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 June, 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.

June 04, 2004

                                    Banco Latinoamericano de Exportaciones, S.A.

                                                     By: /s/ Pedro Toll

                                                     Name:  Pedro Toll
                                                     Title: Deputy Manager

                                                                    May 26, 2004

                     BANCO LATINOAMERICANO DE EXPORTACIONES
[SEAL]            BALANCE SHEETS* December 2003 and January to
                                   April 2004
                                 (In Balboas)**



                                                                                      2003
Description                                         Absolute           %           December           January            February
-----------                                         --------         -----         --------           -------            --------
                                                                                                       
LIQUID ASSETS                                    -45,541,482.74      -23.87     190,799,943.18     192,064,648.30     234,316,239.13
     Local Deposits in Banks                          -3,534.26       -2.28         154,867.09         148,473.17         172,395.85
         Demand                                       -3,534.26       -2.28         154,867.09         148,473.17         172,395.85
     Foreign Deposits in Banks                   -45,522,288.77      -23.89     190,519,519.42     191,777,453.20     234,061,676.10
         Demand                                    2,076,747.34      288.24         720,483.31       3,182,508.52       2,934,580.72
         Time                                    -47,599,036.11      -25.08     189,799,036.11     188,594,944.68     231,127,095.38
     Others                                          -15,659.71      -12.47         125,556.67         138,721.93          82,167.18
CREDIT PORTFOLIO                                 -98,920,016.43       -5.70   1,735,136,671.38   1,729,608,465.58   1,677,488,314.06
     Local                                       -82,686,029.31      -39.15     211,227,524.30     167,786,374.36     177,192,240.23
     Foreign                                     -16,233,987.12       -1.07   1,523,909,147.08   1,561,822,091.22   1,500,296,073.83
INVESTMENT SECURITIES                             -1,727,163.41       -1.54     112,295,247.89     111,905,462.66     111,673,317.31
     Foreign                                      -1,727,163.41       -1.54     112,295,247.89     111,905,462.66     111,673,317.31
OTHER ASSETS                                      21,859,110.38       42.96      50,888,083.69      64,583,832.22      63,669,397.02
     Local                                        -1,250,706.54      -20.27       6,170,009.76       5,967,530.86       6,004,000.34
     Foreign                                      23,109,816.92       51.68      44,718,073.93      58,616,301.36      57,665,396.68
TOTAL ASSETS                                    -124,329,552.20       -5.95   2,089,119,946.14   2,098,162,408.76   2,087,147,267.52
DEPOSITS                                          24,420,217.55        4.75     514,414,316.03     518,360,985.90     521,737,597.31
     Local                                        -3,206,396.53       -7.36      43,587,485.58      45,390,804.32      42,062,496.54
         From Banks                               -3,206,396.53       -7.36      43,587,485.58      45,390,804.32      42,062,496.54
              Demand                               3,816,396.78       83.04       4,595,824.32       6,094,329.66       6,101,933.23
              Time                                -7,022,793.31      -18.01      38,991,661.26      39,296,474.66      35,960,563.31
     Foreign                                      27,626,614.08        5.87     470,826,830.45     472,970,181.58     479,675,100.77
         Customers                               -56,295,800.05      -39.08     144,069,723.19      99,357,945.44      87,518,635.29
              Demand                              -1,621,938.32      -47.76       3,395,861.46       1,757,945.44       3,518,635.29
              Time                               -54,673,861.73      -38.87     140,673,861.73      97,600,000.00      84,000,000.00
         From Banks                               83,922,414.13       25.68     326,757,107.26     373,612,236.14     392,156,465.48
              Demand                              -1,004,166.39       -9.05      11,100,547.00      14,459,263.26      10,376,666.71
              Time                                84,926,580.52       26.90     315,656,560.26     359,152,972.88     381,779,798.77
BORROWINGS                                      -185,841,088.76      -18.20   1,020,959,382.93   1,004,876,078.51     981,368,587.28
     Local                                            29,700.20        0.14      21,603,810.80      21,603,810.80      21,603,810.80
     Foreign                                    -185,870,788.96      -18.60     999,355,572.13     983,272,267.71     959,764,776.48
OTHER LIABILITIES                                  8,699,945.26        9.00      96,619,215.59     107,357,098.15     109,077,967.55
     Local                                        -3,841,458.55      -12.66      30,347,173.08      31,567,311.00      35,806,705.76
     Foreign                                      12,541,403.81       18.92      66,272,042.51      75,789,787.15      73,271,261.79
STOCKHOLDERS'EQUITY                               28,391,373.75        6.21     457,127,031.59     467,568,246.20     474,963,115.38
     Capital                                              -6.37       -0.00     328,225,212.57     328,225,212.57     328,225,212.57
     Capital Reserves                                      0.00        0.00      16,609,728.78      16,609,728.78      16,609,728.78
     Retained Earnings                            97,816,091.12   14,720.27         664,499.09     102,415,864.02     102,415,864.02
     Net Income                                  -69,707,057.01      -68.51     101,751,364.93      10,593,177.01      17,792,214.06
     Gain or Loss in Securities available
       for sale                                      282,346.01        2.86       9,876,226.22       9,724,263.82       9,920,095.95
LIABILITIES AND STOCKHOLDER'S EQUITY            -124,329,552.20       -5.95   2,089,119,946.14   2,098,162,408.76   2,087,147,267.52




