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SERVICIOS QUE OFRECE:
ASESORÍA FINANCIERA:
AGENCIAS Y AUTOBANCOS:
CAJEROS AUTOMÁTICOS:
CAJILLAS DE SEGURIDAD:
CUENTA DE AHORRO BENEFICIO TRIPLE:
SUPER CUENTA DE AHORRO:
CUENTA DE AHORRO 5 ESTRELLAS:
CUENTA DE AHORRO CORRIENTE:
CUENTA DE AHORRO INFANTIL (CUENTA CHICA):
CUENTA DE AHORRO LOS CHAPINES ESTAMOS UNIDOS:
CUENTA AHORRO SEGURO:
VERICHEQUE:

CENTRO BI:
BI-CONSULTA (ATENCIÓN PERSONALIZADA):
BI-VOZ (ATENCIÓN AUTOMATIZADA):
BI-CHAT Y BI-EMAIL (ATENCIÓN VIRTUAL EN LÍNEA):
BANCA ELECTRÓNICA:
NUESTROS SERVICIOS:

OPERACIONES DE FIDEICOMISO:
TIPOS DE FIDEICOMISO:
PRINCIPALES RAZONES PARA CREAR UN FIDEICOMISO EN CORPORACIÓN BI:
TECNOLOGÍA:
CAPACITACIÓN CORPORATIVA:
ESTRATEGIA DE CAPACITACIÓN:
COBERTURA: LA CAPACITACIÓN EN CIFRAS:



CUENTA DE DEPÓSITOS MONETARIOS, AHORRO Y A PLAZO FIJO EN US DÓLARES:
MEDIOS DE PAGO:
DESCUENTO DE DOCUMENTOS:
SERVICIOS:
BI CREDIT VISA:
BI CREDIT VISA INTERNACIONALES:
BANCO INDUSTRIAL MASTER CARD:
PRODUCTOS EMPRESARIALES:
Disponibilidades
5,843,625,322.71 Inversiones 13,975,892,618.95
Préstamos, Descuentos y Otros Créditos 20,272,382,168.73
Propiedad, Equipo y Otros Activos 1,248,349,210.38
Gastos Anticipados y por Amortizar 600,013,476.07 41,940,262,796.84
PASIVO
Depósitos
32,248,375,357.48
Obligaciones Financieras 632,280,696.32
Créditos Obtenidos 4,633,996,148.25
Gastos por Pagar 610,553,665.80
Intereses Anticipados 16,048,539.36
Productos por Realizar 29,962,231.42
38,171,216,638.63
Capital Pagado 1,376,978,450.00 Reserva Legal 162,755,149.46 Otras Reservas 602,742,499.39
Aportes para Acciones 0.00 Otras Aportaciones 375,228,665.06 Obligaciones Subordinadas 560,950,600.00 Revaluación de Activos
Resultado del Período 632,066,016.84 3,769,046,158.21 PASIVO Y CAPITAL 41,940,262,796.84 Valuación de Activos de Recuperación Dudosa 2009 5,900,496,247.42 9,335,647,677.68 20,498,599,568.08 1,359,263,618.58 625,609,012.42 37,719,616,124.18 29,273,189,630.41 701,887,439.66 3,658,235,889.82 459,408,121.71 14,222,008.58 31,325,233.71 34,138,268,323.89 1,376,978,450.00 134,985,349.23 495,358,958.08 0.00 375,228,665.06 584,807,300.00 58,593,073.30 0.00 555,396,004.62 3,581,347,800.29 37,719,616,124.18
2008 4,561,490,223.35 9,311,038,283.37 20,376,739,970.94 1,187,929,035.43 680,989,345.66 36,118,186,858.75 26,102,731,219.22 868,186,524.50 5,303,804,124.37 394,179,404.87 17,336,508.54 59,124,950.32 32,745,362,731.82 1,376,978,450.00 106,729,531.87 368,486,258.91 0.00 375,228,665.06 544,711,300.00 58,861,369.18 (23,287,795.29) 565,116,347.20 3,372,824,126.93 36,118,186,858.75
4,805,305,041.133,687,775,712.14 8,740,405,688.369,022,124,750.27 17,489,682,834.0912,725,956,672.43 1,082,451,985.961,001,561,247.60 697,207,892.79727,714,975.01 32,815,053,442.3327,165,133,357.45 22,511,833,560.7118,824,648,690.86 1,168,751,760.501,553,513,672.50 6,151,231,786.914,101,632,168.21 251,367,755.40292,500,966.67 15,550,207.748,747,871.74 47,392,747.8747,614,089.17 30,146,127,819.1324,828,657,459.15 1,124,449,617.281,073,640,304.60 76,677,144.2262,938,539.90 269,626,093.86258,086,213.42 228,001,150.00228,113,612.20 110,333,075.060.00 419,705,550.00417,788,250.00 59,129,665.0659,397,960.94 (23,656,579.06)(38,261,069.35) 404,659,906.78274,772,086.59 2,668,925,623.202,336,475,898.30 32,815,053,442.3327,165,133,357.45
NOTA: Los Estados Financieros fueron auditados por la firmaAldana González Gómez yAsociados, miembro de KPMG

