SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 6-K Report of Foreign Private Issuer Pursuant to Rule 13a-16 Or 15d-16 Of The Securities Exchange Act of 1934 For the month of March, 2004 BANCO LATINOAMERICANO DE EXPORTACIONES, S.A. (Exact name of Registrant as specified in its Charter) LATIN AMERICAN EXPORT BANK (Translation of Registrant's name into English) Calle 50 y Aquilino de la Guardia Apartado 6-1497 El Dorado, 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-F _x_ Form 40-F ___ (Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing information to the Commission pursuant to Rule 12g-3-2(b) under the Securities Exchange Act of 1934.) Yes ___ No _x_ (If "Yes" is marked, indicate below the file number assigned to the registrant in connection with Rule 12g3-2(b). 82__.) 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, thereto duly authorized. March 26, 2004 Banco Latinoamericano de Exportaciones, S.A. By: /s/ Pedro Toll Name: Pedro Toll Title: General Manager [SEAL] March 22, 2004 BANCO LATINOAMERICANO DE EXPORTACIONES BALANCE SHEETS* December 2003 and January to December 2004 (In Balboas)** ------------------------------------------------------------------------------------------------------------------------------------ 2003 2004 ------------------------------------------------------------------------------------------------------------------------------------ Description Absolute % December January ------------------------------------------------------------------------------------------------------------------------------------ LIQUID ASSETS 45,716,295.95 24.24 188,599,943.18 192,064,648.30 ------------------------------------------------------------------------------------------------------------------------------------ Local Deposits in Banks 17,528.76 11.32 154,867.09 148,473.17 ------------------------------------------------------------------------------------------------------------------------------------ Demand 17,528.76 11.32 154,867.09 148,473.17 ------------------------------------------------------------------------------------------------------------------------------------ Foreign Deposits in Banks 45,742,156.68 24.29 188,319,519.42 191,777,453.20 ------------------------------------------------------------------------------------------------------------------------------------ Demand 2,214,097.41 307.31 720,483.31 3,182,508.52 ------------------------------------------------------------------------------------------------------------------------------------ Time 43,528,059.27 23.20 187,599,036.11 188,594,944.68 ------------------------------------------------------------------------------------------------------------------------------------ Others -43,389.49 -34.56 125,556.67 138,721.93 ------------------------------------------------------------------------------------------------------------------------------------ CREDIT PORTFOLIO -57,648,357.32 -3.32 1,735,136,671.38 1,729,608,465.58 ------------------------------------------------------------------------------------------------------------------------------------ Local -34,035,284.07 -16.11 211,227,524.30 167,786,374.36 ------------------------------------------------------------------------------------------------------------------------------------ Foreign -23,613,073.25 -1.55 1,523,909,147.08 1,561,822,091.22 ------------------------------------------------------------------------------------------------------------------------------------ INVESTMENT SECURITIES -3,150,066.08 -2.74 114,823,383.39 111,905,462.66 ------------------------------------------------------------------------------------------------------------------------------------ Foreign -3,150,066.08 -2.74 114,823,383.39 111,905,462.66 ------------------------------------------------------------------------------------------------------------------------------------ OTHER ASSETS 13,109,448.83 25.93 50,559,948.19 64,583,832.22 ------------------------------------------------------------------------------------------------------------------------------------ Local -166,009.42 -2.69 6,170,009.76 5,967,530.86 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 13,275,458.25 29.91 44,389,938.43 58,616,301.36 ------------------------------------------------------------------------------------------------------------------------------------ TOTAL ASSETS -1,972,678.62 -0.09 2,089,119,946.14 2,098,162,408.76 ------------------------------------------------------------------------------------------------------------------------------------ DEPOSITS 7,323,281.28 1.42 514,414,316.03 518,360,985.90 ------------------------------------------------------------------------------------------------------------------------------------ Local -1,524,989.04 -3.50 43,587,485.58 45,390,804.32 ------------------------------------------------------------------------------------------------------------------------------------ From Banks -1,524,989.04 -3.50 43,587,485.58 45,390,804.32 ------------------------------------------------------------------------------------------------------------------------------------ Demand 1,506,108.91 32.77 4,595,824.32 6,094,329.66 ------------------------------------------------------------------------------------------------------------------------------------ Time -3,031,097.95 -7.77 38,991,661.26 39,296,474.66 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 8,848,270.32 1.88 470,826,830.45 472,970,181.58 ------------------------------------------------------------------------------------------------------------------------------------ Customers -56,551,087.90 -39.25 144,069,723.19 99,357,945.44 ------------------------------------------------------------------------------------------------------------------------------------ Demand 122,773.83 3.62 3,395,861.46 1,757,945.44 ------------------------------------------------------------------------------------------------------------------------------------ Time -56,673,861.73 -40.29 140,673,861.73 97,600,000.00 ------------------------------------------------------------------------------------------------------------------------------------ From Banks 65,399,358.22 20.01 326,757,107.26 373,612,236.14 ------------------------------------------------------------------------------------------------------------------------------------ Demand -723,880.29 -6.52 11,100,547.00 14,459,263.26 ------------------------------------------------------------------------------------------------------------------------------------ Time 66,123,238.51 20.95 315,656,560.26 359,152,972.88 ------------------------------------------------------------------------------------------------------------------------------------ BORROWINGS -39,590,795.65 -3.88 1,020,959,382.93 1,004,876,078.51 ------------------------------------------------------------------------------------------------------------------------------------ Local 0.00 0.00 21,603,810.80 21,603,810.80 ------------------------------------------------------------------------------------------------------------------------------------ Foreign -39,590,795.65 -3.96 999,355,572.13 983,272,267.71 ------------------------------------------------------------------------------------------------------------------------------------ OTHER