                                                                                                                  2004
Description                                           March             April               May            June          July
-----------                                           -----             -----               ---            ----          ----
                                                                                                       
LIQUID ASSETS                                    132,229,195.34     145,258,460.44
     Local Deposits in Banks                         148,973.07         151,332.83
         Demand                                      148,973.07         151,332.83
     Foreign Deposits in Banks                   131,933,367.96     144,997,230.65
         Demand                                    2,833,367.96       2,797,230.65
         Time                                    129,100,000.00     142,200,000.00
     Others                                          146,854.31         109,896.96
CREDIT PORTFOLIO                               1,645,045,191.99   1,636,216,654.95
     Local                                       135,583,600.56     128,541,494.99
     Foreign                                   1,509,461,591.43   1,507,675,159.96
INVESTMENT SECURITIES                            112,447,442.98     110,568,084.48
     Foreign                                     112,447,442.98     110,568,084.48
OTHER ASSETS                                      61,241,400.29      72,747,194.07
     Local                                         5,069,422.26       4,919,303.22
     Foreign                                      56,171,978.03      67,827,890.85
TOTAL ASSETS                                   1,950,963,230.60   1,964,790,393.94
DEPOSITS                                         535,697,217.51     538,834,533.58
     Local                                        36,870,785.38      40,381,089.05
         From Banks                               36,870,785.38      40,381,089.05
              Demand                               5,906,842.96       8,412,221.10
              Time                                30,963,942.42      31,968,867.95
     Foreign                                     498,826,432.13     498,453,444.53
         Customers                               108,117,642.12      87,773,923.14
              Demand                               5,117,642.12       1,773,923.14
              Time                               103,000,000.00      86,000,000.00
         From Banks                              390,708,790.01     410,679,521.39
              Demand                               9,899,421.12      10,096,380.61
              Time                               380,809,368.89     400,583,140.78
BORROWINGS                                       831,663,808.85     835,118,294.17
     Local                                        21,633,511.00      21,633,511.00
     Foreign                                     810,030,297.85     813,484,783.17
OTHER LIABILITIES                                100,999,864.50     105,319,160.85
     Local                                        26,668,458.77      26,505,714.53
     Foreign                                      74,331,405.73      78,813,446.32
STOCKHOLDERS'EQUITY                              482,602,339.74     485,518,405.34
     Capital                                     328,225,212.57     328,225,206.20
     Capital Reserves                             16,609,728.78      16,609,728.78
     Retained Earnings                            98,480,590.21      98,480,590.21
     Net Income                                   28,353,232.45      32,044,307.92
     Gain or Loss in Securities available
       for sale                                   10,933,575.73      10,158,572.23
LIABILITIES AND STOCKHOLDER'S EQUITY           1,950,963,230.60   1,964,790,393.94





Description                                    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).