18,189,489,294.83
Descuentos y Otros Créditos23,401,370,729.64
Equipo y Otros Activos1,382,345,471.30
Gastos Anticipados y por Amortizar
Financieras1,987,907,699.45
por Pagar690,436,487.57
Anticipados16,054,619.42


Total Créditos 20,171.6
Totales
Ahorros
Monetarios
Otros

AñoDepósitosCréditosDividendos Activos Totales Capital Contable Obligaciones Financieras
196916,610.96,676.18,696.90.012,864.8146.2 197023,316.78,367.612,830.80.017,437.2208.6 197130,974.610,114.216,437.30.022,929.0407.8 197242,166.412,026.927,433.10.027,068.8564.7 197360,354.014,223.241,030.60.037,083.0818.5 197485,001.717,247.862,477.00.051,550.61,122.1 1975133,236.019,651.6109,167.30.069,539.41,368.3 1976163,043.223,498.6130,696.70.093,664.92,030.4 1977218,468.628,769.3174,564.60.0127,604.42,787.3 1978239,203.932,340.3188,746.30.0149,908.73,793.5 1979266,570.231,238.7201,217.20.0177,621.23,375.0 1980298,702.331,466.6232,280.80.0202,370.63,375.0 1981329,837.131,796.8268,004.10.0212,225.13,375.0 1982353,193.932,563.7303,510.80.0205,288.33,675.0 1983347,193.232,866.2264,026.00.0217,465.63,750.0 1984370,320.633,107.5283,293.70.0219,098.23,750.0 1985388,099.634,683.1324,258.60.0233,786.95,000.0 1986520,552.338,889.7448,422.00.0250,872.25,000.0 1987625,433.047,512.6476,282.80.0302,976.75,625.0 1988712,720.950,969.3523,030.00.0389,151.96,250.0 1989771,953.554,305.0588,853.70.0456,035.96,250.0 1990948,486.567,191.5762,108.30.0496,173.610,500.0 19911,459,514.684,314.11,220,771.50.0556,937.017,500.0 19921,541,610.1113,761.81,340,503.80.0626,388.222,500.0 19931,772,596.3126,026.11,499,289.80.0761,940.722,500.0 19942,061,064.5137,275.21,641,724.50.0781,545.522,500.0 19952,287,644.6142,208.31,731,548.3234,314.0858,912.427,500.0 19962,354,095.0143,846.61,468,333.1498,134.0847,515.927,500.0 19972,808,820.8183,145.91,852,672.9496,784.01,046,192.40.0(*) 19983,311,052.3221,333.92,238,264.6487,083.01,375,711.922,500.0 19993,927,724.3310,651.22,904,498.4407,195.02,002,210.50.0(*) 20006,246,582.9411,213.04,421,816.7352,234.02,929,733.60.0(*) 20019,178,328.3643,354.06,588,877.7499,981.03,788,088.242,500.0 200211,406,923.9886,066.68,412,616.1402,422.04,897,542.885,000.0 200313,317,339.11,054,874.39,792,268.4440,063.06,225,922.1112,500.0 200415,239,434.41,249,009.811,092,930.2489,720.07,111,396.4150,000.0 200517,947,449.41,350,156.612,501,453.5797,355.08,464,787.5180,000.0 200627,165,133.42,336,475.918,824,648.71,553,513.712,725,956.7227,265.1 200732,815,053.42,668,925.622,511,833.61,168,751.817,489,682.8285,624.8 200836,118,186.83,372,824.126,102,731.2868,186.520,376,739.9341,490.6 201041,940,262.83,769,046.232,248,375.4632,280.720,272,382.2396,569.8 200937,719,616.13,581,347.829,273,189.6701,887.420,498,599.5371,784.1
20096.7565.021,6223161,857(***)23
Las utilidades fueron reinvertidas (**) El resto de utilidades fuerron reinvertidas (***) Incluye Cajeros BI y otras redes

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