LIABILITIES 12,458,751.96 12.89 96,619,215.59 107,357,098.15 ------------------------------------------------------------------------------------------------------------------------------------ Local 5,459,532.68 17.99 30,347,173.08 31,567,311.00 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 6,999,219.28 10.56 66,272,042.51 75,789,787.15 ------------------------------------------------------------------------------------------------------------------------------------ STOCKHOLDERS' EQUITY 17,836,083.79 3.90 457,127,031.59 467,568,246.20 ------------------------------------------------------------------------------------------------------------------------------------ Capital 0.00 0.00 328,225,212.57 328,225,212.57 ------------------------------------------------------------------------------------------------------------------------------------ Capital Reserves 0.00 0.00 16,609,728.78 16,609,728.78 ------------------------------------------------------------------------------------------------------------------------------------ Retained Earnings 101,751,364.93 15,312.49 664,499.09 102,415,864.02 ------------------------------------------------------------------------------------------------------------------------------------ Net Income -83,959,150.87 -82.51 101,751,364.93 10,593,177.01 ------------------------------------------------------------------------------------------------------------------------------------ Gain or Loss in Securities available for sale 43,869.73 0.44 9,876,226.22 9,724,263.82 ------------------------------------------------------------------------------------------------------------------------------------ LIABILITIES AND STOCKHOLDER'S EQUITY -1,972,678.62 -0.09 2,089,119,946.14 2,098,162,408.76 ------------------------------------------------------------------------------------------------------------------------------------ ------------------------------------------------------------------------------------------------------------------------------------ 2004 ------------------------------------------------------------------------------------------------------------------------------------ February March April May June July ------------------------------------------------------------------------------------------------------------------------------------ LIQUID ASSETS 234,316,239.13 ------------------------------------------------------------------------------------------------------------------------------------ Local Deposits in Banks 172,395.85 ------------------------------------------------------------------------------------------------------------------------------------ Demand 172,395.85 ------------------------------------------------------------------------------------------------------------------------------------ Foreign Deposits in Banks 234,061,676.10 ------------------------------------------------------------------------------------------------------------------------------------ Demand 2,934,580.72 ------------------------------------------------------------------------------------------------------------------------------------ Time 231,127,095.38 ------------------------------------------------------------------------------------------------------------------------------------ Others 82,167.18 ------------------------------------------------------------------------------------------------------------------------------------ CREDIT PORTFOLIO 1,677,488,314.06 ------------------------------------------------------------------------------------------------------------------------------------ Local 177,192,240.23 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 1,500,296,073.83 ------------------------------------------------------------------------------------------------------------------------------------ INVESTMENT SECURITIES 111,673,317.31 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 111,673,317.31 ------------------------------------------------------------------------------------------------------------------------------------ OTHER ASSETS 63,669,397.02 ------------------------------------------------------------------------------------------------------------------------------------ Local 6,004,000.34 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 57,665,396.68 ------------------------------------------------------------------------------------------------------------------------------------ TOTAL ASSETS 2,087,147,267.52 ------------------------------------------------------------------------------------------------------------------------------------ DEPOSITS 521,737,597.31 ------------------------------------------------------------------------------------------------------------------------------------ Local 42,062,496.54 ------------------------------------------------------------------------------------------------------------------------------------ From Banks 42,062,496.54 ------------------------------------------------------------------------------------------------------------------------------------ Demand 6,101,933.23 ------------------------------------------------------------------------------------------------------------------------------------ Time 35,960,563.31 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 479,675,100.77 ------------------------------------------------------------------------------------------------------------------------------------ Customers 87,518,635.29 ------------------------------------------------------------------------------------------------------------------------------------ Demand 3,518,635.29 ------------------------------------------------------------------------------------------------------------------------------------ Time 84,000,000.00 ------------------------------------------------------------------------------------------------------------------------------------ From Banks 392,156,465.48 ------------------------------------------------------------------------------------------------------------------------------------ Demand 10,376,666.71 ------------------------------------------------------------------------------------------------------------------------------------ Time 381,779,798.77 ------------------------------------------------------------------------------------------------------------------------------------ BORROWINGS 981,368,587.28 ------------------------------------------------------------------------------------------------------------------------------------ Local 21,603,810.80 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 959,764,776.48 ------------------------------------------------------------------------------------------------------------------------------------ OTHER LIABILITIES 109,077,967.55 ------------------------------------------------------------------------------------------------------------------------------------ Local 35,806,705.76 ------------------------------------------------------------------------------------------------------------------------------------ Foreign 73,271,261.79 ------------------------------------------------------------------------------------------------------------------------------------ STOCKHOLDERS' EQUITY 