                                                                    May 26, 2004

                             STATEMENTS OF INCOME *
[SEAL]            BANCO LATINOAMERICANO DE EXPORTACIONES, S.A.
                              January to April 2004
                                 (In Balboas)**



                                                                                                      I
Description                                     January          February          March           Quarter            April
-----------                                     -------          --------          -----           -------            -----
                                                                                                   
Interest Income                               6,554,346.26     4,920,235.16    5,734,864.07     17,209,445.49     6,380,969.21
     Loans                                    5,806,089.31     4,357,928.60    5,135,119.62     15,299,137.53     5,863,136.60
     Deposits                                   134,326.48       151,395.63      195,196.95        480,919.06       117,950.90
     Investments                                613,930.47       410,910.93      404,547.50      1,429,388.90       399,881.71
Interest Expense                              2,503,583.65     2,302,555.27    2,483,510.96      7,289,649.88     1,968,282.79
     Interest                                 2,463,551.58     2,289,995.94    2,487,621.71      7,241,169.23     1,967,086.81
     Commissions                                 40,032.07        12,559.33       -4,110.75         48,480.65         1,195.98
Net Interest Income                           4,050,762.61     2,617,679.89    3,251,353.11      9,919,795.61     4,412,686.42
Other Income                                    574,025.74       440,603.31      840,675.99      1,855,305.04     1,113,133.33
     Commissions                                548,963.99       665,864.96      509,460.70      1,724,289.65       448,767.69
     Foreign currency operations                 -4,122.82         3,312.45         -188.10           -998.47        -5,276.39
     Other Income                                29,184.57      -228,574.10      331,403.39        132,013.86       669,642.03
Operating Income                              4,624,788.35     3,058,283.20    4,092,029.10     11,775,100.65     5,525,819.75
Operating Expenses                            1,845,294.21      -262,208.98       75,177.76      1,658,262.99     1,834,744.28
     Administrative expenses                  1,019,194.48       989,036.77    1,142,090.66      3,150,321.91     1,081,277.48
     General expenses                           149,318.22       313,300.33      258,581.00        721,199.55       461,578.86
     Depreciation                               119,749.86       113,223.73      121,469.30        354,442.89       114,761.87
     Other expenses                             557,031.65    -1,677,769.81   -1,446,963.20     -2,567,701.36       177,126.07
Net Income before provision for
  loan losses                                 2,779,494.14     3,320,492.18    4,016,851.34     10,116,837.66     3,691,075.47
     Provision for loan losses               -7,813,682.87    -3,878,544.87   -6,544,167.05    -18,236,394.79             0.00
Net Income                                   10,593,177.01     7,199,037.05   10,561,018.39     28,353,232.45     3,691,075.47




                                                                            II
Description                                May             June           Quarter           July           August         September
-----------                                ---             ----           -------           ----           ------         ---------
                                                                                                      
Interest Income                                                         6,380,969.21
     Loans                                                              5,863,136.60
     Deposits                                                             117,950.90
     Investments                                                          399,881.71
Interest Expense                                                        1,968,282.79
     Interest                                                           1,967,086.81
     Commissions                                                            1,195.98
Net Interest Income                                                     4,412,686.42
Other Income                                                            1,113,133.33
     Commissions                                                          448,767.69
     Foreign currency operations                                           -5,276.39
     Other Income                                                         669,642.03
Operating Income                                                        5,525,819.75
Operating Expenses                                                      1,834,744.28
     Administrative expenses                                            1,081,277.48
     General expenses                                                     461,578.86
     Depreciation                                                         114,761.87
     Other expenses                                                       177,126.07
Net Income before provision for
  loan losses                                                           3,691,075.47
     Provision for loan losses                                                  0.00
Net Income                                                              3,691,075.47




