00 21,140.65 28,502.07 36,329.62 43,467.03 56,107.89 63,703.18 64,010.17 68,020.86 73,817.68 86,203.44
Ganancia o Perdida<br> en Valores Disponible para la venta 606.05 -101.46 -597.34 -433.88 -200.36 -24.78 118.16 26.25 216.43 293.16 263.34 261.14 215.66 194.64 8.71
Deuda Subordinada 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
PASIVO Y PATRIMONIO -364,047.62 -4.77 7,637,263.38 6,758,028.60 6,389,148.17 6,476,738.15 6,146,066.84 6,287,524.81 6,602,203.16 5,735,264.42 5,991,861.01 6,706,494.58 6,197,694.94 6,179,229.35 7,273,215.76

*La unidad monetaria es pary equivalentes con el US$ dólar.

Estaes una copia de la versión original, tomada de la publicación mensual de la Superintendencia de Bancos de Panamá.

(sitioweb:  http://www.superbancos.gob.pa).

NOTA:  LA INFORMACION INCLUIDA EN EL PRESENTE REPORTE 6-K FUE PREPARADA EN UNA BASE NO CONSOLIDADA Y EXCLUYE LA INFORMACION FINANCIERA DE BLADEX HOLDINGS INC., BLADEX REPRESENTACAO LTDA., BLX SOLUCIONES S.A DE C.V., BLADEX DEVELOPMENT CORP., SEGUN LO EXIGIDO POR LAS LEYES Y REGULACIONES A LAS CUALES ESTAMOS SUJETOS EN PANAMA, EL PAIS DONDE LA SOCIEDAD SE ENCUENTRA CONSTITUIDA Y DONDE ESTAMOS REGULADOS COMO UNA INSTITUCION FINANCIERA. PROPORCIONAMOS LOS ESTADOS FINANCIEROS ANUALES CONSOLIDADOS EN EL REPORTE 20-F QUE SE PRESENTA PARA CADA AÑO FISCAL ANTE EL SECURITIES AND EXCHANGE COMMISSION. LA INFORMACION FINANCIERA NO CONSOLIDADA CONTENIDA EN EL PRESENTE PODRA SER SUBSTANCIALMENTE DIFERENTE DE  NUESTROS RESULTADOS FINANCIEROS CONSOLIDADOS PARA EL MISMO PERIODO.

ESTADO DE RESULTADO<br><br>BANCO  LATINOAMERICANO DE COMERCIO EXTERIOR, S.A.<br><br>DE DICIEMBRE 2018 A DICIEMBRE 2019<br><br>(En Miles de Balboas) * 3 DE MARZO 2020
2018 2019
--- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- --- ---
Diciembre Enero Febrero Marzo Abril Mayo Junio Julio Agosto Septiembre Octubre Noviembre Diciembre Acumulado
Ingresos Por Intereses 258,462.30 25,939.74 23,236.11 24,375.81 23,675.52 23,559.30 23,291.95 23,476.10 21,536.14 20,500.41 21,924.49 20,472.14 21,644.54 273,632.27
Préstamos 239,976.16 23,196.25 21,279.94 22,778.87 22,001.90 22,084.29 21,473.86 21,735.86 20,161.60 19,096.39 20,169.47 19,394.89 20,044.99 253,418.32
Depósitos 15,587.48 2,394.24 1,663.66 1,296.36 1,414.87 1,204.44 1,559.32 1,465.09 1,118.83 1,171.79 1,507.98 848.87 1,359.20 17,004.65
Inversiones 2,898.66 349.25 292.52 300.58 258.75 270.57 258.78 275.14 255.70 232.23 247.03 228.38 240.35 3,209.30
Arrendamiento Financiero 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Otros Ingresos 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Egresos de Operaciones 148,808.58 16,431.29 14,076.44 15,030.69 14,359.16 14,316.98 13,935.28 14,011.59 12,801.08 12,576.66 13,007.22 11,748.48 12,610.86 164,905.73
Intereses Pagados 148,746.49 16,426.98 14,075.41 15,029.66 14,349.14 14,312.90 13,934.28 13,980.74 12,756.66 12,114.20 13,073.20 11,651.00 12,450.75 164,154.92
Comisiones 62.09 4.32 1.03 1.03 10.02 4.07 1.00 30.85 44.42 462.46 -65.99 97.48 160.11 750.81
Ingreso Neto de Intereses 109,653.72 9,508.44 9,159.67 9,345.12 9,316.36 9,242.33 9,356.67 9,464.51 8,735.06 7,923.76 8,917.27 8,723.66 9,033.69 108,726.54
Otros Ingresos 132,450.62 8,360.94 6,224.15 7,145.41 4,470.28 8,437.03 9,008.98 20,903.74 7,902.24 17,642.62 9,021.47 7,342.83 14,400.74 120,860.44
Comisiones 17,238.47 793.89 794.40 766.39 988.58 892.14 3,259.39 959.80 1,052.34 1,339.11 1,113.86 1,000.07 3,411.05 16,371.03
Operaciones con Divisas 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Dividendos 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Otros ingresos 115,212.15 7,567.05 5,429.75 6,379.02 3,481.70 7,544.89 5,749.58 19,943.94 6,849.90 16,303.52 7,907.62 6,342.75 10,989.69 104,489.41
Ingresos de Operaciones 242,104.34 17,869.39 15,383.82 16,490.53 13,786.64 17,679.36 18,365.65 30,368.25 16,637.30 25,566.38 17,938.75 16,066.49 23,434.42 229,586.98
Egresos Generales 172,761.08 9,506.52 8,031.78 10,123.06 6,623.87 10,770.02 9,300.29 23,142.38 9,973.13 18,301.77 11,505.21 9,665.45 16,009.60 142,953.07
Gastos Administrativos 31,083.78 1,534.21 1,678.97 3,858.74 2,259.77 2,221.91 2,662.85 2,164.94 2,356.40 1,339.88 2,304.26 2,373.85 2,454.22 27,210.02
Gastos Generales 6,724.43 334.44 404.47 346.99 724.92 610.47 323.47 420.82 603.00 355.85 626.89 399.55 850.12 6,001.00
Gastos de Depreciación 2,237.87 147.29 143.42 499.03 269.27 264.48 295.17 236.50 302.89 283.51 302.46 278.80 275.02 3,297.85
Otros Gastos 132,714.99 7,490.57 5,804.92 5,418.29 3,369.90 7,673.16 6,018.81 20,320.11 6,710.84 16,322.52 8,271.59 6,613.25 12,430.23 106,444.20
Utilidad antes de Provisiones 69,343.26 8,362.87 7,352.04 6,367.47 7,162.78 6,909.34 9,065.36 7,225.87 6,664.17 7,264.61 6,433.54 6,401.04 7,424.83 86,633.90
Provisiones por Cuentas<br> Malas 57,514.96 -2,789.33 -1,361.76 5,092.81 -198.65 -918.21 1,927.95 -5,414.99 -931.12 6,957.62 2,422.85 604.21 -4,960.93 430.47
Utilidad del Periodo 11,828.29 11,152.20 8,713.80 1,274.66 7,361.42 7,827.55 7,137.40 12,640.86 7,595.29 306.99 4,010.69 5,796.82 12,385.76 86,203.44

*La unidad monetaria es par y equivalentescon el US$ dólar.

Esta es una copia de la versión original, tomada de la publicación mensual de la Superintendencia de Bancos de Panamá.

(sitioweb:  http://www.superbancos.gob.pa).