474,963,115.38 ------------------------------------------------------------------------------------------------------------------------------------ Capital 328,225,212.57 ------------------------------------------------------------------------------------------------------------------------------------ Capital Reserves 16,609,728.78 ------------------------------------------------------------------------------------------------------------------------------------ Retained Earnings 102,415,864.02 ------------------------------------------------------------------------------------------------------------------------------------ Net Income 17,792,214.06 ------------------------------------------------------------------------------------------------------------------------------------ Gain or Loss in Securities available for sale 9,920,095.95 ------------------------------------------------------------------------------------------------------------------------------------ LIABILITIES AND STOCKHOLDER'S EQUITY 2,087,147,267.52 ------------------------------------------------------------------------------------------------------------------------------------ ------------------------------------------------------------------------------------------------------------------------------------ 2004 ------------------------------------------------------------------------------------------------------------------------------------ August September October November December ------------------------------------------------------------------------------------------------------------------------------------ LIQUID ASSETS ------------------------------------------------------------------------------------------------------------------------------------ Local Deposits in Banks ------------------------------------------------------------------------------------------------------------------------------------ Demand ------------------------------------------------------------------------------------------------------------------------------------ Foreign Deposits in Banks ------------------------------------------------------------------------------------------------------------------------------------ Demand ------------------------------------------------------------------------------------------------------------------------------------ Time ------------------------------------------------------------------------------------------------------------------------------------ Others ------------------------------------------------------------------------------------------------------------------------------------ CREDIT PORTFOLIO ------------------------------------------------------------------------------------------------------------------------------------ Local ------------------------------------------------------------------------------------------------------------------------------------ Foreign ------------------------------------------------------------------------------------------------------------------------------------ INVESTMENT SECURITIES ------------------------------------------------------------------------------------------------------------------------------------ Foreign ------------------------------------------------------------------------------------------------------------------------------------ OTHER ASSETS ------------------------------------------------------------------------------------------------------------------------------------ Local ------------------------------------------------------------------------------------------------------------------------------------ Foreign ------------------------------------------------------------------------------------------------------------------------------------ TOTAL ASSETS ------------------------------------------------------------------------------------------------------------------------------------ DEPOSITS ------------------------------------------------------------------------------------------------------------------------------------ Local ------------------------------------------------------------------------------------------------------------------------------------ From Banks ------------------------------------------------------------------------------------------------------------------------------------ Demand ------------------------------------------------------------------------------------------------------------------------------------ Time ------------------------------------------------------------------------------------------------------------------------------------ Foreign ------------------------------------------------------------------------------------------------------------------------------------ Customers ------------------------------------------------------------------------------------------------------------------------------------ Demand ------------------------------------------------------------------------------------------------------------------------------------ Time ------------------------------------------------------------------------------------------------------------------------------------ From Banks ------------------------------------------------------------------------------------------------------------------------------------ Demand ------------------------------------------------------------------------------------------------------------------------------------ Time ------------------------------------------------------------------------------------------------------------------------------------ BORROWINGS ------------------------------------------------------------------------------------------------------------------------------------ Local ------------------------------------------------------------------------------------------------------------------------------------ Foreign ------------------------------------------------------------------------------------------------------------------------------------ OTHER LIABILITIES ------------------------------------------------------------------------------------------------------------------------------------ Local ------------------------------------------------------------------------------------------------------------------------------------ Foreign ------------------------------------------------------------------------------------------------------------------------------------ STOCKHOLDERS' EQUITY ------------------------------------------------------------------------------------------------------------------------------------ Capital ------------------------------------------------------------------------------------------------------------------------------------ Capital Reserves ------------------------------------------------------------------------------------------------------------------------------------ Retained Earnings ------------------------------------------------------------------------------------------------------------------------------------ Net Income ------------------------------------------------------------------------------------------------------------------------------------ Gain or Loss in Securities available for sale ------------------------------------------------------------------------------------------------------------------------------------ LIABILITIES AND STOCKHOLDER'S EQUITY ------------------------------------------------------------------------------------------------------------------------------------ * Includes only Panama - New York accounts. ** Monetary unit at par and equivalent with US$ dollars. This is a free translation from Spanish original version, taken from the monthly publication of the Republica de Panama Superintendencia de Bancos (website: http://www.superbancos.gob.pa). March 22, 2004 [SEAL] STATEMENTS OF INCOME * BANCO LATINOAMERICANO DE EXPORTACIONES, S.A. January to December 2004 (In Balboas)** ------------------------------------------------------------------------------------------------------------------------------------ Description January February March I Quarter April ------------------------------------------------------------------------------------------------------------------------------------ Interest Income 6,554,346.26 4,920,235.16 11,474,581.42 ------------------------------------------------------------------------------------------------------------------------------------ Loans 5,806,089.31 4,357,928.60 10,164,017.91 ------------------------------------------------------------------------------------------------------------------------------------ Deposits 134,326.48 151,395.63 285,722.11 ------------------------------------------------------------------------------------------------------------------------------------ Investments 613,930.47 410,910.93 1,024,841.40 ------------------------------------------------------------------------------------------------------------------------------------ Interest Expense 2,503,583.65 2,302,555.27 4,806,138.92 ------------------------------------------------------------------------------------------------------------------------------------ Interest 2,463,551.58 2,289,995.94 4,753,547.52 ------------------------------------------------------------------------------------------------------------------------------------ Commissions 40,032.07 12,559.33 52,591.40 ------------------------------------------------------------------------------------------------------------------------------------ Net Interest Income 4,050,762.61 2,617,679.89 6,668,442.50 ------------------------------------------------------------------------------------------------------------------------------------ Other Income 574,025.74 440,603.31 1,014,629.05 ------------------------------------------------------------------------------------------------------------------------------------ Commissions 548,963.99 665,864.96 1,214,828.95 ------------------------------------------------------------------------------------------------------------------------------------ Foreign currency operations -4,122.82 3,312.45 -810.37 ------------------------------------------------------------------------------------------------------------------------------------ Other Income 29,184.57 -228,574.10 -199,389.53 ------------------------------------------------------------------------------------------------------------------------------------ Operating Income 4,624,788.35 3,058,283.20 7,683,071.55 ------------------------------------------------------------------------------------------------------------------------------------ Operating Expenses 1,845,294.21 -262,208.98 1,583,085.23 ------------------------------------------------------------------------------------------------------------------------------------ Administrative expenses 1,019,194.48 989,036.77 2,008,231.25 ------------------------------------------------------------------------------------------------------------------------------------ General expenses 149,318.22 313,300.33 462,618.55 ------------------------------------------------------------------------------------------------------------------------------------ Depreciation 119,749.86 113,223.73 232,973.59 ------------------------------------------------------------------------------------------------------------------------------------ Other expenses 557,031.65 -1,677,769.81 -1,120,738.16 ------------------------------------------------------------------------------------------------------------------------------------ Net Income before provision for loan losses 2,779,494.14 3,320,492.18 6,099,986.32 ------------------------------------------------------------------------------------------------------------------------------------ Provision for loan losses -7,813,682.87 -3,878,544.87 -11,692,227.74 ------------------------------------------------------------------------------------------------------------------------------------ Net Income 10,593,177.01 7,199,037.05 17,792,214.06 ------------------------------------------------------------------------------------------------------------------------------------ ------------------------------------------------------------------------------------------------------------------------------------ May June II Quarter July August September ------------------------------------------------------------------------------------------------------------------------------------ Interest Income 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Loans 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Deposits 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Investments 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Interest Expense 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Interest 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Commissions 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Net Interest Income 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Other Income 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Commissions 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Foreign currency operations 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Other Income 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Operating Income 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Operating Expenses 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Administrative expenses 0.00 ------------------------------------------------------------------------------------------------------------------------------------ General expenses 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Depreciation 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Other expenses 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Net Income before provision for loan losses 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Provision for loan losses 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Net Income 0.00 ------------------------------------------------------------------------------------------------------------------------------------ ------------------------------------------------------------------------------------------------------------------------------------ III Quarter October November December IV Quarter Year to date ------------------------------------------------------------------------------------------------------------------------------------ Interest Income 0.00 0.00 11,474,581.42 ------------------------------------------------------------------------------------------------------------------------------------ Loans 0.00 0.00 10,164,017.91 ------------------------------------------------------------------------------------------------------------------------------------ Deposits 0.00 0.00 285,722.11 ------------------------------------------------------------------------------------------------------------------------------------ Investments 0.00 0.00 1,024,841.40 ------------------------------------------------------------------------------------------------------------------------------------ Interest Expense 0.00 0.00 4,806,138.92 ------------------------------------------------------------------------------------------------------------------------------------ Interest 0.00 0.00 4,753,547.52 ------------------------------------------------------------------------------------------------------------------------------------ Commissions 0.00 0.00 52,591.40 ------------------------------------------------------------------------------------------------------------------------------------ Net Interest Income 0.00 0.00 6,668,442.50 ------------------------------------------------------------------------------------------------------------------------------------ Other Income 0.00 0.00 1,014,629.05 ------------------------------------------------------------------------------------------------------------------------------------ Commissions 0.00 0.00 1,214,828.95 ------------------------------------------------------------------------------------------------------------------------------------ Foreign currency operations 0.00 0.00 -810.37 ------------------------------------------------------------------------------------------------------------------------------------ Other Income 0.00 0.00 -199,389.53 ------------------------------------------------------------------------------------------------------------------------------------ Operating Income 0.00 0.00 7,683,071.55 ------------------------------------------------------------------------------------------------------------------------------------ Operating Expenses 0.00 0.00 1,583,085.23 ------------------------------------------------------------------------------------------------------------------------------------ Administrative expenses 0.00 0.00 2,008,231.25 ------------------------------------------------------------------------------------------------------------------------------------ General expenses 0.00 0.00 462,618.55 ------------------------------------------------------------------------------------------------------------------------------------ Depreciation 0.00 0.00 232,973.59 ------------------------------------------------------------------------------------------------------------------------------------ Other expenses 0.00 0.00 -1,120,738.16 ------------------------------------------------------------------------------------------------------------------------------------ Net Income before provision for loan losses 0.00 0.00 6,099,986.32 ------------------------------------------------------------------------------------------------------------------------------------ Provision for loan losses 0.00 0.00 -11,692,227.74 ------------------------------------------------------------------------------------------------------------------------------------ Net Income 0.00 0.00 17,792,214.06 ------------------------------------------------------------------------------------------------------------------------------------ * Includes only Panama - New York accounts. ** Monetary unit at par and equivalent with US$ dollars. This is a free translation from Spanish original version, taken from the monthly publication of the Republica de Panama Superintendencia de Bancos (website: http://www.superbancos.gob.pa). [SEAL] 22 de marzo de 2004 BANCO LATINOAMERICANO DE EXPORTACIONES BALANCE DE SITUACION DE DICIEMBRE 2003 Y ENERO - DICIEMBRE 2004 (En Balboas) --------------------------------------------------------------------------------------------------------------------------------- 2003 2004 --------------------------------------------------------------------------------------------------------------------------------- Descripcion Absoluta % Diciembre Enero Febrero --------------------------------------------------------------------------------------------------------------------------------- ACTIVOS LIQUIDOS 45,716,295.95 24.24 188,599,943.18 192,064,648.30 234,316,239.13 --------------------------------------------------------------------------------------------------------------------------------- Depositos Locales en Bancos 17,528.76 11.32 154,867.09 148,473.17 172,395.85 --------------------------------------------------------------------------------------------------------------------------------- A la Vista 17,528.76 11.32 154,867.09 148,473.17 172,395.85 --------------------------------------------------------------------------------------------------------------------------------- Depositos Extranjeros en Bancos 45,742,156.68 24.29 188,319,519.42 191,777,453.20 234,061,676.10 --------------------------------------------------------------------------------------------------------------------------------- A la Vista 2,214,097.41 307.31 720,483.31 3,182,508.52 2,934,580.72 --------------------------------------------------------------------------------------------------------------------------------- A Plazo 43,528,059.27 23.20 187,599,036.11 188,594,944.68 231,127,095.38 --------------------------------------------------------------------------------------------------------------------------------- Otros -43,389.49 -34.56 125,556.67 138,721.93 82,167.18 --------------------------------------------------------------------------------------------------------------------------------- CARTERA CREDITICIA -57,648,357.32 -3.32 1,735,136,671.38 1,729,608,465.58 1,677,488,314.06 --------------------------------------------------------------------------------------------------------------------------------- Locales -34,035,284.07 -16.11 211,227,524.30 167,786,374.36 177,192,240.23 --------------------------------------------------------------------------------------------------------------------------------- Extranjero -23,613,073.25 -1.55 1,523,909,147.08 1,561,822,091.22 1,500,296,073.83 --------------------------------------------------------------------------------------------------------------------------------- INVERSIONES EN VALORES -3,150,066.08 -2.74 114,823,383.39 111,905,462.66 111,673,317.31 --------------------------------------------------------------------------------------------------------------------------------- Extranjero -3,150,066.08 -2.74 114,823,383.39 111,905,462.66 111,673,317.31 --------------------------------------------------------------------------------------------------------------------------------- OTROS ACTIVOS 13,109,448.83 25.93 50,559,948.19 64,583,832.22 63,669,397.02 --------------------------------------------------------------------------------------------------------------------------------- Locales -166,009.42 -2.69 6,170,009.76 5,967,530.86 6,004,000.34 --------------------------------------------------------------------------------------------------------------------------------- Extranjero 