                                          III                                                             IV
Description                             Quarter        October         November        December         Quarter      Year to date
-----------                             -------        -------         --------        --------         -------      ------------
                                                                                                  
Interest Income                           0.00                                                            0.00      23,590,414.70
     Loans                                0.00                                                            0.00      21,162,274.13
     Deposits                             0.00                                                            0.00         598,869.96
     Investments                          0.00                                                            0.00       1,829,270.61
Interest Expense                          0.00                                                            0.00       9,257,932.67
     Interest                             0.00                                                            0.00       9,208,256.04
     Commissions                          0.00                                                            0.00          49,676.63
Net Interest Income                       0.00                                                            0.00      14,332,482.03
Other Income                              0.00                                                            0.00       2,968,438.37
     Commissions                          0.00                                                            0.00       2,173,057.34
     Foreign currency operations          0.00                                                            0.00          -6,274.86
     Other Income                         0.00                                                            0.00         801,655.89
Operating Income                          0.00                                                            0.00      17,300,920.40
Operating Expenses                        0.00                                                            0.00       3,493,007.27
     Administrative expenses              0.00                                                            0.00       4,231,599.39
     General expenses                     0.00                                                            0.00       1,182,778.41
     Depreciation                         0.00                                                            0.00         469,204.76
     Other expenses                       0.00                                                            0.00      -2,390,575.29
Net Income before provision for
  loan losses                             0.00                                                            0.00      13,807,913.13
     Provision for loan losses            0.00                                                            0.00     -18,236,394.79
Net Income                                0.00                                                            0.00      32,044,307.92


 *   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).


                                                              26 de mayo de 2004

                     BANCO LATINOAMERICANO DE EXPORTACIONES
[SEAL]     BALANCE DE SITUACION DE DICIEMBRE 2003 Y ENERO - ABRIL 2004
                                  (En Balboas)



                                                                                     2003
 Descripcion                                         Absoluta           %          Diciembre            Enero             Febrero
 -----------                                         --------           -          ---------            -----             -------
                                                                                                       
 ACTIVOS LIQUIDOS                                -45,541,482.74      -23.87     190,799,943.18     192,064,648.30     234,316,239.13
      Depositos Locales en Bancos                     -3,534.26       -2.28         154,867.09         148,473.17         172,395.85
          A la Vista                                  -3,534.26       -2.28         154,867.09         148,473.17         172,395.85
      Depositos Extranjeros en Bancos            -45,522,288.77      -23.89     190,519,519.42     191,777,453.20     234,061,676.10
          A la Vista                               2,076,747.34      288.24         720,483.31       3,182,508.52       2,934,580.72
          A Plazo                                -47,599,036.11      -25.08     189,799,036.11     188,594,944.68     231,127,095.38
      Otros                                          -15,659.71      -12.47         125,556.67         138,721.93          82,167.18
 CARTERA CREDITICIA                              -98,920,016.43       -5.70   1,735,136,671.38   1,729,608,465.58   1,677,488,314.06
      Locales                                    -82,686,029.31      -39.15     211,227,524.30     167,786,374.36     177,192,240.23
      Extranjero                                 -16,233,987.12       -1.07   1,523,909,147.08   1,561,822,091.22   1,500,296,073.83
 INVERSIONES EN VALORES                           -1,727,163.41       -1.54     112,295,247.89     111,905,462.66     111,673,317.31
      Extranjero                                  -1,727,163.41       -1.54     112,295,247.89     111,905,462.66     111,673,317.31
 OTROS ACTIVOS                                    21,859,110.38       42.96      50,888,083.69      64,583,832.22      63,669,397.02
      Locales                                     -1,250,706.54      -20.27       6,170,009.76       5,967,530.86       6,004,000.34
      Extranjero                                  23,109,816.92       51.68      44,718,073.93      58,616,301.36      57,665,396.68
 TOTAL DE ACTIVOS                               -124,329,552.20       -5.95   2,089,119,946.14   2,098,162,408.76   2,087,147,267.52
 DEPOSITOS                                        24,420,217.55        4.75     514,414,316.03     518,360,985.90     521,737,597.31
      Locales                                     -3,206,396.53       -7.36      43,587,485.58      45,390,804.32      42,062,496.54
          De Bancos                               -3,206,396.53       -7.36      43,587,485.58      45,390,804.32      42,062,496.54
               A la Vista                          3,816,396.78       83.04       4,595,824.32       6,094,329.66       6,101,933.23
               A Plazo                            -7,022,793.31      -18.01      38,991,661.26      39,296,474.66      35,960,563.31
      Extranjero                                  27,626,614.08        5.87     470,826,830.45     472,970,181.58     479,675,100.77
          De Particulares                        -56,295,800.05      -39.08     144,069,723.19      99,357,945.44      87,518,635.29
               A la Vista                         -1,621,938.32      -47.76       3,395,861.46       1,757,945.44       3,518,635.29
               A Plazo                           -54,673,861.73      -38.87     140,673,861.73      97,600,000.00      84,000,000.00
          De Bancos                               83,922,414.13       25.68     326,757,107.26     373,612,236.14     392,156,465.48
               A la Vista                         -1,004,166.39       -9.05      11,100,547.00      14,459,263.26      10,376,666.71
               A Plazo                            84,926,580.52       26.90     315,656,560.26     359,152,972.88     381,779,798.77
 OBLIGACIONES                                   -185,841,088.76      -18.20   1,020,959,382.93   1,004,876,078.51     981,368,587.28
      Locales                                         29,700.20        0.14      21,603,810.80      21,603,810.80      21,603,810.80
      Extranjero                                -185,870,788.96      -18.60     999,355,572.13     983,272,267.71     959,764,776.48
 OTROS PASIVOS                                     8,699,945.26        9.00      96,619,215.59     107,357,098.15     109,077,967.55
      Locales                                     -3,841,458.55      -12.66      30,347,173.08      31,567,311.00      35,806,705.76
      Extranjero                                  12,541,403.81       18.92      66,272,042.51      75,789,787.15      73,271,261.79
 PATRIMONIO                                       28,391,373.75        6.21     457,127,031.59     467,568,246.20     474,963,115.38
      Capital                                             -6.37       -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             97,816,091.12   14,720.27         664,499.09     102,415,864.02     102,415,864.02
      Utilidad de Periodo                        -69,707,057.01      -68.51     101,751,364.93      10,593,177.01      17,792,214.06
     Ganancia o Perdida en Valores
       Disponible para la venta                      282,346.01        2.86       9,876,226.22       9,724,263.82       9,920,095.95
 PASIVO Y PATRIMONIO                            -124,329,552.20       -5.95   2,089,119,946.14   2,098,162,408.76   2,087,147,267.52




                                                                                                                     2004
 Descripcion                                          Marzo              Abril              Mayo            Junio             Julio
 -----------                                          -----              -----              ----            -----             -----
                                                                                                              