13,275,458.25 29.91 44,389,938.43 58,616,301.36 57,665,396.68 --------------------------------------------------------------------------------------------------------------------------------- TOTAL DE ACTIVOS -1,972,678.62 -0.09 2,089,119,946.14 2,098,162,408.76 2,087,147,267.52 --------------------------------------------------------------------------------------------------------------------------------- DEPOSITOS 7,323,281.28 1.42 514,414,316.03 518,360,985.90 521,737,597.31 --------------------------------------------------------------------------------------------------------------------------------- Locales -1,524,989.04 -3.50 43,587,485.58 45,390,804.32 42,062,496.54 --------------------------------------------------------------------------------------------------------------------------------- De Bancos -1,524,989.04 -3.50 43,587,485.58 45,390,804.32 42,062,496.54 --------------------------------------------------------------------------------------------------------------------------------- A la Vista 1,506,108.91 32.77 4,595,824.32 6,094,329.66 6,101,933.23 --------------------------------------------------------------------------------------------------------------------------------- A Plazo -3,031,097.95 -7.77 38,991,661.26 39,296,474.66 35,960,563.31 --------------------------------------------------------------------------------------------------------------------------------- Extranjero 8,848,270.32 1.88 470,826,830.45 472,970,181.58 479,675,100.77 --------------------------------------------------------------------------------------------------------------------------------- De Particulares -56,551,087.90 -39.25 144,069,723.19 99,357,945.44 87,518,635.29 --------------------------------------------------------------------------------------------------------------------------------- A la Vista 122,773.83 3.62 3,395,861.46 1,757,945.44 3,518,635.29 --------------------------------------------------------------------------------------------------------------------------------- A Plazo -56,673,861.73 -40.29 140,673,861.73 97,600,000.00 84,000,000.00 --------------------------------------------------------------------------------------------------------------------------------- De Bancos 65,399,358.22 20.01 326,757,107.26 373,612,236.14 392,156,465.48 --------------------------------------------------------------------------------------------------------------------------------- A la Vista -723,880.29 -6.52 11,100,547.00 14,459,263.26 10,376,666.71 --------------------------------------------------------------------------------------------------------------------------------- A Plazo 66,123,238.51 20.95 315,656,560.26 359,152,972.88 381,779,798.77 --------------------------------------------------------------------------------------------------------------------------------- OBLIGACIONES -39,590,795.65 -3.88 1,020,959,382.93 1,004,876,078.51 981,368,587.28 --------------------------------------------------------------------------------------------------------------------------------- Locales 0.00 0.00 21,603,810.80 21,603,810.80 21,603,810.80 --------------------------------------------------------------------------------------------------------------------------------- Extranjero -39,590,795.65 -3.96 999,355,572.13 983,272,267.71 959,764,776.48 --------------------------------------------------------------------------------------------------------------------------------- OTROS PASIVOS 12,458,751.96 12.89 96,619,215.59 107,357,098.15 109,077,967.55 --------------------------------------------------------------------------------------------------------------------------------- Locales 5,459,532.68 17.99 30,347,173.08 31,567,311.00 35,806,705.76 --------------------------------------------------------------------------------------------------------------------------------- Extranjero 6,999,219.28 10.56 66,272,042.51 75,789,787.15 73,271,261.79 --------------------------------------------------------------------------------------------------------------------------------- PATRIMONIO 17,836,083.79 3.90 457,127,031.59 467,568,246.20 474,963,115.38 --------------------------------------------------------------------------------------------------------------------------------- Capital 0.00 0.00 328,225,212.57 328,225,212.57 328,225,212.57 --------------------------------------------------------------------------------------------------------------------------------- Reservas de Capital 0.00 0.00 16,609,728.78 16,609,728.78 16,609,728.78 --------------------------------------------------------------------------------------------------------------------------------- Utilidad de Periodos Anteriores 101,751,364.93 15,312.49 664,499.09 102,415,864.02 102,415,864.02 --------------------------------------------------------------------------------------------------------------------------------- Utilidad de Periodo -83,959,150.87 -82.51 101,751,364.93 10,593,177.01 17,792,214.06 --------------------------------------------------------------------------------------------------------------------------------- Ganancia o Perdida en Valores Disponible para la venta 43,869.73 0.44 9,876,226.22 9,724,263.82 9,920,095.95 --------------------------------------------------------------------------------------------------------------------------------- PASIVO Y PATRIMONIO -1,972,678.62 -0.09 2,089,119,946.14 2,098,162,408.76 2,087,147,267.52 --------------------------------------------------------------------------------------------------------------------------------- -------------------------------------------------------------------------------------------------------------------------------- 2004 --------------------------------------------------------------------------------------------------------------------------------- Marzo Abril Mayo Junio Julio Agosto --------------------------------------------------------------------------------------------------------------------------------- Descripcion --------------------------------------------------------------------------------------------------------------------------------- ACTIVOS LIQUIDOS --------------------------------------------------------------------------------------------------------------------------------- Depositos Locales en Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- Depositos Extranjeros en Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- Otros --------------------------------------------------------------------------------------------------------------------------------- CARTERA CREDITICIA --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- INVERSIONES EN VALORES --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- OTROS ACTIVOS --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- TOTAL DE ACTIVOS --------------------------------------------------------------------------------------------------------------------------------- DEPOSITOS --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- De Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- De Particulares --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- De Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- OBLIGACIONES --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- OTROS PASIVOS --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- PATRIMONIO --------------------------------------------------------------------------------------------------------------------------------- Capital --------------------------------------------------------------------------------------------------------------------------------- Reservas de Capital --------------------------------------------------------------------------------------------------------------------------------- Utilidad de Periodos Anteriores --------------------------------------------------------------------------------------------------------------------------------- Utilidad de Periodo --------------------------------------------------------------------------------------------------------------------------------- Ganancia o Perdida en Valores Disponible para la venta --------------------------------------------------------------------------------------------------------------------------------- PASIVO Y PATRIMONIO --------------------------------------------------------------------------------------------------------------------------------- --------------------------------------------------------------------------------------------------------------------------------- 2004 --------------------------------------------------------------------------------------------------------------------------------- Septiembre Octubre Noviembre Diciembre --------------------------------------------------------------------------------------------------------------------------------- Descripcion --------------------------------------------------------------------------------------------------------------------------------- ACTIVOS LIQUIDOS --------------------------------------------------------------------------------------------------------------------------------- Depositos Locales en Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- Depositos Extranjeros en Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- Otros --------------------------------------------------------------------------------------------------------------------------------- CARTERA CREDITICIA --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- INVERSIONES EN VALORES --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- OTROS ACTIVOS --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- TOTAL DE ACTIVOS --------------------------------------------------------------------------------------------------------------------------------- DEPOSITOS --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- De Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- De Particulares --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- De Bancos --------------------------------------------------------------------------------------------------------------------------------- A la Vista --------------------------------------------------------------------------------------------------------------------------------- A Plazo --------------------------------------------------------------------------------------------------------------------------------- OBLIGACIONES --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- OTROS PASIVOS --------------------------------------------------------------------------------------------------------------------------------- Locales --------------------------------------------------------------------------------------------------------------------------------- Extranjero --------------------------------------------------------------------------------------------------------------------------------- PATRIMONIO --------------------------------------------------------------------------------------------------------------------------------- Capital --------------------------------------------------------------------------------------------------------------------------------- Reservas de Capital --------------------------------------------------------------------------------------------------------------------------------- Utilidad de Periodos Anteriores --------------------------------------------------------------------------------------------------------------------------------- Utilidad de Periodo --------------------------------------------------------------------------------------------------------------------------------- Ganancia o Perdida en Valores Disponible para la venta --------------------------------------------------------------------------------------------------------------------------------- PASIVO Y PATRIMONIO --------------------------------------------------------------------------------------------------------------------------------- 22 de marzo de 2004 [SEAL] ESTADO DE RESULTADO BANCO LATINOAMERICANO DE EXPORTACIONES, S.A. ENERO - DICIEMBRE 2004 (En Balboas) ------------------------------------------------------------------------------------------------------------------------------------ Descripcion Enero Febrero Marzo Trimestre I Abril Mayo ------------------------------------------------------------------------------------------------------------------------------------ Ingresos Por Intereses 6,554,346.26 4,920,235.16 11,474,581.42 ------------------------------------------------------------------------------------------------------------------------------------ Prestamos 5,806,089.31 4,357,928.60 10,164,017.91 ------------------------------------------------------------------------------------------------------------------------------------ Depositos 134,326.48 151,395.63 285,722.11 ------------------------------------------------------------------------------------------------------------------------------------ Inversiones 613,930.47 410,910.93 1,024,841.40 ------------------------------------------------------------------------------------------------------------------------------------ Egresos de Operaciones 2,503,583.65 2,302,555.27 4,806,138.92 ------------------------------------------------------------------------------------------------------------------------------------ Intereses Pagados 2,463,551.58 2,289,995.94 4,753,547.52 ------------------------------------------------------------------------------------------------------------------------------------ Comisiones 40,032.07 12,559.33 52,591.40 ------------------------------------------------------------------------------------------------------------------------------------ Ingreso Neto de Intereses 4,050,762.61 2,617,679.89 6,668,442.50 ------------------------------------------------------------------------------------------------------------------------------------ Otros Ingresos 574,025.74 440,603.31 1,014,629.05 ------------------------------------------------------------------------------------------------------------------------------------ Comisiones 548,963.99 665,864.96 1,214,828.95 ------------------------------------------------------------------------------------------------------------------------------------ Operaciones con Divisas -4,122.82 3,312.45 -810.37 ------------------------------------------------------------------------------------------------------------------------------------ Otros ingresos 29,184.57 -228,574.10 -199,389.53 ------------------------------------------------------------------------------------------------------------------------------------ Ingresos de Operaciones 4,624,788.35 3,058,283.20 7,683,071.55 ------------------------------------------------------------------------------------------------------------------------------------ Egresos Generales 1,845,294.21 -262,208.98 1,583,085.23 ------------------------------------------------------------------------------------------------------------------------------------ Gastos Administrativos 1,019,194.48 989,036.77 2,008,231.25 ------------------------------------------------------------------------------------------------------------------------------------ Gastos Generales 149,318.22 313,300.33 462,618.55 ------------------------------------------------------------------------------------------------------------------------------------ Gastos de Depreciacion 119,749.86 113,223.73 232,973.59 ------------------------------------------------------------------------------------------------------------------------------------ Otros Gastos 557,031.65 -1,677,769.81 -1,120,738.16 ------------------------------------------------------------------------------------------------------------------------------------ Utilidad antes de Provisiones 2,779,494.14 3,320,492.18 6,099,986.32 ------------------------------------------------------------------------------------------------------------------------------------ Provisiones por Cuentas Malas -7,813,682.87 -3,878,544.87 -11,692,227.74 ------------------------------------------------------------------------------------------------------------------------------------ Utilidad del Periodo 10,593,177.01 7,199,037.05 17,792,214.06 ------------------------------------------------------------------------------------------------------------------------------------ ------------------------------------------------------------------------------------------------------------------------------------ Descripcion Junio Trimestre II Julio Agosto Septiembre Trimestre III ------------------------------------------------------------------------------------------------------------------------------------ Ingresos Por Intereses 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Prestamos 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Depositos 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Inversiones 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Egresos de Operaciones 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Intereses Pagados 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Comisiones 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Ingreso Neto de Intereses 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Otros Ingresos 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Comisiones 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Operaciones con Divisas 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Otros ingresos 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Ingresos de Operaciones 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Egresos Generales 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Gastos Administrativos 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Gastos Generales 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Gastos de Depreciacion 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Otros Gastos 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Utilidad antes de Provisiones 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Provisiones por Cuentas Malas 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ Utilidad del Periodo 0.00 0.00 ------------------------------------------------------------------------------------------------------------------------------------ --------------------------------------------------------------------------------------------------------------------- Descripcion Octubre Noviembre Diciembre Trimestre IV Acumulado Anual --------------------------------------------------------------------------------------------------------------------- Ingresos Por Intereses 0.00 11,474,581.42 --------------------------------------------------------------------------------------------------------------------- Prestamos 0.00 10,164,017.91 --------------------------------------------------------------------------------------------------------------------- Depositos 0.00 285,722.11 --------------------------------------------------------------------------------------------------------------------- Inversiones 0.00 1,024,841.40 --------------------------------------------------------------------------------------------------------------------- Egresos de Operaciones 0.00 4,806,138.92 --------------------------------------------------------------------------------------------------------------------- Intereses Pagados 0.00 4,753,547.52 --------------------------------------------------------------------------------------------------------------------- Comisiones 0.00 52,591.40 --------------------------------------------------------------------------------------------------------------------- Ingreso Neto de Intereses 0.00 6,668,442.50 --------------------------------------------------------------------------------------------------------------------- Otros Ingresos 0.00 1,014,629.05 --------------------------------------------------------------------------------------------------------------------- Comisiones 0.00 1,214,828.95 --------------------------------------------------------------------------------------------------------------------- Operaciones con Divisas 0.00 -810.37 --------------------------------------------------------------------------------------------------------------------- Otros ingresos 0.00 -199,389.53 --------------------------------------------------------------------------------------------------------------------- Ingresos de Operaciones 0.00 7,683,071.55 --------------------------------------------------------------------------------------------------------------------- Egresos Generales 0.00 1,583,085.23 --------------------------------------------------------------------------------------------------------------------- Gastos Administrativos 0.00 2,008,231.25 --------------------------------------------------------------------------------------------------------------------- Gastos Generales 0.00 462,618.55 --------------------------------------------------------------------------------------------------------------------- Gastos de Depreciacion 0.00 232,973.59 --------------------------------------------------------------------------------------------------------------------- Otros Gastos 0.00 -1,120,738.16 --------------------------------------------------------------------------------------------------------------------- Utilidad antes de Provisiones 0.00 6,099,986.32 --------------------------------------------------------------------------------------------------------------------- Provisiones por Cuentas Malas 0.00 -11,692,227.74 --------------------------------------------------------------------------------------------------------------------- Utilidad del Periodo 0.00 17,792,214.06 ---------------------------------------------------------------------------------------------------------------------