 ACTIVOS LIQUIDOS                                132,229,195.34     145,258,460.44
      Depositos Locales en Bancos                    148,973.07         151,332.83
          A la Vista                                 148,973.07         151,332.83
      Depositos Extranjeros en Bancos            131,933,367.96     144,997,230.65
          A la Vista                               2,833,367.96       2,797,230.65
          A Plazo                                129,100,000.00     142,200,000.00
      Otros                                          146,854.31         109,896.96
 CARTERA CREDITICIA                            1,645,045,191.99   1,636,216,654.95
      Locales                                    135,583,600.56     128,541,494.99
      Extranjero                               1,509,461,591.43   1,507,675,159.96
 INVERSIONES EN VALORES                          112,447,442.98     110,568,084.48
      Extranjero                                 112,447,442.98     110,568,084.48
 OTROS ACTIVOS                                    61,241,400.29      72,747,194.07
      Locales                                      5,069,422.26       4,919,303.22
      Extranjero                                  56,171,978.03      67,827,890.85
 TOTAL DE ACTIVOS                              1,950,963,230.60   1,964,790,393.94
 DEPOSITOS                                       535,697,217.51     538,834,533.58
      Locales                                     36,870,785.38      40,381,089.05
          De Bancos                               36,870,785.38      40,381,089.05
               A la Vista                          5,906,842.96       8,412,221.10
               A Plazo                            30,963,942.42      31,968,867.95
      Extranjero                                 498,826,432.13     498,453,444.53
          De Particulares                        108,117,642.12      87,773,923.14
               A la Vista                          5,117,642.12       1,773,923.14
               A Plazo                           103,000,000.00      86,000,000.00
          De Bancos                              390,708,790.01     410,679,521.39
               A la Vista                          9,899,421.12      10,096,380.61
               A Plazo                           380,809,368.89     400,583,140.78
 OBLIGACIONES                                    831,663,808.85     835,118,294.17
      Locales                                     21,633,511.00      21,633,511.00
      Extranjero                                 810,030,297.85     813,484,783.17
 OTROS PASIVOS                                   100,999,864.50     105,319,160.85
      Locales                                     26,668,458.77      26,505,714.53
      Extranjero                                  74,331,405.73      78,813,446.32
 PATRIMONIO                                      482,602,339.74     485,518,405.34
      Capital                                    328,225,212.57     328,225,206.20
      Reservas de Capital                         16,609,728.78      16,609,728.78
      Utilidad de Periodos Anteriores             98,480,590.21      98,480,590.21
      Utilidad de Periodo                         28,353,232.45      32,044,307.92
     Ganancia o Perdida en Valores
       Disponible para la venta                   10,933,575.73      10,158,572.23
 PASIVO Y PATRIMONIO                           1,950,963,230.60   1,964,790,393.94





 Descripcion                                  Agosto          Septiembre          Octubre          Noviembre         Diciembre
 -----------                                  ------          ----------          -------          ---------         ---------
                                                                                                     
 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



                                                              26 de mayo de 2004

                               ESTADO DE RESULTADO
[SEAL]            BANCO LATINOAMERICANO DE EXPORTACIONES, S.A.
                               ENERO - ABRIL 2004
                                  (En Balboas)




Descripcion                               Enero          Febrero           Marzo         Trimestre I         Abril            Mayo
-----------                               -----          -------           -----         -----------         -----            ----
                                                                                                          
Ingresos Por Intereses                6,554,346.26     4,920,235.16    5,734,864.07     17,209,445.49     6,380,969.21
     Prestamos                        5,806,089.31     4,357,928.60    5,135,119.62     15,299,137.53     5,863,136.60
     Depositos                          134,326.48       151,395.63      195,196.95        480,919.06       117,950.90
     Inversiones                        613,930.47       410,910.93      404,547.50      1,429,388.90       399,881.71
Egresos de Operaciones                2,503,583.65     2,302,555.27    2,483,510.96      7,289,649.88     1,968,282.79
     Intereses Pagados                2,463,551.58     2,289,995.94    2,487,621.71      7,241,169.23     1,967,086.81
     Comisiones                          40,032.07        12,559.33       -4,110.75         48,480.65         1,195.98
Ingreso Neto de Intereses             4,050,762.61     2,617,679.89    3,251,353.11      9,919,795.61     4,412,686.42
Otros Ingresos                          574,025.74       440,603.31      840,675.99      1,855,305.04     1,113,133.33
     Comisiones                         548,963.99       665,864.96      509,460.70      1,724,289.65       448,767.69
     Operaciones con Divisas             -4,122.82         3,312.45         -188.10           -998.47        -5,276.39
     Otros ingresos                      29,184.57      -228,574.10      331,403.39        132,013.86       669,642.03
Ingresos de Operaciones               4,624,788.35     3,058,283.20    4,092,029.10     11,775,100.65     5,525,819.75
Egresos Generales                     1,845,294.21      -262,208.98       75,177.76      1,658,262.99     1,834,744.28
     Gastos Administrativos           1,019,194.48       989,036.77    1,142,090.66      3,150,321.91     1,081,277.48
     Gastos Generales                   149,318.22       313,300.33      258,581.00        721,199.55       461,578.86
     Gastos de Depreciacion             119,749.86       113,223.73      121,469.30        354,442.89       114,761.87
     Otros Gastos                       557,031.65    -1,677,769.81   -1,446,963.20     -2,567,701.36       177,126.07
Utilidad antes de Provisiones         2,779,494.14     3,320,492.18    4,016,851.34     10,116,837.66     3,691,075.47
     Provisiones por Cuentas Malas   -7,813,682.87    -3,878,544.87   -6,544,167.05    -18,236,394.79             0.00
Utilidad del Periodo                 10,593,177.01     7,199,037.05   10,561,018.39     28,353,232.45     3,691,075.47





Descripcion                             Junio        Trimestre II        Julio           Agosto         Septiembre     Trimestre III
-----------                             -----        ------------        -----           ------         ----------     -------------
                                                                                                          
Ingresos Por Intereses                                 6,380,969.21                                                        0.00
     Prestamos                                         5,863,136.60                                                        0.00
     Depositos                                           117,950.90                                                        0.00
     Inversiones                                         399,881.71                                                        0.00
Egresos de Operaciones                                 1,968,282.79                                                        0.00
     Intereses Pagados                                 1,967,086.81                                                        0.00
     Comisiones                                            1,195.98                                                        0.00
Ingreso Neto de Intereses                              4,412,686.42                                                        0.00
Otros Ingresos                                         1,113,133.33                                                        0.00
     Comisiones                                          448,767.69                                                        0.00
     Operaciones con Divisas                              -5,276.39                                                        0.00
     Otros ingresos                                      669,642.03                                                        0.00
Ingresos de Operaciones                                5,525,819.75                                                        0.00
Egresos Generales                                      1,834,744.28                                                        0.00
     Gastos Administrativos                            1,081,277.48                                                        0.00
     Gastos Generales                                    461,578.86                                                        0.00
     Gastos de Depreciacion                              114,761.87                                                        0.00
     Otros Gastos                                        177,126.07                                                        0.00
Utilidad antes de Provisiones                          3,691,075.47                                                        0.00
     Provisiones por Cuentas Malas                             0.00                                                        0.00
Utilidad del Periodo                                   3,691,075.47                                                        0.00





Descripcion                                Octubre        Noviembre       Diciembre         Trimestre IV      Acumulado Anual
-----------                                -------        ---------       ---------         ------------      ---------------
                                                                                                
Ingresos Por Intereses                                                                           0.00          23,590,414.70
     Prestamos                                                                                   0.00          21,162,274.13
     Depositos                                                                                   0.00             598,869.96
     Inversiones                                                                                 0.00           1,829,270.61
Egresos de Operaciones                                                                           0.00           9,257,932.67
     Intereses Pagados                                                                           0.00           9,208,256.04
     Comisiones                                                                                  0.00              49,676.63
Ingreso Neto de Intereses                                                                        0.00          14,332,482.03
Otros Ingresos                                                                                   0.00           2,968,438.37
     Comisiones                                                                                  0.00           2,173,057.34
     Operaciones con Divisas                                                                     0.00              -6,274.86
     Otros ingresos                                                                              0.00             801,655.89
Ingresos de Operaciones                                                                          0.00          17,300,920.40
Egresos Generales                                                                                0.00           3,493,007.27
     Gastos Administrativos                                                                      0.00           4,231,599.39
     Gastos Generales                                                                            0.00           1,182,778.41
     Gastos de Depreciacion                                                                      0.00             469,204.76
     Otros Gastos                                                                                0.00          -2,390,575.29
Utilidad antes de Provisiones                                                                    0.00          13,807,913.13
     Provisiones por Cuentas Malas                                                               0.00         -18,236,394.79
Utilidad del Periodo                                                                             0.00          32,044,307.92